FEDERATED HERMES ULTRASHORT BOND FUND INST'L SHARES - MUTUAL FUND

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / MUTUAL FUND
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
141,089
Holdings value
$1,313,547
% of all portfolios
0%
Number of holders
2
Number of buys
2
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FEDERATED HERMES ULTRASHORT BOND FUND INST'L SHARES - MUTUAL FUND

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 141,089 $1,313,547 +$1,005,347 $9.34 2
2025 Q2 33,104 $307,541 +$45,094 $9.29 1
2025 Q1 28,250 $262,444 +$262,444 $9.29 1
2024 Q4 0 $0 -$414,375 0
2024 Q3 44,556 $414,375 +$5,320 $9.3 1
2024 Q2 54,478 $502,288 +$450,489 $9.22 2
2024 Q1 5,309 $48,679 $9.17 1
2023 Q4 5,620 $51,531 +$2,852 $9.17 2
2023 Q3 0 $0 -$9,434,844 0
2023 Q2 1,043,677 $9,434,844 +$124,671 $9.04 2
2023 Q1 1,029,886 $9,289,569 -$599,559 $9.02 2
2022 Q4 1,096,356 $9,824,000 +$33,719 $8.96 1
2022 Q3 1,092,593 $9,790,000 +$108,877 $8.96 1
2022 Q2 1,080,442 $9,702,000 -$402,171 $8.98 1
2022 Q1 1,125,102 $10,205,000 -$115,236 $9.08 2
2021 Q4 1,137,807 $10,434,000 -$159,228 $9.18 2
2021 Q3 1,155,200 $10,651,000 +$31,007 $9.22 1
2021 Q2 1,151,837 $10,620,000 +$113,610 $9.22 1
2021 Q1 1,139,515 $10,507,000 -$948,337 $9.22 1
2020 Q4 1,242,322 $11,455,000 +$1,796,496 $9.24 2
2020 Q3 1,034,618 $9,508,000 -$111,436 $9.19 1
2020 Q2 1,046,744 $9,546,000 +$565,996 $9.12 1
2020 Q1 984,681 $8,715,000 -$698,152 $8.85 1
2019 Q4 1,063,563 $9,732,000 +$159,400 $9.15 1
2019 Q3 1,046,143 $9,572,000 +$555,375 $9.15 1
2019 Q2 985,445 $9,007,000 +$832,447 $9.14 1
2019 Q1 6,982,008 $63,536,000 +$1,244,565 $9.1 2
2018 Q4 6,845,239 $61,949,000 +$1,909,675 $9.05 2
2018 Q3 6,634,226 $60,306,000 +$40,409,763 $9.09 2
2018 Q2 2,188,718 $19,895,000 -$638,200 $9.09 2
2018 Q1 2,258,929 $20,534,000 -$10,071,173 $9.09 2
2017 Q4 3,366,865 $30,672,000 +$5,301,368 $9.11 2
2017 Q3 2,784,896 $25,399,000 +$6,655,858 $9.12 2
2017 Q2 2,055,085 $18,742,000 -$314,956 $9.12 2
2017 Q1 2,089,616 $19,036,000 -$3,827,893 $9.11 2
2016 Q4 2,509,797 $22,839,000 +$6,530,435 $9.1 3
2016 Q3 1,792,132 $16,325,000 +$331,197 $9.11 4
2016 Q2 1,755,749 $15,977,000 -$5,172,301 $9.1 3
2016 Q1 2,325,923 $21,096,000 -$299,487 $9.07 4
2015 Q4 2,358,970 $21,372,000 +$736,385 $9.06 3
2015 Q3 2,277,749 $20,705,000 -$2,828,501 $9.09 3
2015 Q2 2,588,644 $23,610,296 +$165,040 $9.12 4
2015 Q1 2,570,510 $23,495,000 -$112,032 $9.14 3
2014 Q4 2,582,767 $23,581,358 +$1,529,656 $9.13 3
2014 Q3 2,415,232 $22,123,849 +$1,035,919 $9.16 3
2014 Q2 2,302,141 $21,133,649 -$854,172 $9.18 3
2014 Q1 2,395,191 $21,939,296 +$1,052,902 $9.16 3