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    Federated Short-Interm Ttl Ret Bd Instl (FGCIX)

    10.40 Down 0.01(0.10%) Jun 29

    Profile as of May 30, 2016Get Profile for:
    Federated Short-Interm Ttl Ret Bd Instl
    Federated Institutional Trust5800 Corporate DrivePittsburgh, PA 15222-3779
    Map
    Phone: 800-341-7400
    Fund Overview 
    Category:Short-Term Bond
    Fund Family:Federated
    Net Assets:257.42M
    Year-to-Date Return:2.46%
    Yield:2.64%
    Morningstar Rating:5 stars
    Fund Inception Date:Sep 2, 2005
    Morningstar Style Box 
    Short-Term Bond
    [View Category Definition]
    View Top Short-Term Bond Funds
    About the Morningstar Style Box
    Management Information 
    John T. Gentry
    Lead Manager since Nov 30, 2013
    John Gentry has been the Fund's Portfolio Manager since November 2013. He is Senior Vice President, Senior Portfolio Manager and Head of the Corporate Fixed Income Group of the Fund's Adviser. Mr. Gentry joined Federated in 1995. Prior to joining Federated, he was a Senior Treasury Analyst at Sun Company, Inc. and an Analyst at Golembe Associates, Inc. Mr. Gentry has received the Chartered Financial Analyst designation. Mr. Gentry received his B.A. from the University of Virginia and M.B.A. from Cornell University.
    Investment Information 
    Min Initial Investment:1,000,000
    Min Initial Investment, IRA:N/A
    Min Initial Investment, AIP:1,000,000
    Min Subsequent Investment:N/A
    Min Subsequent Investment, IRA:N/A
    Min Subsequent Investment, AIP:50
    FGCIX can be purchased from 64 brokerages.

    Fund Summary 
    The investment seeks total return. The fund's overall investment strategy is to invest in a portfolio consisting primarily of U.S. Treasury securities, U.S. government agency securities, (including mortgage-backed securities issued or guaranteed by U.S. government agencies or instrumentalities), mortgage-backed securities (MBS), asset-backed securities and investment-grade corporate securities. It will invest at least 80% of its net assets plus the amount of any borrowing for investment purposes in fixed-income securities. The fund may invest its assets in securities of other investment companies, including the securities of affiliated money market funds.

    Fund Operations 
    Last Dividend (May 30, 2016) : 0.02
    Last Cap Gain : 0.00
    Annual Holdings Turnover (Jun 27, 2016) : 23.00%
    Average for Category:64.39%
    Fees & Expenses 
    ExpenseFGCIXCategory Avg
    Annual Report Expense Ratio (net):0.35%0.80%
    Prospectus Net Expense Ratio:0.36%N/A
    Prospectus Gross Expense Ratio:0.56%N/A
    Max 12b1 Fee:N/AN/A
    Max Front End Sales Load:N/A2.51%
    Max Deferred Sales Load: N/A1.81%
    3 Yr Expense Projection*:179364
    5 Yr Expense Projection*:313599
    10 Yr Expense Projection*:7011,232
    * Per $10,000 invested