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Federated Hermes, Inc. FHI · Stock Open Federated Hermes, Inc. in new tab

57.10 USD
P/E
10.96
EPS
5.38
Yield
2.52%
Safety Score
92
P/B
3.36
ROE
31.14
Beta
0.63
Target Price
61.00 USD
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Key Metrics
Earnings dateOct. 29, 2026
P/E10.96
EPS5.38
Book Value17.54
Price to Book3.36
Debt/Equity32.35
% Insiders3.893%
Growth
Revenue Growth0.18%
Earnings Growth0.19%
Estimates
Forward P/E10.09
Forward EPS5.85
Target Mean Price61.00
Dividend
Dividend Yield2.52%
Annual dividends1.44 USD
Ex-Div. DateAug. 7, 2026
Payout26.07%
5y avg Yield3.01%

DCF Valuation

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Currency: USD
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DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Federated Hermes, Inc. Logo Federated Hermes, Inc. Analysis (FHI)

United States Financials Official Website Stock

Is Federated Hermes, Inc. a good investment? Federated Hermes, Inc. (FHI) is currently trading at 57.10 USD. Market analysts have a consensus price target of 61.00 USD. This suggests a potential upside from current levels.

In terms of valuation, the stock trades at a P/E ratio of 10.96. This relatively low multiple may signal that Federated Hermes, Inc. is undervalued compared to historical market norms.

Earnings Schedule: Federated Hermes, Inc. is expected to release its next earnings report on Oct. 29, 2026. The market consensus estimate for Forward EPS is 5.85.

For income investors, Federated Hermes, Inc. pays a dividend yield of 2.52%. With a payout ratio of 26%, the dividend appears sustainable.

Investor FAQ

Does Federated Hermes, Inc. pay a dividend?

Yes, it pays an annual dividend of 1.44 USD (2.52% yield).

What asset class is Federated Hermes, Inc.?

Federated Hermes, Inc. is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

When is the next earnings date?

The next earnings date is projected to be Oct. 29, 2026. The company currently has a trailing EPS of 5.38.

Company Profile

Federated Hermes, Inc. is a publicly owned investment manager. Through its subsidiaries, the firm provides its services to individuals, including high net worth individuals, banking or thrift institutions, investment companies, pension and profit sharing plans, pooled investment vehicles, charitable organizations, state or municipal government entities, and registered investment advisors. Through its subsidiaries, it manages separate client-focused equity, fixed income, balanced and money market mutual funds along with separate client-focused equity, fixed income, money market, and balanced portfolios. Through its subsidiaries, the firm invests in the public equity and fixed income markets across the globe. It invests in growth and value stocks of small-cap, mid-cap, and large-cap companies. The firm makes its fixed income investments in ultra-short, short-term, and intermediate-term mortgage-backed, U.S. Government, U.S. corporate, high yield, and municipal securities. It employs both fundamental and quantitative analysis to make its equity investments. Federated Hermes, Inc. was founded in 1955 and is based in Pittsburgh, Pennsylvania with additional offices in New York City; Chicago, Illinois and London, United Kingdom.

