10/27/2025 | Press release | Distributed by Public on 10/27/2025 11:19
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Share Class | Ticker
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A | FEUGX
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Institutional | FEUNX
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Fund Summary Information
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1
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What are the Fund's Investment Strategies?
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6
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What are the Fund's Principal Investments?
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6
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What are the Specific Risks of Investing in the Fund?
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9
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What Do Shares Cost?
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12
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How is the Fund Sold?
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16
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Payments to Financial Intermediaries
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17
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How to Purchase Shares
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18
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How to Redeem and Exchange Shares
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20
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Security and Privacy Protection
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23
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Account and Share Information
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24
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Who Manages the Fund?
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26
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Financial Information
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27
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Appendix A: Hypothetical Investment and Expense Information
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30
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Appendix B: Sales Charge Waivers and Exchange Features for
Shareholders Purchasing Through Certain Financial Intermediaries
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31
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A
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IS
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Maximum Sales Charge (Load) Imposed on Purchases (as a percentage of offering price)
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1.00%
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None
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Maximum Deferred Sales Charge (Load) (as a percentage of original purchase price or redemption proceeds, as applicable)
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None
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None
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Maximum Sales Charge (Load) Imposed on Reinvested Dividends (and other Distributions) (as a percentage of offering price)
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None
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None
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Redemption Fee (as a percentage of amount redeemed, if applicable)
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None
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None
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Exchange Fee
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None
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None
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|
|
A
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IS
|
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Management Fee
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0.25%
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0.25%
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Distribution (12b-1) Fee
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None
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None
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|
Other Expenses
|
0.53%
|
0.28%1
|
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Total Annual Fund Operating Expenses
|
0.78%
|
0.53%
|
|
Fee Waivers and/or Expense Reimbursements2
|
(0.22)%
|
(0.22)%
|
|
Total Annual Fund Operating Expenses After Fee Waivers and/or Expense Reimbursements
|
0.56%
|
0.31%
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|
Share Class
|
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|
A
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$179
|
$347
|
$529
|
$1,056
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|
IS
|
$54
|
$170
|
$296
|
$665
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|
Share Class
|
1 Year
|
5 Years
|
10 Years
|
|
A:
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|||
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Return Before Taxes
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4.72%
|
1.65%
|
1.30%
|
|
Return After Taxes on Distributions
|
2.50%
|
0.60%
|
0.52%
|
|
Return After Taxes on Distributions and Sale of Fund Shares
|
2.76%
|
0.81%
|
0.65%
|
|
IS:
|
|||
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Return Before Taxes
|
5.99%
|
2.10%
|
1.54%
|
|
Bloomberg US Aggregate Bond Index1
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1.25%
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(0.33)%
|
1.35%
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|
ICE BofA 1-Year US Treasury Note Index2
(reflects no deduction for fees, expenses or taxes)
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4.75%
|
2.01%
|
1.63%
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|
|
Minimum
Initial/Subsequent
Investment
Amounts1
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Maximum Sales Charges
|
|
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Shares Offered
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Front-End
Sales Charge2
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Contingent
Deferred
Sales Charge
|
|
|
A
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$1,500/$100
|
1.00%
|
None
|
|
A Class:
|
||
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Purchase Amount
|
Sales Charge
as a Percentage
of Public
Offering Price
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Sales Charge
as a Percentage
of NAV
|
|
Less than $100,000
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1.00%
|
1.01%
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|
$100,000 or greater
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0.00%
|
0.00%
|
|
A Class:
|
|
|
Purchase Amount
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Dealer Reallowance
as a Percentage of
Public Offering Price
|
|
Less than $100,000
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1.00%
|
|
$100,000 or greater
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0.00%
|
|
|
Year Ended August 31,
|
||||
|
|
2025
|
2024
|
2023
|
2022
|
2021
|
|
Net Asset Value, Beginning of Period
|
$9.36
|
$9.22
|
$9.48
|
$9.63
|
$9.65
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Income From Investment Operations:
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|||||
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Net investment income (loss)2
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0.44
|
0.49
|
0.37
|
0.05
|
0.02
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Net realized and unrealized gain (loss)
|
0.003
|
0.14
|
(0.26)
|
(0.15)
|
(0.01)
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Total From Investment Operations
|
0.44
|
0.63
|
0.11
|
(0.10)
|
0.01
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Less Distributions:
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|||||
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Distributions from net investment income
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(0.44)
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(0.49)
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(0.37)
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(0.05)
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(0.03)
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Net Asset Value, End of Period
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$9.36
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$9.36
|
$9.22
|
$9.48
|
$9.63
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Total Return4
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4.87%
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7.06%
|
1.25%
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(1.08)%
|
0.09%
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Ratios to Average Net Assets:
|
|||||
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Net expenses5
|
0.55%
|
0.55%
|
0.55%
|
0.55%
|
0.53%
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Net investment income
|
4.69%
|
5.31%
|
3.96%
|
0.48%
|
0.26%
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Expense waiver/reimbursement6
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0.22%
|
0.29%
|
0.29%
|
0.26%
|
0.31%
|
|
Supplemental Data:
|
|||||
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Net assets, end of period (000 omitted)
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$106,542
|
$36,450
|
$29,438
|
$33,685
|
$74,655
|
|
Portfolio turnover7
|
44%
|
48%
|
44%
|
54%
|
82%
|
|
Portfolio turnover (excluding purchases and sales from dollar-roll transactions)7
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29%
|
25%
|
42%
|
53%
|
51%
|
|
1
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Effective at the start of business on July 28, 2022, the Fund's Service Shares were re-designated as Class A Shares.
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|
2
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Per share numbers have been calculated using the average shares method.
