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Federated Hermes Inc
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Federated Hermes Inc
All holdings · as of Mar 31, 2026
2,049 positions
All types
Company
Class
Value
↓
Shares
% of portfolio
NVIDIA Corp
—
$1.60B
9,154,574
2.6%
Alphabet Inc.
—
$1.41B
4,909,785
2.3%
Apple Inc.
—
$1.17B
4,610,537
1.9%
MICROSOFT CORP
—
$1.11B
2,992,907
1.8%
AbbVie Inc.
—
$865.65M
3,980,171
1.4%
Broadcom Inc.
—
$740.12M
2,391,262
1.2%
Amazon.com Inc
—
$737.76M
3,542,316
1.2%
CHEVRON CORP
—
$725.55M
3,506,787
1.2%
GE Vernova Inc.
—
$685.72M
785,564
1.1%
VERIZON COMMUNICATIONS INC
—
$682.88M
13,603,175
1.1%
VIKING HOLDINGS LTD
—
$631.40M
8,592,847
1.0%
PFIZER INC
—
$603.07M
21,476,961
1.0%
The PNC Financial Services Group, Inc.
—
$602.73M
2,896,468
1.0%
US BANCORP \DE
—
$598.67M
11,510,727
1.0%
Philip Morris International Inc.
—
$570.32M
3,449,381
0.9%
PAYCHEX INC
—
$542.18M
5,885,576
0.9%
Bank of New York Mellon Corp/The
—
$514.17M
4,334,220
0.8%
Prologis Inc
—
$512.29M
3,875,686
0.8%
Duke Energy Corp
—
$499.82M
3,817,183
0.8%
FirstEnergy Corp
—
$494.14M
9,754,128
0.8%
COSTCO WHOLESALE CORP /NEW
—
$491.66M
493,417
0.8%
FISERV INC
—
$483.17M
8,659,018
0.8%
TRUIST FINANCIAL CORP
—
$476.16M
10,358,097
0.8%
American Tower Corp
—
$475.64M
2,756,058
0.8%
AMERIPRISE FINANCIAL INC
—
$467.37M
1,051,694
0.8%
CME Group Inc
—
$460.83M
1,560,298
0.7%
Lululemon Athletica Inc
—
$459.72M
3,002,767
0.7%
PEPSICO INC
—
$454.48M
2,926,665
0.7%
Vertiv Holdings Co
—
$443.57M
1,770,187
0.7%
Howmet Aerospace Inc.
—
$433.16M
1,879,558
0.7%
Meta Platforms Inc
—
$428.01M
748,100
0.7%
AMCOR PLC
—
$422.70M
10,633,915
0.7%
TERADYNE, INC
—
$417.88M
1,409,567
0.7%
GENERAL ELECTRIC CO
—
$406.36M
1,431,996
0.7%
Quanta Services Inc
—
$403.23M
734,461
0.7%
Kimco Realty Corporation
—
$401.80M
17,881,707
0.7%
AMGEN INC
—
$399.88M
1,136,518
0.7%
WEC ENERGY GROUP, INC.
—
$396.37M
3,423,763
0.6%
Comfort Systems USA Inc
—
$368.23M
267,030
0.6%
Merck & Co., Inc.
—
$361.84M
3,008,096
0.6%
TotalEnergies SE
—
$350.59M
3,853,531
0.6%
Five Below Inc
—
$349.47M
1,529,552
0.6%
TRAVELERS COMPANIES, INC.
—
$335.11M
1,148,885
0.5%
PPL Corp
—
$313.89M
8,216,966
0.5%
EXXON MOBIL CORP
—
$312.79M
1,843,636
0.5%
Evergy, Inc.
—
$304.08M
3,711,940
0.5%
UNITEDHEALTH GROUP INC
—
$300.68M
1,111,214
0.5%
VEEVA SYSTEMS INC
—
$290.69M
1,654,869
0.5%
GARTNER INC
—
$267.68M
1,690,528
0.4%
ENBRIDGE INC
—
$264.86M
4,892,075
0.4%
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