0001707560-26-000061.txt : 20260423 0001707560-26-000061.hdr.sgml : 20260423 20260423101436 ACCESSION NUMBER: 0001707560-26-000061 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20260228 FILED AS OF DATE: 20260423 DATE AS OF CHANGE: 20260423 PERIOD START: 20260531 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Federated Hermes Adviser Series CENTRAL INDEX KEY: 0001707560 ORGANIZATION NAME: EIN: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23259 FILM NUMBER: 26886176 BUSINESS ADDRESS: STREET 1: 4000 ERICSSON DRIVE CITY: WARRENDALE STATE: PA ZIP: 15086-7561 BUSINESS PHONE: 1-800-341-7400 MAIL ADDRESS: STREET 1: 4000 ERICSSON DRIVE CITY: WARRENDALE STATE: PA ZIP: 15086-7561 FORMER COMPANY: FORMER CONFORMED NAME: Federated Adviser Series DATE OF NAME CHANGE: 20200616 FORMER COMPANY: FORMER CONFORMED NAME: Federated Hermes Adviser Series DATE OF NAME CHANGE: 20200615 FORMER COMPANY: FORMER CONFORMED NAME: Federated Adviser Series DATE OF NAME CHANGE: 20180820 0001707560 S000066202 Federated Hermes International Equity Fund C000213944 Institutional Shares PIUIX C000213945 Class R6 Shares PEIRX C000213946 Class A Shares PMIEX C000213947 Class C Shares PIUCX NPORT-P 1 primary_doc.xml NPORT-P false 0001707560 XXXXXXXX S000066202 C000213946 C000213947 C000213945 C000213944 Federated Hermes Adviser Series 811-23259 0001707560 2549001OZ5PPTI84LJ34 Federated Hermes Funds 4000 Ericsson Drive Warrendale 15086-7561 8003417400 Federated Hermes International Equity Fund S000066202 2549007INDPWBKOLWC94 2026-05-31 2026-02-28 N 197471943.720000000000 421999.270000000000 197049944.450000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N Rentokil Initial PLC 549300VN4WV7Z6T14K68 Rentokil Initial PLC 000000000 276393 NS 1702004.91 0.8637429027 Long EC CORP GB N 2 N N N Air Liquide S.A.(L') 969500MMPQVHK671GT54 Air Liquide SA 000000000 6367 NS 1332734.46 0.6763434842 Long EC CORP FR N 2 N N N Shinhan Financial Group Co Ltd 988400EB8A6G49E5KO54 Shinhan Financial Group Co Ltd 000000000 12641 NS 850207.91 0.4314682313 Long EC CORP KR N 2 N N N Renesas Electronics Corp. 5299000EPC47VJQOFB81 Renesas Electronics Corp 000000000 47700 NS 903158.75 0.4583400176 Long EC CORP JP N 2 N N N Alstom SA 96950032TUYMW11FB530 Alstom SA 000000000 29898 NS 998587.91 0.5067689376 Long EC CORP FR N 2 N N N Capgemini SE 96950077L0TN7BAROX36 Capgemini SE 000000000 3658 NS 462013.16 0.2344650039 Long EC CORP FR N 2 N N N Sony Group Corp 529900R5WX9N2OI2N910 Sony Group Corp 000000000 64700 NS 1495164.68 0.7587744742 Long EC CORP JP N 2 N N N AstraZeneca PLC PY6ZZQWO2IZFZC3IOL08 AstraZeneca PLC 000000000 2654 NS 558960.85 0.2836645560 Long EC CORP GB N 2 N N N Shin-Etsu Chemical Co Ltd 353800PX8Q64N86H5W41 Shin-Etsu Chemical Co Ltd 000000000 12300 NS 486337.32 0.2468091637 Long EC CORP JP N 2 N N N Deutsche Bank AG 7LTWFZYICNSX8D621K86 Deutsche Bank AG 000000000 26783 NS 958312.08 0.4863295357 Long EC CORP DE N 2 N N N UniCredit SpA 549300TRUWO2CD2G5692 UniCredit SpA 000000000 16618 NS 1401568.01 0.7112755164 Long EC CORP IT N 2 N N N Nintendo Co