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Holdings (Monthly) Guide ↗

Federated Hermes Institutional High Yield Bond Fund

· Federated Hermes Institutional Trust
Monthly Holdings $4.7B AUM 116 positions Period Jul 2026 Filed Sep 23, 2026 EDGAR ↗ ← All Funds
All 80 New 23 Added 116 Reduced 77 Exited · Jul 2026 vs Jan 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 FEDERATED HERMES MONEY MARKET OBLIGATIONS TRUST GOFXX Jan 2026 108,136,086 -319,687,313 $108.1M -74.7% 2.31% STIV
2 MCAFEE CORP 579063AB4 Jan 2026 52,050,000 -2,925,000 $44.2M +0.8% 0.94% DBT
3 MEDLINE BORROWER LP 62482BAB8 Jan 2026 42,250,000 -4,000,000 $41.9M -9.7% 0.89% DBT
4 MADISON IAQ LLC 55760LAB3 Jan 2026 37,825,000 -5,900,000 $37.8M -13.4% 0.81% DBT
5 UKG INC 90279XAA0 Jan 2026 36,500,000 -4,500,000 $35.8M -12.7% 0.76% DBT
6 CRC INSURANCE GROUP LLC 69867RAA5 Jan 2026 33,375,000 -3,000,000 $33.3M -11.1% 0.71% DBT
7 1011778 BC / NEW RED FIN 68245XAM1 Jan 2026 32,525,000 -6,300,000 $30.6M -17.5% 0.65% DBT
8 FRONERI LUX FINCO SARL 35901MAA5 Jan 2026 30,800,000 -1,250,000 $30.1M -7.3% 0.64% DBT
9 AMWINS GROUP INC 031921AB5 Jan 2026 29,875,000 -2,925,000 $28.8M -11.1% 0.61% DBT
10 ANTERO MIDSTREAM PART/FI 03690AAF3 Jan 2026 28,175,000 -2,000,000 $28.2M -6.9% 0.60% DBT
11 CLOUD SOFTWARE GRP LLC 18912UAA0 Jan 2026 28,625,000 -2,500,000 $28.1M -10.8% 0.60% DBT
12 GRIFOLS SA 39843UAA0 Jan 2026 27,050,000 -6,950,000 $26.4M -21.2% 0.56% DBT
13 EMRLD BOR / EMRLD CO-ISS 29103CAA6 Jan 2026 25,700,000 -4,300,000 $26.2M -15.9% 0.56% DBT
14 TELENET FINANCE LUXEMBOURG NOTES SARL 000000000 Jan 2026 25,600,000 -7,800,000 $25.3M -24.2% 0.54% DBT
15 HUB INTERNATIONAL LTD 44332PAH4 Jan 2026 24,200,000 -5,425,000 $24.9M -19.4% 0.53% DBT
16 ROCKET SOFTWARE INC 77314EAA6 Jan 2026 26,100,000 -2,900,000 $24.1M -7.0% 0.51% DBT
17 TRANSDIGM INC 893647BS5 Jan 2026 23,375,000 -4,725,000 $24.0M -18.1% 0.51% DBT
18 CCO HLDGS LLC/CAP CORP 1248EPCK7 Jan 2026 26,375,000 -3,000,000 $23.4M -13.2% 0.50% DBT
19 ATHENAHEALTH GROUP INC 60337JAA4 Jan 2026 24,075,000 -4,600,000 $23.2M -16.5% 0.50% DBT
20 SS&C TECHNOLOGIES INC 78466CAC0 Jan 2026 22,750,000 -12,525,000 $22.7M -35.5% 0.49% DBT
21 AMENTUM HOLDINGS INC 02352BAA3 Jan 2026 21,800,000 -1,250,000 $22.4M -7.8% 0.48% DBT
22 APLD COMPUTECO LLC 00202DAA5 Jan 2026 19,800,000 -1,000,000 $21.1M -2.7% 0.45% DBT
23 BALDWIN INSUR GRP/FIN 05825XAA7 Jan 2026 19,700,000 -7,825,000 $19.9M -29.8% 0.42% DBT
24 JONES DESLAURIERS INSURA 48020RAE5 Jan 2026 20,950,000 -1,500,000 $19.8M -9.5% 0.42% DBT
25 STATION CASINOS LLC 857691AG4 Jan 2026 19,825,000 -1,925,000 $19.5M -10.0% 0.42% DBT
