|
Size ($ in 1000's)
At 12/31/2023: $40,276,904 At 09/30/2023: $37,519,489
Combined Holding Report Includes:
FEDERATED HERMES INC. FEDERATED INVESTMENT COUNSELING FEDERATED INVESTMENT MANAGEMENT CO FEDERATED ADVISORY SERVICES CO FEDERATED EQUITY MANAGEMENT CO OF PENNSYLVANIA FEDERATED GLOBAL INVESTMENT MANAGEMENT CORP FEDERATED MDTA LLC HERMES INVESTMENT MANAGEMENT LTD
Federated Hermes Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Federated Hermes Inc. 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 12/31/2023, below is a summary of the Federated Hermes Inc. top holdings by largest position size, as per the latest 13f filing made by Federated Hermes Inc..
In the Federated Hermes Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Federated Hermes Inc. in that top holding, then the share count change between reporting periods, and finally the Federated Hermes Inc. top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
MICROSOFT CORP |
2,303,552 |
+160,451 |
$866,228 | MSFT | 2,303,552 | +160,451 | $866,228 | PHILIP MORRIS INTL INC |
7,351,949 |
-723,257 |
$691,671 | PM | 7,351,949 | -723,257 | $691,671 | VERIZON COMMUNICATIONS INC |
15,704,001 |
-3,619,715 |
$592,041 | VZ | 15,704,001 | -3,619,715 | $592,041 | DUKE ENERGY CORP NEW |
5,768,487 |
-535,390 |
$559,774 | DUK | 5,768,487 | -535,390 | $559,774 | AMGEN INC |
1,738,695 |
-760,949 |
$500,779 | AMGN | 1,738,695 | -760,949 | $500,779 | LYONDELLBASELL INDUSTRIES N |
5,012,465 |
-655,459 |
$476,585 | LYB | 5,012,465 | -655,459 | $476,585 | AMAZON COM INC |
3,123,882 |
-44,158 |
$474,643 | AMZN | 3,123,882 | -44,158 | $474,643 | APPLE INC |
2,391,895 |
-499,585 |
$460,511 | AAPL | 2,391,895 | -499,585 | $460,511 | SOUTHERN CO |
6,175,189 |
-607,946 |
$433,004 | SO | 6,175,189 | -607,946 | $433,004 | US BANCORP DEL |
9,610,404 |
+10,640 |
$415,938 | USB | 9,610,404 | +10,640 | $415,938 | KIMBERLY CLARK CORP |
3,197,787 |
-236,784 |
$388,563 | KMB | 3,197,787 | -236,784 | $388,563 | PNC FINL SVCS GROUP INC |
2,500,304 |
-628,848 |
$387,172 | PNC | 2,500,304 | -628,848 | $387,172 | PFIZER INC |
13,347,938 |
-781,269 |
$384,287 | PFE | 13,347,938 | -781,269 | $384,287 | AMERICAN ELEC PWR CO INC |
4,673,347 |
-160,978 |
$379,569 | AEP | 4,673,347 | -160,978 | $379,569 | TRUIST FINL CORP |
10,000,078 |
-194,579 |
$369,203 | TFC | 10,000,078 | -194,579 | $369,203 | HUNTINGTON BANCSHARES INC (HBAN) |
28,205,424 |
-720,748 |
$358,773 | HBAN | 28,205,424 | -720,748 | $358,773 | DOMINION ENERGY INC |
7,612,107 |
+75,600 |
$357,769 | D | 7,612,107 | +75,600 | $357,769 | ABBVIE INC |
2,292,653 |
+437,672 |
$355,292 | ABBV | 2,292,653 | +437,672 | $355,292 | ALPHABET INC |
2,501,685 |
+23,454 |
$349,460 | GOOGL | 2,501,685 | +23,454 | $349,460 | NVIDIA CORPORATION |
658,671 |
+89,424 |
$326,187 | NVDA | 658,671 | +89,424 | $326,187 | WILLIAMS COS INC |
9,362,419 |