Ltd. 353800FEEXU6I9M0ZF27 Nintendo Co Ltd 000000000 14000 NS 789200.04 0.4005076186 Long EC CORP JP N 2 N N N Societe Generale SA O2RNE8IBXP4R0TD8PU41 Societe Generale SA 000000000 10023 NS 868551.87 0.4407775259 Long EC CORP FR N 2 N N N Banco Santander SA 5493006QMFDDMYWIAM13 Banco Santander SA 000000000 191642 NS 2399272.41 1.2175960854 Long EC CORP ES N 2 N N N SK hynix Inc 988400XAIK6XISWQV045 SK Hynix Inc 000000000 1145 NS 839630.6 0.4261003992 Long EC CORP KR N 2 N N N Nokia Oyj 549300A0JPRWG1KI7U06 Nokia Oyj 000000000 72725 NS 557684.82 0.2830169892 Long EC CORP FI N 2 N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays PLC 000000000 254004 NS 1533722.14 0.7783418281 Long EC CORP GB N 2 N N N Deutsche Telekom AG 549300V9QSIG4WX4GJ96 Deutsche Telekom AG 000000000 33229 NS 1337190.65 0.6786049363 Long EC CORP DE N 2 N N N Legrand SA 969500XXRPGD7HCAFA90 Legrand SA 000000000 5387 NS 971818.42 0.4931838082 Long EC CORP FR N 2 N N N Kawasaki Heavy Industries Ltd 5493008FFSI8SQ74AT93 Kawasaki Heavy Industries Ltd 000000000 17400 NS 2024403.23 1.0273553924 Long EC CORP JP N 2 N N N Melrose Industries PLC 213800RGNXXZY2M7TR85 Melrose Industries PLC 000000000 173507 NS 1330296.13 0.6751060670 Long EC CORP GB N 2 N N N LVMH Moet Hennessy Louis Vuitton SE IOG4E947OATN0KJYSD45 LVMH Moet Hennessy Louis Vuitton SE 000000000 1448 NS 921240.69 0.4675163409 Long EC CORP FR N 2 N N N Roche Holding AG 549300U41AUUVOAAOB37 Roche Holding AG 000000000 4885 NS 2331962.62 1.1834373395 Long EC CORP CH N 2 N N N Mitsubishi Estate Co Ltd 353800KOFMRGOXSJ5Z65 Mitsubishi Estate Co Ltd 000000000 47700 NS 1612452.76 0.8182964804 Long EC CORP JP N 2 N N N Imperial Brands PLC 549300DFVPOB67JL3A42 Imperial Brands PLC 000000000 39930 NS 1788893.01 0.9078373582 Long EC CORP GB N 2 N N N Prosus NV 635400Z5LQ5F9OLVT688 Prosus NV 000000000 13366 NS 684788.84 0.3475204431 Long EC CORP NL N 2 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG 000000000 7999 NS 1352192.86 0.6862183411 Long EC CORP CH N 2 N N N NatWest Group PLC 2138005O9XJIJN4JPN90 NatWest Group PLC 000000000 205560 NS 1713666.39 0.8696609353 Long EC CORP GB N 2 N N N Hannover Rueck SE 529900KIN5BE45V5KB18 Hannover Rueck SE 000000000 2359 NS 718427.23 0.3645914400 Long EC CORP DE N 2 N N N Endesa SA - Empresa Nacional Electricidad 549300LHK07F2CHV4X31 Endesa SA 000000000 20056 NS 819596.45 0.4159333575 Long EC CORP ES N 2 N N N BT Group PLC 213800LRO7NS5CYQMN21 BT Group PLC 000000000 223336 NS 651126.38 0.3304372309 Long EC CORP GB N 2 N N N Mizuho Financial Group Inc 353800CI5L6DDAN5XZ33 Mizuho Financial Group Inc 000000000 49200 NS 2246527.39 1.1400801945 Long EC CORP JP N 2 N N N Marks & Spencer Group PLC 213800EJP14A79ZG1X44 Marks & Spencer Group PLC 000000000 244974 NS 1303219.13 0.6613648807 Long EC CORP GB N 2 N N N Banco Bilbao Vizcaya Argentaria SA K8MS7FD7N5Z2WQ51AZ71 Banco Bilbao Vizcaya Argentaria SA 000000000 74793 NS 1732437.35 0.8791869264 Long EC CORP ES N 2 N N N Atlas Copco AB 213800T8PC8Q4FYJZR07 Atlas Copco AB 000000000 34091 NS 740505.88 0.3757960359 Long