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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
▲
▼
Cheniere Energy, Inc.
—
$256.76M
904,860
0.4%
KIMBERLY CLARK CORP
—
$254.68M
2,639,964
0.4%
Celanese Corp
—
$248.75M
3,782,168
0.4%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
TSM
ADR
$238.99M
707,181
0.4%
Veralto Corp
—
$238.92M
2,702,072
0.4%
Cencora Inc
—
$235.47M
749,559
0.4%
XCEL ENERGY INC
—
$231.34M
2,912,161
0.4%
Medtronic plc
—
$229.40M
2,647,443
0.4%
SANOFI
—
$229.07M
4,754,359
0.4%
Alnylam Pharmaceuticals Inc
—
$227.58M
687,816
0.4%
Mondelez International, Inc.
—
$227.02M
3,938,621
0.4%
Natera, Inc.
—
$218.00M
1,090,030
0.4%
BRITISH AMERN TOB PLC
—
$216.21M
3,697,755
0.4%
Tesla Inc
—
$214.41M
576,756
0.3%
Uber Technologies, Inc
—
$205.93M
2,862,874
0.3%
ELI LILLY & Co
—
$203.86M
221,640
0.3%
HUNTINGTON BANCSHARES INC /MD
—
$203.71M
13,016,348
0.3%
COCA COLA CO
—
$202.92M
2,668,286
0.3%
LUMENTUM HLDGS INC
—
$202.00M
287,444
0.3%
TJX Cos Inc/The
—
$200.27M
1,254,038
0.3%
Palantir Technologies Inc
—
$197.73M
1,351,712
0.3%
REGENERON PHARMACEUTICALS, INC.
—
$196.98M
254,946
0.3%
ADOBE INC.
—
$195.50M
804,257
0.3%
SOUTHERN CO
—
$182.40M
1,889,752
0.3%
NATIONAL GRID PLC
—
$181.22M
2,142,131
0.3%
Trane Technologies plc
—
$180.82M
433,894
0.3%
BANK OF AMERICA CORP /DE
—
$178.13M
3,653,993
0.3%
TC ENERGY CORP
—
$177.47M
2,834,942
0.3%
AMDOCS LTD
—
$176.61M
2,706,299
0.3%
ROYAL CARIBBEAN CRUISES LTD
—
$176.21M
640,352
0.3%
Guardant Health, Inc.
—
$174.36M
1,887,584
0.3%
Trade Desk, Inc.
—
$173.09M
7,628,435
0.3%
DECKERS OUTDOOR CORP
—
$171.03M
1,708,713
0.3%
CARDINAL HEALTH INC
—
$167.95M
794,806
0.3%
Expedia Group Inc
—
$167.61M
725,950
0.3%
HEICO CORP
—
$167.24M
609,927
0.3%
STATE STREET CORPORATION
—
$166.25M
1,313,619
0.3%
Accenture plc
—
$165.88M
836,569
0.3%
EMCOR Group Inc
—
$162.82M
220,534
0.3%
Visa Inc
—
$161.76M
535,199
0.3%
ALTRIA GROUP, INC.
—
$160.67M
2,434,715
0.3%
Advance Auto Parts Inc
—
$160.50M
3,042,695
0.3%
Targa Resources Corp
—
$159.54M
636,319
0.3%
MICRON TECHNOLOGY INC
—
$158.27M
468,464
0.3%
CrowdStrike Holdings, Inc.
—
$157.21M
402,691
0.3%
Salesforce Inc
—
$156.02M
835,794
0.3%
American Healthcare REIT, Inc.
—
$155.94M
3,306,517
0.3%
Arista Networks, Inc.
ANET
Common Stock
$153.30M
1,248,571
0.2%
QUALCOMM INC/DE
—
$153.05M
1,188,443
0.2%
INTUIT INC.
—
$151.99M
351,518
0.2%
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