26 SUNRISE FINCO I BV 90320BAA7 Jan 2026 20,675,000 -6,500,000 $19.4M -25.6% 0.41% DBT
27 AVANTOR FUNDING INC 05352TAA7 Jan 2026 19,000,000 -2,000,000 $18.7M -10.1% 0.40% DBT
28 NORTHRIVER MIDSTREAM FIN 66679NAB6 Jan 2026 17,800,000 -2,000,000 $18.0M -10.9% 0.38% DBT
29 USA COM PART/USA COM FIN 91740PAG3 Jan 2026 16,975,000 -1,250,000 $17.3M -8.1% 0.37% DBT
30 RAVEN ACQUISITION HOLDIN 75420NAA1 Jan 2026 17,725,000 -6,975,000 $17.3M -30.4% 0.37% DBT
31 TRANSDIGM INC 893647BV8 Jan 2026 16,550,000 -2,300,000 $16.8M -13.7% 0.36% DBT
32 FORD MOTOR CREDIT COMPANY LLC 345397B36 Jan 2026 17,600,000 -1,000,000 $16.4M -7.2% 0.35% DBT
33 MGM RESORTS INTL 552953CJ8 Jan 2026 16,225,000 -3,600,000 $16.1M -20.8% 0.34% DBT
34 VENTURE GLOBAL PLAQUE 922966AA4 Jan 2026 12,250,000 -1,750,000 $13.3M -13.4% 0.28% DBT
35 COEUR MINING INC 192108BC1 Jan 2026 13,100,000 -5,250,000 $13.0M -29.2% 0.28% DBT
36 COHERENT CORP 902104AC2 Jan 2026 13,050,000 -6,400,000 $12.8M -34.1% 0.27% DBT
37 CHS/COMMUNITY HEALTH SYS 12543DBM1 Jan 2026 13,700,000 -2,000,000 $12.7M -14.5% 0.27% DBT
38 SEAWORLD PARKS & ENTERTA 81282UAG7 Jan 2026 12,925,000 -6,950,000 $12.6M -35.2% 0.27% DBT
39 STENA INTERNATIONAL SA 85858EAD5 Jan 2026 12,350,000 -2,875,000 $12.6M -19.6% 0.27% DBT
40 BAUSCH HEALTH COS INC 071734AN7 Jan 2026 13,275,000 -3,600,000 $12.4M -20.9% 0.26% DBT
41 WHIRLPOOL CORP 963320BE5 Jan 2026 14,300,000 -3,200,000 $12.1M -29.8% 0.26% DBT
42 VENTURE GLOBAL PLAQUE 922966AB2 Jan 2026 10,875,000 -3,000,000 $12.1M -22.1% 0.26% DBT
43 TRANSDIGM INC 893647BR7 Jan 2026 11,925,000 -2,000,000 $12.0M -15.3% 0.26% DBT
44 LITHIA MOTORS INC 536797AJ2 Jan 2026 12,075,000 -1,750,000 $11.9M -14.3% 0.25% DBT
45 PERFORMANCE FOOD GROUP I 71376LAE0 Jan 2026 12,075,000 -3,950,000 $11.7M -25.6% 0.25% DBT
46 ELASTIC NV 28415LAA1 Jan 2026 12,200,000 -3,800,000 $11.6M -24.4% 0.25% DBT
47 RHP HOTEL PPTY/RHP FINAN 749571AK1 Jan 2026 10,925,000 -2,000,000 $11.1M -16.9% 0.24% DBT
48 VOLTAGRID LLC 92874BAA3 Jan 2026 10,950,000 -1,325,000 $11.0M -11.5% 0.24% DBT
49 IHO VERWALTUNGS GMBH 44963BAD0 Jan 2026 10,775,000 -1,875,000 $10.9M -15.3% 0.23% DBT
50 CAPSTONE BORROWER INC 140944AA7 Jan 2026 10,975,000 -13,650,000 $10.7M -53.4% 0.23% DBT
51 CLEARWATER PAPER CORP 18538RAJ2 Jan 2026 11,625,000 -5,600,000 $10.3M -37.0% 0.22% DBT
52 ENERGIZER HOLDINGS INC 29272WAD1 Jan 2026 10,600,000 -4,400,000 $10.2M -29.1% 0.22% DBT
53 ASBURY AUTOMOTIVE GROUP 043436AW4 Jan 2026 9,775,000 -1,500,000 $9.5M -14.6% 0.20% DBT
54 GATES CORPORATION/DE 367398AA2 Jan 2026 9,225,000 -1,250,000 $9.4M -13.6% 0.20% DBT
55 CP ATLAS BUYER INC 12597YAD1 Jan 2026 13,480,175 -3,973,276 $9.2M -42.8% 0.20% DBT
