Titelia

Holdings of FEDERATED HERMES, INC.

1868 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 17.2 % of the equity sleeve

Sector breakdown

  • Technology 16.0 %
  • Financials 11.3 %
  • Health care 9.9 %
  • Industrials 9.4 %
  • Utilities 5.7 %
  • Consumer staples 5.3 %
  • Communication 5.2 %
  • Consumer discretionary 4.8 %
  • Real estate 2.3 %
  • Energy 2.1 %
  • Materials 1.0 %
  • Funds 0.1 %
  • Unattributed 27.0 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 97.6 %
  • GB 0.7 %
  • FR 0.4 %
  • TW 0.4 %
  • KY 0.3 %
  • SG 0.2 %
  • NL 0.1 %
  • DK 0.1 %
  • JP 0.0 %
  • BE 0.0 %
  • MX 0.0 %
  • BR 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,81655B $97.60 %
2GB10417.2M $0.74 %
3FR3241.4M $0.43 %
4TW2240.1M $0.43 %
5KY7189.9M $0.34 %
6SG188.5M $0.16 %
7NL373.8M $0.13 %
8DK233.6M $0.06 %
9JP517.7M $0.03 %
10BE217M $0.03 %
11MX316.6M $0.03 %
12BR411.1M $0.02 %

Positions

RankCompanySharesValueWeight
1,601Rigel Pharmaceuticals Inc 90124.4K $
1,602Cytek Biosciences Inc 5,33523.3K $
1,603Braze Inc 97222.9K $
1,604BP PLC 48122.6K $
1,605Agilysys Inc 31522.4K $
1,606Champion Homes Inc 29922.2K $
1,607Brown-Forman Corp 83522.1K $
1,608CBL & Associates Properties Inc 57121.9K $
1,609DaVita Inc 14021.5K $
1,610StoneX Group Inc 26521.4K $
1,611Sony Group Corp 1,02821.3K $
1,612Amicus Therapeutics Inc 1,46021.1K $
1,613Xerox Holdings Corp 16,35921.1K $
1,614KraneShares CSI China Internet ETF 74121.1K $
1,615Cantaloupe Inc 1,93620.9K $
1,616Orion Group Holdings Inc 1,91120.8K $
1,617Octave Specialty Group Inc 4,42020.6K $
1,618Commercial Vehicle Group Inc 6,02320.5K $
1,619Block Inc 33720.3K $
1,620Ooma Inc 1,39120.2K $
1,621Unity Software Inc 91720.1K $
1,622SmartFinancial Inc 50919.9K $
1,623Applied Optoelectronics Inc 23419.8K $
1,624Lincoln Educational Services Corp 46719K $
1,625Telephone and Data Systems Inc 44518.7K $
1,626Campbell's Company/The 82518.4K $
1,627Ibotta Inc 60118K $
1,628Dakota Gold Corp 3,55518K $
1,629Park-Ohio Holdings Corp 74417.9K $
1,630Progyny Inc 1,05317.9K $
1,631PriceSmart Inc 11517.3K $
1,632Digimarc Corp 3,44216.9K $
1,633Mizuho Financial Group Inc 2,10716.7K $
1,634Employers Holdings Inc 40616.7K $
1,635Group 1 Automotive Inc 5016.5K $
1,636Lightbridge Corp 1,54916.5K $
1,637iRadimed Corp 17016.4K $
1,638Globalstar Inc 24616.3K $
1,639Erasca Inc 1,00516.3K $
1,640CorVel Corp 29516.1K $
1,641GE HealthCare Technologies Inc 22616.1K $
1,642EverQuote Inc 1,04216.1K $
1,643Shoals Technologies Group Inc 2,35415.5K $
1,644Investar Holding Corp 56815.5K $
1,645Heritage Insurance Holdings Inc 58615.4K $
1,646Ducommun Inc 12615.4K $
1,647Telefonaktiebolaget LM Ericsson 1,35915.3K $
1,648CECO Environmental Corp 25715.3K $
1,649Carter Bankshares Inc 65415.3K $
1,650Hycroft Mining Holding Corp 42615K $
1,651Perdoceo Education Corp 40215K $
1,652Alto Neuroscience Inc 65414.7K $
1,653NWPX Infrastructure Inc 18814.6K $
1,654News Corp 51214.6K $
1,655Q32 Bio Inc 2,27314.6K $
1,656inTEST Corp 1,06314.5K $
1,657Praxis Precision Medicines Inc 4414.2K $
1,658HSBC Holdings PLC 15913.1K $
1,659KE Holdings Inc 84812.7K $
1,660Spire Global Inc 1,00912.7K $
1,661Nkarta Inc 5,98512.6K $
1,662Hyliion Holdings Corp 7,16912.6K $
1,663Douglas Elliman Inc 7,39712.1K $
1,664SunCoke Energy Inc 1,86212.1K $
1,665Paramount Skydance Corp. 1,30311.8K $
1,666AerSale Corp 1,86111.6K $
1,667United Parks & Resorts Inc 35211.5K $
1,668Black Diamond Therapeutics Inc 5,36311.4K $
1,669Red Violet Inc 32111.1K $
1,670Acrivon Therapeutics Inc 7,92411K $
1,671Direxion Shares ETF Trust 22510.8K $
1,672Graham Corp 13610.7K $
1,673BIOMEA FUSION INC 6,96910.7K $
1,674Andersons Inc/The 14610.5K $
1,6751stdibs.com Inc 1,85210.2K $
1,676Ivanhoe Electric Inc / US 85910.2K $
1,677MainStreet Bancshares Inc 45510.1K $
1,678Corbus Pharmaceuticals Holdings Inc 1,0139.5K $
1,679Central Pacific Financial Corp 2979.5K $
1,680Bridger Aerospace Group Holdings Inc 4,7479.4K $
1,681Univest Financial Corp 2719.3K $
1,682Sun Country Airlines Holdings Inc 5609.3K $
1,683iShares MSCI Japan ETF 1089.1K $
1,684Zevia PBC 7,7749.1K $
1,685Anika Therapeutics Inc 6209K $
1,686Addus HomeCare Corp 958.9K $
1,687Gibraltar Industries Inc 2148.5K $
1,688Sight Sciences Inc 2,2138.3K $
1,689Diageo PLC 1047.7K $
1,690Tango Therapeutics Inc 3547.4K $
1,691Cullinan Therapeutics Inc 5167.3K $
1,692Douglas Dynamics Inc 1747.3K $
1,693Arlo Technologies Inc 4987.1K $
1,694Uniti Group Inc 7467K $
1,695Strata Critical Medical Inc 1,6717K $
1,696LSI Industries Inc 3696.9K $
1,697Preformed Line Products Co 256.8K $
1,698Bright Horizons Family Solutions Inc 826.7K $
1,699Driven Brands Holdings Inc 5286.7K $
1,700Coherus Oncology Inc 3,9166.6K $