Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$243M Sell
804,150
-36,760
-4% -$7.3M 0.35% 68
2026
Q1
$124M Buy
840,910
+102,600
+14% +$15M 0.2% 116
2025
Q4
$89.7M Buy
738,310
+103,690
+16% +$12.2M 0.15% 162
2025
Q3
$68.5M Buy
634,620
+170
+0% +$15.9K 0.12% 204
2025
Q2
$56.8M Sell
634,450
-73,210
-10% -$5.51M 0.11% 239
2025
Q1
$48.1M Buy
707,660
+387,150
+121% +$27.9M 0.1% 242
2024
Q4
$20.2M Buy
320,510
+248,400
+344% +$16.8M 0.04% 409
2024
Q3
$5.58M Sell
72,110
-2,440
-3% -$191K 0.01% 696
2024
Q2
$6.15M Buy
74,550
+4,880
+7% +$361K 0.01% 660
2024
Q1
$4.87M Buy
69,670
+10,680
+18% +$686K 0.01% 734
2023
Q4
$3.43M Buy
58,990
+7,500
+15% +$390K 0.01% 813
2023
Q3
$2.36M Sell
51,490
-960
-2% -$46K 0.01% 872
2023
Q2
$2.54M Buy
52,450
+26,580
+103% +$1.11M 0.01% 882
2023
Q1
$1.03M Sell
25,870
-30
-0.1% -$1.18K ﹤0.01% 1158
2022
Q4
$977K Sell
25,900
-2,170
-8% -$75.6K ﹤0.01% 1140
2022
Q3
$849K Sell
28,070
-5,840
-17% -$202K ﹤0.01% 1175
2022
Q2
$1.08M Sell
33,910
-167,590
-83% -$5.64M ﹤0.01% 1115
2022
Q1
$7.38M Sell
201,500
-22,100
-10% -$827K 0.02% 685
2021
Q4
$9.62M Buy
223,600
+14,470
+7% +$558K 0.02% 658
2021
Q3
$7M Sell
209,130
-586,510
-74% -$19.6M 0.01% 744
2021
Q2
$25.8M Sell
795,640
-1,210
-0.2% -$38.8K 0.05% 424
2021
Q1
$26.3M Buy
796,850
+43,370
+6% +$1.31M 0.05% 426
2020
Q4
$19.5M Buy
753,480
+96,300
+15% +$2.24M 0.04% 477
2020
Q3
$12.7M Buy
657,180
+547,730
+500% +$10.8M 0.03% 516
2020
Q2
$2.13M Buy
109,450
+76,830
+236% +$1.31M 0.01% 973
2020
Q1
$470K Sell
32,620
-5,378,760
-99% -$86.6M ﹤0.01% 1395
2019
Q4
$96.4M Buy
5,411,380
+861,670
+19% +$14.5M 0.21% 104
2019
Q3
$72.5M Buy
4,549,710
+3,781,630
+492% +$52.9M 0.18% 134
2019
Q2
$9.08M Sell
768,080
-1,830
-0.2% -$21.2K 0.02% 612
2019
Q1
$9.19M Sell
769,910
-23,780
-3% -$256K 0.02% 595
2018
Q4
$7.1M Sell
793,690
-1,612,480
-67% -$15M 0.02% 632
2018
Q3
$24.5M Buy
2,406,170
+692,390
+40% +$7.57M 0.06% 306
2018
Q2
$17.6M Sell
1,713,780
-464,600
-21% -$5.05M 0.05% 288
2018
Q1
$23.7M Sell
2,178,380
-1,129,280
-34% -$12.6M 0.07% 219
2017
Q4
$34.8M Sell
3,307,660
-326,330
-9% -$3.44M 0.1% 167
2017
Q3
$38.5M Sell
3,633,990
-729,850
-17% -$6.97M 0.11% 155
2017
Q2
$39.9M Sell
4,363,840
-40,600
-0.9% -$405K 0.11% 150
2017
Q1
$41.9M Buy
4,404,440
+2,218,140
+101% +$19.5M 0.12% 153
2016
Q4
$17.2M Buy
2,186,300
+1,486,290
+212% +$11.4M 0.05% 294
2016
Q3
$4.88M Buy
700,010
+451,280
+181% +$3.25M 0.01% 576
2016
Q2
$1.82M Buy
248,730
+176,250
+243% +$1.26M 0.01% 880
2016
Q1
$528K Buy
72,480
+65,710
+971% +$442K ﹤0.01% 1264
2015
Q4
$47K Buy
+6,770
New +$43.3K ﹤0.01% 1694
2015
Q2
Sell
-3,137,630
Closed -$18.3M 2012
2015
Q1
$18.3M Sell
3,137,630
-54,020
-2% -$346K 0.06% 319
2014
Q4
$22.4M Buy
3,191,650
+2,003,540
+169% +$14.8M 0.07% 264
2014
Q3
$9.36M Buy
1,188,110
+73,110
+7% +$552K 0.03% 465
2014
Q2
$8.1M Sell
1,115,000
-516,470
-32% -$3.43M 0.03% 509
2014
Q1
$11.3M Buy
1,631,470
+1,191,230
+271% +$7.71M 0.04% 429
2013
Q4
$2.84M Buy
440,240
+256,310
+139% +$1.62M 0.01% 802
2013
Q3
$1.12M Sell
183,930
-2,619,260
-93% -$15.4M ﹤0.01% 1103
2013
Q2
$15.6M Buy
+2,803,190
New +$15.3M 0.06% 250

Other funds holding KLAC

Federated Hermes's KLAC Position: Q2 2026 in Review

Federated Hermes reduced its KLA (KLAC) stake by 4.4% in Q2 2026, selling an estimated $7.3M and leaving 804,150 shares worth $243M. The position accounts for 0.35% of the portfolio, ranked #68.

Federated Hermes first reported a position in KLAC in Q2 2013 and has held it in 51 quarters since. 2,474 funds tracked by Wall St. Rank hold KLAC as of Q2 2026.

  • Federated Hermes held 804,150 shares of KLA worth $243M as of Q2 2026.
  • Federated Hermes sold 36,760 KLA shares in Q2 2026, an estimated $7.3M.
  • KLA made up 0.35% of Federated Hermes's portfolio in Q2 2026, its #68 holding.
  • Federated Hermes first reported a position in KLA in Q2 2013 and has held it in 51 quarters since.
  • 2,474 funds tracked by Wall St. Rank held KLA as of Q2 2026.

Based on Federated Hermes's 13F filing for Q2 2026, filed 12 Aug 2026.