Federated MDT All Cap Core Fund

Federated MDT All Cap Core Fund - Portfolio Holdings - September 30, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 00724F101 1 ADOBE, INC. 10,542.00 2,912,228.00 00130H105 AES CORP. 24,600.00 401,964.00 001084102 AGCO CORP. 9,100.00 688,870.00 00971T101 1 AKAMAI TECHNOLOGIES, INC. 4,811.00 439,629.00 015351109 1 ALEXION PHARMACEUTICALS, INC. 22,725.00 2,225,686.00 017175100 1 ALLEGHANY CORP. 1,856.00 1,480,642.00 01973R101 ALLISON TRANSMISSION HOLDINGS, INC. 6,465.00 304,178.00 020002101 ALLSTATE CORP. 76,245.00 8,286,306.00 02079K305 1 ALPHABET, INC., CLASS A 7,597.00 9,277,000.00 023135106 1 AMAZON.COM, INC. 490.00 850,596.00 00164V103 1 AMC NETWORKS, INC. 4,370.00 214,829.00 023436108 1 AMEDISYS, INC. 1,153.00 151,055.00 026874784 AMERICAN INTERNATIONAL GROUP, INC. 49,704.00 2,768,513.00 02874P103 1 AMERICAN OUTDOOR BRANDS CORP. 12,149.00 71,072.00 03027X100 AMERICAN TOWER CORP. 7,677.00 1,697,615.00 03076C106 AMERIPRISE FINANCIAL, INC. 18,117.00 2,665,011.00 03073E105 AMERISOURCEBERGEN CORP. 8,054.00 663,086.00 03662Q105 1 , INC. 19,864.00 4,397,095.00 036752103 ANTHEM, INC. 8,548.00 2,052,375.00 037833100 APPLE, INC. 14,024.00 3,140,955.00 00206R102 AT&T, INC. 24,694.00 934,421.00 G0684D107 1 ATHENE HOLDING LTD. 7,709.00 324,240.00 053015103 AUTOMATIC DATA PROCESSING, INC. 50,168.00 8,098,119.00 053332102 1 AUTOZONE, INC. 2,347.00 2,545,603.00 060505104 BANK OF AMERICA CORP. 19,891.00 580,221.00 071813109 BAXTER INTERNATIONAL, INC. 16,714.00 1,461,973.00 075896100 BED BATH & BEYOND, INC. 16,403.00 174,528.00 09062X103 1 BIOGEN, INC. 22,403.00 5,215,866.00 09247X101 BLACKROCK, INC. 608.00 270,949.00 097023105 BOEING CO. 12,237.00 4,655,811.00 099502106 BOOZ ALLEN HAMILTON HOLDING CORP. 17,072.00 1,212,453.00 122017106 1 BURLINGTON STORES, INC. 9,895.00 1,977,219.00 12685J105 CABLE ONE, INC. 110.00 138,017.00 127387108 1 CADENCE DESIGN SYSTEMS, INC. 74,013.00 4,890,779.00 12514G108 CDW CORP. 2,396.00 295,283.00 16119P108 1 CHARTER COMMUNICATIONS, INC. 17,340.00 7,146,161.00 16359R103 CHEMED CORP. 1,171.00 488,975.00 166764100 CHEVRON CORP. 798.00 94,643.00 169656105 1 CHIPOTLE MEXICAN GRILL, INC. 1,249.00 1,049,747.00 171340102 CHURCH AND DWIGHT, INC. 4,614.00 347,157.00 N20146101 1 CIMPRESS NV 1,513.00 199,474.00 172967424 CITIGROUP, INC. 66,976.00 4,626,702.00 174610105 CITIZENS FINANCIAL GROUP, INC. 30,146.00 1,066,264.00 194162103 COLGATE-PALMOLIVE CO. 13,269.00 975,404.00 20825C104 CONOCOPHILLIPS 28,037.00 1,597,548.00 209115104 CONSOLIDATED EDISON CO. 46,052.00 4,350,533.00 22160N109 1 COSTAR GROUP, INC. 5,831.00 3,458,949.00 22160K105 COSTCO WHOLESALE CORP. 700.00 201,677.00 22266L106 1 COUPA SOFTWARE, INC. 6,052.00 784,158.00 22822V101 CROWN CASTLE INTERNATIONAL CORP. 9,692.00 1,347,285.00 242370203 DEAN FOODS CO. 31,562.00 36,612.00