EC CORP SE N 2 N N N Sumitomo Mitsui Trust Group Inc 353800P843RLCDBLNT17 Sumitomo Mitsui Trust Group Inc 000000000 21600 NS 756867.23 0.3840991847 Long EC CORP JP N 2 N N N Cie Generale des Etablissements Michelin SCA 549300SOSI58J6VIW052 Cie Generale des Etablissements Michelin SCA 000000000 20394 NS 828284.36 0.4203423464 Long EC CORP FR N 2 N N N KDDI Corp 5299003FU7V4I45FU310 KDDI Corp 000000000 60800 NS 1044322.75 0.5299787081 Long EC CORP JP N 2 N N N Accor SA 969500QZC2Q0TK11NV07 Accor SA 000000000 17763 NS 1034652.94 0.5250714193 Long EC CORP FR N 2 N N N Heineken NV 724500K5PTPSST86UQ23 Heineken NV 000000000 11973 NS 1109397.87 0.5630033914 Long EC CORP NL N 2 N N N Prudential PLC 5493001Z3ZE83NGK8Y12 Prudential PLC 000000000 58015 NS 883067.95 0.4481442268 Long EC CORP GB N 2 N N N Merlin Properties Socimi SA 959800L8KD863DP30X04 Merlin Properties Socimi SA 000000000 70042 NS 1238711.74 0.6286283122 Long EC CORP ES N 2 N N N Telecom Italia S.p.A. 549300W384M3RI3VXU42 Telecom Italia S.p.A. NPV 000000000 930159 NS 699139.15 0.3548030181 Long EC CORP IT N 2 N N N Federated Hermes Government Obligations Fund 254900VAJ9169N7JRF45 Federated Hermes Government Obligations Fund 608919718 105104.82 PA USD 105104.82 0.0533391777 Long STIV RF US N 1 N N N Shell PLC 21380068P1DRHMJ8KU70 Shell PLC 000000000 75007 NS 3124082.18 1.5854265723 Long EC CORP GB N 2 N N N Federated Hermes Adviser Series N/A FED HRMS INT GR FUND-IS 31423A648 22345218.2097 NS USD 96531342.67 48.9882618031 Long EC RF US N 1 N N N Publicis Groupe SA 2138004KW8BV57III342 Publicis Groupe SA 000000000 6617 NS 589982.58 0.2994076358 Long EC CORP FR N 2 N N N MS&AD Insurance Group Holdings Inc. 529900CXROT5S2HMMP26 MS&AD Insurance Group Holdings Inc 000000000 47600 NS 1330851.8 0.6753880615 Long EC CORP JP N 2 N N N BNP Paribas SA R0MUWSFPU8MPRO8K5P83 BNP Paribas SA 000000000 16019 NS 1794375.47 0.9106196274 Long EC CORP FR N 2 N N N Enel SpA WOCMU6HCI0OJWNPRZS33 Enel SpA 000000000 77625 NS 935248.6 0.4746251528 Long EC CORP IT N 2 N N N DSV AS 529900X41C0BSLK67H70 DSV A/S 000000000 2502 NS 647787.71 0.3287429041 Long EC CORP DK N 2 N N N RELX PLC 549300WSX3VBUFFJOO66 RELX PLC 000000000 11310 NS 392381.49 0.1991279374 Long EC CORP GB N 2 N N N Orange SA 969500MCOONR8990S771 Orange SA 000000000 103226 NS 2213165.73 1.1231496341 Long EC CORP FR N 2 N N N Glencore PLC 2138002658CPO9NBH955 Glencore PLC 000000000 253777 NS 1826255.89 0.9267984800 Long EC CORP JE N 2 N N N Barratt Redrow PLC 2138006R85VEOF5YNK29 Barratt Redrow PLC 000000000 239671 NS 1185258.2 0.6015014129 Long EC CORP GB N 2 N N N Aviva PLC YF0Y5B0IB8SM0ZFG9G81 Aviva PLC 000000000 107417 NS 987864.72 0.5013270736 Long EC CORP GB N 2 N N N Compagnie de Saint-Gobain SA NFONVGN05Z0FMN5PEC35 Cie de Saint-Gobain SA 000000000 17568 NS 1801908.1 0.9144423283 Long EC CORP FR N 2 N N N Samsung Electronics Co Ltd 9884007ER46L6N7EI764 SAMSUNG ELECTRONICS CO LTD 000000000 11046 NS 1659511.29 0.8421780045 Long EC CORP KR N 2 N N N Mitsubishi UFJ Financial Group Inc 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group