Universe · entity

FEDERATED HERMES, INC.

Institutional manager (13F) · CIK 1056288
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $27.0B
#IssuerValueShares
1NVIDIA CORPORATION$1.6B9,154,574
2ALPHABET INC$1.4B4,909,785
3APPLE INC$1.2B4,610,537
4MICROSOFT CORP$1.1B2,992,907
5ABBVIE INC$866M3,980,171
6BROADCOM INC$740M2,391,262
7AMAZON COM INC$738M3,542,316
8CHEVRON CORPORATION$726M3,506,787
9GE VERNOVA INC$686M785,564
10VERIZON COMMUNICATIONS INC$683M13,603,175
11VIKING HOLDINGS LTD$631M8,592,847
12PFIZER INC$603M21,476,961
13PNC FINL SVCS GROUP INC$603M2,896,468
14US BANCORP$599M11,510,727
15PHILIP MORRIS INTL INC$570M3,449,381
16PAYCHEX INC$542M5,885,576
17BANK NEW YORK MELLON CORP$514M4,334,220
18PROLOGIS INC.$512M3,875,686
19DUKE ENERGY CORP NEW$500M3,817,183
20FIRSTENERGY CORP$494M9,754,128
21COSTCO WHOLESALE CORPORATION$492M493,417
22FISERV INC$483M8,659,018
23TRUIST FINL CORP$476M10,358,097
24AMERICAN TOWER CORP$476M2,756,058
25AMERIPRISE FINL INC$467M1,051,694
26CME GROUP INC$461M1,560,298
27LULULEMON ATHLETICA INC$460M3,002,767
28PEPSICO INC$454M2,926,665
29VERTIV HOLDINGS CO$444M1,770,187
30HOWMET AEROSPACE INC$433M1,879,558
31META PLATFORMS INC$428M748,100
32AMCOR PLC$423M10,633,915
33TERADYNE INC$418M1,409,567
34GE AEROSPACE$406M1,431,996
35QUANTA SVCS INC$403M734,461
36KIMCO REALTY CORP$402M17,881,707
37AMGEN INC$400M1,136,518
38WEC ENERGY GROUP INC$396M3,423,763
39COMFORT SYS USA INC$368M267,030
40MERCK & CO INC$362M3,008,096
41TOTALENERGIES SE$351M3,853,531
42FIVE BELOW INC$349M1,529,552
43TRAVELERS COMPANIES INC$335M1,148,885
44PPL CORP$314M8,216,966
45EXXON MOBIL CORP$313M1,843,636
46EVERGY INC$304M3,711,940
47UNITEDHEALTH GROUP INC$301M1,111,214
48VEEVA SYS INC$291M1,654,869
49GARTNER INC$268M1,690,528
50ENBRIDGE INC$265M4,892,075
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.