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Federated MDT Small Cap Core Fund

Federated MDT Small Cap Core Fund - Portfolio Holdings - March 29, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 336901103 1ST SOURCE CORP. 36,561.00 1,641,954.00 002896207 ABERCROMBIE & FITCH CO., CLASS A 103,920.00 2,848,447.00 00401C108 1 ACACIA COMMUNICATIONS, INC. 30,817.00 1,767,355.00 00081T108 ACCO CORP. 155,374.00 1,330,001.00 00484M106 1 ACORDA THERAPEUTICS, INC. 190,975.00 2,538,058.00 00ESC5984 1 ,2 ADEPTUS HEALTH, INC., CLASS A 66,205.00 0.00 00790X101 1 ADVANCED DISPOSAL SERVICES, INC. 247,131.00 6,919,668.00 007973100 1 ADVANCED ENERGY INDUSTRIES, INC. 33,633.00 1,670,887.00 009728106 1 AKORN, INC. 709,332.00 2,496,849.00 01741R102 1 ALLEGHENY TECHNOLOGIES, INC. 125,049.00 3,197,503.00 02156B103 1 ALTERYX, INC. 42,850.00 3,593,829.00 02208R106 ALTRA HOLDINGS, INC. 47,301.00 1,468,696.00 00163U106 1 AMAG PHARMACEUTICAL, INC. 143,048.00 1,842,458.00 023436108 1 AMEDISYS, INC. 32,221.00 3,971,560.00 02553E106 AMERICAN EAGLE OUTFITTERS, INC. 214,294.00 4,750,898.00 025676206 AMERICAN EQUITY INVESTMENT LIFE HOLDING CO. 181,007.00 4,890,809.00 029227105 1 AMERICAN RENAL ASSOCIATES HOLDINGS, INC. 114,001.00 699,966.00 03272L108 1 ANAPLAN, INC. 42,822.00 1,685,474.00 039380407 ARCH COAL, INC. 119,729.00 10,927,666.00 040047607 1 ARENA PHARMACEUTICALS, INC. 11,869.00 532,087.00 04269X105 1 ARRAY BIOPHARMA, INC. 237,680.00 5,794,639.00 043436104 1 ASBURY AUTOMOTIVE GROUP, INC. 16,356.00 1,134,452.00 04545L107 1 ASSERTIO THERAPEUTICS, INC. 361,657.00 1,833,601.00 047649108 1 ATKORE INTERNATIONAL GROUP, INC. 146,796.00 3,160,518.00 05070R104 1 AUDENTES THERAPEUTICS, INC. 112,397.00 4,385,731.00 05379B107 AVISTA CORP. 40,681.00 1,652,462.00 002444107 AVX CORP. 135,727.00 2,353,506.00 05945F103 BANCFIRST CORP. 35,640.00 1,858,626.00 05971J102 BANCORPSOUTH 250,214.00 7,061,039.00 06652V208 BANNER CORP. 97,313.00 5,271,445.00 07556Q881 1 BEAZER HOMES USA, INC. 120,824.00 1,390,684.00 075896100 BED BATH & BEYOND, INC. 84,233.00 1,431,118.00 08180D106 1 BENEFITFOCUS, INC. 100,147.00 4,959,280.00 09058V103 1 BIOCRYST PHARMACEUTICALS, INC. 351,678.00 2,862,659.00 G11196105 1 BIOHAVEN PHARMACEUTICAL HOLDING CO., LTD. 103,948.00 5,350,204.00 090672106 1 BIOTELEMETRY, INC. 54,762.00 3,429,196.00 09180C106 BJ'S RESTAURANTS, INC. 128,302.00 6,066,119.00 09739D100 BOISE CASCADE CO. 135,784.00 3,633,580.00 099406100 1 BOOT BARN HOLDINGS, INC. 59,163.00 1,741,759.00 109641100 BRINKER INTERNATIONAL, INC. 45,931.00 2,038,418.00 118440106 BUCKLE, INC. 55,389.00 1,036,882.00 12709P103 CABOT MICROELECTRONICS