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|
3
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Represents less than $0.01.
|
|
4
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Based on net asset value, which does not reflect the sales charge, redemption fee or contingent deferred sales charge, if applicable.
|
|
5
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Amount does not reflect net expenses incurred by investment companies in which the Fund may invest.
|
|
6
|
This expense decrease is reflected in both the net expense and the net investment income ratios shown above. Amount does not reflect expense waiver/
reimbursement recorded by investment companies in which the Fund may invest.
|
|
7
|
Securities that mature are considered sales for purposes of this calculation.
|
|
|
Year Ended August 31,
|
||||
|
|
2025
|
2024
|
2023
|
2022
|
2021
|
|
Net Asset Value, Beginning of Period
|
$9.36
|
$9.22
|
$9.48
|
$9.63
|
$9.65
|
|
Income From Investment Operations:
|
|||||
|
Net investment income (loss)1
|
0.47
|
0.52
|
0.38
|
0.09
|
0.05
|
|
Net realized and unrealized gain (loss)
|
0.002
|
0.14
|
(0.24)
|
(0.17)
|
(0.02)
|
|
Total From Investment Operations
|
0.47
|
0.66
|
0.14
|
(0.08)
|
0.03
|
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Less Distributions:
|
|||||
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Distributions from net investment income
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(0.47)
|
(0.52)
|
(0.40)
|
(0.07)
|
(0.05)
|
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Net Asset Value, End of Period
|
$9.36
|
$9.36
|
$9.22
|
$9.48
|
$9.63
|
|
Total Return3
|
5.13%
|
7.33%
|
1.50%
|
(0.84)%
|
0.31%
|
|
Ratios to Average Net Assets:
|
|||||
|
Net expenses4
|
0.30%
|
0.30%
|
0.30%
|
0.30%
|
0.30%
|
|
Net investment income
|
4.98%
|
5.57%
|
4.10%
|
0.93%
|
0.47%
|
|
Expense waiver/reimbursement5
|
0.22%
|
0.28%
|
0.29%
|
0.26%
|
0.31%
|
|
Supplemental Data:
|
|||||
|
Net assets, end of period (000 omitted)
|
$208,888
|
$135,402
|
$95,018
|
$156,311
|
$65,393
|
|
Portfolio turnover6
|
44%
|
48%
|
44%
|
54%
|
82%
|
|
Portfolio turnover (excluding purchases and sales from dollar-roll transactions)6
|
29%
|
25%
|
42%
|
53%
|
51%
|
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1
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Per share numbers have been calculated using the average shares method.
|
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2
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Represents less than $0.01.
|
|
3
|
Based on net asset value.
|
|
4
|
Amount does not reflect net expenses incurred by investment companies in which the Fund may invest.
|
|
5
|
This expense decrease is reflected in both the net expense and the net investment income ratios shown above. Amount does not reflect expense waiver/
reimbursement recorded by investment companies in which the Fund may invest.
|
|
6
|
Securities that mature are considered sales for purposes of this calculation.
|
|
FEDERATED HERMES ADJUSTABLE RATE FUND - A CLASS
|
|||||
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ANNUAL EXPENSE RATIO: 0.78%
|
|||||
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MAXIMUM FRONT-END SALES CHARGE: 1.00%
|
|||||
|
Year
|
Hypothetical
Beginning
Investment
|
Hypothetical
Performance
Earnings
|
Investment
After
Returns
|
Hypothetical
Expenses
|
Hypothetical
Ending
Investment
|
|
1
|
$10,000.00
|
$495.00
|
$10,395.00
|
$178.85
|
$10,317.78
|
|
2
|
$10,317.78
|
$515.89
|
$10,833.67
|
$82.18
|
$10,753.19
|
|
3
|
$10,753.19
|
$537.66
|
$11,290.85
|
$85.64
|
$11,206.97
|
|
4
|
$11,206.97
|
$560.35
|
$11,767.32
|
$89.26
|
$11,679.90
|
|
5
|
$11,679.90
|
$584.00
|
$12,263.90
|
$93.03
|
$12,172.79
|
|
6
|
$12,172.79
|
$608.64
|
$12,781.43
|
$96.95
|
$12,686.48
|
|
7
|
$12,686.48
|
$634.32
|
$13,320.80
|
$101.04
|
$13,221.85
|
|
8
|
$13,221.85
|
$661.09
|
$13,882.94
|
$105.31
|
$13,779.81
|
|
9
|
$13,779.81
|
$688.99
|
$14,468.80
|
$109.75
|
$14,361.32
|
|
10
|
$14,361.32
|
$718.07
|
$15,079.39
|
$114.38
|
$14,967.37
|
|
Cumulative
|
$6,004.01
|
$1,056.39
|
|||
|
FEDERATED HERMES ADJUSTABLE RATE FUND - IS CLASS
|
|||||
|
ANNUAL EXPENSE RATIO: 0.53%
|
|||||
|
MAXIMUM FRONT-END SALES CHARGE: NONE
|
|||||
|
Year
|
Hypothetical
Beginning
Investment
|
Hypothetical
Performance
Earnings
|
Investment
After
Returns
|
Hypothetical
Expenses
|
Hypothetical
Ending
Investment
|
|
1
|
$10,000.00
|
$500.00
|
$10,500.00
|
$54.18
|
$10,447.00
|
|
2
|
$10,447.00
|
$522.35
|
$10,969.35
|
$56.61
|
$10,913.98
|
|
3
|
$10,913.98
|
$545.70
|
$11,459.68
|
$59.14
|
$11,401.83
|
|
4
|
$11,401.83
|
$570.09
|
$11,971.92
|
$61.78
|
$11,911.49
|
|
5
|
$11,911.49
|
$595.57
|
$12,507.06
|
$64.54
|
$12,443.93
|
|
6
|
$12,443.93
|
$622.20
|
$13,066.13
|
$67.43
|
$13,000.17
|
|
7
|
$13,000.17
|
$650.01
|
$13,650.18
|
$70.44
|
$13,581.28
|
|
8
|
$13,581.28
|
$679.06
|
$14,260.34
|
$73.59
|
$14,188.36
|
|
9
|
$14,188.36
|
$709.42
|
$14,897.78
|
$76.88
|
$14,822.58
|
|
10
|
$14,822.58
|
$741.13
|
$15,563.71
|
$80.32
|
$15,485.15
|
|
Cumulative
|
$6,135.53
|
$664.91
|
|||
|
Share Class | Ticker
|
A | FEUGX
|
Institutional | FEUNX
|
|
|
|
|
Contents
|
|
1
|
How is the Fund Organized?
|
|
1
|
Securities in Which the Fund Invests
|
|
4
|
Investment Risks
|
|
6
|
Investment Objective (and Policies) and Investment Limitations
|
|
9
|
What Do Shares Cost?
|
|
11
|
How is the Fund Sold?
|
|
14
|
Purchases In-Kind
|
|
14
|
Redemption In-Kind
|
|
14
|
Massachusetts Partnership Law
|
|
14
|
Account and Share Information
|
|
15
|
Tax Information
|
|
15
|
Who Manages and Provides Services to the Fund?
