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Tuesday, December 29, 2009, 12:46PM ET - U.S. Markets close in 3 hours and 14 minutes. Dow Up 0.16% Nasdaq Down 0.06%
Federated Prudent Global Income C (FPGCX)On Dec 28: 12.62  Up 0.04 (0.32%)  
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Profile  As of 30-Nov-09Get Profile for:
Federated Prudent Global Income C
615 East Michigan Street Ste 405 Milwaukee, WI 53202
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Phone: 800-341-7400
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FUND OVERVIEW 
Category:World Bond
Fund Family:Federated
Net Assets:25.54M
Year-to-Date Return:8.32%
Yield:%
Morningstar Rating:3 stars
Fund Inception Date:08-Dec-08
MORNINGSTAR STYLE BOX 
World Bond
[View Category Definition]
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About the Morningstar Style Box
MANAGEMENT INFORMATION 
Doug Noland
Lead Manager since 02-Feb-00
Noland joined Federated in December 2008. Prior, he was employed with David Tice & Associates, Inc. where he served as an assistant portfolio manager and strategist from January 1999. From 1990 through 1998, Mr. Noland worked as a trader, portfolio manager and analyst for short-biased hedge funds including G. W. Ringoen & Associates from January 1990 to September 1996, Fleckenstein Capital from September 1996 to March 1997 and East Shore Partners, Inc. from October 1997 to December 1998.
INVESTMENT INFORMATION 
Min Initial Investment:$1,500
Min Initial Investment, IRA:$250
Min Initial Investment, AIP:$1,500
Min Subsequent Investment:$100
Min Subsequent Investment, IRA:$100
Min Subsequent Investment, AIP:$50
FPGCX can be purchased from brokerages.
FUND SUMMARY 
The investment seeks current income and capital appreciation. The fund primarily invests in fixed-income securities, primarily with short term maturities, issued by governments and governmental agencies of developed countries, including the United States, as well as other countries with sound economic and financial systems. It primarily consider in selecting investments in debt securities is currency movements as it relates to stability of global purchasing power. In addition, the fund may also invest in securities whose performance is linked to the price of gold. It is nondiversified.
FUND OPERATIONS 
Last Dividend YFT_NOT_APPLICABLE_ABBREVIATION
Last Cap Gain YFT_NOT_APPLICABLE_ABBREVIATION
Annual Holdings Turnover 171.00%
Average for Category: 180.95%
FEES & EXPENSES 
ExpenseFPGCXCategory
Avg
Total Expense Ratio:% 1.13%
Max 12b1 Fee:% N/A
Max Front End Sales Load:% 4.35%
Max Deferred Sales Load:1.00% 2.33%
3 Yr Expense Projection*: $ YFT_NOT_APPLICABLE_ABBREVIATION$544
5 Yr Expense Projection*: $ YFT_NOT_APPLICABLE_ABBREVIATION$851
10 Yr Expense Projection*: $ YFT_NOT_APPLICABLE_ABBREVIATION$1,726
* Per $10,000 invested


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