FEDERATED HERMES EQUITY FDS - FH STRA DVD IS Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / FH STRA DVD IS
Price per share
$6.39
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
765,581
Total reported value
$4,991,596
% of total 13F portfolios
0%
Share change
-12,873
Value change
-$83,935
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 3 institutional investors reported holding 765,581 shares of FEDERATED HERMES EQUITY FDS - FH STRA DVD IS.

Institutional Holders of FEDERATED HERMES EQUITY FDS - FH STRA DVD IS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 712,392 $4,552,191 -$62,967 $6.39 1
2025 Q3 765,581 $4,991,596 -$83,935 $6.52 3
2025 Q2 778,454 $4,795,283 -$410,170 $6.16 2
2025 Q1 845,040 $5,323,764 -$342,483 $6.30 2
2024 Q4 899,402 $5,315,470 -$144,122 $5.91 2
2024 Q3 923,788 $5,819,868 -$278,347 $6.30 2
2024 Q2 969,257 $5,389,073 -$1,693,176 $5.56 2
2024 Q1 1,273,600 $7,157,490 -$1,122,145 $5.62 3
2023 Q4 1,473,270 $8,058,586 -$857,226 $5.47 3
2023 Q3 1,629,984 $8,311,967 -$1,624,916 $5.10 3
2023 Q2 1,945,991 $10,517,125 -$3,072,207 $5.40 4
2023 Q1 2,514,736 $14,157,624 -$14,832,826 $5.63 3
2022 Q4 5,149,341 $29,969,451 +$3,884,495 $5.82 3
2022 Q3 4,485,168 $24,265,000 +$6,126,473 $5.41 4
2022 Q2 3,307,729 $20,045,000 +$14,932,132 $6.06 2
2022 Q1 843,642 $5,281,000 -$56,134 $6.26 2
2021 Q4 852,636 $5,022,000 -$1,253,253 $5.89 3
2021 Q3 1,049,758 $5,815,000 -$582,376 $5.54 4
2021 Q2 1,131,230 $6,380,000 -$981,114 $5.64 3
2021 Q1 1,305,179 $7,104,000 -$175,164 $5.44 3
2020 Q4 1,338,109 $6,744,000 -$1,102,180 $5.04 2
2020 Q3 1,556,820 $7,239,000 -$4,148,943 $4.65 2
2020 Q2 2,449,085 $11,365,000 -$3,910,312 $4.64 2
2020 Q1 3,291,752 $14,220,000 -$3,295,583 $4.32 2
2019 Q4 4,120,650 $23,569,000 +$1,044,688 $5.72 3
2019 Q3 3,928,999 $22,748,000 -$360,820 $5.79 5
2019 Q2 3,987,287 $22,567,000 -$1,466,986 $5.66 4
2019 Q1 4,246,792 $24,454,000 -$257,750 $5.76 6
2018 Q4 4,240,445 $22,134,000 -$1,096,588 $5.22 6
2018 Q3 4,450,502 $26,034,000 -$1,790,152 $5.85 5
2018 Q2 4,756,511 $27,444,000 -$6,718,530 $5.77 5
2018 Q1 5,921,202 $33,832,000 -$1,141,037 $5.70 6
2017 Q4 6,121,353 $37,646,000 -$3,586 $6.15 6
2017 Q3 6,077,878 $39,019,000 -$1,857,302 $6.42 6
2017 Q2 6,367,459 $40,036,000 -$1,115,200 $6.28 7
2017 Q1 6,545,586 $40,452,005 -$706,365 $6.18 10
2016 Q4 6,674,439 $39,444,000 -$1,858,994 $5.91 11
2016 Q3 6,987,903 $43,185,000 -$9,142,686 $6.18 10
2016 Q2 8,446,012 $54,054,085 -$4,339,545 $6.40 12
2016 Q1 8,539,676 $51,664,000 -$2,147,793 $6.05 7
2015 Q4 9,366,527 $52,827,570 +$5,096,575 $5.64 7
2015 Q3 7,992,303 $45,315,000 -$8,591,310 $5.67 6
2015 Q2 9,471,044 $55,024,875 -$7,318,122 $5.80 9
2015 Q1 10,715,642 $63,115,000 +$3,399,147 $5.89 11
2014 Q4 10,138,601 $59,918,432 +$8,361,303 $5.91 9
2014 Q3 8,723,852 $53,564,680 +$1,494,793 $6.14 7
2014 Q2 8,480,369 $53,935,156 -$1,168,503 $6.36 6
2014 Q1 8,664,096 $51,204,875 -$174,062 $5.91 6