|
|
32
|
Financial Information
|
|
32
|
Investment Ratings
|
|
37
|
Addresses
|
|
38
|
Appendix
|
|
Name
Birth Date
Positions Held with Trust
Date Service Began
|
Principal Occupation(s) for Past Five Years,
Other Directorships Held and Previous Position(s)
|
Aggregate
Compensation
From Fund
(past fiscal year)
|
Total Compensation
From Fund and
Federated Hermes Complex
(past calendar year)
|
|
J. Christopher Donahue*
Birth Date: April 11, 1949
President and Trustee
Indefinite Term
Began serving: April 1999
|
Principal Occupations:Principal Executive Officer and President of certain
of the Funds in the Federated Hermes Complex; Director or Trustee of the
Funds in the Federated Hermes Complex; Chairman, President, Chief
Executive Officer and Director, Federated Hermes, Inc.; Trustee, Federated
Administrative Services and Director, Federated Administrative Services,
Inc.; Trustee and Chairman, Federated Advisory Services Company; Director
or Trustee and Chairman, Federated Investment Management Company,
Federated Global Investment Management Corp., Federated Equity
Management Company of Pennsylvania, and Federated MDTA LLC; Trustee,
Federated Investment Counseling; Trustee, Federated Shareholder Services
Company; Director, Federated Services Company.
Previous Positions:President, Federated Investment Counseling; President
and Chief Executive Officer, Federated Investment Management Company,
Federated Global Investment Management Corp. and Passport Research,
Ltd.; Chairman, Passport Research, Ltd.
|
$0
|
$0
|
|
John B. Fisher*
Birth Date: May 16, 1956
Trustee
Indefinite Term
Began serving: May 2016
|
Principal Occupations:Principal Executive Officer and President of certain
of the Funds in the Federated Hermes Complex; Director or Trustee of
certain of the Funds in the Federated Hermes Complex; Director and Vice
President, Federated Hermes, Inc.; President, Director/Trustee and CEO,
Federated Advisory Services Company, Federated Equity Management
Company of Pennsylvania, Federated Global Investment Management
Corp., Federated Investment Counseling, Federated Investment
Management Company and Federated MDTA LLC; Director, Federated
Investors Trust Company.
Previous Positions:President and Director of the Institutional Sales
Division of Federated Securities Corp.; President and CEO of Passport
Research, Ltd.; Director and President, Technology, Federated
Services Company.
|
$0
|
$0
|
|
Name
Birth Date
Positions Held with Trust
Date Service Began
|
Principal Occupation(s) and Other Directorships Held for
Past Five Years, Previous Position(s) and Qualifications
|
Aggregate
Compensation
From Fund
(past fiscal year)
|
Total Compensation
From Trust and
Federated Hermes Complex
(past calendar year)
|
|
John G. Carson
Birth Date: May 15, 1965
Trustee
Indefinite Term
Began serving: January 2025
|
Principal Occupations:Director or Trustee of the Federated Hermes
Complex; Chief Executive Officer, Chief Investment Officer, Northstar Asset
Management (Financial Services); formerly, Chief Compliance Officer,
Northstar Asset Management.
Other Directorships Held:None.
Qualifications:Mr. Carson has served in various business management
roles throughout his career. Mr. Carson was a Vice President at the
Glenmede Trust Company and a Managing Director at Oppenheimer &
Company. Prior to that he spent more than a decade with the Bank of
America/Merrill Lynch as a Director of Institutional Sales. Earlier on,
Mr. Carson held similar positions for Wertheim Schroder/Schroders PLC
and Drexel Burnham Lambert.
|
$855.41
|
$242,570.94
|
|
Name
Birth Date
Positions Held with Trust
Date Service Began
|
Principal Occupation(s) and Other Directorships Held for
Past Five Years, Previous Position(s) and Qualifications
|
Aggregate
Compensation
From Fund
(past fiscal year)
|
Total Compensation
From Trust and
Federated Hermes Complex
(past calendar year)
|
|
G. Thomas Hough
Birth Date: February 28, 1955
Trustee
Indefinite Term
Began serving: August 2015
|
Principal Occupations:Director or Trustee and Chair of the Board of
Directors or Trustees of the Federated Hermes Complex; formerly,
Vice Chair, Ernst & Young LLP (public accounting firm) (Retired).
Other Directorships Held:Director, Chair of the Audit Committee,
Member of the Compensation Committee, Equifax, Inc.; Lead Director,
Member of the Audit and Nominating and Corporate Governance
Committees, Haverty Furniture Companies, Inc.
Qualifications:Mr. Hough has served in accounting, business management
and directorship positions throughout his career. Mr. Hough most recently
held the position of Americas Vice Chair of Assurance with Ernst &
Young LLP (public accounting firm). Mr. Hough serves on the President's
Cabinet and Business School Board of Visitors for the University of
Alabama. Mr. Hough previously served as a Director and Member of the
Audit, Governance, and Compensation Committees at Publix Super
Markets, Inc., as well as on the Business School Board of Visitors for Wake
Forest University. In addition, he previously served as an Executive
Committee member of the United States Golf Association.
|
$1,298.87
|
$395,000
|
|
Karen L. Larrimer
Birth Date: December 10, 1962
Trustee
Indefinite Term
Began serving: January 2025
|
Principal Occupations:Director or Trustee of the Federated Hermes
Complex; formerly, Executive Vice President and Head of Retail Banking
and Chief Customer Officer, The PNC Financial Services Group, Inc.
(Retired).
Other Directorships Held:None.
Qualifications:Ms. Larrimer has served in several business and financial
management roles and directorship positions throughout her career. She
previously held the position of Executive Vice President and Head of Retail
Banking and Chief Customer Officer, The PNC Financial Services Group,
Inc. Prior to those roles, Ms. Larrimer held several executive positions at
PNC, including Chief Marketing Officer and Executive Vice President for
Business Banking. In addition to her various roles at PNC, Ms. Larrimer
previously was an assistant director at Ernst & Young LLP and served in
several leadership roles at Mellon Bank. Ms. Larrimer also currently holds
the positions on not for profit or for profit boards of directors as follows:
Director, Highmark Inc. (health insurance organization); Director, Modern
Executive Solutions (executive search and advisory solutions firm); Director
and former Chair, Children's Museum of Pittsburgh; Director and former
Chair, United Way of Southwestern Pennsylvania; and Emeritus Director,
Goodwill Industries Pittsburgh. Ms. Larrimer has held the positions of:
President, Duquesne Club of Pittsburgh; Trustee, Robert Morris University;
Director, PNC Foundation; and Director, numo (fintech incubator).
|
$777.64
|
$0
|
|
Max F. Miller
Birth Date: December 6, 1968
Trustee
Indefinite Term
Began serving: January 2025
|
Principal Occupations:Director or Trustee of the Federated Hermes
Complex; Associate Professor, Director of Entrepreneurial Studies,
Director -Ignite Business Incubator, Washington & Jefferson College.
