Emerging Markets Equity Fund Quarter 3 Holdings April 26 2024 | Third quarter holdings based on fund's fiscal year end. | April 26 2024 | |
Government Ultrashort Fund Quarter 3 Holdings April 26 2024 | Third quarter holdings based on fund's fiscal year end. | April 26 2024 | |
Intermediate Municipal Fund Quarter 3 Holdings April 26 2024 | Third quarter holdings based on fund's fiscal year end. | April 26 2024 | |
International Equity Fund Quarter 3 Holdings April 26 2024 | Third quarter holdings based on fund's fiscal year end. | April 26 2024 | |
International Growth Fund Quarter 3 Holdings April 26 2024 | Third quarter holdings based on fund's fiscal year end. | April 26 2024 | |
Corporate Bond Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Emerging Market Debt Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
International Bond Strategy Portfolio Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Strategic Income Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Total Return Bond Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Adjustable Rate Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Capital Income Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Conservative Microshort Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Conservative Municipal Microshort Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Equity Income Fund, Inc. (Incorporated) Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Fund for U.S. (United States) Government Securities II Prospectus April 26 2024 | 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. | April 26 2024 | |
Fund for U.S. (United States) Government Securities II Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Fund for U.S. (United States) Government Securities II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Global Allocation Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Global Equity Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Global Total Return Bond Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Government Money Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Government Money Fund II Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Government Money Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
High Income Bond Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
High Income Bond Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
High Income Bond Fund II Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
High Income Bond Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
High Income Bond Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
International Leaders Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
International Small-Mid Company Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
International Strategic Value Dividend Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Kaufmann Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Kaufmann Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Kaufmann Fund II Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Kaufmann Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Kaufmann Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Managed Volatility Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Managed Volatility Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Managed Volatility Fund II Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Managed Volatility Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Managed Volatility Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Municipal High Yield Advantage Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Ohio Municipal Income Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Opportunistic High Yield Bond Fund Annual Shareholder Report April 26 2024 | The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Opportunistic High Yield Bond Fund Prospectus April 26 2024 | 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. | April 26 2024 | |
Opportunistic High Yield Bond Fund Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Opportunistic High Yield Bond Fund Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Pennsylvania Municipal Income Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Premier Municipal Income Fund Quarter 1 Holdings April 26 2024 | First quarter holdings based on fund’s fiscal year end. | April 26 2024 | |
Quality Bond Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Quality Bond Fund II Prospectus April 26 2024 | 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. | April 26 2024 | |
Quality Bond Fund II Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Quality Bond Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Quality Bond Fund II Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
SDG (Sustainable Development Goals) Engagement High Yield Credit Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Short Duration High Yield ETF (Exchange-Traded Fund) Annual Shareholder Report April 26 2024 | The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Short Duration High Yield ETF (Exchange-Traded Fund) Prospectus April 26 2024 | 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. | April 26 2024 | |
Short Duration High Yield ETF (Exchange-Traded Fund) Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Short Duration High Yield ETF (Exchange-Traded Fund) Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Short-Intermediate Total Return Bond Fund Semi-Annual Shareholder Report April 26 2024 | The fund's semi-annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Short-Term Government Fund Annual Shareholder Report April 26 2024 | The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Short-Term Government Fund Prospectus April 26 2024 | 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. | April 26 2024 | |
Short-Term Government Fund Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Short-Term Government Fund Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Total Return Government Bond Fund Annual Shareholder Report April 26 2024 | The fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information. | April 26 2024 | |
Total Return Government Bond Fund Prospectus April 26 2024 | 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. | April 26 2024 | |
Total Return Government Bond Fund Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
Total Return Government Bond Fund Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
U.S. (United States) SMID (Small-Mid Capitalization) Fund Prospectus April 26 2024 | 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. | April 26 2024 | |
U.S. (United States) SMID (Small-Mid Capitalization) Fund Statement of Additional Information April 26 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 26 2024 | |
U.S. (United States) SMID (Small-Mid Capitalization) Fund Summary Prospectus April 26 2024 | 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. | April 26 2024 | |
Intermediate Municipal Fund Statement of Additional Information April 11 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 11 2024 | |
Federated Hermes Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Statement of Additional Information April 2 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 2 2024 | |
Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Municipal Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Tax-Free Obligations Fund Prospectus April 2 2024 | 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. | April 2 2024 | |
Tax-Free Obligations Fund Statement of Additional Information April 2 2024 | The Statement of Additional Information offers detailed information about the fund's policies, operations, management, investments and risks. | April 2 2024 | |
Tax-Free Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Tax-Free Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Tax-Free Obligations Fund Summary Prospectus April 2 2024 | 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. | April 2 2024 | |
Form CRS - Federated Investment Counseling March 27 2024 | Form CRS/ADV Part 3 is a client relationship summary that contains information about the advisors types of services, the fees, costs, conflicts of interest, and required standard of conduct associated with those services; and where to find additional information regarding the services. | March 27 2024 | |
Form CRS - Federated MDTA LLC March 27 2024 | Form CRS/ADV Part 3 is a client relationship summary that contains information about the advisors types of services, the fees, costs, conflicts of interest, and required standard of conduct associated with those services; and where to find additional information regarding the services. | March 27 2024 | |
Form ADV - Federated Global Investment Management Corp. (Institutional Separate Accounts) March 27 2024 | 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. Includes Privacy Policy. | March 27 2024 | |
Form ADV - Federated Global Investment Management Corp. (International ADR) - Managed Accounts March 27 2024 | 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. Part 2B provides International ADR Portfolio Manager Bio's. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Global Investment Management Corp. (Kaufmann Large Cap Growth) - Managed Accounts March 27 2024 | 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. Part 2B provides Kaufmann Large Cap Growth Portfolio Manager Bio's. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Investment Counseling (All Fixed Income) - Managed Accounts March 27 2024 | 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. Part 2B provides Portfolio Manager Bio's for all Fixed Income strategies. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Investment Counseling (Clover ACV) - Managed Accounts March 27 2024 | 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. Part 2B provides Clover ACV Portfolio Manager Bio's. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Investment Counseling (Clover Balanced) - Managed Account March 27 2024 | 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. Part 2B provides Clover Balanced Portfolio Manager Bio's. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Investment Counseling (Growth and Income) - Managed Accounts March 27 2024 | 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. Part 2B provides Growth and Income Portfolio Manager Bio's. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Investment Counseling (Institutional Separate Accounts) March 27 2024 | 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. Includes Privacy Policy. | March 27 2024 | |
Form ADV - Federated Investment Counseling (Intermediate Muni) - Managed Accounts March 27 2024 | 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. Part 2B provides the Intermediate Muni Portfolio Manager Bio's Includes Privacy Policy and ERISA Disclosure | March 27 2024 | |
Form ADV - Federated Investment Counseling - (Clover SCV) - Managed Accounts March 27 2024 | 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. Part 2B provides Clover SCV Portfolio Manager Bio's Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |
Form ADV - Federated Investment Counseling - (Strategic Value Dividend, International Strategic Dividend with MAP's, International Strategic Dividend ADR and Global Strategic Dividend) - Managed Accounts March 27 2024 | 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. Part 2B provides Strategic Value Dividend, International Strategic Value Dividend with MAP's, International Strategic Value Dividend ADR and Global Strategic Value Dividend Portfolio Manager Bio's. Includes Privacy Policy and ERISA Disclosure. | March 27 2024 | |