Federated Hermes, Inc. FHI | NYSE

$41.01 -$0.11 | -0.26%

Next Earnings: Jan 23, 2025

Company Overview:

Market Cap: $3.35B
PE Ratio: 12.98
52-Week Range: $31.24 - $43.92
Dividend Yield (FWD): 3.02% ($1.24)

10 Year Performance Metrics:

Total Return (with DRIP): 95.05% (6.91% / yr)
Total Return (no DRIP): 66.40% (5.22% / yr)
Share Price: 24.73%
Dividend Increase: 24.00%
FHI 10-yr Total Return ($10,000 investment)
1Y 2Y 5Y 10Y All

FHI Dividend Payments, Yield & Share Price charts

Dividend Payments & Yield
FHI Dividend CAGR:1Y: 10.71%2Y: 7.15%5Y: 2.80%10Y: 2.17%
Share Price
FHI Price CAGR:1Y: 21.41%2Y: 6.40%5Y: 4.75%10Y: 2.24%

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FHI Dividend Safety: Payout & Dividend to Free Cash Flow Ratios.

Dividend payout ration is Dividend/EPS, and indicates if company can afford to pay dividends from net income that it earned in the quarter.

Since EPS can be played with using different "accounting gymnastics", a better measure of dividends safety is Dividend to Free Cash Flow (FCF) ratio.

FCF is how much cash the company has earned each quarter, after paying all expenses not related to earnings.

Lower Ratio indicates SAFER Dividend! Ratios consistently close to, or over 100% are usually unsustainable and often indicate a dividend cut might be coming soon.

Dividend Payout Ratio - FHI
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Dividend to Free Cash Flow Ratio - FHI
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FHI Earnings, Revenue, Cash & Debt, Shares Outstaning:

FHI - EPS vs PE Ratio
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FHI - FCF vs FCF / Share
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FHI - EPS vs FCF / Share
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FHI - FCF vs Stock Based Comp
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FHI - Revenue vs Net Income
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FHI - Cash & Debt
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FHI - Revenue
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FHI Revenue CAGR:1Y: 1.44%2Y: 3.52%5Y: 3.72%10Y: 6.53%
FHI - Earnings Per Share (EPS)
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FHI EPS CAGR:1Y: 100.33%2Y: 16.58%5Y: 8.04%10Y: 11.40%
FHI - Net Income
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FHI Net Income CAGR:1Y: 100.31%2Y: 12.75%5Y: 3.61%10Y: 8.79%
FHI - EBITDA
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FHI EBITDA CAGR:1Y: 23.63%2Y: 9.64%5Y: 7.13%10Y: 7.64%
FHI - Free Cash Flow
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FHI Free Cash Flow CAGR:1Y: 19.45%2Y: 5.65%5Y: 4.88%10Y: 10.75%
FHI - Free Cash Flow / Share
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FHI Free Cash Flow / Share CAGR:1Y: 27.07%2Y: 9.38%5Y: 9.43%10Y: 13.52%
FHI - Gross Profit
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FHI Gross Profit CAGR:1Y: -30.51%2Y: 3.47%5Y: 3.62%10Y: 6.42%
FHI - Expenses
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FHI Expenses CAGR:1Y: 414.61%2Y: 172.64%5Y: 36.07%10Y: 18.49%
FHI - Shares Outstanding
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FHI Shares Outstanding CAGR:1Y: -5.98%2Y: -3.40%5Y: -4.15%10Y: -2.44%
FHI - Share Buybacks
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FHI Share Buybacks CAGR:1Y: -54.91%2Y: 109.07%5Y: 73.09%10Y: 20.26%
FHI - Stock-Based Comp
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FHI Stock-Based Comp CAGR:1Y: -17.60%2Y: -16.73%5Y: -5.26%10Y: 2.60%
FHI - Dividends
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FHI Dividend CAGR:1Y: 10.71%2Y: 7.15%5Y: 2.80%10Y: 2.17%
FHI - Revenue by Segment
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FHI Revenue CAGR:1Y: 1.44%2Y: 3.52%5Y: 3.72%10Y: 6.53%

Revenue, EPS, Net Income & Ebitda - Estimates VS Actual:

FHI - REVENUE: Actual + Estimates
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FHI Actual Revenue CAGR:1Y: 1.44%2Y: 3.52%5Y: 3.72%10Y: 6.53%
FHI - EPS: Actual + Estimates
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FHI Actual EPS CAGR:1Y: 100.33%2Y: 16.58%5Y: 8.04%10Y: 11.40%
FHI - NET INCOME: Actual + Estimates
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FHI Actual Net Income CAGR:1Y: 100.31%2Y: 12.75%5Y: 3.61%10Y: 8.79%
FHI - EBITDA: Actual + Estimates
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FHI Actual EBITDA CAGR:1Y: 23.63%2Y: 9.64%5Y: 7.13%10Y: 7.64%