Other Directorships Held: None.
Qualifications:Mr. Miller has served in several legal, business, and
academic roles and directorship positions throughout his career. Mr. Miller
serves as Associate Professor of Business & Entrepreneurship, Director of
Entrepreneurial Studies, and Director of Ignite Business Incubator at
Washington & Jefferson College. He also serves as President and Chief
Tasting Officer of Raise Your Spirits, an experiential engagement firm.
Mr. Miller previously served as Executive Vice President & Chief Operating
Officer of Urban Innovation 21, an economic development focused public-
private partnership; Director of VIP Experiences of MetroMe, a mobile app
providing concierge services; Chief Administrative Officer and General
Counsel of Big Brothers Big Sisters of America; and Director of the
University of Pittsburgh School of Law's Innovation Practice Institute. Prior
to those roles, Mr. Miller held various operations, marketing and legal
leadership roles at H.J. Heinz Company and was an attorney for Federated
Investors, Inc. (now Federated Hermes, Inc.) from May 3, 1994, to
November 11, 1997.
|
$777.64
|
$0
|
|
Name
Birth Date
Positions Held with Trust
Date Service Began
|
Principal Occupation(s) and Other Directorships Held for
Past Five Years, Previous Position(s) and Qualifications
|
Aggregate
Compensation
From Fund
(past fiscal year)
|
Total Compensation
From Trust and
Federated Hermes Complex
(past calendar year)
|
|
Frank J. Nasta
Birth Date: October 11, 1964
Trustee
Indefinite Term
Began serving: January 2025
|
Principal Occupations:Director or Trustee of the Federated Hermes
Complex; Chair of the Mutual Fund Advisory Committee and the European
Fund Advisory Committee (industry forums sponsored by Broadridge
Financial Solutions, Inc.)1(Retired).
Other Directorships Held:None.
Qualifications:Mr. Nasta has served in various legal, compliance, and
business roles in the investment management industry throughout his
career. He previously was a Managing Director of JPMorgan Chase & Co.
and Head of Legal for the JPMorgan U.S. Mutual Funds business. Prior to
joining J.P. Morgan, Mr. Nasta was a Partner, General Counsel, Corporate
Secretary and Member of the Board of Directors of J. & W. Seligman, an
investment management firm. Mr. Nasta previously served as the chair of
the Investment Company Institute's (the "ICI") SEC Rules Committee, the
ICI's Mutual Funds Conference Advisory Committee, and the Investment
Management Regulation Committee of the New York City Bar Association.
He also previously served as a Director of The International Preschools in
New York City.
1Mr. Nasta served as Chair of these committees in the capacity of a non-
employee consultant, has never been an employee of Broadridge Financial
Solutions, Inc., and has resigned from these positions, effective
December 31, 2024, in connection with his election to the Board.
|
$777.64
|
$0
|
|
Thomas M. O'Neill
Birth Date: June 14, 1951
Trustee
Indefinite Term
Began serving: August 2006
|
Principal Occupations:Director or Trustee and Chair of the Audit
Committee of the Federated Hermes Complex; Sole Proprietor, Navigator
Management Company (investment and strategic consulting).
Other Directorships Held:None.
Qualifications:Mr. O'Neill has served in several business, mutual fund and
financial management roles and directorship positions throughout his
career. Mr. O'Neill serves as Director, Medicines for Humanity. Mr. O'Neill
previously served as Chief Executive Officer and President, Managing
Director and Chief Investment Officer, Fleet Investment Advisors; President
and Chief Executive Officer, Aeltus Investment Management, Inc.; General
Partner, Hellman, Jordan Management Co., Boston, MA; Chief Investment
Officer, The Putnam Companies, Boston, MA; and Credit Analyst and
Lending Officer, Fleet Bank.
|
$1,239.99
|
$376,000
|
|
Madelyn A. Reilly
Birth Date: February 2, 1956
Trustee
Indefinite Term
Began serving: November 2020
|
Principal Occupations:Director or Trustee of the Federated Hermes
Complex; formerly, Senior Vice President for Legal Affairs, General Counsel
and Secretary of Board of Directors, Duquesne University (Retired).
Other Directorships Held:None.
Qualifications:Ms. Reilly has served in various business and legal
management roles throughout her career. Ms. Reilly previously served as
Senior Vice President for Legal Affairs, General Counsel and Secretary of
Board of Directors and Director of Risk Management and Associate General
Counsel, Duquesne University. Prior to her work at Duquesne University,
Ms. Reilly served as Assistant General Counsel of Compliance and
Enterprise Risk as well as Senior Counsel of Environment, Health and
Safety, PPG Industries. Ms. Reilly currently serves as a member of the Board
of Directors of UPMC Mercy Hospital, and as a member of the Board of
Directors of Catholic Charities, Pittsburgh, and as a member of the
Duquesne Kline Law School Advisory Board.
|
$1,127.05
|
$310,000
|
|
Name
Birth Date
Positions Held with Trust
Date Service Began
|
Principal Occupation(s) and Other Directorships Held for
Past Five Years, Previous Position(s) and Qualifications
|
Aggregate
Compensation
From Fund
(past fiscal year)
|
Total Compensation
From Trust and
Federated Hermes Complex
(past calendar year)
|
|
John S. Walsh
Birth Date: November 28, 1957
Trustee
Indefinite Term
Began serving: April 1999
|
Principal Occupations:Director or Trustee of the Federated Hermes
Complex; Chairman and Director, Heat Wagon, Inc. (manufacturer of
construction temporary heaters); Chairman and Director, Manufacturers
Products, Inc. (distributor of portable construction heaters); Chairman,
Portable Heater Parts, a division of Manufacturers Products, Inc.; formerly,
President, Heat Wagon, Inc. and Manufacturers Products, Inc.
Other Directorships Held:None.