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Federated MDT All Cap Core Fund - Portfolio Holdings - September 30, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 247361702 DELTA AIR LINES, INC. 19,763.00 1,138,349.00 248019101 DELUXE CORP. 5,086.00 250,028.00 24906P109 DENTSPLY SIRONA, INC. 1,911.00 101,875.00 257559203 DOMTAR, CORP. 40,800.00 1,461,048.00 265504100 DUNKIN' BRANDS GROUP, INC. 17,549.00 1,392,689.00 26614N102 DUPONT DE NEMOURS, INC. 126,581.00 9,026,491.00 278642103 EBAY, INC. 79,965.00 3,117,036.00 281020107 EDISON INTERNATIONAL 10,070.00 759,479.00 532457108 ELI LILLY & CO. 14,675.00 1,641,105.00 26875P101 EOG RESOURCES, INC. 98,428.00 7,305,326.00 29414B104 1 EPAM SYSTEMS, INC. 535.00 97,541.00 297178105 ESSEX PROPERTY TRUST, INC. 2,076.00 678,125.00 518439104 ESTEE LAUDER COS., INC., CLASS A 27,178.00 5,407,063.00 G3223R108 EVEREST RE GROUP LTD. 11,438.00 3,043,537.00 30161N101 EXELON CORP. 30,424.00 1,469,783.00 30212P303 EXPEDIA GROUP, INC. 35,142.00 4,723,436.00 30303M102 1 FACEBOOK, INC. 20,698.00 3,685,900.00 303250104 1 FAIR ISAAC & CO., INC. 5,070.00 1,538,846.00 60934N583 2 FEDERATED INSTITUTIONAL PRIME VALUE OBLIGATIONS FUND, INSTITUTIONAL SHARES, 2.06% 7,312,631.00 7,314,094.00 316773100 FIFTH THIRD BANCORP 29,600.00 810,448.00 339041105 1 FLEETCOR TECHNOLOGIES, INC. 3,770.00 1,081,160.00 345370860 FORD MOTOR CO. 35,900.00 328,844.00 34959E109 1 FORTINET, INC. 21,937.00 1,683,884.00 34988V106 1 FOSSIL, INC. 9,671.00 120,984.00 G36738105 FRESH DEL MONTE PRODUCE, INC. 7,300.00 249,003.00 361448103 GATX CORP. 1,696.00 131,491.00 37940X102 GLOBAL PAYMENTS, INC. 47,848.00 7,607,832.00 382550101 GOODYEAR TIRE & RUBBER CO. 15,062.00 216,968.00 39304D102 1 GREEN DOT CORP. 8,201.00 207,075.00 412822108 HARLEY-DAVIDSON, INC. 15,827.00 569,297.00 418056107 HASBRO, INC. 844.00 100,174.00 40412C101 HCA HEALTHCARE, INC. 40,758.00 4,908,078.00 422806109 HEICO CORP. 41,740.00 5,212,491.00 G4412G101 1 HERBALIFE LTD. 3,474.00 131,526.00 427866108 HERSHEY FOODS CORP. 1,290.00 199,937.00 43300A203 HILTON WORLDWIDE HOLDINGS, INC. 13,204.00 1,229,424.00 436106108 HOLLYFRONTIER CORP. 14,747.00 791,029.00 437076102 HOME DEPOT, INC. 15,077.00 3,498,165.00 40434L105 HP, INC. 44,378.00 839,632.00 446150104 HUNTINGTON BANCSHARES, INC. 17,200.00 245,444.00 45168D104 1 IDEXX LABORATORIES, INC. 4,117.00 1,119,536.00 45337C102 1 INCYTE GENOMICS, INC. 15,052.00 1,117,310.00 457187102 INGREDION, INC. 2,069.00 169,120.00 458140100 INTEL CORP. 17,267.00 889,768.00 461202103 INTUIT, INC. 12,381.00 3,292,603.00 46266C105 1 IQVIA HOLDINGS, INC. 3,200.00 478,016.00 G50871105 1 JAZZ PHARMACEUTICALS PLC. 14,274.00 1,829,070.00 477143101 1 JET BLUE AIRWAYS CORP. 21,800.00 365,150.00 46625H100 JPMORGAN CHASE & CO. 15,300.00 1,800,657.00 489170100 , INC. 6,829.00 209,923.00 493267108 KEYCORP 30,200.00 538,768.00 49338L103 1 KEYSIGHT TECHNOLOGIES, INC. 1,462.00 142,180.00 494368103 KIMBERLY-CLARK CORP. 57,196.00 8,124,692.00 482480100 KLA CORP. 3,957.00 630,944.00 500255104 KOHL'S CORP. 4,881.00 242,391.00 500754106 KRAFT CO./THE 5,599.00 156,408.00 502431109 L3HARRIS TECHNOLOGIES, INC. 7,311.00 1,525,367.00