56 WYNDHAM HOTELS & RESORTS 98311AAB1 Jan 2026 9,000,000 -2,000,000 $8.8M -18.9% 0.19% DBT
57 GARDA WORLD SECURITY 36485MAL3 Jan 2026 7,975,000 -3,500,000 $7.9M -30.4% 0.17% DBT
58 CAESARS ENTERTAIN INC 12769GAC4 Jan 2026 8,200,000 -2,050,000 $7.8M -25.2% 0.17% DBT
59 COMSTOCK RESOURCES INC 205768AT1 Jan 2026 8,225,000 -1,250,000 $7.8M -16.2% 0.17% DBT
60 TRANSALTA CORP 89346DAL1 Jan 2026 7,950,000 -1,325,000 $7.8M -16.5% 0.17% DBT
61 CAESARS ENTERTAIN INC 12769GAD2 Jan 2026 8,600,000 -1,175,000 $7.6M -20.7% 0.16% DBT
62 LIGHT & WONDER INTL INC 531968AA3 Jan 2026 7,250,000 -1,000,000 $7.5M -13.7% 0.16% DBT
63 CLOUD SOFTWARE GRP LLC 88632QAE3 Jan 2026 7,475,000 -10,275,000 $7.3M -58.6% 0.16% DBT
64 CLEVELAND-CLIFFS INC 185899AP6 Jan 2026 7,175,000 -2,825,000 $7.2M -29.9% 0.15% DBT
65 BOYD GAMING CORP 103304BV2 Jan 2026 7,175,000 -1,500,000 $6.9M -18.9% 0.15% DBT
66 TRIVIUM PACKAGING FIN 89686QAD8 Jan 2026 6,475,000 -815,000 $6.8M -12.0% 0.15% DBT
67 TRANSDIGM INC 893647BU0 Jan 2026 6,750,000 -2,800,000 $6.8M -30.4% 0.15% DBT
68 WR GRACE HOLDING LLC 92943GAA9 Jan 2026 7,300,000 -3,475,000 $6.7M -34.9% 0.14% DBT
69 CAESARS ENTERTAIN INC 12769GAB6 Jan 2026 6,425,000 -7,300,000 $6.5M -54.5% 0.14% DBT
70 LAMAR MEDIA CORP 513075BW0 Jan 2026 6,500,000 -2,350,000 $6.4M -27.6% 0.14% DBT
71 CCO HLDGS LLC/CAP CORP 1248EPCD3 Jan 2026 6,800,000 -3,200,000 $6.4M -33.5% 0.14% DBT
72 WYNN RESORTS FINANCE LLC 983133AC3 Jan 2026 6,000,000 -1,500,000 $6.3M -22.2% 0.13% DBT
73 OLYMPUS WTR US HLDG CORP 681639AA8 Jan 2026 6,500,000 -4,500,000 $6.3M -41.3% 0.13% DBT
74 CLEVELAND-CLIFFS INC 185899AK7 Jan 2026 6,425,000 -5,125,000 $6.3M -45.0% 0.13% DBT
75 UNITED RENTALS NORTH AM 911365BN3 Jan 2026 6,475,000 -2,875,000 $6.2M -31.9% 0.13% DBT
76 TRANSDIGM INC 893647BY2 Jan 2026 6,125,000 -875,000 $6.1M -14.1% 0.13% DBT
77 GRAY MEDIA INC 389286AA3 Jan 2026 8,200,000 -800,000 $6.1M -8.8% 0.13% DBT
78 UNIVISION COMMUNICATIONS 914906AV4 Jan 2026 6,350,000 -1,650,000 $6.0M -21.3% 0.13% DBT
79 ASHLAND INC 04433LAA0 Jan 2026 6,475,000 -875,000 $5.9M -12.6% 0.13% DBT
80 ALLIED UNIVERSAL 019576AC1 Jan 2026 5,825,000 -4,675,000 $5.8M -44.5% 0.12% DBT
81 BOYD GAMING CORP 103304BU4 Jan 2026 5,775,000 -5,025,000 $5.7M -46.8% 0.12% DBT
82 JB POINDEXTER & CO INC 465965AC5 Jan 2026 5,525,000 -2,475,000 $5.7M -31.5% 0.12% DBT
83 SUBURBAN PROPANE PARTNRS 864486AL9 Jan 2026 6,025,000 -4,475,000 $5.7M -43.7% 0.12% DBT
84 STANDARD INDUSTRI INC/NY 853496AG2 Jan 2026 5,975,000 -3,000,000 $5.6M -34.8% 0.12% DBT
85 CSC HOLDINGS LLC 126307BH9 Jan 2026 9,450,000 -16,475,000 $5.2M -66.7% 0.11% DBT
86 FORD MOTOR CREDIT CO LLC 345397C35 Jan 2026 4,800,000 -5,250,000 $4.9M -53.1% 0.11% DBT