Qualifications:Mr. Walsh has served in several business management roles
and directorship positions throughout his career. Mr. Walsh previously
served as President at Heat Wagon, Inc. (manufacturer of construction
temporary heaters), Manufacturers Products, Inc. (distributor of portable
construction heaters), and Portable Heater Parts, a division of
Manufacturers Products, Inc. Mr. Walsh previously served as Vice President,
Walsh & Kelly, Inc. (paving contractors).
|
$1,127.05
|
$341,000
|
|
Name
Birth Date
Positions Held with Trust
Date Service Began
|
Principal Occupation(s) and Previous Position(s)
|
|
Jeremy D. Boughton
Birth Date: September 29, 1976
Treasurer
Officer since: March 2024
|
Principal Occupations:Principal Financial Officer and Treasurer of the Federated Hermes Complex; Senior Vice President,
Federated Administrative Services, Federated Administrative Services, Inc., Federated Advisory Services Company, Federated
Equity Management Company of Pennsylvania, Federated Global Investment Management Corp., Federated Investment
Counseling, Federated Investment Management Company and Federated MDTA, LLC. Formerly, Controller, Federated Hermes,
Inc. and Financial and Operations Principal for Federated Securities Corp. Mr. Boughton has received the Certified Public
Accountant designation.
Previous Positions:Senior Vice President and Assistant Treasurer, Federated Investors Management Company; Treasurer,
Federated Investors Trust Company; Assistant Treasurer, Federated Administrative Services, Federated Administrative Services,
Inc., Federated Securities Corp., Federated Advisory Services Company, Federated Equity Management Company of
Pennsylvania, Federated Global Investment Management Corp., Federated Investment Counseling, Federated Investment
Management Company, Federated MDTA, LLC and Federated Hermes (UK) LLP, as well as other subsidiaries of Federated
Hermes, Inc.
|
|
Peter J. Germain
Birth Date: September 3, 1959
CHIEF LEGAL OFFICER,
SECRETARY and EXECUTIVE
VICE PRESIDENT
Officer since: January 2005
|
Principal Occupations:Mr. Germain is Chief Legal Officer, Secretary and Executive Vice President of the Federated Hermes
Complex. He is Chief Legal Officer, Secretary and Executive Vice President, Federated Hermes, Inc.; Trustee and Senior Vice
President, Federated Investors Management Company; Trustee and President, Federated Administrative Services; Director and
President, Federated Administrative Services, Inc.; Director and Vice President, Federated Securities Corp.; Director and
Secretary, Federated Private Asset Management, Inc.; and Secretary, Federated Shareholder Services Company. Mr. Germain
joined Federated Hermes, Inc. in 1984 and is a member of the Pennsylvania Bar Association.
Previous Positions:Deputy General Counsel, Special Counsel, Managing Director of Mutual Fund Services, Federated Hermes,
Inc.; Senior Vice President, Federated Services Company; and Senior Corporate Counsel, Federated Hermes, Inc.
|
|
Stephen Van Meter
Birth Date: June 5, 1975
CHIEF COMPLIANCE OFFICER
AND SENIOR VICE PRESIDENT
Officer since: July 2015
|
Principal Occupations:Senior Vice President and Chief Compliance Officer of the Federated Hermes Complex; Vice President
and Chief Compliance Officer of Federated Hermes, Inc. and Chief Compliance Officer of certain of its subsidiaries.
Mr. Van Meter joined Federated Hermes, Inc. in October 2011. He holds FINRA licenses under Series 3, 7, 24 and 66.
Previous Positions:Mr. Van Meter previously held the position of Compliance Operating Officer, Federated Hermes, Inc. Prior to
joining Federated Hermes, Inc., Mr. Van Meter served at the United States Securities and Exchange Commission in the positions
of Senior Counsel, Office of Chief Counsel, Division of Investment Management and Senior Counsel, Division of Enforcement.
|
|
Robert J. Ostrowski
Birth Date: April 26, 1963
Chief Investment Officer
Officer since: May 2004
|
Principal Occupations:Robert J. Ostrowski joined Federated Hermes, Inc. in 1987 as an Investment Analyst and became a
Portfolio Manager in 1990. He was named Chief Investment Officer of Federated Hermes, Inc. taxable fixed-income products in
2004 and also serves as a Senior Portfolio Manager. Mr. Ostrowski became an Executive Vice President of the Fund's Adviser in
2009 and served as a Senior Vice President of the Fund's Adviser from 1997 to 2009. Mr. Ostrowski has received the Chartered
Financial Analyst designation. He received his M.S. in Industrial Administration from Carnegie Mellon University.
|
|
Director/Trustee Emeritus
|
Compensation
From the Fund
(past fiscal year)
|
Total
Compensation
Paid to
Director/Trustee
Emeritus1
(past calendar year)
|
|
John T. Collins
|
$25.54
|
$62,000.00
|
|
Maureen Lally-Green2
|
$20.64
|
$0.00
|
|
P. Jerome Richey2
|
$20.64
|
$0.00
|
|
Charles F. Mansfield, Jr.
|
$25.54
|
$62,000.00
|
|
Board
Committee
|
Committee
Members
|
Committee Functions
|
Meetings Held
During Last
Fiscal Year
|
|
Executive
|
J. Christopher Donahue
G. Thomas Hough
Madelyn A. Reilly
John S. Walsh
|
In between meetings of the full Board, the Executive Committee generally may
exercise all the powers of the full Board in the management and direction of the
business and conduct of the affairs of the Fund in such manner as the Executive
Committee shall deem to be in the best interests of the Fund. However, the
Executive Committee cannot elect or remove Board members, increase or decrease
the number of Trustees, elect or remove any Officer, declare dividends, issue shares
or recommend to shareholders any action requiring shareholder approval.
|
One
|
|
Audit
|
John G. Carson
Thomas M. O'Neill
Madelyn A. Reilly
John S. Walsh
|
The purposes of the Audit Committee are to oversee the accounting and financial
reporting process of the Fund, the Fund's internal control over financial reporting
and the quality, integrity and independent audit of the Fund's financial statements.
