Holdings

Symbol Grade Price % Change Allocation
JXN B -1.63 2.61
PSN A 0.49 2.09
KNF A 0.15 1.82
GMS A 1.17 1.54
HALO B 13.01 1.42
SKYW A 6.44 1.37
BRBR A 1.31 1.25
YOU A 0.16 1.25
EXTR B 1.07 1.15
SKWD B -1.15 1.15
BKU C 0.17 1.12
BDN C 0.20 1.03
FBK B -0.59 1.03
MUSA C -0.75 1.03
MWA B 1.48 1.01
CNO A 4.42 0.98
CNK A 0.34 0.98
SM F -4.03 0.97
TMHC A 0.28 0.93
FTDR B -0.34 0.91
OMCL B 0.06 0.89
HRMY D 2.96 0.88
RDFN C -0.39 0.83
YEXT A -0.55 0.83
TRMK B -1.47 0.81
OTTR F -0.55 0.81
TXRH A -1.88 0.80
EME A 1.60 0.80
MBIN F -1.68 0.80
PRCT A 2.54 0.79
TVTX B 0.40 0.78
HY D -2.28 0.76
BY B -0.59 0.76
INMD C 1.05 0.73
MAC B -2.03 0.71
ALKS F 3.00 0.70
NMRK C -2.40 0.69
AMAL B -0.98 0.68
SFM A 1.39 0.66
RSI A 0.83 0.66
VRNS D 1.71 0.65
ADMA B 18.76 0.65
MNKD A 1.41 0.64
NUS F 2.42 0.62
BRSP C -4.28 0.62
RYAM B 1.76 0.62
RMR D -1.99 0.61
WING F 3.22 0.60
COLL F -1.99 0.60
RLI B 0.80 0.57
BPMC C 3.65 0.56
PI C 2.48 0.56
CXM F 1.48 0.54
MEI F 3.56 0.54
BLBD F -0.09 0.54
TMDX F 0.52 0.53
CEIX A -1.45 0.53
LUMN A 9.55 0.52
POR C -2.74 0.52
XHR C -0.28 0.51
SPNT D 1.60 0.51
SHLS F 2.59 0.51
CMRE C 0.88 0.49
OUT C 0.06 0.49
VCTR A 0.32 0.48
PRTA F -2.06 0.48
CRC B -0.08 0.47
RAMP D 0.16 0.47
TBRG A 1.33 0.46
TEX F -0.58 0.46
ASC F -0.50 0.46
CVNA A -7.37 0.46
ANAB F 0.23 0.44
SLG B -1.61 0.44
HIMS B 8.13 0.44
ZETA C 0.76 0.44
SWI B 0.61 0.42
APPF D 0.31 0.41
BV A 1.77 0.41
GFF F 0.70 0.41
WWW C -0.19 0.41
OFG C 1.34 0.41
TREE F -20.83 0.41
FBIZ C 0.89 0.40
CVLT B -0.32 0.39
SXC A -4.75 0.38
ARRY D 2.60 0.38
UPBD D 0.75 0.37
INSW F 0.07 0.37
LBRT F -2.28 0.37
UIS A 4.05 0.37
ANF F -0.40 0.36
PLMR D -1.55 0.36
TTEC D -0.19 0.36
BECN B 1.38 0.35
ACLX B 2.25 0.35
LIVN C -0.95 0.35
EIG C -1.87 0.34
SKT B -0.12 0.34
CUBI D -0.98 0.34
TPB A 1.91 0.33
SPNS B 0.35 0.33
IRBT C 9.39 0.32
SMTC B 0.79 0.32
CMC A 1.17 0.32
NVRI F -5.09 0.32
GRND A -0.15 0.32
ESRT C -1.04 0.31
EPRT C -0.16 0.30
HAIN A 4.12 0.30
CMPR F 3.25 0.30
FULT B -0.28 0.29
QTWO A 0.51 0.29
CSTM F 2.07 0.29
ONTF D -2.48 0.28
SAGE F -0.49 0.28
HURN A -0.57 0.27
INGN F -0.46 0.26
COMM A 0.89 0.25
SLVM B -0.02 0.25
REVG D -0.57 0.25
PRG C 0.82 0.25
ALHC A 4.44 0.25
EYE D 5.87 0.24
INSM D 1.55 0.24
PRIM A 1.55 0.24
WEAV B -6.42 0.24
REAX C -2.38 0.24
NVCR F 6.59 0.23
VSCO A 4.13 0.23
MED D 1.09 0.23
VERX B 1.59 0.22
MGY C -1.11 0.22
TCMD A 1.24 0.22
APAM A 0.86 0.21
TENB D -2.10 0.21
WTS D 1.62 0.20
NMIH D -4.89 0.20
BSRR D -0.49 0.20
UTI A -0.54 0.20
SSTK D 0.12 0.20
CTLP B 1.47 0.19
AEHR D -14.28 0.19
VMEO C 1.89 0.19
MBWM D 0.82 0.19
FIX B 0.32 0.19
WRBY A 3.07 0.18
BL B 0.25 0.18
ENR B 0.97 0.18
TGI C -0.79 0.18
MDXG C 1.17 0.18
BCC D 0.89 0.18
ALKT B 2.70 0.18
CLFD D 0.89 0.17
QLYS F 0.92 0.17
KNTK B -1.87 0.17
MTW F -4.71 0.17