87 ENTEGRIS INC 29365BAA1 Jan 2026 5,000,000 -1,000,000 $4.9M -18.0% 0.11% DBT
88 SYNAPTICS INC 87157DAG4 Jan 2026 5,000,000 -1,500,000 $4.9M -22.2% 0.10% DBT
89 CCO HLDGS LLC/CAP CORP 1248EPBX0 Jan 2026 4,850,000 -2,500,000 $4.8M -34.5% 0.10% DBT
90 DT MIDSTREAM INC 23345MAB3 Jan 2026 4,975,000 -3,025,000 $4.8M -39.3% 0.10% DBT
91 WATCO COS LLC/FINANCE CO 941130AD8 Jan 2026 4,600,000 -7,450,000 $4.7M -62.7% 0.10% DBT
92 ZIPRECRUITER INC 98980BAA1 Jan 2026 5,700,000 -1,300,000 $4.4M -9.0% 0.09% DBT
93 ORGANON & CO/ORGANON FOR 68622TAB7 Jan 2026 4,225,000 -1,500,000 $4.2M -19.6% 0.09% DBT
94 TARGA RESOURCES PARTNERS 87612BBQ4 Jan 2026 4,150,000 -6,750,000 $4.2M -62.4% 0.09% DBT
95 ENERGIZER HOLDINGS INC 29272WAC3 Jan 2026 4,100,000 -4,200,000 $4.1M -50.6% 0.09% DBT
96 GRAPHIC PACKAGING INTERN 38869AAC1 Jan 2026 4,050,000 -2,000,000 $3.8M -33.6% 0.08% DBT
97 ELEMENT SOLUTIONS INC 28618MAA4 Jan 2026 3,825,000 -2,675,000 $3.8M -40.6% 0.08% DBT
98 ROYAL CARIBBEAN CRUISES 780153BU5 Jan 2026 3,650,000 -4,400,000 $3.7M -55.5% 0.08% DBT
99 RYAN SPECIALTY GROUP 78351MAA0 Jan 2026 3,750,000 -2,500,000 $3.6M -40.5% 0.08% DBT
100 KFC HLD/PIZZA HUT/TACO 48250NAC9 Jan 2026 3,300,000 -750,000 $3.3M -19.0% 0.07% DBT
101 ROCKETMTGE CO-ISSUER INC 74841CAA9 Jan 2026 3,425,000 -2,550,000 $3.3M -43.2% 0.07% DBT
102 CCO HLDGS LLC/CAP CORP 1248EPBT9 Jan 2026 3,200,000 -7,200,000 $3.2M -69.3% 0.07% DBT
103 PERMIAN RESOURC OPTG LLC 71424VAB6 Jan 2026 3,125,000 -2,600,000 $3.2M -46.1% 0.07% DBT
104 ALBERTSONS COS/SAFEWAY 013092AG6 Jan 2026 3,375,000 -3,625,000 $3.2M -52.7% 0.07% DBT
105 BELRON UK FINANCE PLC 080782AA3 Jan 2026 3,125,000 -1,325,000 $3.1M -31.1% 0.07% DBT
106 ILLUMINATE BUYER/HLDG 45232TAA9 Jan 2026 3,126,000 -1,000,000 $3.1M -24.6% 0.07% DBT
107 SIRIUS XM RADIO LLC 82967NBA5 Jan 2026 3,000,000 -600,000 $3.0M -16.6% 0.06% DBT
108 RANGE RESOURCES CORP 75281ABK4 Jan 2026 2,875,000 -2,625,000 $2.8M -48.4% 0.06% DBT
109 CLYDESDALE ACQUISITION 18972EAB1 Jan 2026 2,375,000 -1,125,000 $2.3M -35.2% 0.05% DBT
110 CHS/COMMUNITY HEALTH SYS 12543DBL3 Jan 2026 2,450,000 -5,600,000 $2.1M -68.8% 0.04% DBT
111 BALL CORP 058498AZ9 Jan 2026 1,975,000 -1,025,000 $2.0M -35.2% 0.04% DBT
112 CARNIVAL CORP LTD 143658BW1 Jan 2026 1,825,000 -2,000,000 $1.9M -52.8% 0.04% DBT
113 OUTFRONT MEDIA CAP LLC/C 69007TAC8 Jan 2026 1,825,000 -2,950,000 $1.8M -62.2% 0.04% DBT
114 COMSTOCK RESOURCES INC 205768AS3 Jan 2026 1,750,000 -7,450,000 $1.7M -81.4% 0.04% DBT
115 CHURCHILL DOWNS INC 12511VAA6 Jan 2026 1,725,000 -1,250,000 $1.7M -42.5% 0.04% DBT
116 TK ELEVATOR US NEWCO INC 92537RAA7 Jan 2026 1,656,000 -6,344,000 $1.7M -79.3% 0.04% DBT