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Federated Hermes MDT Mid Cap Growth Fund

PORTFOLIO AS OF MARCH 31, 2021 CURRENT NET ASSETS - $580,973,630

CUSIP Security Description Current Shares Market Value 00434H108 1 Acceleron Pharma, Inc. 7,567 $ 1,026,161 007903107 1 Advanced Micro Devices, Inc. 8,280 649,980 016255101 1 Align Technology, Inc. 13,125 7,107,581 G0176J109 Allegion PLC 28,318 3,557,307 018581108 Alliance Data Systems Corp. 12,311 1,379,940 01973R101 Holdings, Inc. 29,930 1,222,042 02043Q107 1 Alnylam Pharmaceuticals, Inc. 3,485 492,047 02156K103 1 Altice USA, Inc. 165,661 5,388,952 00164V103 1 AMC Networks, Inc. 11,004 584,973 03073E105 AmerisourceBergen Corp. 10,621 1,254,022 032095101 Amphenol Corp., Class A 38,796 2,559,372 G0450A105 1 Arch Capital Group Ltd. 60,180 2,309,107 040413106 1 Arista Networks, Inc. 35,871 10,829,096 045327103 1 Aspen Technology, Inc. 4,225 609,794 053332102 1 AutoZone, Inc. 4,639 6,514,548 05352A100 1 Avantor, Inc. 240,452 6,956,276 G0750C108 1 Axalta Coating Systems Ltd. 85,265 2,522,139 08579W103 1 Berry Global Group, Inc. 126,487 7,766,302 086516101 Best Buy Co., Inc. 6,630 761,190 09073M104 Bio-Techne Corp. 5,128 1,958,537 099502106 Holding Corp. 78,635 6,332,477 11133T103 Broadridge Financial Solutions 16,604 2,542,072 116794108 Bruker Corp. 5,874 377,581 127190304 1 CACI International, Inc., Class A 8,452 2,084,770 127387108 1 Cadence Design Systems, Inc. 61,005 8,357,075 14149Y108 Cardinal Health, Inc. 83,183 5,053,367 14448C104 Carrier Global Corp. 241,354 10,189,966 156782104 Cerner Corp. 94,349 6,781,806 163092109 1 Chegg, Inc. 19,084 1,634,735 169656105 1 Chipotle Mexican Grill, Inc. 5,530 7,857,135 172908105 Cintas Corp. 2,824 963,859 177376100 Citrix Systems, Inc. 2,505 351,602 18915M107 1 CloudFlare, Inc. 15,634 1,098,445 192422103 Cognex Corp. 44,360 3,681,436 21870Q105 Coresite Realty Corp. 18,966 2,273,075 22160N109 1 CoStar Group, Inc. 2,279 1,873,087 22788C105 1 Crowdstrike Holdings, Inc. 48,182 8,793,697 23918K108 1 Davita, Inc. 25,417 2,739,190 256163106 1 DocuSign, Inc. 17,168 3,475,662 256677105 Dollar General Corp. 2,783 563,891 25754A201 Domino’s Pizza, Inc. 14,093 5,183,265 26210C104 1 Dropbox, Inc. 180,426 4,810,157 268150109 1 Dynatrace Holdings LLC 104,306 5,031,721 N14506104 1 Elastic N.V. 62,420 6,941,104 29272W109 Energizer Holdings, Inc. 25,887 1,228,597 29355A107 1 Enphase Energy, Inc. 23,722 3,846,760 29414B104 1 EPAM Systems, Inc. 22,127 8,777,560 29786A106 1 Etsy, Inc. 50,840 10,252,903 30225T102 Extra Space Storage, Inc. 4,094 542,660 303250104 1 Fair Isaac & Co., Inc. 2,065 1,003,693 60934N583 Federated Hermes Institutional Prime Value Obligations Fund, Institutional Shares, 0.05% 2 11,633,802 11,636,129

