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Federated Hermes MDT Mid Cap Growth Fund

PORTFOLIO AS OF SEPTEMBER 30, 2020 CURRENT NET ASSETS - $508,704,896

CUSIP Security Description Current Shares Market Value 88025U109 110X Genomics, Inc. 4,860 $ 605,945 00434H108 1Acceleron Pharma, Inc. 12,057 1,356,774 00508Y102 Acuity , Inc. 40,223 4,116,824 007903107 1Advanced Micro Devices, Inc. 8,280 678,877 015351109 1Alexion Pharmaceuticals, Inc. 28,371 3,246,494 016255101 1Align Technology, Inc. 10,095 3,304,699 G0176J109 Allegion PLC 6,127 606,022 018581108 Alliance Data Systems Corp. 39,191 1,645,238 02043Q107 1Alnylam Pharmaceuticals, Inc. 2,870 417,872 02156K103 1Altice USA, Inc. 39,153 1,017,978 00164V103 1AMC Networks, Inc. 11,004 271,909 03073E105 AmerisourceBergen Corp. 6,112 592,375 032095101 Amphenol Corp., Class A 19,452 2,106,068 G0450A105 1Arch Capital Group Ltd. 92,280 2,699,190 040413106 1Arista Networks, Inc. 17,260 3,571,612 04247X102 Armstrong World Industries, Inc. 25,728 1,770,344 053332102 1AutoZone, Inc. 2,927 3,446,952 05338G106 1Avalara, Inc. 20,736 2,640,522 05352A100 1Avantor, Inc. 167,602 3,769,369 G0750C108 1Axalta Coating Systems Ltd. 103,710 2,299,251 08579W103 1Berry Global Group, Inc. 54,118 2,614,982 090043100 1Bill.Com Holdings, Inc. 20,351 2,041,409 09609G100 1Bluebird Bio, Inc. 5,992 323,268 099502106 Holding Corp. 146,668 12,170,511 116794108 Bruker Corp. 9,391 373,292 12685J105 Cable One, Inc. 2,241 4,225,249 127097103 Cabot Oil & Gas Corp., Class A 23,331 405,026 127190304 1CACI International, Inc., Class A 8,452 1,801,628 127387108 1Cadence Design Systems, Inc. 108,469 11,566,049 14149Y108 Cardinal Health, Inc. 20,955 983,837 14448C104 Carrier Global Corp. 160,323 4,896,264 12503M108 Cboe Global Markets, Inc. 7,072 620,497 156782104 Cerner Corp. 61,855 4,471,498 159864107 1Charles River Laboratories International, Inc. 11,153 2,525,597 163092109 1Chegg, Inc. 44,793 3,200,012 169656105 1Chipotle Mexican Grill, Inc. 3,341 4,155,235 171340102 Church and Dwight, Inc. 36,226 3,394,738 172908105 Cintas Corp. 1,017 338,488 177376100 Citrix Systems, Inc. 12,945 1,782,656 189054109 Clorox Co. 32,298 6,788,071 192422103 Cognex Corp. 44,360 2,887,836 21871D103 CoreLogic, Inc. 12,484 844,792 21870Q105 Coresite Realty Corp. 29,484 3,505,058 22160N109 1CoStar Group, Inc. 534 453,104 22266L106 1Coupa Software, Inc. 14,051 3,853,346 22788C105 1Crowdstrike Holdings, Inc. 64,145 8,808,391 228368106 1Crown Holdings, Inc. 2,190 168,323 23804L103 1Datadog, Inc. 23,532 2,404,029 23918K108 1Davita, Inc. 27,170 2,327,111 252131107 1Dexcom, Inc. 4,060 1,673,654 256163106 1DocuSign, Inc. 34,395 7,403,180