CORP. 35,151.00 3,935,506.00 127190304 1 CACI INTERNATIONAL, INC., CLASS A 50,680.00 9,224,774.00 12739A100 CADENCE BANCORPORATION 178,873.00 3,318,094.00 131193104 CALLAWAY GOLF CO. 394,048.00 6,277,185.00 141619106 1 CARDIOVASCULAR SYSTEMS, INC. 115,802.00 4,476,905.00 14167L103 1 CAREDX, INC. 102,835.00 3,241,359.00 144285103 CARPENTER TECHNOLOGY CORP. 131,806.00 6,043,305.00 147448104 1 CASELLA WASTE SYSTEMS, INC. 60,365.00 2,146,579.00

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Federated MDT Small Cap Core Fund - Portfolio Holdings - March 29, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 125141101 1 CECO ENVIRONMENTAL CORP. 208,195.00 1,499,004.00 16115Q308 1 CHART INDUSTRIES, INC. 35,311.00 3,196,352.00 163086101 1 CHEFS WAREHOUSE, INC. 91,414.00 2,838,405.00 163092109 1 CHEGG, INC. 59,420.00 2,265,091.00 168615102 CHICOS FAS, INC. 217,158.00 927,265.00 171779309 1 CIENA CORP. 107,405.00 4,010,503.00 172755100 1 CIRRUS LOGIC, INC. 20,780.00 874,215.00 18539C105 CLEARWAY ENERGY, INC. 654,905.00 9,522,319.00 191098102 COCA-COLA BOTTLING CO. 6,204.00 1,785,697.00 199908104 COMFORT SYSTEMS USA, INC. 120,879.00 6,332,851.00 201723103 COMMERCIAL METALS CORP. 81,564.00 1,393,113.00 204166102 1 COMMVAULT SYSTEMS, INC. 95,170.00 6,161,306.00 207410101 CONMED CORP. 41,237.00 3,430,094.00 208242107 1 CONN'S, INC. 40,745.00 931,431.00 20854L108 1 CONSOL ENERGY, INC. 47,111.00 1,612,139.00 211171103 1 CONTINENTAL BUILDING PRODUCTS, INC. 245,061.00 6,075,062.00 21676P103 1 COOPER-STANDARD HOLDING, INC. 64,488.00 3,028,356.00 21925Y103 1 CORNERSTONE ONDEMAND, INC. 20,203.00 1,106,720.00 22266L106 1 COUPA SOFTWARE, INC. 46,919.00 4,268,691.00 24665A103 DELEK US HOLDINGS, INC. 56,619.00 2,062,064.00 248019101 DELUXE CORP. 79,917.00 3,493,971.00 24823R105 1 DENALI THERAPEUTICS, INC. 47,125.00 1,094,242.00 247916208 1 DENBURY RESOURCES, INC. 850,893.00 1,744,331.00 25271C102 1 DIAMOND OFFSHORE DRILLING, INC. 567,237.00 5,950,316.00 253031108 1 DICERNA PHARMACEUTICALS, INC. 84,779.00 1,242,012.00 254423106 DINE BRANDS GLOBAL, INC. 18,842.00 1,720,086.00 254543101 1 DIODES, INC. 278,747.00 9,672,521.00 269796108 1 EAGLE PHARMACEUTICALS, INC. 26,395.00 1,332,683.00 27875T101 1 ECHO GLOBAL LOGISTICS, INC. 206,340.00 5,113,105.00 26856L103 1 ELF BEAUTY, INC. 289,347.00 3,067,078.00 29103B100 EMERALD EXPOSITIONS EVENTS, INC. 198,610.00 2,522,347.00 292218104 EMPLOYERS HOLDINGS, INC. 58,684.00 2,353,815.00 G30401106 1 ENDO INTERNATIONAL PLC 206,737.00 1,660,098.00 29357K103 1 ENOVA INTERNATIONAL, INC. 57,924.00 1,321,826.00 293712105 ENTERPRISE FINANCIAL SERVICES CORP. 56,195.00 2,291,070.00 