FederatedInvestors.com Federated Securities Corp., Distributor © 2021 Federated Hermes, Inc. CUSIP Security Description Current Shares Market Value 33829M101 1 Five Below, Inc. 30,642 $ 5,846,187 338307101 1 Five9, Inc. 9,111 1,424,323 339041105 1 FleetCor Technologies, Inc. 2,010 539,946 339750101 1 Floor & Decor Holdings, Inc. 49,802 4,755,095 34959E109 1 Fortinet, Inc. 90,558 16,700,706 366651107 1 Gartner, Inc., Class A 23,322 4,257,431 368736104 1 Generac Holdings, Inc. 18,297 5,991,353 L44385109 1 Globant SA 5,131 1,065,247 380237107 1 GoDaddy, Inc. 53,834 4,178,595 384109104 Graco, Inc. 22,486 1,610,447 40171V100 1 Guidewire Software, Inc. 28,813 2,928,265 806407102 1 Henry Schein, Inc. 6,125 424,095 G4412G101 1 Herbalife Ltd. 6,930 307,415 427866108 Hershey Foods Corp. 53,745 8,500,309 436440101 1 Hologic, Inc. 63,368 4,713,312 G46188101 1 Horizon Therapeutics PLC 32,579 2,998,571 443573100 1 HubSpot, Inc. 20,145 9,150,060 446413106 Huntington Ingalls Industries, Inc. 17,761 3,656,102 449253103 1 IAA Spinco, Inc. 112,274 6,190,788 44891N109 1 IAC/InteraActiveCorp. 1,603 346,745 45168D104 1 IDEXX Laboratories, Inc. 18,953 9,273,892 462260100 1 Iovance Biotherapeutics, Inc. 12,446 394,040 44980X109 1 IPG Photonics Corp. 13,576 2,863,721 46266C105 1 IQVIA Holdings, Inc. 31,654 6,113,654 466313103 Jabil, Inc. 10,140 528,902 G50871105 1 Jazz Pharmaceuticals PLC. 24,913 4,094,950 482480100 KLA Corp. 29,397 9,712,769 515098101 Landstar System, Inc. 7,644 1,261,719 50212V100 LPL Investment Holdings, Inc. 2,723 387,102 550021109 1 Lululemon Athletica, Inc. 15,795 4,844,484 574795100 1 Masimo Corp. 19,608 4,503,173 57667L107 1 Match Group, Inc. 7,231 993,395 58155Q103 McKesson Corp. 62,179 12,127,392 592688105 1 Mettler-Toledo International, Inc. 5,048 5,833,923 595017104 Microchip Technology, Inc. 30,135 4,677,555 55306N104 MKS Instruments, Inc. 8,158 1,512,656 60770K107 1 Moderna, Inc. 56,540 7,403,913 60855R100 1 Molina Healthcare, Inc. 14,495 3,388,351 609839105 Monolithic Power Systems 13,966 4,932,931 620076307 Motorola, Inc. 6,512 1,224,582 55354G100 MSCI, Inc., Class A 35,294 14,798,068 64110D104 NetApp, Inc. 25,074 1,822,128 64125C109 1 Neurocrine Biosciences, Inc. 53,119 5,165,823 G6518L108 PLC 50,156 1,261,423 G6674U108 1 Novocure Ltd. 29,241 3,865,075 67059N108 1 Nutanix, Inc. 33,534 890,663 679295105 1 Okta, Inc. 22,975 5,064,379 679580100 Old Dominion Freight Lines, Inc. 11,650 2,800,777 67103H107 1 O’Reilly Automotive, Inc. 17,891 9,075,210 697435105 1 Palo Alto Networks, Inc. 38,822 12,503,013 704326107 Paychex, Inc. 9,652 946,089 70432V102 1 Paycom Software, Inc. 13,170 4,873,690 70438V106 1 Paylocity Corp. 34,979 6,290,274 70614W100 1 Peloton Interactive, Inc. 15,274 1,717,409 714046109 PerkinElmer, Inc. 15,093 1,936,281 72352L106 1 Pinterest, Inc. 109,824 8,130,271 724479100 Pitney Bowes, Inc. 35,233 290,320 69355F102 1 PPD, Inc. 100,897 3,817,943 743424103 1 Proofpoint, Inc. 22,009 2,768,512 69370C100 1 PTC, Inc. 4,780 657,967 74624M102 1 Pure Storage, Inc. 39,624 853,501 74838J101 1 Quidel Corp. 4,805 614,704

FMGSF-2 CUSIP Security Description Current Shares Market Value 257867200 1 R.R. Donnelley & Sons Co. 107,189 $ 435,187 759916109 1 Repligen Corp. 12,862 2,500,501 761152107 ResMed, Inc. 15,164 2,942,119 773903109 Rockwell Automation, Inc. 9,316 2,472,839 77543R102 1 Roku, Inc. 27,836 9,068,134 749685103 RPM International, Inc. 76,346 7,012,380 78667J108 1 SAGE Therapeutics, Inc. 6,499 486,450 808625107 Science Applications International Corp. 20,924 1,749,037 83200N103 1 Smartsheet, Inc. 14,046 897,820 L8681T102 1 Spotify Technology SA 4,634 1,241,680 85208M102 1 Sprouts Farmers Market, Inc. 150,862 4,015,946 852234103 1 Square, Inc. 2,601 590,557 78467J100 SS&C Technologies Holdings, Inc. 26,429 1,846,594 871607107 1 Synopsys, Inc. 19,602 4,856,984 874054109 1 Take-Two Interactive Software, Inc. 70,337 12,428,548 88023U101 Tempur Sealy International, Inc. 74,183 2,712,131 88076W103 1 Teradata Corp. 20,622 794,772 880770102 Teradyne, Inc. 36,364 4,424,772 95058W100 The Wendy’s Co. 21,541 436,421 892356106 Tractor Supply Co. 15,905 2,816,457 88339J105 1 Trade Desk, Inc./The 9,412 6,133,424 892672106 Tradeweb Markets, Inc. 72,766 5,384,684 89400J107 TransUnion 58,514 5,266,260 89531P105 1 Trex Co., Inc. 4,343 397,558 90353W103 Ubiquiti Networks, Inc. 2,532 755,296 91347P105 Universal Display Corp. 13,264 3,140,517 922475108 1 Veeva Systems, Inc. 44,868 11,721,316 928254101 Virtu Financial, Inc. 83,743 2,600,220 941848103 1 Waters Corp. 1,774 504,118 94419L101 1 Wayfair, Inc. 4,718 1,484,991 955306105 West Pharmaceutical Services, Inc. 4,038 1,137,828 959802109 Western Union Co. 216,342 5,334,994 969904101 Williams-Sonoma, Inc. 16,790 3,008,768 983793100 1 XPO Logistics, Inc. 21,624 2,666,239 98954M101 1 Zillow Group, Inc. 5,259 690,927 98980G102 1 Zscaler, Inc. 15,692 2,693,846 98986T108 1 Zynga, Inc. 59,018 602,574 $580,783,348

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 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 (32208) 3/31/2021

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