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Federated MDT All Cap Core Fund - Portfolio Holdings - September 30, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 513272104 LAMB WESTON HOLDINGS, INC. 16,514.00 1,200,898.00 526107107 LENNOX INTERNATIONAL, INC. 8,901.00 2,162,676.00 529898108 1 LIBBEY, INC. 3,400.00 11,390.00 538034109 1 LIVE NATION ENTERTAINMENT, INC. 96,238.00 6,384,429.00 539830109 LOCKHEED MARTIN CORP. 25,327.00 9,879,050.00 548661107 LOWE'S COS., INC. 21,928.00 2,411,203.00 50212V100 LPL INVESTMENT HOLDINGS, INC. 11,250.00 921,375.00 550021109 1 LULULEMON ATHLETICA, INC. 5,328.00 1,025,800.00 55261F104 M & T BANK CORP. 10,760.00 1,699,757.00 57636Q104 MASTERCARD, INC. 27,375.00 7,434,229.00 58155Q103 MCKESSON CORP. 15,712.00 2,147,202.00 59156R108 METLIFE, INC. 15,256.00 719,473.00 594918104 MICROSOFT CORP. 25,848.00 3,593,647.00 59522J103 MID-AMERICAN APARTMENT COMMUNITIES, INC. 765.00 99,458.00 60468T105 1 MIRATI THERAPEUTICS, INC. 2,171.00 169,143.00 60855R100 1 MOLINA HEALTHCARE, INC. 4,765.00 522,816.00 61945C103 MOSAIC CO./THE 37,454.00 767,807.00 620076307 MOTOROLA, INC. 13,395.00 2,282,642.00 55354G100 MSCI, INC., CLASS A 3,057.00 665,662.00 553573106 1 MSG NETWORKS, INC. 43,653.00 708,052.00 63938C108 NAVIENT CORP. 25,900.00 331,520.00 65473P105 NISOURCE, INC. 18,501.00 553,550.00 68752M108 1 ORTHOFIX MEDICAL, INC. 1,633.00 86,582.00 693718108 PACCAR, INC. 49,753.00 3,483,208.00 70432V102 1 PAYCOM SOFTWARE, INC. 15,435.00 3,233,478.00 70450Y103 1 PAYPAL HOLDINGS, INC. 7,818.00 809,866.00 713448108 PEPSICO, INC. 18,712.00 2,565,415.00 723484101 PINNACLE WEST CAPITAL CORP. 2,481.00 240,831.00 72703H101 1 PLANET FITNESS, INC. 1,517.00 87,789.00 733174700 POPULAR, INC. 30,652.00 1,657,660.00 742718109 PROCTER & GAMBLE CO. 1,236.00 153,734.00 743315103 PROGRESSIVE CORP., OH 28,463.00 2,198,767.00 744320102 PRUDENTIAL FINANCIAL, INC. 31,485.00 2,832,076.00 751212101 RALPH LAUREN CORP. 12,381.00 1,182,014.00 756109104 REALTY INCOME CORP. 1,336.00 102,445.00 75886F107 1 REGENERON PHARMACEUTICALS, INC. 359.00 99,587.00 G7496G103 RENAISSANCERE HOLDINGS LTD. 18,706.00 3,618,676.00 759916109 1 REPLIGEN CORP. 5,284.00 405,230.00 74967X103 1 RH 3,475.00 593,634.00 780287108 ROYAL GOLD, INC. 760.00 93,640.00 79466L302 1 SALESFORCE.COM, INC. 10,065.00 1,494,049.00 801056102 1 SANMINA CORP. 4,200.00 134,862.00 78410G104 SBA COMMUNICATIONS, CORP. 21,123.00 5,093,811.00 810186106 SCOTTS MIRACLE-GRO CO. 2,699.00 274,812.00 830879102 SKYWEST, INC. 3,016.00 173,118.00 78440X101 SL GREEN REALTY CORP. 5,947.00 486,167.00 784635104 1 SPX CORP. 14,360.00 574,544.00 855244109 STARBUCKS CORP. 16,947.00 1,498,454.00 863667101 STRYKER CORP. 34,827.00 7,533,080.00 871607107 1 SYNOPSYS, INC. 7,070.00 970,358.00 871829107 SYSCO CORP. 12,745.00 1,011,953.00 87403A107 TAILORED BRANDS, INC. 10,551.00 46,425.00 874054109 1 TAKE-TWO INTERACTIVE SOFTWARE, INC. 3,163.00 396,450.00 87612E106 TARGET CORP. 7,692.00 822,352.00 879360105 1 TELEDYNE TECHNOLOGIES, INC. 624.00 200,922.00 88023U101 1 TEMPUR SEALY INTERNATIONAL, INC. 26,258.00 2,027,118.00 100557107 1 THE BOSTON BEER CO., INC., CLASS A 246.00 89,564.00 889478103 TOLL BROTHERS, INC. 8,419.00 345,600.00 893641100 1 TRANSDIGM GROUP, INC. 388.00 202,020.00