-4,266,208 |
$326,093 | WMB | 9,362,419 | -4,266,208 | $326,093 | AT&T INC |
18,325,705 |
-4,843,198 |
$307,505 | T | 18,325,705 | -4,843,198 | $307,505 | GILEAD SCIENCES INC |
3,787,355 |
+175,925 |
$306,814 | GILD | 3,787,355 | +175,925 | $306,814 | UNITED PARCEL SERVICE INC |
1,905,790 |
-52,002 |
$299,647 | UPS | 1,905,790 | -52,002 | $299,647 | TRANE TECHNOLOGIES PLC |
1,227,668 |
-143,521 |
$299,428 | TT | 1,227,668 | -143,521 | $299,428 | ENTERGY CORP NEW |
2,904,933 |
+258,806 |
$293,950 | ETR | 2,904,933 | +258,806 | $293,950 | WINGSTOP INC |
1,107,852 |
+19,540 |
$284,253 | WING | 1,107,852 | +19,540 | $284,253 | CROWDSTRIKE HLDGS INC |
1,089,000 |
+213,226 |
$278,043 | CRWD | 1,089,000 | +213,226 | $278,043 | TOTALENERGIES SE |
3,986,757 |
-297,531 |
$268,628 | TTE | 3,986,757 | -297,531 | $268,628 | DEXCOM INC |
2,145,706 |
-197,117 |
$266,261 | DXCM | 2,145,706 | -197,117 | $266,261 | COSTCO WHSL CORP NEW |
396,177 |
-27,221 |
$261,509 | COST | 396,177 | -27,221 | $261,509 | COCA COLA CO |
4,159,160 |
+473,737 |
$245,099 | KO | 4,159,160 | +473,737 | $245,099 | AMCOR PLC |
25,391,765 |
+468,883 |
$244,777 | AMCR | 25,391,765 | +468,883 | $244,777 | CONAGRA BRANDS INC |
8,426,955 |
+1,330,249 |
$241,517 | CAG | 8,426,955 | +1,330,249 | $241,517 | PPL CORP |
8,789,945 |
-974,316 |
$238,208 | PPL | 8,789,945 | -974,316 | $238,208 | BEST BUY INC |
2,752,920 |
+166,478 |
$215,499 | BBY | 2,752,920 | +166,478 | $215,499 | BAIDU INC |
1,781,696 |
-12,691 |
$212,182 | BIDU | 1,781,696 | -12,691 | $212,182 | SERVICENOW INC |
300,122 |
+49,631 |
$212,033 | NOW | 300,122 | +49,631 | $212,033 | CHEVRON CORP NEW |
1,363,970 |
+169,381 |
$203,450 | CVX | 1,363,970 | +169,381 | $203,450 | AMPHASTAR PHARMACEUTICALS IN |
3,272,761 |
-169,473 |
$202,420 | AMPH | 3,272,761 | -169,473 | $202,420 | NATIONAL GRID PLC |
2,945,746 |
+220,504 |
$200,281 | NGG | 2,945,746 | +220,504 | $200,281 | MEDTRONIC PLC |
2,403,734 |
-342,712 |
$198,020 | MDT | 2,403,734 | -342,712 | $198,020 | VISA INC |
731,787 |
-125,362 |
$190,521 | V | 731,787 | -125,362 | $190,521 | COSTAR GROUP INC |
2,114,971 |
-127,867 |
$184,827 | CSGP | 2,114,971 | -127,867 | $184,827 | HAMILTON LANE INC |
1,581,900 |
UNCH |
$179,451 | HLNE | 1,581,900 | UNCH | $179,451 | PAYCHEX INC |
1,483,579 |
-61,227 |
$176,709 | PAYX | 1,483,579 | -61,227 | $176,709 | ENBRIDGE INC |
4,798,936 |
-545,558 |
$172,858 | ENB | 4,798,936 | -545,558 | $172,858 | NEW FORTRESS ENERGY INC |
4,401,700 |
UNCH |
$166,076 | NFE | 4,401,700 | UNCH | $166,076 | TRAVELERS COMPANIES INC |
869,511 |
-4,947 |
$165,633 | TRV | 869,511 | -4,947 | $165,633 | STANLEY BLACK & DECKER INC |
1,647,932 |
+22,933 |
$161,662 | SWK | 1,647,932 | +22,933 | $161,662 |
See Full List: All Stocks Held By Federated Hermes Inc.
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Federated Hermes Inc.
|
|