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Federated International Bond B (FTBBX)

On Feb 9: 11.13 USD  Up 0.06 (0.54%)  
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FEDERATED INTERNATIONAL BOND FU Delayed quote dataEdit
Net Asset Value: 11.13
Trade Time: Feb 9
Change: Up 0.06 (0.54%)
Prev Close: 11.13
YTD Return*: 9.19%
Net Assets*: 8.13M
Yield*: 4.79%
* As of 31-Dec-07
Federated International Bond B (FTBBX)
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31-Dec-07
FUND BASICS
Morningstar Overall Rating: 2 stars
Total Assets: 8.13M
Category: World Bond
Total Expense Ratio: 1.62%
Fund Profile - Holdings


31-Dec-07
PERFORMANCE & RISK
YTD Return: 9.19%
5y Avg Return: 5.85%
Rank in Category (ytd): 56
% Rank in Category (ytd): 25.69%
Beta (3y): 1.34
Morningstar Risk Rating: High
Performance Details - Risk Details

FUND SUMMARY
The investment seeks a total return on assets. The fund invests primarily in non-dollar denominated, investment-grade, fixed-income securities of foreign governments and their agencies or foreign corporations. It may invest in derivative contracts to implement its investment strategies as more fully described herein. The fund maintains a dollar-weighted average credit rating of its portfolio securities of A. It invests primarily in developed market countries. The fund may also invest in derivative contracts. It is nondiversified.
Fund Profile


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