G3198U102 1 ESSENT GROUP LTD. 89,632.00 3,894,510.00 30034T103 1 EVERI HOLDINGS, INC. 143,019.00 1,504,560.00 30227H106 1 EXTERRAN CORP. 130,992.00 2,207,215.00 302301106 1 EZCORP, INC., CLASS A 236,210.00 2,201,477.00 G3323L100 1 FABRINET 59,979.00 3,140,500.00 31189P102 1 FATE THERAPEUTICS, INC. 167,056.00 2,935,174.00 60934N583 3 FEDERATED INSTITUTIONAL PRIME VALUE OBLIGATIONS FUND, INSTITUTIONAL SHARES, 2.53% 20,280,788.00 20,284,844.00 317585404 FINANCIAL INSTITUTIONS, INC. 35,247.00 958,013.00 318672706 FIRST BANCORP 469,220.00 5,377,261.00 318910106 FIRST BANCORP, INC. 223,431.00 7,766,462.00 319383204 FIRST BUSEY CORP. 46,068.00 1,124,059.00 32006W106 FIRST DEFIANCE FINANCIAL CORP. 170,742.00 4,907,125.00 32043P106 FIRST GUARANTY BANCSHARES, INC. 48,448.00 993,184.00 320817109 FIRST MERCHANTS CORP. 105,545.00 3,889,334.00 32115D106 1 FIRST NBC BANK HOLDING CO. 124,151.00 2,111.00 338307101 1 FIVE9, INC. 142,048.00 7,504,396.00 34988V106 1 FOSSIL, INC. 90,548.00 1,242,319.00 351793104 1 FRANCESCA'S HOLDINGS CORP. 220,782.00 149,337.00 358039105 1 FRESHPET, INC. 105,006.00 4,440,704.00 35906A306 1 FRONTIER COMMUNICATIONS CORP. 679,348.00 1,351,903.00 302941109 1 FTI CONSULTING, INC. 52,327.00 4,019,760.00 360271100 FULTON FINANCIAL CORP. 510,292.00 7,899,320.00

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Federated MDT Small Cap Core Fund - Portfolio Holdings - March 29, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 36237H101 1 G-III APPAREL GROUP LTD. 96,970.00 3,874,921.00 361448103 GATX CORP. 48,682.00 3,717,844.00 368736104 1 GENERAC HOLDINGS, INC. 128,399.00 6,577,881.00 37244C101 1 GENOMIC HEALTH, INC. 102,401.00 7,173,190.00 379577208 1 , INC. 53,617.00 2,649,216.00 38068T105 GOLD RESOURCE CORP. 348,018.00 1,367,711.00 39304D102 1 GREEN DOT CORP. 136,322.00 8,267,929.00 402307102 GULF ISLAND FABRICATION, INC. 118,854.00 1,089,891.00 40637H109 1 HALOZYME THERAPEUTICS, INC. 276,665.00 4,454,306.00 410120109 HANCOCK WHITNEY CORP. 112,007.00 4,525,083.00 415864107 1 HARSCO CORP. 145,489.00 2,933,058.00 422819102 HEIDRICK & STRUGGLES INTERNATIONAL, INC. 115,307.00 4,419,717.00 40425J101 1 HMS HOLDINGS CORP. 221,932.00 6,571,407.00 437872104 HOMETRUST BANCSHARES, INC. 99,133.00 2,498,152.00 44109J106 1 HOSTESS BRANDS, INC. 63,308.00 791,350.00 44157R109 1 HOUGHTON MIFFLIN HARCOURT CO. 170,348.00 1,238,430.00 443320106 1 HUB GROUP, INC. 80,814.00 3,301,252.00 443573100 1 HUBSPOT, INC. 62,509.00 10,389,621.00 447324104 HURCO CO., INC. 79,039.00 3,187,643.00 450828108 IBERIABANK CORP. 114,785.00 8,231,232.00 45245E109 1 IMAX CORP. 95,956.00 2,176,282.00 45667G103 