Inc 000000000 129400 NS 2422689.96 1.2294801538 Long EC CORP JP N 2 N N N Allianz SE 529900K9B0N5BT694847 Allianz SE 000000000 1948 NS 879547.67 0.4463577356 Long EC CORP DE N 2 N N N Epiroc AB 5493004Q73OEYW1SPE91 Epiroc AB 000000000 27809 NS 840409.09 0.4264954717 Long EC CORP SE N 2 N N N Nestle SA KY37LUS27QQX7BB93L28 Nestle SA 000000000 9080 NS 989643.62 0.5022298396 Long EC CORP CH N 2 N N N Piraeus Bank SA 213800OYHR1MPQ5VJL60 Piraeus Bank SA 000000000 57717 NS 555820.08 0.2820706606 Long EC CORP GR N 2 N N N Anglo American PLC 549300S9XF92D1X8ME43 Anglo American PLC 000000000 30405 NS 1513078 0.7678652253 Long EC CORP GB N 2 N N N Breedon Group PLC 213800DQGNQE3X76WS92 Breedon Group PLC 000000000 223718 NS 1073572.74 0.5448226555 Long EC CORP GB N 2 N N N Alrosa PJSC 894500DKUWVBYZLLE651 Alrosa PJSC 000000000 8422100 NS USD 0.08 0.0000000406 Long EC CORP RU N 3 N N N Sse PLC 549300KI75VYLLMSK856 SSE PLC 000000000 70624 NS 2560884.32 1.2996117949 Long EC CORP GB N 2 N N N Smurfit Westrock PLC 635400EGSEOPDW2EXS14 Smurfit WestRock PLC 000000000 29739 NS USD 1398030.39 0.7094802254 Long EC CORP IE N 1 N N N AXA SA F5WCUMTUM4RKZ1MAIE39 AXA SA 000000000 34731 NS 1700526.49 0.8629926259 Long EC CORP FR N 2 N N N Kia Corp 988400V8MJK9N7OI5X76 Kia Motors Corp 000000000 5111 NS 729739.82 0.3703324160 Long EC CORP KR N 2 N N N Kerry Group PLC 635400TLVVBNXLFHWC59 Kerry Group PLC 000000000 11275 NS 1003167.3 0.5090929119 Long EC CORP IE N 2 N N N NEC Corp. 5493000QYMPFRTEY4K28 NEC Corp 000000000 18900 NS 523615.41 0.2657272558 Long EC CORP JP N 2 N N N Siemens AG W38RGI023J3WT1HWRP32 Siemens AG 000000000 5262 NS 1537921.61 0.7804729985 Long EC CORP DE N 2 N N N Erste Group Bank AG PQOH26KWDF7CG10L6792 Erste Group Bank AG 000000000 8922 NS 1062252.9 0.5390780002 Long EC CORP AT N 2 N N N Generali 549300X5UKJVE386ZB61 Generali 000000000 15306 NS 650718.13 0.3302300500 Long EC CORP IT N 2 N N N HSBC Holdings PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings PLC 000000000 181817 NS 3417444.7 1.7343038129 Long EC CORP GB N 2 N N N TotalEnergies SE 529900S21EQ1BO4ESM68 TotalEnergies SE 000000000 14852 NS 1187507.18 0.6026427378 Long EC CORP FR N 2 N N N Bayerische Motoren Werke AG YEH5ZCD6E441RHVHD759 Bayerische Motoren Werke AG 000000000 13108 NS 1384763.59 0.7027475160 Long EC CORP DE N 2 N N N Toyota Motor Corp 5493006W3QUS5LMH6R84 Toyota Motor Corp 000000000 58700 NS 1414877.66 0.7180299715 Long EC CORP JP N 2 N N N Taylor Wimpey PLC 21380089BTRXTD8S3R66 Taylor Wimpey PLC 000000000 345281 NS 525549.17 0.2667086111 Long EC CORP GB N 2 N N N Anheuser-Busch InBev SA/NV 5493008H3828EMEXB082 Anheuser-Busch InBev SA/NV 000000000 10274 NS 833716.33 0.4230989927 Long EC CORP BE N 2 N N N 2026-04-23 Federated Hermes Adviser Series Stephen Van Meter Federated Hermes Adviser Series Chief Compliance Officer XXXX NPORT-EX 2 poi_fhintequityfund.htm POI - FEDERATED HERMES INTERNATIONAL EQUITY FUND EDGAR HTML
Federated Hermes International Equity Fund
Portfolio of Investments
February 28, 2026 (unaudited)
Shares
 
