Fund for United States Government Securities

Fund for U.S. Government Securities CMutual FundsIntermediate Bond

Overview

AT A GLANCE
Portfolio
Assets
$228.3 Million
YTD Return NAV
0.86%
Fixed Income
Structure slanted roof, round circl and five columns.
Gross
Expenses  †
1.72%
Net
Expenses  †
1.72%
STRATEGY

Seeks current income by investing primarily in a diversified portfolio of U.S. government securities, including mortgage-backed securities of investment-grade quality.

KEY FACTS
Key Facts - Part 1
Symbol Fund for U.S. Government Securities C
Benchmark Bloomberg Barclays United States Mortgage Backed Securities Index
Key Facts - Part 2
Fund Number(s)
238
CUSIP 31420C886
Performance Incp. Date
MORNINGSTAR CATEGORY & STYLE
Category
Intermediate Government
Style
Morningstar Style Box
      High
      Medium
      Low
Ltd Mod Ext  
INVESTMENT GOALS Retirement
Income
MANAGERS
Todd Abraham, CFA
Senior Vice President
Senior Portfolio Manager, Head of Government/ Mortgage Backed Fixed Income Group

joined Federated
29 years of experience
Liam O'Connell, CFA
Vice President
Portfolio Manager
Senior Investment Analyst

joined Federated
15 years of experience

Performance

Characteristics

Commentary

Documents

Distributions and Taxes