VICR B 0.72 0.17
NTCT C -2.71 0.17
NTB C 0.49 0.17
WFRD F -1.90 0.16
SHYF B 1.47 0.16
CHGG F 1.88 0.16
PETS C 2.20 0.16
HCI B -1.14 0.16
VITL C -0.35 0.16
JELD F 0.56 0.15
BOX D 0.50 0.15
ALRM F 0.17 0.15
BLX B 0.75 0.15
SEMR D 0.31 0.15
CDXS A 11.46 0.14
DNOW F -1.44 0.14
PHIN C -1.46 0.14
KOP F 0.59 0.14
FNKO C -4.56 0.14
PGC A 0.28 0.14
HURC A -0.90 0.14
KELYA D 0.40 0.14
CYH D 3.70 0.14
HTBI D -1.15 0.13
AKBA A 1.81 0.13
CWT D -3.50 0.13
RBBN A 2.81 0.12
STNG F 0.21 0.12
BFH C 1.81 0.12
AMRX B 1.00 0.12
FFWM D -0.30 0.12
RXT C -2.31 0.12
PHAT B 6.53 0.11
ITRI A 0.04 0.11
XRX F 1.47 0.11
EAT A 2.15 0.11
GDOT C -0.79 0.11
SIGA D -0.14 0.11
TNC F -4.99 0.11
EBS B 0.66 0.11
CWK C -3.84 0.11
LTH D 1.17 0.11
MD A 23.46 0.11
CBNK B 1.54 0.10
FATE F 2.53 0.10
TBBK D -1.21 0.10
ROAD B 0.03 0.10
UMBF A -1.32 0.10
KRYS C 2.24 0.10
CORT B -2.76 0.10
NATL D 0.15 0.10
RXST D 0.87 0.09
APEI B -0.26 0.09
BKH D -2.15 0.09
LADR B 1.14 0.09
INTA B -1.34 0.09
MAX D -4.38 0.09
NBR C -3.23 0.09
SUPN B -0.29 0.09
OSCR C 5.06 0.08
UNFI A 1.18 0.08
DGII B 0.28 0.08
CPK C -1.91 0.08
CPRX A 0.41 0.08
VNDA D 0.22 0.08
PFBC B -0.65 0.08
PKOH D -0.81 0.07
CSWI B 1.52 0.07
SKIN C 2.79 0.07
LMAT B 7.34 0.07
OIS D -4.23 0.07
ALDX D 1.90 0.07
TGTX A 7.34 0.07
CLAR D 5.94 0.07
FORR F -0.55 0.07
MSBI A -0.16 0.06
TERN D 1.17 0.06
MRC F -0.65 0.06
SAVE D 2.92 0.06
KLIC B 1.60 0.06
CRNC C 0.49 0.06
WSR B -1.02 0.06
FORM F 2.03 0.06
PLL B 2.52 0.06
SPSC F 0.89 0.06
HE D -0.49 0.05
DSP B -1.29 0.05
MCY B -2.99 0.05
PLUG C 6.63 0.05
ADNT F 1.48 0.05
RAPT D 5.19 0.05
XPRO F 0.16 0.05
ZNTL D 21.61 0.05
PGNY F -0.33 0.05
BBCP D 2.70 0.05
WGO D 1.91 0.05
NVRO D 0.36 0.05
EGHT C -1.35 0.05
IDCC A 10.14 0.04
EXLS A -0.05 0.04
WS A -1.62 0.04
NRIX B -0.45 0.04
UVE C 1.10 0.04
DAN F 3.13 0.04
FMBH D -0.89 0.04
CMCO F 0.47 0.04
DOLE C -0.31 0.04
UCTT F 2.63 0.04
VC F 1.04 0.04
ENTA D -2.62 0.04
GKOS B -0.36 0.04
MESA F 0.41 0.03
ILPT F -2.97 0.03
HTZ F 0.36 0.03
TH F 1.07 0.03
LOCO D -2.13 0.03
VRNT F 0.75 0.03
DFIN F -3.22 0.03
THR F 0.76 0.03
EVER F -4.23 0.03
MNRO A 0.88 0.03
FWRD C -3.09 0.00
ODP C 1.48 0.00

Recent News for Trust Federated Hermes MDT Small Cap Core ETF & its Holdings

Date Stock Title
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The fund seeks to achieve its objective by investing primarily in the common stock of small-capitalization (small-cap) U.S. companies. It will invest its assets so that at least 80% of its net assets (plus any borrowings for investment purposes) are invested in small companies. The fund manager actively trades its portfolio securities in an attempt to achieve its investment objective.
Index Fund Investment Management Stock Fund
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