1 INFINERA CORP. 272,742.00 1,183,700.00 45688C107 1 INGEVITY CORP. 40,063.00 4,231,053.00 45765U103 1 INSIGHT ENTERPRISES, INC. 64,659.00 3,560,125.00 457669307 1 INSMED, INC. 140,084.00 4,072,242.00 45778Q107 INSPERITY, INC. 56,682.00 7,009,296.00 45826H109 1 INTEGER HOLDINGS CORP. 11,456.00 864,012.00 45845P108 1 INTERCEPT GROUP, INC. 25,171.00 2,815,628.00 46146L101 INVESTORS BANCORP, INC. 682,103.00 8,082,921.00 48123V102 J2 GLOBAL, INC. 60,049.00 5,200,243.00 48273U102 1 K12, INC. 233,298.00 7,962,461.00 483548103 KAMAN CORP., CLASS A 75,657.00 4,421,395.00 48576U106 1 KARYOPHARM THERAPEUTICS, INC. 50,578.00 295,376.00 48666K109 KB HOME 537,590.00 12,993,550.00 488401100 KEMPER CORP. 35,017.00 2,666,195.00 49309J103 1 KEY ENERGY SERVICES, INC. 221,309.00 898,515.00 49428J109 1 KIMBALL ELECTRONICS, INC. 57,846.00 896,035.00 500643200 94,814.00 4,245,771.00 50077C106 1 KRATON CORP. 211,131.00 6,794,196.00 G5785G107 1 MALLINCKRODT PLC 202,860.00 4,410,176.00 575385109 1 MASONITE INTERNATIONAL CORP. 125,807.00 6,276,511.00 57778K105 MAXAR TECHNOLOGIES, INC. 213,604.00 858,688.00 577933104 MAXIMUS, INC. 14,933.00 1,059,945.00 58470H101 MEDIFAST, INC. 22,892.00 2,919,875.00 58506Q109 1 MEDPACE HOLDINGS, INC. 38,179.00 2,251,416.00 589378108 1 MERCURY SYSTEMS, INC. 51,713.00 3,313,769.00 58958U103 MERIDIAN BANCORP, INC. 156,105.00 2,449,287.00 589889104 1 MERIT MEDICAL SYSTEMS, INC. 104,858.00 6,483,370.00 59001K100 1 MERITOR, INC. 133,338.00 2,713,428.00 552848103 1 MGIC INVESTMENT CORP. 550,015.00 7,254,698.00 600544100 MILLER HERMAN, INC. 200,406.00 7,050,283.00 60468T105 1 MIRATI THERAPEUTICS, INC. 68,077.00 4,990,044.00 60855R100 1 , INC. 38,531.00 5,469,861.00 624580106 MOVADO GROUP, INC. 53,188.00 1,934,979.00 628464109 MYERS INDUSTRIES, INC. 87,515.00 1,497,382.00 633707104 NATIONAL BANK HOLDINGS CORP. 156,974.00 5,220,955.00 635017106 1 NATIONAL BEVERAGE CORP. 25,100.00 1,449,023.00 636220303 NATIONAL GENERAL HOLDINGS CORP. 414,118.00 9,827,020.00 64111Q104 1 NETGEAR, INC. 176,660.00 5,850,979.00

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Federated MDT Small Cap Core Fund - Portfolio Holdings - March 29, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE 64115T104 1 NETSCOUT SYSTEMS, INC. 92,923.00 2,608,349.00 649604501 NEW YORK MORTGAGE TRUST, INC. 619,631.00 3,773,553.00 651718504 1 NEWPARK RESOURCES, INC. 294,187.00 2,694,753.00 65336K103 NEXSTAR MEDIA GROUP, INC., CLASS A 30,420.00 3,296,615.00 65406E102 1 NICOLET BANKSHARES, INC. 19,683.00 1,173,107.00 G65431101 1 NOBLE CORP. PLC 208,517.00 598,444.00 66765N105 NORTHWEST NATURAL HOLDING CO. 27,341.00 1,794,390.00 