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Federated US Govt 2-5 Yr Instl
(FIGTX)

11.86USD   Down 0.02 (0.17%)   
On Feb 10
 Federated US Govt 2-5 Yr Instl Delayed quote data 
Net Asset Value: 11.86
Trade Time:Feb 10
Change:Down 0.02 (0.17%) 
Prev Close:11.88
YTD Return*:2.09%
Net Assets*:779.47M
Yield*:2.56%
* As of 30-Nov-09
[Chart]
3m  6m  1y  2y  5y  max 
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HEADLINES

 
Is Your Mutual Fund Taking Too Much Risk? - Morningstar.com  - Tue, Jul 28
» More Headlines for FIGTX...

FUND BASICS

30-Nov-09
Total Assets:779.47M
Category:N/A
Morningstar Overall Rating:5 stars
» Fund Profile» Holdings

PERFORMANCE & RISK

30-Nov-09
YTD Return:2.09%
5y Avg Return:5.25%
Rank in Category (ytd):129
% Rank in Category (ytd):N/A
Beta (3y):0.66
Morningstar Risk Rating:High
» Performance Details» Risk Details

FUND SUMMARY

 
The investment seeks current income. The fund invests primarily in United States Treasury securities and US government agency securities of not less than two years and not more than five years and related derivative contracts. It may also use derivative contracts and/or hybrid instruments to implement elements of it strategies.
» Fund Profile