Federated Hermes

Federated Hermes Portfolio holdings

AUM $53.1B
1-Year Return 30.23%
This Quarter Return
+2.26%
1 Year Return
+30.23%
3 Year Return
+93.51%
5 Year Return
+187.87%
10 Year Return
+487.63%
AUM
$34.8B
AUM Growth
+$484M
Cap. Flow
+$119M
Cap. Flow %
0.34%
Top 10 Hldgs %
26.06%
Holding
2,251
New
163
Increased
698
Reduced
1,070
Closed
139

Sector Composition

1 Healthcare 17.32%
2 Consumer Staples 17.14%
3 Utilities 10.24%
4 Communication Services 9.99%
5 Consumer Discretionary 7.59%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TSLA icon
2176
Tesla
TSLA
$1.09T
-1,305
Closed -$18K
TSM icon
2177
TSMC
TSM
$1.22T
-146,181
Closed -$3.83M
UFCS icon
2178
United Fire Group
UFCS
$810M
-241
Closed -$10K
UIS icon
2179
Unisys
UIS
$272M
-506
Closed -$4K
ESIO
2180
DELISTED
Electro Scientific Industries
ESIO
-770
Closed -$4K
AD
2181
Array Digital Infrastructure, Inc.
AD
$4.56B
-6,712
Closed -$264K
VVX icon
2182
V2X
VVX
$1.75B
-124
Closed -$4K
CHUY
2183
DELISTED
Chuy's Holdings, Inc. Common Stock
CHUY
-153
Closed -$5K
MCBC
2184
DELISTED
Macatawa Bank Corp
MCBC
-2,045
Closed -$15K
MODN
2185
DELISTED
MODEL N, INC.
MODN
-162
Closed -$2K
VIA
2186
DELISTED
Via Renewables, Inc. Class A Common Stock
VIA
-102
Closed -$8K
BPTH
2187
DELISTED
Bio-Path Holdings Inc
BPTH
0
-$3K
CCF
2188
DELISTED
Chase Corporation
CCF
-78
Closed -$5K
CEQP
2189
DELISTED
Crestwood Equity Partners LP
CEQP
-103,072
Closed -$2.08M
MGI
2190
DELISTED
MoneyGram International, Inc. New
MGI
-141
Closed -$1K
HZN
2191
DELISTED
Horizon Global Corporation
HZN
-740
Closed -$8K
CLVS
2192
DELISTED
Clovis Oncology, Inc.
CLVS
-11,957
Closed -$164K
AGTC
2193
DELISTED
Applied Genetic Technologies Corporation
AGTC
-4,257
Closed -$60K
CYBE
2194
DELISTED
Cyberoptics Corp
CYBE
-249
Closed -$4K
EMWP
2195
DELISTED
Eros Media World PLC
EMWP
-8
Closed -$3K
AFI
2196
DELISTED
Armstrong Flooring, Inc.
AFI
-19,877
Closed -$337K
PBCT
2197
DELISTED
People's United Financial Inc
PBCT
-10,915
Closed -$160K
SC
2198
DELISTED
SANTANDER CONSUMER USA HOLDINGS INC
SC
-5,558
Closed -$57K
STAY
2199
DELISTED
Extended Stay America, Inc. Paired Share Unit
STAY
-17,607
Closed -$263K
VAR
2200
DELISTED
Varian Medical Systems, Inc.
VAR
-4,669
Closed -$337K