Literature and Forms

Showing 1 through 100 out of 849 total documents
Literature and Forms
Document Name Name / As of date Description As Of Date Actions
Form ADV - Federated Global Investment Management Corp. (Clover Balanced - Managed Account)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Investment Counseling (Managed Accounts)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Hermes Global Equity Fund (A, C, IS, and R6 Shares) - Prospectus
Prospectus
Hermes Global Equity Fund (A, C, IS, and R6 Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Hermes Global Equity Fund (A, C, IS, and R6 Shares) - Summary Prospectus
Summary Prospectus
Hermes Global Small Cap Fund (A, C, IS, and R6 Shares) - Prospectus
Statutory Prospectus
Hermes Global Small Cap Fund (A, C, IS, and R6 Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Hermes Global Small Cap Fund (A, C, IS, and R6 Shares) - Summary Prospectus
Summary Prospectus
Form ADV - Federated Global Investment Management Corp. (Clover ACV - Managed Account)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Global Investment Management Corp. (Institutional Separate Accounts)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Global Investment Management Corp. (International ADR)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Investment Counseling (Growth and Income)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Investment Counseling (Institutional Separate Accounts)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Investment Counseling (Managed Accounts)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated MDTA LLC (Institutional Separate Accounts)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated MDTA LLC (Managed Accounts)
Form ADV Part 2 provides information about the adviser's advisory business including advisory services, fees, assets under management, conflicts of interest and other information.
Form ADV - Federated Investment Counseling Summary of Changes
The summary of changes identifies and discusses changes from the last annual update to Form ADV, Part 2.
Form ADV - Global Investment Management Corp. Summary of Changes
The summary of changes identifies and discusses changes from the last annual update to Form ADV, Part 2.
Form ADV - MDTA LLC Summary of Changes
The summary of changes identifies and discusses changes from the last annual update to Form ADV, Part 2.
Decedent IRA New Account Application
Complete this application to establish a mutual fund IRA for which you are a beneficiary and the shareowner is now deceased.
Decedent IRA New Account Application
Complete this application to establish a mutual fund IRA for which you are a beneficiary and the shareowner is now deceased.
IRA New Account Application
Complete this application to establish your mutual fund Traditional or Roth IRA.
IRA New Account Application
Complete this application to establish your mutual fund Traditional or Roth IRA.
Global Allocation Fund (A, B, C, R, IS, and R6 Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Annual Default Rate
Global Allocation Fund (A, B, C, R, IS, and R6 Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Tender Offer Funds
An overview of frequently asked questions about tender offer fund vehicles.
In Need of Dividends? - International Strategic Value Dividend Fund
Highlight of yields, dividend histories and dividend status of dividend-paying companies in Federated International Strategic Value Dividend Fund's portfolio.
In Need of Dividends? - Strategic Value Dividend Fund
Highlight of yields, dividend histories and dividend status of dividend-paying companies in Federated Strategic Value Dividend Fund's portfolio.
Short-Term Daily U.S. Dollar Fund, Ltd. (INV Shares) - Investor Fact Sheet
Quarterly performance piece featuring the fund's total returns, portfolio composition and additional information.
Short-Term Daily U.S. Dollar Fund, Ltd. (IS Shares) - Investor Fact Sheet
Quarterly performance piece featuring the fund's total returns, portfolio composition and additional information.
Short-Term Daily U.S. Dollar Fund, Ltd. (ISS Shares) - Investor Fact Sheet
Quarterly performance piece featuring the fund's total returns, portfolio composition and additional information.
Short-Term Daily U.S. Dollar Fund, Ltd. (NT Shares) - Investor Fact Sheet
Quarterly performance piece featuring the fund's total returns, portfolio composition and additional information.
Short-Term Daily U.S. Dollar Fund, Ltd. (RET Shares) - Investor Fact Sheet
Quarterly performance piece featuring the fund's total returns, portfolio composition and additional information.
