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Holdings of Federated Hermes MDT Large Cap Core ETF

Federated Hermes ETF Trust · Original filing · Compare with another fund · Report an error

Net assets
61.4M $ including 61.1M $ in equities, 99.5 %
Positions
150 in 3 countries
Top ten
34.5 % of net assets
Filed on
Feb 28, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1Alphabet Inc 11,3533.5M $5.76 %
2Apple Inc 13,0343.4M $5.61 %
3NVIDIA Corp 18,3683.3M $5.30 %
4Microsoft Corp 7,4002.9M $4.73 %
5Fiserv Inc 25,3881.6M $2.57 %
6Broadcom Inc 4,7441.5M $2.47 %
7AbbVie Inc 5,8011.3M $2.19 %
8GE Vernova Inc 1,4411.3M $2.05 %
9Amazon.com Inc 5,6401.2M $1.93 %
10Travelers Cos Inc/The 3,7971.2M $1.91 %
11General Electric Co 3,2971.1M $1.84 %
12Viking Holdings Ltd 14,1031.1M $1.79 %
13UnitedHealth Group Inc 3,5341M $1.69 %
14Veralto Corp 10,6111M $1.68 %
15State Street Corp 7,8991M $1.65 %
16Adobe Inc 3,8331M $1.64 %
17Ameriprise Financial Inc 1,940912K $1.48 %
18Bank of New York Mellon Corp/The 7,563900.8K $1.47 %
19Salesforce Inc 4,588893.7K $1.46 %
20Advance Auto Parts Inc 16,237863.3K $1.41 %
21Meta Platforms Inc 1,163753.8K $1.23 %
22Prudential Financial, Inc. 7,658753.4K $1.23 %
23Northern Trust Corp 5,187742.2K $1.21 %
24Costco Wholesale Corp 714721.7K $1.18 %
25Celanese Corp 13,894693.9K $1.13 %
26Palantir Technologies Inc 4,937677.3K $1.10 %
27Uber Technologies Inc 8,753660.2K $1.07 %
28Philip Morris International Inc. 3,487651.5K $1.06 %
29Regeneron Pharmaceuticals, Inc. 735574.5K $0.94 %
30Lululemon Athletica Inc 2,999555.3K $0.90 %
31Accenture PLC 2,526527.2K $0.86 %
32Newmont Corp 4,020522.6K $0.85 %
33Cheniere Energy Inc 2,149506.6K $0.82 %
34Elanco Animal Health Inc 18,891498.7K $0.81 %
35Micron Technology Inc 1,146472.6K $0.77 %
36Intuit Inc 1,112454.8K $0.74 %
37Cencora Inc 1,218453.3K $0.74 %
38QUALCOMM Inc 3,164450.4K $0.73 %
39Eli Lilly & Co 425447.1K $0.73 %
40Illumina Inc 3,273440.1K $0.72 %
41Amgen Inc 1,101427.4K $0.70 %
42Maplebear Inc 11,384427K $0.70 %
43Edison International 5,278394.5K $0.64 %
44Allison Transmission Holdings Inc 3,135392.8K $0.64 %
45Tesla Inc 918369.5K $0.60 %
46Kilroy Realty Corp 12,084360.3K $0.59 %
47Walmart Inc 2,811359.7K $0.59 %
48Netflix Inc 3,716357.6K $0.58 %
49Five Below Inc 1,594356.3K $0.58 %
50Fox Corp 6,219350.4K $0.57 %
51Interactive Brokers Group Inc 4,772339.7K $0.55 %
52Expedia Group Inc 1,546333.5K $0.54 %
53NetApp Inc 3,322329K $0.54 %
54Incyte Corp 3,230327.1K $0.53 %
55Arista Networks Inc 2,441325.9K $0.53 %
56Trade Desk Inc/The 13,476321K $0.52 %
57Duke Energy Corp 2,362309.1K $0.50 %
58EOG Resources Inc 2,484308.2K $0.50 %
59Kimberly-Clark Corp 2,720303.1K $0.49 %
60Trane Technologies PLC 646298.7K $0.49 %
61Gartner Inc 1,881295.7K $0.48 %
62GoDaddy Inc 3,338290.9K $0.47 %
63Palo Alto Networks Inc 1,928287.1K $0.47 %
64Cirrus Logic Inc 1,953275.6K $0.45 %
65Booking Holdings Inc 65275.6K $0.45 %
66Cardinal Health, Inc. 1,168267.7K $0.44 %
67Targa Resources Corp 1,124265K $0.43 %
68Johnson Controls International plc 1,746251.9K $0.41 %
69Align Technology Inc 1,274242.2K $0.39 %
70Morgan Stanley 1,422236.8K $0.39 %
71Reddit Inc 1,597232.9K $0.38 %
72Southwest Airlines Co 4,572225.2K $0.37 %
73Lennox International Inc 382217.7K $0.35 %
74eBay Inc 2,374215.7K $0.35 %
75Cisco Systems, Inc. 2,635209.4K $0.34 %
76General Motors Co 2,498196.6K $0.32 %
77Lockheed Martin Corp 296194.8K $0.32 %
78Curtiss-Wright Corp 274191.9K $0.31 %
79Murphy USA Inc 489191.1K $0.31 %
80Skyworks Solutions Inc 3,181189.5K $0.31 %
81PPG Industries Inc 1,495184.3K $0.30 %
82Workday Inc 1,374183.8K $0.30 %
83Exelon Corp 3,692182.6K $0.30 %
84Dollar Tree Inc 1,434181.4K $0.30 %
85Hartford Insurance Group Inc/The 1,239174.5K $0.28 %
86Weatherford International PLC 1,641173.1K $0.28 %
87Paycom Software Inc 1,348169.6K $0.28 %
88Kroger Co/The 2,403164K $0.27 %
89Cboe Global Markets Inc 536160.6K $0.26 %
90Humana Inc 841160.2K $0.26 %
91Analog Devices Inc 429152.6K $0.25 %
92Ulta Beauty Inc 219150K $0.24 %
93TJX Cos Inc/The 920148.7K $0.24 %
94Vertiv Holdings Co 557142K $0.23 %
95Lam Research Corp 607142K $0.23 %
96Virtu Financial Inc 3,392140.5K $0.23 %
97O'Reilly Automotive Inc 1,463137.3K $0.22 %
98Allegion plc 832134.1K $0.22 %
99Ryder System Inc 590130.7K $0.21 %
100Veeva Systems Inc 717130.5K $0.21 %

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Sector breakdown

  • Technology 29.5 %
  • Financials 13.3 %
  • Health care 12.0 %
  • Communication 8.2 %
  • Industrials 7.5 %
  • Consumer discretionary 7.1 %
  • Consumer staples 3.6 %
  • Energy 2.2 %
  • Utilities 1.8 %
  • Materials 1.3 %
  • Real estate 0.4 %
  • Unattributed 13.1 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 97.6 %
  • Bermuda 2.0 %
  • Ireland 0.4 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States14759.7M $97.61 %
2Bermuda21.2M $1.98 %
3Ireland1251.9K $0.41 %
Cite this page

Titelia. "Holdings of Federated Hermes MDT Large Cap Core ETF". https://titelia.com/en/funds/S000085753