Federated Institutional Prime Obligations Fund (PRSXX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
1.000
0.00 (0.00%)
At close: Feb 12, 2026
PRSXX Dividend Information
PRSXX has an annual dividend of $0.04 per share, with a yield of 3.96%. The dividend is paid every month and the last ex-dividend date was Jan 30, 2026.
Dividend Yield
3.96%
Annual Dividend
$0.04
Ex-Dividend Date
Jan 30, 2026
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth(1Y)
-18.40%
Dividend History
| Ex-Dividend Date | Cash Amount | Pay Date |
|---|---|---|
| Jan 30, 2026 | $0.00298 | Jan 30, 2026 |
| Dec 31, 2025 | $0.00305 | Dec 31, 2025 |
| Nov 28, 2025 | $0.00308 | Nov 28, 2025 |
| Oct 31, 2025 | $0.00331 | Oct 31, 2025 |
| Sep 30, 2025 | $0.0033 | Sep 30, 2025 |
| Aug 29, 2025 | $0.00347 | Aug 29, 2025 |
| Jul 31, 2025 | $0.00347 | Jul 31, 2025 |
| Jun 30, 2025 | $0.00337 | Jun 30, 2025 |
| May 30, 2025 | $0.00349 | May 30, 2025 |
| Apr 30, 2025 | $0.00339 | Apr 30, 2025 |
| Mar 31, 2025 | $0.00349 | Mar 31, 2025 |
| Feb 28, 2025 | $0.00318 | Feb 28, 2025 |
| Jan 31, 2025 | $0.00356 | Jan 31, 2025 |
| Dec 31, 2024 | $0.00365 | Dec 31, 2024 |
| Nov 29, 2024 | $0.00363 | Nov 29, 2024 |
| Oct 31, 2024 | $0.00391 | Oct 31, 2024 |
| Sep 30, 2024 | $0.00402 | Sep 30, 2024 |
| Aug 30, 2024 | $0.0043 | Aug 30, 2024 |
| Jul 31, 2024 | $0.00431 | Jul 31, 2024 |
| Jun 28, 2024 | $0.00418 | Jun 28, 2024 |
| May 31, 2024 | $0.00432 | May 31, 2024 |
| Apr 30, 2024 | $0.00419 | Apr 30, 2024 |
| Mar 28, 2024 | $0.00435 | Mar 28, 2024 |
| Feb 29, 2024 | $0.00408 | Feb 29, 2024 |
| Jan 31, 2024 | $0.0044 | Jan 31, 2024 |
| Dec 29, 2023 | $0.00441 | Dec 29, 2023 |
| Nov 30, 2023 | $0.00427 | Nov 30, 2023 |
| Oct 31, 2023 | $0.00441 | Oct 31, 2023 |
| Sep 29, 2023 | $0.00425 | Sep 29, 2023 |
| Aug 31, 2023 | $0.00439 | Aug 31, 2023 |
| Jul 31, 2023 | $0.00423 | Jul 31, 2023 |
| Jun 30, 2023 | $0.00405 | Jun 30, 2023 |
| May 31, 2023 | $0.0041 | May 31, 2023 |
| Apr 28, 2023 | $0.00379 | Apr 28, 2023 |
| Mar 31, 2023 | $0.00375 | Mar 31, 2023 |
| Feb 28, 2023 | $0.00334 | Feb 28, 2023 |
| Jan 31, 2023 | $0.00351 | Jan 31, 2023 |
| Dec 30, 2022 | $0.0033 | Dec 30, 2022 |
| Nov 30, 2022 | $0.00289 | Nov 30, 2022 |
| Oct 31, 2022 | $0.00238 | Oct 31, 2022 |
| Sep 30, 2022 | $0.00184 | Sep 30, 2022 |
| Aug 31, 2022 | $0.00167 | Aug 31, 2022 |
| Jul 29, 2022 | $0.00114 | Jul 29, 2022 |
| Jun 30, 2022 | $0.00072 | Jun 30, 2022 |
| May 31, 2022 | $0.00041 | May 31, 2022 |
| Apr 29, 2022 | $0.00009 | Apr 29, 2022 |
| Mar 31, 2022 | $0.00004 | Mar 31, 2022 |
| Feb 28, 2022 | $0.00001 | Feb 28, 2022 |
| Jan 31, 2022 | $0.00001 | Jan 31, 2022 |
| Dec 31, 2021 | $0.00001 | Dec 31, 2021 |
| Nov 30, 2021 | $0.00001 | Nov 30, 2021 |
| Oct 29, 2021 | $0.00001 | Oct 29, 2021 |
| Sep 30, 2021 | $0.00001 | Sep 30, 2021 |
| Aug 31, 2021 | $0.00001 | Aug 31, 2021 |
| Jul 30, 2021 | $0.00001 | Jul 30, 2021 |
| Jun 30, 2021 | $0.00001 | Jun 30, 2021 |
| May 28, 2021 | $0.00001 | May 28, 2021 |
| Apr 30, 2021 | $0.00001 | Apr 30, 2021 |
| Mar 31, 2021 | $0.00001 | Mar 31, 2021 |
| Feb 26, 2021 | $0.00001 | Feb 26, 2021 |
* Mutual funds include both dividends and capital gains distributions. Dividend amounts are adjusted for stock
splits.