California Municipal Cash Trust (CAP Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
California Municipal Cash Trust (CII Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
California Municipal Cash Trust (CS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
California Municipal Cash Trust (SS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
California Municipal Cash Trust (WS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
California Municipal Cash Trust (WS, SS, CII, CS, and CAP Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
California Municipal Cash Trust (WS, SS, CII, CS, and CAP Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Fund for U.S. Government Securities II - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Georgia Municipal Cash Trust - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Georgia Municipal Cash Trust - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Georgia Municipal Cash Trust - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Government Money Fund II (P and S Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
High Income Bond Fund II (P and S Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Institutional Tax-Free Cash Trust (IS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Institutional Tax-Free Cash Trust (IS and PRM Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Institutional Tax-Free Cash Trust (IS and PRM Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Institutional Tax-Free Cash Trust (PRM Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Kaufmann Fund II (P and S Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Managed Volatility Fund II (P and S Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Massachusetts Municipal Cash Trust (CS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Massachusetts Municipal Cash Trust (SS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Massachusetts Municipal Cash Trust (WS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Massachusetts Municipal Cash Trust (WS, SS, and CS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Massachusetts Municipal Cash Trust (WS, SS, and CS Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
New York Municipal Cash Trust (CII Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
New York Municipal Cash Trust (CS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
New York Municipal Cash Trust (SS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
New York Municipal Cash Trust (WS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
New York Municipal Cash Trust (WS, SS, CII, and CS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
New York Municipal Cash Trust (WS, SS, CII, and CS Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Pennsylvania Municipal Cash Trust (CS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Pennsylvania Municipal Cash Trust (SS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Pennsylvania Municipal Cash Trust (WS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Pennsylvania Municipal Cash Trust (WS, SS, and CS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Pennsylvania Municipal Cash Trust (WS, SS, and CS Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Quality Bond Fund II (P and S Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Short-Intermediate Duration Municipal Trust (A, IS, and SS Shares) - Semi-Annual Shareholder Report
The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Virginia Municipal Cash Trust (CS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Virginia Municipal Cash Trust (SS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Virginia Municipal Cash Trust (SS and CS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Virginia Municipal Cash Trust (SS and CS Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
IRA Beneficiary Form
Complete this form to add or change beneficiaries on an IRA account.
IRA Beneficiary Form
Complete this form to add or change beneficiaries on an IRA account.
SEP IRA Contribution Allocation Worksheet
Complete this allocation worksheet and mail it with an investment check.
IRA Request for Transfer or Direct Rollover Form
Complete this form to transfer funds or request a Direct Rollover from another financial institution.
IRA Request for Transfer or Direct Rollover Form
Complete this form to transfer funds or request a Direct Rollover from another financial institution.
Project and Trade Finance Core Fund - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Project and Trade Finance Tender Fund - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
SEP IRA New Account Application
Complete this application to establish your mutual fund SEP-IRA.
Corporate Infographic
The Potential Income Advantage of Starting with a High Dividend Yield
The Potential Income Advantage of Starting with a High Dividend Yield
Strategic Value Dividend Fund - An Opportunity for Income During Market Uncertainty
An opportunity for income during market uncertainty
Project and Trade Finance Tender Fund - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
International Small-Mid Company Fund (A, C, and IS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
International Small-Mid Company Fund (A, C, and IS Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
International Small-Mid Company Fund (A, C, and IS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Bond Fund (A, B, C, F, IS, and R6 Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Bond Fund (A, B, C, F, IS, and R6 Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Bond Fund (A, B, C, F, IS, and R6 Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Bond Fund (A, B, C, F, IS, and R6 Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Capital Income Fund (A, B, C, F, R, and IS Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Capital Income Fund (A, B, C, F, R, and IS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Capital Income Fund (A, B, C, F, R, and IS Shares) - Statement of Additional Information (SAI)
The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks.
Capital Income Fund (A, B, C, F, R, and IS Shares) - Summary Prospectus
The fund's Summary Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
Emerging Market Debt Fund (A, C, and IS Shares) - Annual Shareholder Report
The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Emerging Market Debt Fund (A, C, and IS Shares) - Prospectus
The fund's Prospectus contains information including the fund's investment objective and strategies, principal investments, risks of investing in the fund, and sales charges, management fees and other expenses.
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