 
Value in
U.S. Dollars
          
 
COMMON STOCKS—49.1%
 
Australia—0.9%
253,777
 
Glencore PLC
$  1,826,256
 
Austria—0.5%
8,922
 
Erste Group Bank AG
  1,062,253
 
Belgium—0.4%
10,274
 
Anheuser-Busch InBev SA/NV
    833,716
 
China—0.3%
13,366
1
Prosus NV
    684,789
 
Denmark—0.3%
2,502
1
DSV A/S
    647,788
 
Finland—0.3%
72,725
 
Nokia Oyj
    557,685
 
France—8.5%
17,763
 
Accor SA
  1,034,653
6,367
 
Air Liquide SA
  1,332,734
29,898
1
Alstom SA
    998,588
34,731
 
AXA SA
  1,700,527
16,019
 
BNP Paribas SA
  1,794,375
3,658
 
Capgemini SE
    462,013
17,568
 
Compagnie de St. Gobain SA
  1,801,908
20,394
 
Compagnie Generale des Etablissements Michelin SCA, Class B
    828,284
5,387
 
Legrand SA
    971,818
1,448
 
LVMH Moet Hennessy Louis Vuitton SE
    921,241
103,226
 
Orange SA
  2,213,166
6,617
 
Publicis Groupe SA
    589,983
10,023
 
Societe Generale SA
    868,552
14,852
 
TotalEnergies SE
  1,187,507
 
TOTAL
16,705,349
 
Germany—3.5%
1,948
 
Allianz SE
    879,548
13,108
 
Bayerische Motoren Werke AG
  1,384,763
26,783
 
Deutsche Bank AG
    958,312
33,229
 
Deutsche Telekom AG
  1,337,191
2,359
 
Hannover Rueckversicherung SE
    718,427
5,262
 
Siemens AG
  1,537,922
 
TOTAL
6,816,163
 
Greece—0.3%
57,717
1
Piraeus Bank SA
    555,820
 
Hong Kong—0.4%
58,015
 
Prudential PLC
    883,068
 
Ireland—1.2%
11,275
 
Kerry Group PLC
  1,003,167
29,739
 
Smurfit WestRock PLC
  1,398,031
 
TOTAL
2,401,198
 
Italy—1.9%
77,625
 
Enel SpA
    935,249
15,306
 
Generali
    650,718
1

Shares
 
 
Value in
U.S. Dollars
          
 
COMMON STOCKS—continued
 
Italy—continued
930,159
1
Telecom Italia SpA
$    699,139
16,618
 
UniCredit SpA
  1,401,568
 
TOTAL
3,686,674
 
Japan—8.7%
17,400
 
Kawasaki Heavy Industries Ltd.
  2,024,403
60,800
 
KDDI Corp.
  1,044,323
47,700
 
Mitsubishi Estate Co. Ltd.
  1,612,453
129,400
 
Mitsubishi UFJ Financial Group, Inc.
  2,422,690
49,200
 
Mizuho Financial Group, Inc.
  2,246,527
47,600
 
MS&AD Insurance Group Holdings, Inc.
  1,330,852
18,900
 
NEC Corporation
    523,615
