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Federated Hermes MDT Small Cap Core ETF (FSCC) is an ETF managed by Federated Hermes. Its largest position is American Healthcare REIT, Inc. (AHR), representing 2.61% of fund assets.

Federated Hermes MDT Small Cap Core ETF Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
FSCC
Type:
ETF
Manager:
Federated Hermes
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 23, 2026
Showing 50 out of 302 holdings
Holding Weight Market Value Shares
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American Healthcare REIT, Inc.
2.61% $4,009,263.28 76,747
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Primoris Services Corp
1.67% $2,559,074.88 16,979
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Mirum Pharmaceuticals, Inc.
1.31% $2,004,723.38 21,722
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Jackson Financial Inc.
1.28% $1,971,515.84 18,008
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POWELL INDUSTRIES INC
1.19% $1,824,222.40 3,484
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BankUnited, Inc.
1.19% $1,821,907.10 39,013
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Bloom Energy Corp
1.13% $1,742,258.64 11,192
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SPS COMMERCE INC
1.13% $1,731,127.34 30,634
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Mueller Water Products, Inc.
1.11% $1,702,687.77 56,889
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Sphere Entertainment Co.
1.08% $1,663,878.81 13,981
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Brookfield Infrastructure Corp
1.07% $1,640,652.96 32,892
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BrightSpring Health Services, Inc.
1.04% $1,604,583.90 38,730
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SSR MINING INC.
0.99% $1,525,162.20 47,380
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FB Financial Corp
0.98% $1,510,975.32 27,628
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FLUOR CORP
0.98% $1,508,149.61 28,831
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CNX Resources Corp
0.96% $1,479,555.14 35,413
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CNO Financial Group, Inc.
0.93% $1,429,191.23 34,183
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Hamilton Insurance Group, Ltd.
0.91% $1,399,468.59 44,301
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Allegiant Travel CO
0.91% $1,391,078.70 13,618
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EMCOR Group, Inc.
0.88% $1,352,865.54 1,867
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MGP INGREDIENTS INC
0.84% $1,292,893.00 68,047
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Skyward Specialty Insurance Group, Inc.
0.82% $1,260,777.57 27,131
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SKYWEST INC
0.80% $1,228,664.40 11,805
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Arcutis Biotherapeutics, Inc.
0.78% $1,203,293.52 44,616
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Postal Realty Trust, Inc.
0.78% $1,199,748.75 57,875
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TRUSTMARK CORP
0.78% $1,198,567.78 28,142
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BridgeBio Pharma, Inc.
0.78% $1,196,241.12 17,994
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Artisan Partners Asset Management Inc.
0.76% $1,170,657.64 29,063
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Nextpower Inc.
0.76% $1,167,766.10 11,111
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Guardant Health, Inc.
0.76% $1,165,768.50 12,415
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National Vision Holdings, Inc.
0.76% $1,161,382.14 43,062
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Indivior Pharmaceuticals, Inc.
0.75% $1,151,973.04 35,207
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BYLINE BANCORP, INC.
0.75% $1,147,036.80 36,764
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OUTFRONT Media Inc.
0.75% $1,144,563.68 39,728
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TALOS ENERGY INC.
0.73% $1,126,093.50 91,926
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ADVANCED ENERGY INDUSTRIES INC
0.72% $1,100,669.60 3,280
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METHODE ELECTRONICS INC
0.69% $1,053,726.84 124,554
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PORTLAND GENERAL ELECTRIC CO /OR/
0.67% $1,031,121.64 19,109
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WATTS WATER TECHNOLOGIES INC
0.66% $1,014,162.90 3,085
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COMMERCIAL METALS Co
0.66% $1,011,979.80 13,806
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TACTILE SYSTEMS TECHNOLOGY INC
0.66% $1,010,358.55 34,495
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Coeur Mining, Inc.
0.66% $1,006,423.35 37,069
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NEWMARK GROUP, INC.
0.64% $987,592.32 68,016
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AXCELIS TECHNOLOGIES INC
0.63% $960,506.47 11,627
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Krispy Kreme, Inc.
0.62% $948,633.75 252,969
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Acadian Asset Management Inc.
0.60% $927,146.04 17,214
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HALOZYME THERAPEUTICS, INC.
0.60% $925,444.30 13,310
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Otter Tail Corp
0.60% $924,611.50 10,865
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VIASAT INC
0.60% $921,826.08 20,136
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Amalgamated Financial Corp.
0.60% $920,911.74 23,926
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