September 03, 2014 2:19 AM ET

Capital Markets

Company Overview of Federated Enhanced Treasury Income Fund

Company Overview

Federated Enhanced Treasury Income Fund is a close-ended fixed income mutual fund launched by Federated Investors, Inc. It is co-managed by Federated Investment Management Company and Dix Hills Partners, LLC. The fund invests in fixed income markets of United States. It benchmarks the performance of its portfolio against the Barclays Capital U.S. Treasury Bond Index. Federated Enhanced Treasury Income Fund is domiciled in United States.

Federated Investors Tower

1001 Liberty Avenue

Pittsburgh, PA 15222-3779

United States

Key Executives for Federated Enhanced Treasury Income Fund

President and Trustee
Age: 65
Chief Investment Officer and Senior Vice President
Age: 51
Chief Compliance Officer and Senior Vice President
Age: 67
Executive Vice President and Secretary
Age: 76
Vice Chairman
Age: 91
Compensation as of Fiscal Year 2014.

Federated Enhanced Treasury Income Fund Key Developments

Federated Enhanced Treasury Income Fund Declares Monthly Distribution, Payable on August 29, 2014

Federated Enhanced Treasury Income Fund announced the monthly distribution of $0.042 per share. Record date is on August 22, 2014 and ex-dividend date is on August 20, 2014. Payable on August 29, 2014.

Federated Enhanced Treasury Income Fund Announces Unaudited Earnings Results for the Six-Month Period Ended May 31, 2014

Federated Enhanced Treasury Income Fund announced unaudited earnings results for the six-month period ended May 31, 2014. For the six-month period, FTT reported net investment income of $0.7 million or $0.08 per share against $0.12 per share a year ago. FTT made distributions of $2.4 million, or $0.28 per share based on the fund's managed distribution plan, a portion of which may represent a tax return of capital. Net realized and unrealized losses were $0.2 million or $0.02 per share against $0.59 per share a year ago. Net asset value, end of period was $14.72 against $14.93 a year ago period.

Federated Enhanced Treasury Income Fund Announces Monthly Distribution Payable on July 31, 2014

Federated Enhanced Treasury Income Fund announced the monthly distribution of $0.042 per share. Record date is on July 24, 2014 and ex-dividend date is on July 22, 2014. Payable date is on July 31, 2014.

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