Federated Equity Income Fund, Inc
Federated Equity Income Fund, Inc. PORTFOLIO AS OF MARCH 29, 2019 CURRENT NET ASSETS - $941,525,223 Principal Amount or Shares Value COMMON STOCKS - 95.0% Communication Services - 7.0% 587,961 AT&T, Inc. $18,438,457 473,872 Comcast Corp., Class A 18,945,403 232,549 Lions Gate Entertainment Corp. 3,511,490 182,607 News Corp., Inc. 2,271,631 58,721 Nippon Telegraph & Telephone Corp. 2,495,959 86,742 Sinclair Broadcast Group, Inc. 3,337,832 349,587 Telekom Austria AG 2,542,477 248,981 Verizon Communications, Inc. 14,722,246 TOTAL 66,265,495 Consumer Discretionary - 6.2% 52,335 Carnival Corp. 2,654,431 21,953 Columbia Sportswear Co. 2,287,064 129,434 D. R. Horton, Inc. 5,355,979 110,648 DSW, Inc., Class A 2,458,599 168,704 eBay, Inc. 6,265,667 39,507 Foot Locker, Inc. 2,394,124 11,912 Home Depot, Inc. 2,285,794 164,100 Isuzu Motors Ltd. 2,164,900 55,274 McDonald's Corp. 10,496,533 24,646 Royal Caribbean Cruises Ltd. 2,824,924 98,800 Suzuki Motor Corp. 4,381,858 51,906 TJX Cos., Inc. 2,761,918 65,041 Tapestry, Inc. 2,113,182 38,319 Toyota Motor Credit Corp., ADR 4,522,408 30,590 Tractor Supply Co. 2,990,478 19,878 Yum! Brands, Inc. 1,984,023 TOTAL 57,941,882 Consumer Staples - 6.6% 110,660 British American Tobacco PLC 4,616,801 200,389 Coty, Inc. - CL A 2,304,473 29,168 Kimberly-Clark Corp.
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