14,000
 
Nintendo Co. Ltd.
    789,200
47,700
 
Renesas Electronics Corp.
    903,159
12,300
 
Shin-Etsu Chemical Co. Ltd.
    486,337
64,700
 
Sony Group Corp.
  1,495,165
21,600
 
Sumitomo Mitsui Trust Group, Inc.
    756,867
58,700
 
Toyota Motor Corp.
  1,414,878
 
TOTAL
17,050,469
 
Netherlands—0.6%
11,973
 
Heineken N.V.
  1,109,398
 
Russia—0.0%
8,422,100
1,2
Alrosa PJSC
          0
 
South Korea—2.1%
5,111
 
Kia Corp.
    729,740
11,046
 
Samsung Electronics Co. Ltd.
  1,659,511
12,641
 
Shinhan Financial Group Co. Ltd.
    850,208
1,145
 
SK Hynix, Inc.
    839,630
 
TOTAL
4,079,089
 
Spain—3.1%
74,793
 
Banco Bilbao Vizcaya Argentaria SA
  1,732,437
191,642
 
Banco Santander SA
  2,399,272
20,056
 
Endesa SA
    819,597
70,042
 
Merlin Properties SOCIMI SA
  1,238,712
 
TOTAL
6,190,018
 
Sweden—0.8%
34,091
 
Atlas Copco AB, Class A
    740,506
27,809
 
Epiroc AB
    840,409
 
TOTAL
1,580,915
 
Switzerland—2.4%
9,080
 
Nestle S.A.
    989,644
7,999
 
Novartis AG
  1,352,193
4,885
 
Roche Holding AG
  2,331,962
 
TOTAL
4,673,799
 
United Kingdom—12.9%
30,405
 
Anglo American PLC
  1,513,078
2,654
 
AstraZeneca PLC
    558,961
107,417
 
Aviva PLC
    987,865
254,004
 
Barclays PLC
  1,533,722
239,671
 
Barratt Redrow PLC
  1,185,258
223,718
 
Breedon Group Ltd.
  1,073,573
223,336
 
BT Group PLC
    651,126
2

Shares
 
 
Value in
U.S. Dollars
          
 
COMMON STOCKS—continued
 
United Kingdom—continued
181,817
 
HSBC Holdings PLC
$  3,417,445
39,930
 
Imperial Brands PLC
  1,788,893
244,974
 
Marks & Spencer Group PLC
  1,303,219
173,507
 
Melrose Industries PLC
  1,330,296
205,560
 
Natwest Group PLC
  1,713,666
11,310
 
Relx PLC
    392,382
276,393
 
Rentokil Initial PLC
  1,702,005
75,007
 
Shell PLC
  3,124,082
70,624
 
SSE PLC
  2,560,884
345,281
 
Taylor Wimpey PLC
    525,549
 
TOTAL
25,362,004
 
TOTAL COMMON STOCKS
(IDENTIFIED COST $88,161,158)
96,706,451
 
INVESTMENT COMPANIES—49.0%
105,126
 
Federated Hermes Government Obligations Fund, Premier Shares, 3.59%3
    105,126
22,345,218
 
