Nasdaq - Delayed Quote USD

Federated Hermes Short-Term Govt IS (FSGVX)

9.62
0.00
(0.00%)
At close: 5:23:25 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return 1.89%
5y Average Return 0.93%
Number of Years Up 35
Number of Years Down 5
Best 1Y Total Return (May 20, 2025) 4.07%
Worst 1Y Total Return (May 20, 2025) --
Best 3Y Total Return 4.07%
Worst 3Y Total Return -0.72%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
FSGVX
Category
YTD
2.38%
-0.40%
1-Month
0.68%
-0.16%
3-Month
2.01%
0.09%
1-Year
6.22%
-0.08%
3-Year
2.99%
2.57%
5-Year
1.06%
1.45%
10-Year
1.23%
1.19%
Last Bull Market
3.55%
0.95%
Last Bear Market
-0.53%
1.33%

Annual Total Return (%) History

Year
FSGVX
Category
2025
--
--
2024
3.71%
--
2023
4.07%
--
2022
-4.02%
--
2021
-0.97%
--
2020
2.95%
3.11%
2019
2.98%
3.25%
2018
1.20%
1.14%

2017
0.17%
0.56%
2016
0.67%
0.55%
2015
-0.06%
0.17%
2014
-0.57%
0.96%
2013
-0.39%
-0.79%
2012
0.14%
1.06%
2011
1.32%
2.09%
2010
2.01%
3.04%
2009
1.21%
3.29%
2008
6.56%
4.80%
2007
7.18%
5.87%
2006
3.96%
3.67%
2005
1.59%
1.26%
2004
0.40%
1.46%
2003
1.32%
1.45%
2002
4.46%
6.85%
2001
7.27%
7.26%
2000
7.16%
8.30%
1999
2.57%
1.49%
1998
6.40%
6.37%
1997
6.01%
6.73%
1996
4.61%
3.97%
1995
9.61%
11.30%
1994
0.67%
-1.01%
1993
4.52%
5.81%
1992
5.23%
5.56%
1991
10.37%
12.57%
1990
9.27%
9.15%
1989
10.31%
11.34%
1988
5.74%
6.62%
1987
5.26%
2.89%
1986
9.52%
11.38%
1985
12.05%
15.70%
1984
--
13.27%

Past Quarterly Returns

YearQ1Q2Q3Q4
2025 1.69% -- -- --
2024 0.42% 0.76% 2.66% -0.16%
2023 1.51% -0.58% 0.62% 2.48%
2022 -2.43% -0.53% -1.82% 0.72%
2021 -0.33% -0.05% -0.00% -0.59%
2020 2.30% 0.51% 0.12% -0.01%
2019 0.89% 1.27% 0.46% 0.33%
2018 -0.18% 0.08% 0.13% 1.17%
2017 0.15% 0.10% 0.16% -0.24%
2016 0.82% 0.31% -0.12% -0.34%

2015 0.53% -0.20% -0.00% -0.39%
2014 -0.25% 0.19% -0.26% -0.24%
2013 -0.21% -0.61% 0.02% 0.41%
2012 0.30% -0.50% 0.35% -0.01%
2011 -0.01% 0.54% 0.92% -0.13%
2010 0.47% 1.10% 0.44% -0.02%
2009 0.54% -0.17% 0.82% 0.01%
2008 2.85% -0.56% 1.26% 2.90%
2007 1.44% 0.66% 2.56% 2.33%
2006 0.51% 0.68% 1.91% 0.81%
2005 -0.10% 0.94% 0.19% 0.55%
2004 0.72% -0.96% 0.67% -0.03%
2003 0.49% 0.50% 0.16% 0.15%
2002 0.09% 1.97% 1.58% 0.76%
2001 2.45% 1.18% 2.81% 0.65%
2000 1.00% 1.54% 1.98% 2.46%
1999 0.45% 0.37% 1.22% 0.50%
1998 1.31% 1.38% 2.81% 0.77%
1997 0.55% 2.05% 1.74% 1.55%
1996 0.37% 0.91% 1.52% 1.74%
1995 3.03% 2.68% 1.29% 2.29%
1994 -0.35% 0.09% 0.94% -0.02%
1993 1.78% 0.89% 1.18% 0.60%
1992 0.24% 2.23% 2.54% 0.14%
1991 2.02% 1.86% 2.94% 3.18%
1990 0.90% 2.73% 2.29% 3.07%
1989 1.33% 4.56% 1.46% 2.62%
1988 2.48% 0.88% 1.37% 0.90%
1987 1.14% 0.59% 0.58% 2.85%
1986 3.41% 1.90% 2.36% 1.53%
1985 2.04% 4.29% 2.00% 3.23%
1984 1.51% 4.56% 5.99% --

Rank in Category (By Total Return)

YTD 63
1-Month 60
3-Month 48
1-Year 73
3-Year 47
5-Year 46

Load Adjusted Returns

1-Year 6.22%
3-Year 2.99%
5-Year 1.06%
10-Year 1.23%

Performance & Risk

YTD Return 1.89%
5y Average Return 0.93%
Rank in Category (ytd) 63
% Rank in Category (ytd) --
Beta (5Y Monthly) 0.27
Morningstar Risk Rating

Fund Overview

Category Short Government
Fund Family Federated
Net Assets 44.44M
YTD Return 2.38%
Yield 4.46%
Morningstar Rating
Inception Date Mar 15, 1984

Fund Summary

The fund invests in a portfolio generally consisting of U.S. Treasury securities and U.S. government agency securities with maturities of not less than one year and not more than three years, and related derivative contracts. It buys and sells portfolio securities based primarily on its market outlook and analysis of how securities may perform under different market conditions. The fund will invest its assets so that at least 80% of its net assets (plus any borrowings for investment purposes) are invested in U.S. government investments.

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