Government Money Fund II

Variable Annuity FundsGovernment/Treasury

Overview

AT A GLANCE
Portfolio
Assets
$127.3 Million
YTD Return NAV
0.18%
Liquidity
United States dollar
Documents
STRATEGY

Seeks current income consistent with stability of principal and liquidity by investing primarily in a portfolio of U.S. Treasury and government securities maturing in 397 days or less, as well as repurchase agreements collateralized fully by U.S. Treasury and government securities.

KEY FACTS
Key Facts - Part 1
Fund Cutoff Purchases: ET
Redemptions: ET
Key Facts - Part 2
Fund Number(s)
402
CUSIP 313916751
Performance Incp. Date
INVESTMENT GOALS Retirement
Income
Cash Management
Portfolio Stability
MANAGERS
Susan Hill, CFA
Senior Vice President
Senior Portfolio Manager, Head of Government Money Market Group

joined Federated
28 years of experience

Characteristics

Documents

Distributions and Taxes