Federated Hermes International Growth Fund, Institutional Shares
96,531,343
 
TOTAL INVESTMENT COMPANIES
(IDENTIFIED COST $86,581,120)
96,636,469
 
TOTAL INVESTMENT IN SECURITIES—98.1%
(IDENTIFIED COST $174,742,278)
193,342,920
 
OTHER ASSETS AND LIABILITIES - NET—1.9%4
3,707,024
 
NET ASSETS—100%
$197,049,944
Transactions with affiliated investment companies, which are funds managed by the Adviser or an affiliate of the Adviser, during the period ended February 28, 2026, were as follows:
 
Federated Hermes
Government
Obligations Fund,
Premier Shares
Federated Hermes
International
Growth Fund,
Institutional Shares*
Total of
Affiliated
Transactions
Value as of 5/31/2025
$
$459,003,467
$459,003,467
Purchases at Cost
$246,682,909
$92,114,839
$338,797,748
Proceeds from Sales
$(246,577,783)
$(399,450,000)
$(646,027,783)
Change in Unrealized Appreciation/Depreciation
$
$(128,367,531)
$(128,367,531)
Net Realized Gain/(Loss)
$
$73,230,568
$73,230,568
Value as of 2/28/2026
$105,126
$96,531,343
$96,636,469
Shares Held as of 2/28/2026
105,126
22,345,218
22,450,344
Dividend Income
$321,995
$4,308,292
$4,630,287
Gain Distributions Received
$
$82,806,539
$82,806,539
*
At February 28, 2026, the Fund owns a majority of the outstanding shares of beneficial interest of Federated Hermes International Growth Fund.
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 Adviser acting through its Valuation Committee.
3
7-day net yield.
4
Assets, other than investments in securities, less liabilities.
Note: The categories of investments are shown as a percentage of net assets at February 28, 2026.
Investment Valuation
In calculating its net asset value (NAV), the Fund generally values investments as follows:
Equity securities listed on an exchange or traded through a regulated market system are valued at their last reported sale price or official closing price in their principal exchange or market.
Shares of other mutual funds or non-exchange-traded investment companies are valued based upon their reported NAVs, or NAV per share practical expedient, as applicable.
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Derivative contracts listed on exchanges are valued at their reported settlement or closing price, except that options are valued at the mean of closing bid and ask quotations.
Over-the-counter (OTC) derivative contracts are fair valued using price evaluations provided by a pricing service approved by Federated Global Investment Management Corp. (the “Adviser”).
For securities that are fair valued in accordance with procedures established by and under the general supervision of the Adviser, certain factors may be considered, such as: the last traded or purchase price of the security, information obtained by contacting the issuer or dealers, analysis of the issuer’s financial statements or other available documents, fundamental analytical data, the nature and duration of restrictions on disposition, the movement of the market in which the security is normally traded, public trading in similar securities or derivative contracts of the issuer or comparable issuers, movement of a relevant index, or other factors including but not limited to industry changes and relevant government actions.
If any price, quotation, price evaluation or other pricing source is not readily available when the NAV is calculated, if the Fund cannot obtain price evaluations from a pricing service or from more than one dealer for an investment within a reasonable period of time as set forth in the Adviser’s valuation policies and procedures for the Fund, or if information furnished by a pricing service, in the opinion of the Adviser’s valuation committee (“Valuation Committee”), is deemed not representative of the fair value of such security, the Fund uses the fair value of the investment determined in accordance with the procedures described below. There can be no assurance that the Fund could obtain the fair value assigned to an investment if it sold the investment at approximately the time at which the Fund determines its NAV per share, and the actual value obtained could be materially different.
Fair Valuation and Significant Events Procedures
Pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended, the Fund’s Board of Trustees (the “Trustees”) has designated the Adviser as the Fund’s valuation designee to perform any fair value determinations for securities and other assets held by the Fund. The Adviser is subject to the Trustees’ oversight and certain reporting and other requirements intended to provide the Trustees the information needed to oversee the Adviser’s fair value determinations.