FederatedInvestors.com Federated Securities Corp., Distributor © 2020 Federated Hermes, Inc. CUSIP Security Description Current Shares Market Value 256677105 Dollar General Corp. 13,483 $ 2,826,306 25754A201 Domino’s Pizza, Inc. 22,013 9,361,689 265504100 Dunkin’ Brands Group, Inc. 22,983 1,882,538 26969P108 Eagle Materials, Inc. 13,882 1,198,294 N14506104 1Elastic N.V. 15,874 1,712,646 29272W109 Energizer Holdings, Inc. 89,798 3,514,694 29355A107 1Enphase Energy, Inc. 6,780 559,960 29414B104 1EPAM Systems, Inc. 28,370 9,171,454 29786A106 1Etsy, Inc. 59,248 7,206,334 30161Q104 1Exelixis, Inc. 8,772 214,475 303250104 1Fair Isaac & Co., Inc. 4,128 1,755,969 60934N583 Federated Hermes Institutional Prime Value Obligations Fund, Institutional Shares, 0.15%2 8,561,188 8,565,469 338307101 1Five9, Inc. 29,789 3,863,038 339041105 1FleetCor Technologies, Inc. 18,765 4,467,947 339750101 1Floor & Decor Holdings, Inc. 32,792 2,452,842 34354P105 Flowserve Corp. 100,582 2,744,883 34959E109 1Fortinet, Inc. 45,819 5,397,936 366651107 1Gartner, Inc., Class A 1,265 158,062 368736104 1Generac Holdings, Inc. 31,621 6,123,090 L44385109 1Globant SA 3,865 692,685 380237107 1GoDaddy, Inc. 60,641 4,606,897 38388F108 Grace (W.R.) & Co. 33,978 1,368,974 384109104 Graco, Inc. 8,037 493,070 39874R101 1Grocery Outlet Holding Corp. 20,305 798,393 405024100 1Haemonetics Corp. 23,109 2,016,260 806407102 1Henry Schein, Inc. 11,849 696,484 427866108 Hershey Foods Corp. 19,104 2,738,367 431475102 Hill-Rom Holdings, Inc. 4,066 339,552 436440101 1Hologic, Inc. 100,858 6,704,031 G46188101 1Horizon Therapeutics PLC 66,380 5,156,398 443510607 Hubbell, Inc. 8,390 1,148,088 443573100 1HubSpot, Inc. 18,252 5,333,782 449253103 1IAA Spinco, Inc. 3,007 156,574 45167R104 IDEX Corp. 8,267 1,507,983 45168D104 1IDEXX Laboratories, Inc. 16,467 6,473,342 G47567105 IHS Markit Ltd. 9,330 732,498 45772F107 1Inphi Corp. 45,176 5,071,006 462260100 1Iovance Biotherapeutics, Inc. 8,697 286,305 46266C105 1IQVIA Holdings, Inc. 33,532 5,285,649 46284V101 Iron Mountain, Inc. 5,507 147,533 G50871105 1Jazz Pharmaceuticals PLC. 29,170 4,159,350 48238T109 KAR Auction Services, Inc. 454,478 6,544,483 49338L103 1Keysight Technologies, Inc. 24,188 2,389,291 482480100 KLA Corp. 25,413 4,923,515 550021109 1Lululemon Athletica, Inc. 19,804 6,522,843 57060D108 Marketaxess Holdings, Inc. 12,108 5,831,092 58155Q103 McKesson Corp. 32,535 4,845,438 592688105 1Mettler-Toledo International, Inc. 6,256 6,041,732 595017104 Microchip Technology, Inc. 33,598 3,452,530 60770K107 1Moderna, Inc. 10,892 770,609 60855R100 1Molina Healthcare, Inc. 8,777 1,606,542 609839105 Monolithic Power Systems 13,198 3,690,293 55354G100 MSCI, Inc., Class A 29,550 10,542,849 64125C109 1Neurocrine Biosciences, Inc. 37,595 3,615,135 G6518L108 PLC 124,511 1,765,566 G6674U108 1Novocure Ltd. 27,602 3,072,379 67018T105 Nu Skin Enterprises, Inc., Class A 4,602 230,514 679295105 1Okta, Inc. 44,855 9,592,242 681116109 1Ollie’s Bargain Outlet Holding, Inc. 41,245 3,602,751 67103H107 1O’Reilly Automotive, Inc. 14,533 6,700,876 697435105 1Palo Alto Networks, Inc. 20,292 4,966,467 704326107 Paychex, Inc. 13,078 1,043,232