The Committee also oversees or assists the Board with the oversight of compliance
with legal requirements relating to those matters, approves the engagement and
reviews the qualifications, independence and performance of the Fund's
independent registered public accounting firm, acts as a liaison between the
independent registered public accounting firm and the Board and reviews the Fund's
internal audit function.
|
Seven
|
|
Nominating
|
John G. Carson
G. Thomas Hough
Karen L. Larrimer
Max F. Miller
Frank J. Nasta
Thomas M. O'Neill
Madelyn A. Reilly
John S. Walsh
|
The Nominating Committee, whose members consist of all Independent Trustees,
selects and nominates persons for election to the Fund's Board when vacancies
occur. The Committee will consider candidates recommended by shareholders,
Independent Trustees, officers or employees of any of the Fund's agents or service
providers and counsel to the Fund. Any shareholder who desires to have an
individual considered for nomination by the Committee must submit a
recommendation in writing to the Secretary of the Fund, at the Fund's address
appearing on the back cover of this SAI. The recommendation should include the
name and address of both the shareholder and the candidate and detailed
information concerning the candidate's qualifications and experience. In identifying
and evaluating candidates for consideration, the Committee shall consider such
factors as it deems appropriate. Those factors will ordinarily include: integrity,
intelligence, collegiality, judgment, diversity, skill, business and other experience,
qualification as an "Independent Trustee," the existence of material relationships
which may create the appearance of a lack of independence, financial or accounting
knowledge and experience and dedication and willingness to devote the time and
attention necessary to fulfill Board responsibilities.
|
None
|
|
Interested Board
Member Name
|
Dollar Range of
Shares Owned in
Federated Hermes
Adjustable Rate Fund
|
Aggregate
Dollar Range of
Shares Owned in
Federated Hermes Family of
Investment Companies
|
|
J. Christopher Donahue
|
None
|
Over $100,000
|
|
John B. Fisher
|
None
|
Over $100,000
|
|
Independent Board
Member Name
|
|
|
|
John G. Carson
|
None
|
None
|
|
G. Thomas Hough
|
None
|
Over $100,000
|
|
Karen L. Larrimer
|
None
|
Over $100,000
|
|
Max F. Miller
|
None
|
None
|
|
Frank J. Nasta
|
None
|
None
|
|
Thomas M. O'Neill
|
None
|
Over $100,000
|
|
Madelyn A. Reilly
|
None
|
Over $100,000
|
|
John S. Walsh
|
None
|
Over $100,000
|
|
Types of Accounts Managed
by Todd Abraham
|
Total Number of Additional Accounts
Managed/Total Assets*
|
|
Registered Investment Companies
|
17/$5.4 billion
|
|
Other Pooled Investment Vehicles
|
0/$0
|
|
Other Accounts
|
1/$75.9 million
|
|
Types of Accounts Managed
by Liam O'Connell
|
Total Number of Additional Accounts
Managed/Total Assets*
|
|
Registered Investment Companies
|
9/$7.4 billion
|
|
Other Pooled Investment Vehicles
|
0/$0
|
|
Other Accounts
|
1/$75.9 million
|
|
Administrative Services
Fee Rate
|
Average Daily Net Assets
of the Investment Complex
|
|
0.100%
|
on assets up to $50 billion
|
|
0.075%
|
on assets over $50 billion
|
|
For the Year Ended August 31
|
2025
|
2024
|
2023
|
|
Advisory Fee Earned
|
$614,260
|
$352,376
|
$350,611
|
|
Advisory Fee Waived
|
$541,583
|
$342,765
|
$347,443
|
|
Advisory Fee Reimbursed
|
$6,815
|
$4,164
|
$3,168
|
|
Net Administrative Fee
|
$193,546
|
$112,761
|
$112,022
|
|
Net Shareholder Services Fee:
|
|||
|
Class A Shares
|
$168,383
|
$75,809
|
$74,537
|
|
Gross income from securities lending activities
|
$00.00
|
|
Fees and/or compensation for securities lending activities and related services
|
|
|
Fees paid to securities lending agent from a revenue split
|
$00.00
|
|
Fees paid for any cash collateral management service (including fees deducted from a
pooled cash collateral reinvestment vehicle) that are not included in the revenue split
|
-
|
|
Administrative fees not included in revenue split
|
-
|
|
Indemnification fee not included in revenue split
|
-
|
|
Rebate (paid to borrower)
|
$00.00
|
|
Other fees not included in revenue split (specify)
|
-
|
|
Aggregate fees/compensation for securities lending activities
|
$00.00
|
|
Net income from securities lending activities
|
$00.00
|
Item 28. Exhibits
| (a) | Declaration of Trust | |
| Conformed copy of Amended and Restated Declaration of Trust of the Registrant dated May 19, 2000 including Amendments | + |
| (b) | By-Laws | |
| Conformed Copy of Amended and Restated By-Laws of the Registrant dated November 20, 1986 including Amendments | + |
| (c) | Instruments Defining Rights of Security Holders | |
| Copy of Specimen Certificate for Shares of Beneficial Interest of the Registrant as filed in Post-Effective Amendment No. 15 on October 25, 1993 on Form N-1A (File Nos. 2-98491 and 811-4539) | ||
| As of September 1, 1997, Federated Securities Corp. stopped issuing share certificates. |
| (d) | Investment Advisory Contracts | |
| Conformed copy of the Investment Advisory Contract of the Registrant dated August 1, 1989, including Exhibit, Amendment and Limited Power of Attorney dated June 1, 2017 | + |
| (e) | Underwriting Contracts | |
| Conformed copy of the Distributor's Contract of the Registrant dated April 24, 1992, including Exhibits and Amendments | + |
| (f) | Bonus or Profit Sharing Contracts | |
| Not applicable |
| (g) | Custodian Agreements | |
| Conformed copy of Amended and Restated Master Custodian Agreement dated March 1, 2017 by and between State Street Bank and Trust Company and the Registrant, including Appendix A | + |
| (h) | Other Material Contracts | |
| 1 | Services Agreement | |
| (a) | Conformed copy of Services Agreement between Federated Advisory Services Company and Federated Investment Management Company dated January 1, 2004, including Schedule 1 | + |
| (b) | Conformed copy of the Second Amended and Restated Services Agreement, amended and restated as of December 1, 2001, between Federated Shareholder Services Company and the Registrant, including Schedule 1 | + |
| 2 | Transfer Agency Agreement | |
| Conformed copy of the Transfer Agency Services Agreement between the Federated Hermes Funds and DST Asset Manager Solutions, Inc. dated June 1, 2022, including Schedule A | + | |
| 3 | Administrative Services Agreement | |
| Conformed copy of the Fourth Amended and Restated Agreement for Administrative Services between the Federated Funds and Federated Administrative Services dated September 1, 2022, including Exhibit A | + | |
| 4 | Financial Administration and Accounting Agreement | |
| Conformed copy of the Financial Administration and Accounting Services Agreement between the Federated Funds and State Street Bank and Trust Company dated March 1, 2011, as amended, including Exhibit A | + |
| (i) | Legal Opinion | |
| Conformed copy of Opinion and Consent of Counsel as to legality of shares being registered dated November 22, 1985, originally filed on paper and re-filed via EDGAR on October 26, 1994 in Post-Effective Amendment No. 17 on Form N-1A (File Nos. 2-98491 and 811-4539). |
| (j) | Other Opinions | |
| Conformed copy of Consent of Independent Registered Public Accounting Firm KPMG LLP | + |
| (k) | Omitted Financial Statements | |
| Not Applicable |
| (l) | Initial Capital Agreements | |
| Conformed copy of Initial Capital Understanding dated November 18, 1985, originally filed on paper and re-filed via EDGAR on October 26, 1994 in Post-Effective Amendment No. 17 on Form N-1A (File Nos. 2-98491 and 811-4539). |
| (m) | Rule 12b-1 Plan | |
| Conformed copy of the Distribution Plan between the Registrant and Federated Securities Corp., dated February 12, 2004, including Exhibit and Amendment | + |
| (n) | Rule 18f-3 Plan | |
| Conformed copy of the Multiple Class Plan and all share class Exhibits as adopted by certain Federated investment companies offering separate classes of shares | + |
| (o) | Powers of Attorney | |
|
|
+ |
| (p) | Codes of Ethics | |
| Conformed copy of the Federated Hermes, Inc. Code of Ethics for Access Persons, effective November 10, 2021 | + |
| + | Exhibit is being filed electronically with registration statement |
Exhibit List for Inline Interactive Data File Submission.
