
FEDERATED MDTA LLC
Latest 13F filing data - Q2 2006
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HSY | 362K | $19.95K |
![]() | MBI | 353K | $20.64K |
![]() | XOM | 349K | $21.40K |
![]() | NOV | 348K | $22.02K |
![]() | KBH | 335K | $15.38K |
![]() | AMKR | 323K | $3.06K |
![]() | LH | 310K | $19.29K |
![]() | DHR | 310K | $19.91K |
![]() | DTE | 268K | $10.93K |
![]() | ETR | 264K | $18.66K |
![]() | UNP | 258K | $24.01K |
![]() | RES | 256K | $6.21K |
![]() | FISV | 247K | $11.22K |
![]() | AIT | 238K | $5.79K |
![]() | CSX | 229K | $16.15K |
![]() | ROK | 223K | $16.06K |
![]() | CI | 218K | $21.50K |
![]() | CNX | 212K | $9.91K |
![]() | MLM | 191K | $17.41K |
![]() | BDC | 169K | $5.57K |

The Hershey Company
HSY
Shares Held
362K
Value
$19.95K

MBIA Inc.
MBI
Shares Held
353K
Value
$20.64K

Exxon Mobil Corporation
XOM
Shares Held
349K
Value
$21.40K

NOV Inc.
NOV
Shares Held
348K
Value
$22.02K

KB Home
KBH
Shares Held
335K
Value
$15.38K

Amkor Technology, Inc.
AMKR
Shares Held
323K
Value
$3.06K

Labcorp Holdings Inc.
LH
Shares Held
310K
Value
$19.29K

Danaher Corporation
DHR
Shares Held
310K
Value
$19.91K

DTE Energy Company
DTE
Shares Held
268K
Value
$10.93K

Entergy Corporation
ETR
Shares Held
264K
Value
$18.66K

Union Pacific Corporation
UNP
Shares Held
258K
Value
$24.01K

RPC, Inc.
RES
Shares Held
256K
Value
$6.21K

Fiserv, Inc.
FISV
Shares Held
247K
Value
$11.22K

Applied Industrial Technologies, Inc.
AIT
Shares Held
238K
Value
$5.79K

CSX Corporation
CSX
Shares Held
229K
Value
$16.15K

Rockwell Automation, Inc.
ROK
Shares Held
223K
Value
$16.06K

Cigna Corporation
CI
Shares Held
218K
Value
$21.50K

CNX Resources Corporation
CNX
Shares Held
212K
Value
$9.91K

Martin Marietta Materials, Inc.
MLM
Shares Held
191K
Value
$17.41K

Belden Inc.
BDC
Shares Held
169K
Value
$5.57K
