
FEDERATED HERMES, INC.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | AXON | 334K | $239.49M |
![]() | ABT | 333K | $44.55M |
![]() | PTC | 332K | $67.43M |
![]() | TSLA | 331K | $147.35M |
![]() | INSM | 328K | $47.27M |
![]() | TRGP | 328K | $54.91M |
![]() | VOYG | 325K | $9.68M |
![]() | FNB | 325K | $5.24M |
![]() | AFL | 324K | $36.22M |
![]() | FIX | 324K | $267.59M |
![]() | MTB | 324K | $64.02M |
![]() | CVLT | 322K | $60.80M |
![]() | LQDA | 321K | $7.29M |
![]() | BRX | 320K | $8.84M |
![]() | BTSG | 319K | $9.44M |
![]() | NMRA | 314K | $571.70K |
![]() | XYL | 314K | $46.31M |
![]() | SSD | 310K | $51.92M |
![]() | AIP | 309K | $3.12M |
![]() | TDOC | 308K | $2.38M |

Axon Enterprise, Inc.
AXON
Shares Held
334K
Value
$239.49M

Abbott Laboratories
ABT
Shares Held
333K
Value
$44.55M

PTC Inc.
PTC
Shares Held
332K
Value
$67.43M

Tesla, Inc.
TSLA
Shares Held
331K
Value
$147.35M

Insmed Incorporated
INSM
Shares Held
328K
Value
$47.27M

Targa Resources Corp.
TRGP
Shares Held
328K
Value
$54.91M

Voyager Technologies, Inc.
VOYG
Shares Held
325K
Value
$9.68M

F.N.B. Corporation
FNB
Shares Held
325K
Value
$5.24M

Aflac Incorporated
AFL
Shares Held
324K
Value
$36.22M

Comfort Systems USA, Inc.
FIX
Shares Held
324K
Value
$267.59M

M&T Bank Corporation
MTB
Shares Held
324K
Value
$64.02M

Commvault Systems, Inc.
CVLT
Shares Held
322K
Value
$60.80M

Liquidia Corporation
LQDA
Shares Held
321K
Value
$7.29M

Brixmor Property Group Inc.
BRX
Shares Held
320K
Value
$8.84M

BrightSpring Health Services, Inc. Common Stock
BTSG
Shares Held
319K
Value
$9.44M

Neumora Therapeutics, Inc. Common Stock
NMRA
Shares Held
314K
Value
$571.70K

Xylem Inc.
XYL
Shares Held
314K
Value
$46.31M

Simpson Manufacturing Co., Inc.
SSD
Shares Held
310K
Value
$51.92M

Arteris, Inc.
AIP
Shares Held
309K
Value
$3.12M

Teladoc Health, Inc.
TDOC
Shares Held
308K
Value
$2.38M