| Index No. | Description of Exhibit |
| EX-101.SCH | XBRL Taxonomy Extension Schema Document |
| Item 29 Persons Controlled by or Under Common Control with the Fund: |
| None |
| Item 30. Indemnification |
|
Indemnification is provided to Officers and Trustees of the Registrant pursuant to the Registrant's By-Laws, as amended. This includes indemnification against: (a) any liabilities or expenses incurred in connection with the defense or disposition of any action, suit or proceeding in which an Officer or Trustee may be or may have been involved; and (b) any liabilities and expenses incurred by an Officer or Trustee as a result of having provided personally identifiable information to a regulator or counterparty by or with whom the Registrant (or its series, as applicable) is regulated or engages in business to satisfy a legal or procedural requirement of such regulator or counterparty. The Investment Advisory Contract, and Sub-advisory Agreement as applicable, (collectively, "Advisory Contracts") between the Registrant and the investment adviser, and sub-adviser as applicable, (collectively, "Advisers") of its series, provide that, in the absence of willful misfeasance, bad faith, gross negligence, or reckless disregard of the obligations or duties under the Advisory Contracts on the part of the Advisers, Advisers shall not be liable to the Registrant or to any shareholder for any act or omission in the course of or connected in any way with rendering services or for any losses that may be sustained in the purchase, holding, or sale of any security. The Registrant's distribution contract contains provisions limiting the liability, and providing for indemnification, of the Officers and Trustees under certain circumstances. Registrant's Trustees and Officers are covered by an Investment Trust Errors and Omissions Policy. Insofar as indemnification for liabilities arising under the Securities Act of 1933 may be permitted to Trustees, Officers, and controlling persons of the Registrant by the Registrant pursuant to the By-Laws, as amended, or otherwise, the Registrant is aware that in the opinion of the Securities and Exchange Commission, such indemnification is against public policy as expressed in the Act and, therefore, is unenforceable. In the event that a claim for indemnification against such liabilities (other than the payment by the Registrant of expenses incurred or paid by Trustees), Officers, or controlling persons of the Registrant in connection with the successful defense of any act, suit, or proceeding) is asserted by such Trustees, Officers, or controlling persons in connection with the shares being registered, the Registrant will, unless in the opinion of its counsel the matter has been settled by controlling precedent, submit to a court of appropriate jurisdiction the question whether such indemnification by it is against public policy as expressed in the Act and will be governed by the final adjudication of such issues. Insofar as indemnification for liabilities may be permitted pursuant to Section 17 of the Investment Company Act of 1940 for Trustees, Officers, and controlling persons of the Registrant by the Registrant pursuant to the By-Laws, as amended, or otherwise, the Registrant is aware of the position of the Securities and Exchange Commission as set forth in Investment Company Act Release No. IC-11330. Therefore, the Registrant undertakes that in addition to complying with the applicable provisions of the By-Laws, as amended, or otherwise, in the absence of a final decision on the merits by a court or other body before which the proceeding was brought, that an indemnification payment will not be made unless in the absence of such a decision, a reasonable determination based upon factual review has been made (i) by a majority vote of a quorum of non-party Trustees who are not interested persons of the Registrant or (ii) by independent legal counsel in a written opinion that the indemnitee was not liable for an act of willful misfeasance, bad faith, gross negligence, or reckless disregard of duties. The Registrant further undertakes that advancement of expenses incurred in the defense of a proceeding (upon undertaking for repayment unless it is ultimately determined that indemnification is appropriate) against an Officer, Trustee or controlling person of the Registrant will not be made absent the fulfillment of at least one of the following conditions: (i) the indemnitee provides security for his undertaking; (ii) the Registrant is insured against losses arising by reason of any lawful advances; or (iii) a majority of a quorum of disinterested non-party Trustees or independent legal counsel in a written opinion makes a factual determination that there is reason to believe the indemnitee will be entitled to indemnification. |
| Item 31. Business and Other Connections of Investment Adviser: Federated Investment Management Company | |
| For a description of the other business of the Investment Adviser, see the section entitled "Who Manages the Fund?" in Part A. The affiliations with the Registrant of two of the Trustees and two of the Officers of the Investment Adviser are included in Part B of this Registration Statement under "Who Manages and Provides Services to the Fund?" The remaining Trustees of the Investment Adviser and, in parentheses, their principal occupations are: Thomas R. Donahue, (Chief Financial Officer, Federated Hermes, Inc.), 1001 Liberty Avenue, Pittsburgh, PA, 15222-3779, John B. Fisher, (Vice Chairman, Federated Hermes, Inc.) 1001 Liberty Avenue, Pittsburgh, PA, 15222-3779 and James J. Gallagher, II, Partner, Morris James LLP, 500 Delaware Avenue, Suite 1500, Wilmington, DE 19801-1494. The business address of each of the Officers of the Investment Adviser is 1001 Liberty Avenue, Pittsburgh, Pennsylvania 15222-3779. These individuals are also officers of a majority of the Investment Advisers to the investment companies in the Federated Hermes Fund Complex described in Part B of this Registration Statement. | |