Ratios, Profit Margins & Return on Capital:

FHI - Net Profit Margin
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FHI Net Profit Margin CAGR:1Y: 100.31%2Y: 8.91%5Y: -0.11%10Y: 2.11%
FHI - Gross Profit Margin
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FHI Gross Profit Margin CAGR:1Y: -31.49%2Y: -0.05%5Y: -0.10%10Y: -0.10%
FHI - Price to Earnings
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FHI - Price To Sales Ratio
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FHI - Return on Capital Employed
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FHI - Return on Invested Capital
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FHI Dividends Info:

Annual Dividend: $1.24
Forward Yield: 3.02%
Ex-Dividend Date: 2024-11-08
Lifetime Dividens / Share: $29.49

FHI Dividend History: Dates, Payments & Yield list

Below is a schedule of all FHI dividend payments, ex-dates, share price on the day of the payment as well as TTM & forward yield

Ex-Date Payment Date Amount TTM Yield Forward Yield Price on Ex-Date
11/08/202411/15/2024$0.3105.38%3.02%$41.10
08/08/202408/15/2024$0.3106.64%3.78%$32.84
05/07/202405/15/2024$1.3106.71%16.34%$32.06
02/07/202402/15/2024$0.2803.19%3.19%$35.10
11/07/202311/15/2023$0.2803.4%3.43%$32.61
09/21/202310/02/2023$0.0352.45%0.4%$35.24
08/07/202308/15/2023$0.2803.32%3.38%$33.17
05/05/202305/15/2023$0.2802.79%2.87%$39.00
02/07/202302/15/2023$0.2702.69%2.69%$40.18
11/07/202211/15/2022$0.2703.05%3.05%$35.46
08/05/202208/15/2022$0.2703.17%3.17%$34.04
05/05/202205/13/2022$0.2703.71%3.71%$29.10
02/07/202202/15/2022$0.2703.26%3.26%$33.15
11/05/202111/15/2021$0.2703.12%3.12%$34.61
08/05/202108/13/2021$0.2706.53%3.39%$31.85
05/06/202105/14/2021$0.2706.43%3.34%$32.34
02/04/202102/12/2021$0.2707.4%3.84%$28.10
11/05/202011/13/2020$1.2708.59%20.98%$24.21
08/06/202008/14/2020$0.2704.23%4.23%$25.52
05/08/202005/15/2020$0.2704.89%4.89%$22.08
02/06/202002/14/2020$0.2702.9%2.9%$37.23
11/07/201911/15/2019$0.2703.2%3.2%$33.71
08/07/201908/15/2019$0.2703.3%3.3%$32.71
05/07/201905/15/2019$0.2703.41%3.41%$31.64
02/07/201902/15/2019$0.2703.95%3.95%$27.36
11/07/201811/15/2018$0.2704.24%4.32%$25.01
08/07/201808/15/2018$0.2704.44%4.61%$23.44
05/07/201805/15/2018$0.2704.13%4.37%$24.70
02/07/201802/15/2018$0.2503.04%3.04%$32.93
11/07/201711/15/2017$0.2503.24%3.24%$30.91
08/04/201708/15/2017$0.2507.17%3.59%$27.88
05/04/201705/15/2017$0.2507.77%3.88%$25.75
02/06/201702/15/2017$0.2507.68%3.84%$26.04
11/04/201611/15/2016$1.2508.02%20.04%$24.95
08/04/201608/15/2016$0.2503.17%3.17%$31.56
05/04/201605/13/2016$0.2503.36%3.36%$29.80
02/04/201602/12/2016$0.2504.22%4.22%$23.70
11/04/201511/13/2015$0.2503.26%3.26%$30.65
08/05/201508/14/2015$0.2502.95%2.95%$33.93
05/06/201505/15/2015$0.2502.94%2.94%$34.01
02/04/201502/13/2015$0.2503.02%3.02%$33.14
11/05/201411/14/2014$0.2503.22%3.22%$31.08
08/06/201408/15/2014$0.2503.5%3.5%$28.61
05/06/201405/15/2014$0.2503.64%3.64%$27.48
02/05/201402/14/2014$0.2503.79%3.83%$26.14
11/06/201311/15/2013$0.2503.64%3.71%$26.93
08/06/201308/15/2013$0.2508.61%3.47%$28.80
05/06/201305/15/2013$0.24010.8%4.2%$22.87
02/06/201302/15/2013$0.24010.26%3.99%$24.07
11/06/201211/15/2012$1.75011.98%33.96%$20.61
08/06/201208/15/2012$0.2404.75%4.75%$20.22
05/04/201205/15/2012$0.2404.39%4.39%$21.86
02/06/201202/15/2012$0.2405.15%5.15%$18.65
11/04/201111/15/2011$0.2405.08%5.08%$18.90
08/04/201108/15/2011$0.2404.88%4.88%$19.67
05/04/201105/13/2011$0.2403.68%3.68%$26.12
02/04/201102/15/2011$0.2403.59%3.59%$26.71