675234108 OCEANFIRST FINANCIAL CORP. 169,690.00 4,082,741.00 681116109 1 OLLIE'S BARGAIN OUTLET HOLDING, INC. 25,390.00 2,166,529.00 68752M108 1 ORTHOFIX MEDICAL, INC. 70,409.00 3,971,772.00 695127100 1 PACIRA PHARMACEUTICALS, INC. 76,733.00 2,920,458.00 70338P100 PATTERN ENERGY GROUP, INC. 167,126.00 3,676,772.00 70438V106 1 PAYLOCITY CORP. 75,776.00 6,758,461.00 704551100 PEABODY ENERGY CORP. 138,519.00 3,924,243.00 704699107 PEAPACK-GLADSTONE FINANCIAL CORP. 118,289.00 3,101,538.00 71377A103 1 PERFORMANCE FOOD GROUP CO. 205,595.00 8,149,786.00 716382106 PETMED EXPRESS, INC. 88,193.00 2,009,037.00 72703H101 1 PLANET FITNESS, INC. 202,100.00 13,888,312.00 729132100 1 PLEXUS CORP. 71,159.00 4,337,141.00 69349H107 PNM RESOURCES, INC. 245,201.00 11,607,815.00 736508847 PORTLAND GENERAL ELECTRIC CO. 89,287.00 4,628,638.00 74727A104 QCR HOLDINGS, INC. 112,685.00 3,822,275.00 747301109 QUAD GRAPHICS, INC. 65,497.00 779,414.00 74758T303 1 QUALYS, INC. 17,283.00 1,429,995.00 74933V108 1 RA PHARMACEUTICALS, INC. 261,959.00 5,867,882.00 750236101 , INC. 259,359.00 5,379,106.00 75615P103 1 REATA PHARMACEUTICALS, INC. 51,092.00 4,366,833.00 75972A301 1 RENEWABLE ENERGY GROUP, INC. 67,961.00 1,492,424.00 759916109 1 REPLIGEN CORP. 106,671.00 6,302,123.00 760281204 REPUBLIC BANCORP, INC. 21,857.00 977,445.00 749527107 REV GROUP, INC. 154,753.00 1,694,546.00 76169B102 1 REXNORD CORP. 217,144.00 5,459,000.00 74967X103 1 RH 35,344.00 3,638,665.00 781846209 RUSH ENTERPRISES, INC. 92,288.00 3,858,561.00 78781P105 1 SAILPOINT TECHNOLOGIES HOLDING 32,591.00 936,013.00 79546E104 1 SALLY BEAUTY HOLDINGS, INC. 323,315.00 5,952,229.00 806882106 SCHNITZER STEEL INDUSTRIES, INC., CLASS A 121,607.00 2,918,568.00 81282V100 1 SEAWORLD ENTERTAINMENT, INC. 271,377.00 6,990,671.00 82312B106 SHENANDOAH TELECOMMUNICATIONS CO. 228,370.00 10,130,493.00 G81276100 SIGNET JEWELERS LTD. 118,014.00 3,205,260.00 828730200 SIMMONS 1ST NATIONAL CORP., CLASS A 58,995.00 1,444,198.00 829226109 SINCLAIR BROADCAST GROUP, INC. 148,641.00 5,719,706.00 844895102 SOUTHWEST GAS HOLDINGS, INC. 142,768.00 11,744,096.00 845467109 1 SOUTHWESTERN ENERGY CO. 337,940.00 1,584,938.00 78463M107 1 SPS COMMERCE, INC. 111,256.00 11,799,811.00 78469X107 1 SPX FLOW, INC. 132,287.00 4,219,955.00 852857200 1 STAMPS.COM, INC. 5,391.00 438,881.00 858155203 STEELCASE, INC., CLASS A 269,451.00 3,920,512.00 M85548101 1 STRATASYS, INC. 246,942.00 5,882,159.00 868873100 1 SURMODICS, INC. 22,421.00 974,865.00 875372203 1 TANDEM DIABETES CARE, INC. 24,136.00 1,532,636.00 878237106 1 TECH DATA CORP. 45,329.00 4,642,143.00 87901J105 TEGNA, INC. 340,490.00 4,800,909.00 88033G407 1 TENET HEALTHCARE CORP. 138,754.00 4,001,665.00 100557107 1 THE BOSTON BEER CO., INC., CLASS A 6,028.00 1,776,632.00 88830R101 1 TITAN MACHINERY, INC. 169,150.00 2,631,974.00 89214P109 TOWNEBANK 56,318.00 1,393,871.00 87265H109 1 TRI POINTE GROUP, INC. 464,611.00 5,872,683.00 896095106 TRICO BANCSHARES 70,286.00 2,761,537.00