Exchange Ticker
NYQ (United States) FHI
Trades
Dividend Yield
2.52%
5y avg 3.01%
Annual Dividends
1.44USD
Next Ex. Div Date
Aug. 7, 2026
Payout Ratio
26.07%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
1.12 USD
Aug. 16, 2027 (estimated) 0.3937
May 17, 2027 (estimated) 0.3847
Feb. 15, 2027 (estimated) 0.3431
2026
1.46 USD
Nov. 16, 2026 (estimated) 0.3563
Aug. 14, 2026 0.3800
May 15, 2026 0.3800
Feb. 13, 2026 0.3400
2025
1.33 USD
Nov. 14, 2025 0.3400
Aug. 15, 2025 0.3400
May 15, 2025 0.3400
Feb. 14, 2025 0.3100
2024
2.21 USD
Nov. 15, 2024 0.3100
Aug. 15, 2024 0.3100
May 15, 2024 1.3100
Feb. 15, 2024 0.2800
2023
1.11 USD
Nov. 15, 2023 0.2800
Aug. 15, 2023 0.2800
May 15, 2023 0.2800
Feb. 15, 2023 0.2700
2022
1.08 USD
Nov. 15, 2022 0.2700
Aug. 15, 2022 0.2700
May 13, 2022 0.2700
Feb. 15, 2022 0.2700
2021
1.08 USD
Nov. 15, 2021 0.2700
Aug. 13, 2021 0.2700
May 14, 2021 0.2700
Feb. 12, 2021 0.2700
2020
2.08 USD
Nov. 13, 2020 1.2700
Aug. 14, 2020 0.2700
May 15, 2020 0.2700
Feb. 14, 2020 0.2700
2019
1.08 USD
Nov. 15, 2019 0.2700
Aug. 15, 2019 0.2700
May 15, 2019 0.2700
Feb. 15, 2019 0.2700
2018
1.06 USD
Nov. 15, 2018 0.2700
Aug. 15, 2018 0.2700
May 15, 2018 0.2700
Feb. 15, 2018 0.2500
2017
1.00 USD
Nov. 15, 2017 0.2500
Aug. 15, 2017 0.2500
May 15, 2017 0.2500
Feb. 15, 2017 0.2500
2016
2.00 USD
Nov. 15, 2016 1.2500
Aug. 15, 2016 0.2500
May 13, 2016 0.2500
Feb. 12, 2016 0.2500
2015
1.00 USD
Nov. 13, 2015 0.2500
Aug. 14, 2015 0.2500
May 15, 2015 0.2500
Feb. 13, 2015 0.2500
2014
1.00 USD
Nov. 14, 2014 0.2500
Aug. 15, 2014 0.2500
May 15, 2014 0.2500
Feb. 14, 2014 0.2500
2013
0.98 USD
Nov. 15, 2013 0.2500
Aug. 15, 2013 0.2500
May 15, 2013 0.2400
Feb. 15, 2013 0.2400
2012
2.47 USD
Nov. 15, 2012 1.7500
Aug. 15, 2012 0.2400
May 15, 2012 0.2400
Feb. 15, 2012 0.2400
2011
0.96 USD
Nov. 15, 2011 0.2400
Aug. 15, 2011 0.2400
May 13, 2011 0.2400
Feb. 15, 2011 0.2400
2010
2.22 USD
Nov. 15, 2010 0.2400
Aug. 13, 2010 0.2400
May 14, 2010 0.2400
Feb. 12, 2010 1.5000
2009
0.96 USD
Nov. 13, 2009 0.2400
Aug. 14, 2009 0.2400
May 15, 2009 0.2400
Feb. 13, 2009 0.2400
2008
3.69 USD
Nov. 14, 2008 0.2400
Sept. 5, 2008 2.7600
Aug. 15, 2008 0.2400
May 15, 2008 0.2400
Feb. 15, 2008 0.2100
2007
0.81 USD
Nov. 15, 2007 0.2100
Aug. 15, 2007 0.2100
May 15, 2007 0.2100
Feb. 15, 2007 0.1800
2006
0.69 USD
Nov. 15, 2006 0.1800
Aug. 15, 2006 0.1800
May 15, 2006 0.1800
Feb. 15, 2006 0.1500
2005
0.58 USD
Nov. 15, 2005 0.1500
Aug. 15, 2005 0.1500
May 13, 2005 0.1500
Feb. 28, 2005 0.1250
2004
0.41 USD
Nov. 15, 2004 0.1250
Aug. 13, 2004 0.1020
May 14, 2004 0.1020
Feb. 27, 2004 0.0850
2003
0.30 USD
Nov. 14, 2003 0.0850
Aug. 15, 2003 0.0850
May 15, 2003 0.0700
Feb. 14, 2003 0.0570
2002
0.22 USD
Nov. 15, 2002 0.0570
Aug. 15, 2002 0.0570
May 15, 2002 0.0570
Feb. 15, 2002 0.0460
2001
0.18 USD
Nov. 15, 2001 0.0460
Aug. 15, 2001 0.0460
May 15, 2001 0.0460
Feb. 15, 2001 0.0370
2000
0.17 USD
Nov. 15, 2000 0.0370
Aug. 15, 2000 0.0370
May 15, 2000 0.0550
Feb. 15, 2000 0.0420
1999
0.16 USD
Nov. 15, 1999 0.0420
Aug. 13, 1999 0.0420
May 14, 1999 0.0420
Feb. 15, 1999 0.0380
1998
0.07 USD
Nov. 13, 1998 0.0380
Aug. 10, 1998 0.0360
Upcoming Dividends
Name Payment Date Status Amount
Federated Hermes, Inc. Aug 14, 2026 0.38 USD
Federated Hermes, Inc. May 15, 2026 0.38 USD
Federated Hermes, Inc. Feb 13, 2026 0.34 USD
Federated Hermes, Inc. Nov 14, 2025 0.34 USD
Stock Splits
Split Date Split Ratio to 1
July 18, 2000 1.5
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