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Shareholder Report, Line Graph (Details) - USD ($)
12 Months Ended 24 Months Ended 36 Months Ended 48 Months Ended 60 Months Ended 72 Months Ended 84 Months Ended 96 Months Ended 108 Months Ended 120 Months Ended
Nov. 30, 2015
Nov. 30, 2025
Nov. 30, 2016
Nov. 30, 2017
Nov. 30, 2018
Nov. 30, 2019
Nov. 30, 2020
Nov. 30, 2021
Nov. 30, 2022
Nov. 30, 2023
Nov. 30, 2024
Nov. 30, 2025
C000024648                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Class A Shares with sales load                    
Accumulated Value $ 9,553   $ 9,917 $ 11,002 $ 10,805 $ 11,657 $ 12,656 $ 13,908 $ 12,749 $ 13,308 $ 15,535 $ 16,959
C000024650                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Class C Shares with sales load                    
Accumulated Value 10,000   10,303 11,342 11,053 11,843 12,735 13,895 12,616 13,060 15,245 16,643
C000024651                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Class F Shares with sales load                    
Accumulated Value 9,897   10,261 11,397 11,177 12,074 13,092 14,387 13,186 13,764 16,068 17,522
C000130424                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Class R Shares                    
Accumulated Value 10,000   10,354 11,461 11,233 12,095 13,108 14,401 13,175 13,740 16,027 17,475
C000114947                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Institutional Shares                    
Accumulated Value 10,000   10,407 11,573 11,380 12,323 13,412 14,774 13,578 14,192 16,626 18,193
FEDERATED INDEX: S&P 500                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   S&P 500 Index                    
Accumulated Value 10,000   10,806 13,277 14,111 16,384 19,244 24,617 22,350 25,443 34,066 39,175
FEDERATED INDEX: S&P 500                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   S&P 500 Index                    
Accumulated Value 10,000   10,806 13,277 14,111 16,384 19,244 24,617 22,350 25,443 34,066 39,175
FEDERATED INDEX: S&P 500                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   S&P 500 Index                    
Accumulated Value 10,000   10,806 13,277 14,111 16,384 19,244 24,617 22,350 25,443 34,066 39,175
FEDERATED INDEX: S&P 500                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   S&P 500 Index                    
Accumulated Value 10,000   10,806 13,277 14,111 16,384 19,244 24,617 22,350 25,443 34,066 39,175
FEDERATED INDEX: S&P 500                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   S&P 500 Index                    
Accumulated Value 10,000   10,806 13,277 14,111 16,384 19,244 24,617 22,350 25,443 34,066 39,175
FEDERATED INDEX: Bloomberg US Universal Bond Index                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Bloomberg US Universal Bond Index                    
Accumulated Value 10,000   10,309 10,715 10,569 11,715 12,577 12,490 10,897 11,109 11,946 12,666
FEDERATED INDEX: 40% Russell 1000® Value Index/20% Bloomberg EM Seasoned ex Aggregate/Eurodollar Index/20% Bloomb                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Blended Index                    
Accumulated Value 10,000   10,990 12,124 12,160 13,394 13,994 15,270 14,437 15,070 18,034 19,514
FEDERATED INDEX: Morningstar Allocation Funds Average – 30% to 50% Equity                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Morningstar Moderately Conservative Allocation Funds Category Average                    
Accumulated Value 10,000   10,401 11,455 11,308 12,393 13,307 14,477 13,059 13,603 15,619 16,954
FEDERATED INDEX: Bloomberg US Universal Bond Index                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Bloomberg US Universal Bond Index                    
Accumulated Value 10,000   10,309 10,715 10,569 11,715 12,577 12,490 10,897 11,109 11,946 12,666
FEDERATED INDEX: 40% Russell 1000® Value Index/20% Bloomberg EM Seasoned ex Aggregate/Eurodollar Index/20% Bloomb                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Blended Index                    
Accumulated Value 10,000   10,990 12,124 12,160 13,394 13,994 15,270 14,437 15,070 18,034 19,514
FEDERATED INDEX: Morningstar Allocation Funds Average – 30% to 50% Equity                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Morningstar Moderately Conservative Allocation Funds Category Average                    
Accumulated Value 10,000   10,401 11,455 11,308 12,393 13,307 14,477 13,059 13,603 15,619 16,954
FEDERATED INDEX: Bloomberg US Universal Bond Index                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Bloomberg US Universal Bond Index                    
Accumulated Value 10,000   10,309 10,715 10,569 11,715 12,577 12,490 10,897 11,109 11,946 12,666
FEDERATED INDEX: 40% Russell 1000® Value Index/20% Bloomberg EM Seasoned ex Aggregate/Eurodollar Index/20% Bloomb                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Blended Index                    
Accumulated Value 10,000   10,990 12,124 12,160 13,394 13,994 15,270 14,437 15,070 18,034 19,514
FEDERATED INDEX: Morningstar Allocation Funds Average – 30% to 50% Equity                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Morningstar Moderately Conservative Allocation Funds Category Average                    
Accumulated Value 10,000   10,401 11,455 11,308 12,393 13,307 14,477 13,059 13,603 15,619 16,954
FEDERATED INDEX: Bloomberg US Universal Bond Index                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Bloomberg US Universal Bond Index                    
Accumulated Value 10,000   10,309 10,715 10,569 11,715 12,577 12,490 10,897 11,109 11,946 12,666
FEDERATED INDEX: 40% Russell 1000® Value Index/20% Bloomberg EM Seasoned ex Aggregate/Eurodollar Index/20% Bloomb                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Blended Index                    
Accumulated Value 10,000   10,990 12,124 12,160 13,394 13,994 15,270 14,437 15,070 18,034 19,514
FEDERATED INDEX: Morningstar Allocation Funds Average – 30% to 50% Equity                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Morningstar Moderately Conservative Allocation Funds Category Average                    
Accumulated Value 10,000   10,401 11,455 11,308 12,393 13,307 14,477 13,059 13,603 15,619 16,954
FEDERATED INDEX: Bloomberg US Universal Bond Index                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Bloomberg US Universal Bond Index                    
Accumulated Value 10,000   10,309 10,715 10,569 11,715 12,577 12,490 10,897 11,109 11,946 12,666
FEDERATED INDEX: 40% Russell 1000® Value Index/20% Bloomberg EM Seasoned ex Aggregate/Eurodollar Index/20% Bloomb                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Blended Index                    
Accumulated Value 10,000   10,990 12,124 12,160 13,394 13,994 15,270 14,437 15,070 18,034 19,514
FEDERATED INDEX: Morningstar Allocation Funds Average – 30% to 50% Equity                        
Account Value [Line Items]                        
Line Graph and Table Measure Name   Morningstar Moderately Conservative Allocation Funds Category Average                    
Accumulated Value $ 10,000   $ 10,401 $ 11,455 $ 11,308 $ 12,393 $ 13,307 $ 14,477 $ 13,059 $ 13,603 $ 15,619 $ 16,954