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Federated MDT Small Cap Core Fund - Portfolio Holdings - March 29, 2019

CUSIP SECURITY DESCRIPTION CURRENT SHARES MARKET VALUE L9340P101 TRINSEO SA 77,766.00 3,522,800.00 90337L108 U.S. PHYSICAL THERAPY, INC. 22,210.00 2,332,716.00 902673102 1 UFP TECHNOLOGIES, INC. 28,208.00 1,054,979.00 904708104 UNIFIRST CORP. 30,692.00 4,711,222.00 909214306 1 UNISYS CORP. 185,807.00 2,168,368.00 913456109 UNIVERSAL CORP. 50,347.00 2,901,498.00 91359V107 UNIVERSAL INSURANCE HOLDINGS, INC. 51,028.00 1,581,868.00 91388P105 UNIVERSAL TRUCKLOAD SERVICES, INC. 118,160.00 2,325,389.00 90328M107 1 USANA HEALTH SCIENCES, INC. 49,090.00 4,117,178.00 919794107 VALLEY NATIONAL BANCORP 268,161.00 2,568,982.00 921659108 1 VANDA PHARMACEUTICALS, INC. 58,541.00 1,077,154.00 92343X100 1 , INC. 19,153.00 1,146,499.00 923454102 1 VERITIV CORP. 39,898.00 1,050,115.00 92531L207 1 VERSO CORP. 61,218.00 1,311,290.00 928298108 , INC. 236,769.00 4,373,123.00 92922P106 1 W&T OFFSHORE, INC. 97,382.00 671,936.00 938824109 WASHINGTON FEDERAL, INC. 27,338.00 789,795.00 94188P101 WATERSTONE FINANCIAL, INC. 227,145.00 3,738,807.00 948626106 1 WEIGHT WATCHERS INTERNATIONAL, INC. 213,057.00 4,293,098.00 950755108 WERNER ENTERPRISES, INC. 260,814.00 8,906,798.00 958892101 WESTERN NEW ENGLAND BANCORP, INC. 108,805.00 1,004,270.00 974155103 WINGSTOP, INC. 34,334.00 2,610,414.00 97650W108 CORP. 47,820.00 3,219,721.00 98139A105 1 WORKIVA, INC. 165,669.00 8,399,418.00 98156Q108 WORLD WRESTLING ENTERTAINMENT, INC. 65,655.00 5,697,541.00 N96617118 1 WRIGHT MEDICAL GROUP, INC. 183,675.00 5,776,579.00 929328102 WSFS FINANCIAL CORP. 43,231.00 1,668,717.00 98421B100 XPERI CORP. 16,243.00 380,086.00 985817105 1 YELP, INC. 106,405.00 3,670,972.00 98585X104 1 YETI HOLDINGS, INC. 104,354.00 3,156,708.00 98980G102 1 ZSCALER, INC. 59,263.00 4,203,525.00 $950,426,750.00

1 Non-income-producing security. 2 Market quotations and price evaluations are not available. Fair value determined using significant unobservable inputs in accordance with procedures established by and under the general supervision of the Fund's Board of Trustees. 3 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 (35645) 3/29/2019

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