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Federated Investors (FHI)

Federated Investors (FHI)
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Company Info

Federated Investors 1001 LIBERTY AVENUE PITTSBURGH PA 15222 USA

www.federatedinvestors.com Employees: 2,025 P: 412-288-1900

Description:

Federated Hermes, Inc., a global asset manager, offers world-class active investment management and engagement services with a wide range of asset classes around the world. Its clients include corporations, government entities, insurance companies, foundations & endowments, banks and broker/dealers. It provides investment advisory, administrative, distribution and other services to various investment products, including sponsored investment companies and other funds (Federated Hermes Funds) and Separate Accounts in both domestic & international markets. It offers financial intermediaries and institutions strategies that include regional and global high-active-share equities, fixed income, real estate, infrastructure, private equity and private debt. It also markets and provides stewardship and real estate development services to various domestic and international companies. Federated completed the buyout of certain investment management-related assets of Horizon Advisers and acquired Hermes Fund Managers Ltd.

Key Statistics

Overview:

Market Capitalization, $K 3,358,465
Enterprise Value, $K 3,348,975
Shares Outstanding, K 81,814
Annual Sales, $ 1,610 M
Annual Net Income, $ 298,980 K
Last Quarter Sales, $ 408,460 K
Last Quarter Net Income, $ 87,540 K
EBIT, $ 353,610 K
EBITDA, $ 380,450 K
60-Month Beta 1.15
% of Insider Shareholders 3.70%
% of Institutional Shareholders 75.94%
Float, K 78,787
% Float 96.30%
Short Volume Ratio 0.74

Growth:

1-Year Return 19.91%
3-Year Return 9.85%
5-Year Return 25.46%
5-Year Revenue Growth 41.73%
5-Year Earnings Growth 42.26%
5-Year Dividend Growth 8.49%

Per-Share Information:

Most Recent Earnings 1.06 on 10/24/24
Next Earnings Date 01/23/25
Earnings Per Share ttm 3.87
EPS Growth vs. Prev Qtr 10.42%
EPS Growth vs. Prev Year 23.26%
Annual Dividend Rate, $ 2.21
Annual Dividend Yield 5.38%
Most Recent Dividend 0.310 on 11/08/24
Next Ex-Dividends Date 11/08/24
Dividend Payable Date 11/15/24
Dividend Payout Ratio 55.39%
Most Recent Split 3-2 on 07/18/00

FHI Ratios

Ratio
Price/Earnings ttm 10.61
Price/Earnings forward 10.57
Price/Earnings to Growth 1.14
Return-on-Equity % 29.85%
Return-on-Assets % 16.05%
Profit Margin % 18.58%
Debt/Equity 0.32
Price/Sales 2.09
Price/Cash Flow 10.69
Price/Book 3.10
Book Value/Share 13.24
Interest Coverage -1.34

FHI Dividends

Date Value
11/08/24 $0.3100
08/08/24 $0.3100
05/07/24 $1.3100
02/07/24 $0.2800
11/07/23 $0.2800
08/07/23 $0.2800
05/05/23 $0.2800
02/07/23 $0.2700
11/07/22 $0.2700
08/05/22 $0.2700
05/05/22 $0.2700
02/07/22 $0.2700
11/05/21 $0.2700
08/05/21 $0.2700
05/06/21 $0.2700
02/04/21 $0.2700
11/05/20 $1.2700
08/06/20 $0.2700
05/08/20 $0.2700
02/06/20 $0.2700
11/07/19 $0.2700
08/07/19 $0.2700
05/07/19 $0.2700
02/07/19 $0.2700
11/07/18 $0.2700
08/07/18 $0.2700
05/07/18 $0.2700
02/07/18 $0.2500
11/07/17 $0.2500
08/04/17 $0.2500
05/04/17 $0.2500
02/06/17 $0.2500
11/04/16 $1.2500
08/04/16 $0.2500
05/04/16 $0.2500
02/04/16 $0.2500
11/04/15 $0.2500
08/05/15 $0.2500
05/06/15 $0.2500
02/04/15 $0.2500
11/05/14 $0.2500
08/06/14 $0.2500
05/06/14 $0.2500
02/05/14 $0.2500
11/06/13 $0.2500
08/06/13 $0.2500
05/06/13 $0.2400
02/06/13 $0.2400
11/06/12 $1.7500
08/06/12 $0.2400
05/04/12 $0.2400
02/06/12 $0.2400
11/04/11 $0.2400
08/04/11 $0.2400
05/04/11 $0.2400
02/04/11 $0.2400
11/04/10 $0.2400
08/04/10 $0.2400
05/05/10 $0.2400
02/03/10 $1.5000
11/05/09 $0.2400
08/06/09 $0.2400
05/06/09 $0.2400
02/04/09 $0.2400
11/05/08 $0.2400
09/05/08 $2.7600
08/06/08 $0.2400
05/06/08 $0.2400
02/06/08 $0.2100
11/06/07 $0.2100
08/06/07 $0.2100
05/04/07 $0.2100
02/06/07 $0.1800
11/06/06 $0.1800
08/04/06 $0.1800
05/04/06 $0.1800
02/06/06 $0.1500
11/04/05 $0.1500
08/04/05 $0.1500
05/05/05 $0.1500
02/16/05 $0.1250
11/04/04 $0.1250
08/04/04 $0.1020
05/05/04 $0.1020
02/18/04 $0.0850
11/05/03 $0.0850
08/05/03 $0.0850
05/05/03 $0.0700
02/05/03 $0.0570
11/05/02 $0.0570
08/05/02 $0.0570
05/03/02 $0.0570
02/05/02 $0.0460
11/05/01 $0.0460
08/03/01 $0.0460
05/03/01 $0.0460
02/05/01 $0.0370
11/01/00 $0.0370
08/02/00 $0.0370
05/04/00 $0.0550
02/03/00 $0.0420
10/28/99 $0.0420
07/29/99 $0.0400
04/29/99 $0.0287
04/28/99 $0.0267
02/04/99 $0.0253
10/28/98 $0.0253
07/29/98 $0.0253
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