11/04/201011/15/2010$0.2408.9%3.85%$24.94
08/04/201008/13/2010$0.24010.31%4.46%$21.53
05/05/201005/14/2010$0.2409.3%4.02%$23.87
02/03/201002/12/2010$1.5009.01%24.36%$24.63
11/05/200911/13/2009$0.2403.61%3.61%$26.58
08/06/200908/14/2009$0.2403.62%3.62%$26.51
05/06/200905/15/2009$0.24014.92%4.11%$23.33
02/04/200902/13/2009$0.24016.81%4.64%$20.70
11/05/200811/14/2008$0.24014.5%4%$24.00
09/05/200809/15/2008$2.76010.79%34.53%$31.97
08/06/200808/15/2008$0.2402.86%3.05%$31.52
05/06/200805/15/2008$0.2402.46%2.72%$35.31
02/06/200802/15/2008$0.2102.05%2.05%$41.05
11/06/200711/15/2007$0.2101.99%2.06%$40.71
08/06/200708/15/2007$0.2102.2%2.37%$35.44
05/04/200705/15/2007$0.2101.99%2.23%$37.70
02/06/200702/15/2007$0.1802.02%2.02%$35.60
11/06/200611/15/2006$0.1802.02%2.11%$34.08
08/04/200608/15/2006$0.1802.11%2.3%$31.24
05/04/200605/15/2006$0.1801.88%2.15%$33.49
02/06/200602/15/2006$0.1501.55%1.55%$38.81
11/04/200511/15/2005$0.1501.68%1.76%$34.14
08/04/200508/15/2005$0.1501.75%1.9%$31.50
05/05/200505/13/2005$0.1501.73%2.06%$29.07
02/16/200502/28/2005$0.1251.53%1.69%$29.66
11/04/200411/15/2004$0.1251.43%1.72%$29.05
08/04/200408/13/2004$0.1021.32%1.44%$28.41
05/05/200405/14/2004$0.1021.22%1.39%$29.25
02/18/200402/27/2004$0.0851.01%1.06%$32.11
11/05/200311/14/2003$0.0851.1%1.26%$27.05
08/05/200308/15/2003$0.0850.97%1.23%$27.73
05/05/200305/15/2003$0.0700.88%1.02%$27.33
02/05/200302/14/2003$0.0570.91%0.91%$25.08
11/05/200211/15/2002$0.0570.79%0.83%$27.51
08/05/200208/15/2002$0.0570.75%0.83%$27.40
05/03/200205/15/2002$0.0570.58%0.68%$33.50
02/05/200202/15/2002$0.0460.56%0.56%$33.05
11/05/200111/15/2001$0.0460.63%0.66%$27.75
08/03/200108/15/2001$0.0460.54%0.6%$30.90
05/03/200105/15/2001$0.0460.53%0.62%$29.75
02/05/200102/15/2001$0.0370.49%0.49%$29.90
11/01/200011/15/2000$0.0370.48%0.51%$29.06
08/02/200008/15/2000$0.0370.5%0.57%$26.19
05/04/200005/15/2000$0.0370.61%0.75%$19.54
02/03/200002/15/2000$0.0280.74%0.76%$14.71
10/28/199911/15/1999$0.0280.9%0.95%$11.83
07/29/199908/13/1999$0.0270.83%0.85%$12.54
04/28/199905/14/1999$0.0270.93%0.96%$11.08
02/04/199902/15/1999$0.0250.59%0.78%$12.92
10/28/199811/13/1998$0.0250.46%0.91%$11.13
07/29/199808/10/1998$0.0250.22%0.88%$11.46

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Projected Future Returns & Dividends for FHI

Based on past 10-year performance, here are FHI growth metrics:

Share price CAGR of +2.23%
Dividend CAGR of +2.17%
Using FHI CAGR metrics, we can estimate, that your initial $10000 investment, over next 10 years ago, should grow with dividends being reinvested (DRIP) as follows:

FHI
Current Price$41.11
Start Shares243.25
Start Value$10,000
 
After 10 years:
Final Share Count328.26
Dividends Payment$0.38
Annual Dividends$505
Yield on cost5.05%
Share Price$50.15
Total Dividends$3,889
Final Value$16,464

Estimated Future Value + Dividends - FHI

NOTE: Above numbers are our estimate based on FHI's Dividend and Price CAGR over past 10 years. These numebrs should only be considered as "potential future returns"! These numbers assume DRIP (reinvesting dividends).

We cannot guarantee that your actual returns will meet these estimates.

Company Info

Federated Hermes, Inc. (FHI) had its IPO on 1998-05-14, and is trader on NYSE stock exchange.

Federated Hermes, Inc. is a publicly owned asset management holding company. 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 and London, United Kingdom.

FHI website: https://www.federatedinvestors.com


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