The Adviser, acting through its Valuation Committee, is responsible for determining the fair value of investments for which market quotations are not readily available. The Valuation Committee is comprised of officers of the Adviser and certain of the Adviser’s affiliated companies and determines fair value and oversees the calculation of the NAV. The Valuation Committee is also authorized to use pricing services to provide fair value evaluations of the current value of certain investments for purposes of calculating the NAV. The Valuation Committee employs various methods for reviewing third-party pricing-service evaluations including periodic reviews of third-party pricing services’ policies, procedures and valuation methods (including key inputs, methods, models and assumptions), transactional back-testing, comparisons of evaluations of different pricing services and review of price challenges by the Adviser based on recent market activity. In the event that market quotations and price evaluations are not available for an investment, the Valuation Committee determines the fair value of the investment in accordance with procedures adopted by the Adviser. The Trustees periodically review the fair valuations made by the Valuation Committee. The Trustees have also approved the Adviser’s fair valuation and significant events procedures as part of the Fund’s compliance program and will review any changes made to the procedures.
Factors considered by pricing services in evaluating an investment include the yields or prices of investments of comparable quality, coupon, maturity, call rights and other potential prepayments, terms and type, reported transactions, indications as to values from dealers and general market conditions. Some pricing services provide a single price evaluation reflecting the bid-side of the market for an investment (a “bid” evaluation). Other pricing services offer both bid evaluations and price evaluations indicative of a price between the prices bid and ask for the investment (a “mid” evaluation). The Fund normally uses bid evaluations for any U.S. Treasury and Agency securities, mortgage-backed securities and municipal securities. The Fund normally uses mid evaluations for any other types of fixed-income securities and any OTC derivative contracts. In the event that market quotations and price evaluations are not available for an investment, the fair value of the investment is determined in accordance with procedures adopted by the Adviser.
The Adviser has also adopted procedures requiring an investment to be priced at its fair value whenever the Valuation Committee determines that a significant event affecting the value of the investment has occurred between the time as of which the price of the investment would otherwise be determined and the time as of which the NAV is computed. An event is considered significant if there is both an affirmative expectation that the investment’s value will change in response to the event and a reasonable basis for quantifying the resulting change in value. Examples of significant events that may occur after the close of the principal market on which a security is traded, or after the time of a price evaluation provided by a pricing service or a dealer, include:
With respect to securities traded principally in foreign markets, significant trends in U.S. equity markets or in the trading of foreign securities index futures contracts;
Political or other developments affecting the economy or markets in which an issuer conducts its operations or its securities are traded;
Announcements concerning matters such as acquisitions, recapitalizations, litigation developments, or a natural disaster affecting the issuer’s operations or regulatory changes or market developments affecting the issuer’s industry.
The Adviser has adopted procedures whereby the Valuation Committee uses a pricing service to provide factors to update the fair value of equity securities traded principally in foreign markets from the time of the close of their respective foreign stock exchanges to the pricing time of the Fund. For other significant events, the Fund may seek to obtain more current quotations or price evaluations from alternative pricing sources. If a reliable alternative pricing source is not available, the Valuation Committee will determine the fair value of the investment in accordance with the fair valuation procedures approved by the Adviser. The Trustees periodically review fair valuations made in response to significant events.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in the three broad levels listed below:
Level 1—quoted prices in active markets for identical securities.
Level 2—other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.). Also includes securities valued at amortized cost.
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Level 3—significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments).
The inputs or methodology used for valuing securities are not an indication of the risk associated with investing in those securities.
The following is a summary of the inputs used, as of February 28, 2026, in valuing the Fund’s assets carried at fair value:
Valuation Inputs
 
Level 1—
Quoted
Prices
Level 2—
Other
Significant
Observable
Inputs
Level 3—
Significant
Unobservable
Inputs
Total
Equity Securities:
Common Stocks
International
$1,398,031
$95,308,420
$0
$96,706,451
Investment Companies
96,636,469
96,636,469
TOTAL SECURITIES
$98,034,500
$95,308,420
$0
$193,342,920
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