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Federated MDT All Cap Core Fund - Portfolio Holdings - September 30, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 89400J107 TRANSUNION 1,229.00 99,684.00 899896104 TUPPERWARE BRANDS CORP. 7,554.00 119,882.00 902653104 UDR, INC. 2,057.00 99,723.00 910047109 1 UNITED AIRLINES HOLDINGS, INC. 11,499.00 1,016,627.00 91324P102 UNITEDHEALTH GROUP, INC. 552.00 119,960.00 91347P105 UNIVERSAL DISPLAY CORP. 11,290.00 1,895,591.00 922475108 1 VEEVA SYSTEMS, INC. 31,898.00 4,870,506.00 92276F100 VENTAS, INC. 21,644.00 1,580,661.00 92343V104 VERIZON COMMUNICATIONS, INC. 41,807.00 2,523,471.00 92532F100 1 VERTEX PHARMACEUTICALS, INC. 13,756.00 2,330,542.00 928298108 VISHAY INTERTECHNOLOGY, INC. 27,428.00 464,356.00 95082P105 1 WESCO INTERNATIONAL, INC. 3,060.00 146,176.00 958102105 WESTERN DIGITAL CORP. 11,593.00 691,407.00 959802109 WESTERN UNION CO. 18,900.00 437,913.00 96208T104 1 WEX, INC. 11,900.00 2,404,633.00 98310W108 WYNDHAM DESTINATIONS, INC. 31,450.00 1,447,329.00 988498101 YUM! BRANDS, INC. 27,205.00 3,085,863.00 98978V103 ZOETIS, INC. 14,709.00 1,832,594.00 $329,861,004.00

1 Non-income-producing security. 2 7-day net yield.

Portfolio holdings are shown as of the date indicated and are unaudited. Since market conditions fluctuate suddenly and frequently, the portfolio holdings may change and this list is not indicative of future portfolio composition. These portfolio holdings are not intended to be and do not constitute recommendations that others buy, sell, or hold any of the securities listed.

For more complete information on the fund, visit www.FederatedInvestors.com for a prospectus or a summary prospectus. You should consider the fund's investment objectives, risks, charges, and expenses carefully before you invest. Information about these and other important subjects is in the fund's prospectus or summary prospectus, which you should read carefully before investing.

NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE

Federated Securities Corp., Distributor (35640) 9/30/2019

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