FMGSF-2 CUSIP Security Description Current Shares Market Value 70614W100 1Peloton Interactive, Inc. 8,370 $ 830,639 714046109 PerkinElmer, Inc. 5,599 702,731 72352L106 1Pinterest, Inc. 89,284 3,706,179 724479100 Pitney Bowes, Inc. 35,233 187,087 73278L105 Pool Corp. 5,973 1,998,207 69355F102 1PPD, Inc. 42,583 1,575,145 69354M108 1PRA Health Sciences, Inc. 2,988 303,103 74838J101 1Quidel Corp. 3,758 824,430 257867200 R.R. Donnelley & Sons Co. 107,189 156,496 75606N109 1RealPage, Inc. 55,500 3,199,020 759916109 1Repligen Corp. 3,907 576,439 761152107 ResMed, Inc. 8,628 1,479,098 77543R102 1Roku, Inc. 2,556 482,573 780287108 Royal Gold, Inc. 3,717 446,672 749685103 RPM International, Inc. 10,836 897,654 78667J108 1SAGE Therapeutics, Inc. 79,258 4,844,249 803607100 1Sarepta Therapeutics, Inc. 14,241 1,999,864 78410G104 SBA Communications, Corp. 12,510 3,984,185 810186106 Scotts Miracle-Gro Co. 7,928 1,212,270 812578102 1Seattle Genetics, Inc. 15,451 3,023,606 848574109 Spirit AeroSystems Holdings, Inc., Class A 183,388 3,467,867 L8681T102 1Spotify Technology SA 15,923 3,862,442 85208M102 1Sprouts Farmers Market, Inc. 150,862 3,157,542 852234103 1Square, Inc. 42,267 6,870,501 78467J100 SS&C Technologies Holdings, Inc. 20,657 1,250,162 871607107 1Synopsys, Inc. 29,235 6,255,705 74144T108 T. Rowe Price Group, Inc. 1,156 148,222 874054109 1Take-Two Interactive Software, Inc. 26,074 4,307,946 875372203 1Tandem Diabetes Care, Inc. 12,044 1,366,994 88076W103 1Teradata Corp. 77,484 1,758,887 880770102 Teradyne, Inc. 67,274 5,345,592 100557107 1The Boston Beer Co., Inc., Class A 260 229,674 95058W100 The Wendy’s Co. 6,555 146,144 892356106 Tractor Supply Co. 25,404 3,641,409 88339J105 1Trade Desk, Inc./The 8,923 4,629,074 89400J107 TransUnion 79,560 6,693,383 896945201 1TripAdvisor, Inc. 7,465 146,239 90138F102 1Twilio, Inc. 19,898 4,916,597 91347P105 Universal Display Corp. 8,237 1,488,755 922475108 1Veeva Systems, Inc. 61,886 17,401,724 92343E102 1Verisign, Inc. 8,763 1,795,101 92345Y106 Verisk Analytics, Inc. 48,143 8,921,379 941848103 1Waters Corp. 20,148 3,942,561 94419L101 1Wayfair, Inc. 17,202 5,005,954 955306105 West Pharmaceutical Services, Inc. 4,049 1,113,070 959802109 Western Union Co. 26,053 558,316 983919101 Xilinx, Inc. 31,912 3,326,507 98419M100 Xylem, Inc. 9,366 787,868 98954M101 1Zillow Group, Inc. 28,220 2,865,459 98980G102 1Zscaler, Inc. 36,549 5,142,079 98986T108 1Zynga, Inc. 59,018 538,244 $507,523,716

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

The following acronyms are used throughout this portfolio:

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.

FMGSF-3 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) 9/30/2020

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