| The Officers of the Investment Adviser are: | |
| Chairman: | J. Christopher Donahue |
| President/ Chief Executive Officer: | John B. Fisher |
| Executive Vice Presidents: |
Deborah A. Cunningham Anne H. Kruczek Robert J. Ostrowski Timothy G. Trebilcock |
| Senior Vice Presidents: |
Todd Abraham Jeremy Boughton Mark E. Durbiano Donald T. Ellenberger Eamonn G. Folan Richard J. Gallo John T. Gentry Kathryn P. Glass Michael R. Granito Lori A. Hensler Susan R. Hill William R. Jamison Tracey L. Lusk Judith J. Mackin Christopher P. McGinley Mary Jo Ochson Ihab Salib Michael W. Sirianni, Jr. Nicholas S. Tripodes Paige Wilhelm |
| Vice Presidents: |
John Badeer Patrick D. Benacci Christopher S. Bodamer G. Andrew Bonnewell Hanan Callas David B. Catalane, Jr. Nicholas S. Cecchini James Chelmu Leslie Ciferno Jerome Conner Lee R. Cunningham, II Gregory Czamara, V B. Anthony Delserone, Jr. Jason DeVito Bryan Dingle Ann Ferentino Kevin M. Fitzpatrick Timothy P. Gannon James L. Grant Brandon Ray Hochstetler Nathan H. Kehm Allen J. Knizner Daniel James Mastalski Robert J. Matthews Karl Mocharko Joseph M. Natoli Nicholas Navari Gene Neavin Bob Nolte Liam O'Connell Bradley S. Payne John Polinski Rae Ann Rice Braden Rotberg Brian Ruffner Thomas C. Scherr John Scullion John Sidawi Paul Smith Peter Snook Kyle Stewart Randal Stuckwish Mary Ellen Tesla Frank Tetlow James Damen Thompson Anthony A. Venturino Patrick O. Watson Mark Weiss George B. Wright Christopher Wu John E. Wyda |
| Assistant Vice Presidents: |
Patrick B. Cooper Robert Gasior Christopher David Herkins Quincy Hershey Christopher F. Hopkins Jeff J. Ignelzi Bennett L. Lo Corey Mergenthaler Derek Allen Plaski Patrick J. Reilly Steven J. Slanika Tyler R. Stenger Sarah E. Swartz Yifei Wang Michael S. Wilson |
| Secretary: | G. Andrew Bonnewell |
| Assistant Secretaries: |
Jonathan M. Lushko George F. Magera |
| Treasurer: | Thomas R. Donahue |
| Assistant Treasurers: |
Autumn L. Favero Richard A. Novak |
| Chief Compliance Officer: | Stephen Van Meter |
| Item 32. Principal Underwriters: | |
| (a) | Federated Securities Corp., the Distributor for shares of the Registrant, acts as principal underwriter for the following investment companies, including the Registrant: |
| Federated Hermes Adjustable Rate Securities Trust | |
| Federated Hermes Adviser Series | |
| Federated Hermes Core Trust | |
| Federated Hermes Core Trust III | |
| Federated Hermes Equity Funds | |
| Federated Hermes Equity Income Fund, Inc. | |
| Federated Hermes ETF Trust | |
| Federated Hermes Fixed Income Securities, Inc. | |
| Federated Hermes Global Allocation Fund | |
| Federated Hermes Government Income Trust | |
| Federated Hermes High Yield Trust | |
| Federated Hermes Income Securities Trust | |
| Federated Hermes Index Trust | |
| Federated Hermes Institutional Trust | |
| Federated Hermes Insurance Series | |
| Federated Hermes Intermediate Municipal Trust | |
| Federated Hermes Investment Series Funds, Inc. | |
| Federated Hermes Managed Pool Series | |
| Federated Hermes MDT Series | |
| Federated Hermes Money Market Obligations Trust | |
| Federated Hermes Municipal Bond Fund, Inc. | |
| Federated Hermes Municipal Securities Income Trust | |
| Federated Hermes Premier Municipal Income Fund | |
| Federated Hermes Project and Trade Finance Tender Fund | |
| Federated Hermes Short-Intermediate Duration Municipal Trust | |
| Federated Hermes Short-Intermediate Government Trust | |
| Federated Hermes Short-Term Government Trust | |
| Federated Hermes Sustainable High Yield Bond Fund, Inc. | |
| Federated Hermes Total Return Government Bond Fund | |
| Federated Hermes Total Return Series, Inc. | |
| Federated Hermes World Investment Series, Inc. | |
| (b) | ||
|
(1) Positions and Offices with Distributor |
(2) Name |
(3) Positions and Offices With Registrant |
| Executive Vice President, Assistant Secretary and Director: | Thomas R. Donahue | |
| President and Director: | Paul Uhlman | |
| Vice President and Director: | Peter J. Germain | |
| Director: | Frank C. Senchak |
|
(1) Positions and Offices with Distributor |
(2) Name |
(3) Positions and Offices With Registrant |
| Executive Vice Presidents: |
Bryan M. Burke Charles L. Davis, Jr. Peter W. Eisenbrandt Anne H. Kruczek Solon A. Person Brian S. Ronayne |
|
| Senior Vice Presidents: |
Irving Anderson Jeff Antonacci Marc J. Benacci Christopher D. Berg Daniel G. Berry William Boarts Jack Bohnet Zachary James Bono Edwin J. Brooks, III Mark Carroll Daniel P. Casey Scott J. Charlton James S. Conely Michael DiMarsico Jack C. Ebenreiter Heather W. Froehlich James Getz, Jr. Erik Gosule Dayna C. Haferkamp Vincent L. Harper, Jr. Bruce E. Hastings Jeffrey S. Jones Ryan W. Jones Todd W. Jones Philip L. Judson Scott D. Kavanagh Nicholas R. Kemerer Michael Koenig Edwin C. Koontz Jane E. Lambesis David M. Larrick Michael Liss Judith J. Mackin Paul J. Magan Brian McInis Diane Marzula Daniel Patrick McGrath Richard C. Mihm Vincent T. Morrow John C. Mosko Alec H. Neilly Theodore A. Noethling, IV James E. Ostrowski Stephen Otto Mark B. Patsy Richard P. Paulson Diane M. Robinson Tom Schinabeck Peter C. Siconolfi Bradley W. Smith John A. Staley Mark J. Strubel Jonathan P. Sullivan David A. Wasik G. Walter Whalen Brian R. Willer Lewis C. Williams Theodore E. Williams James J. Wojciak Michael Wolff Daniel R. Wroble Erik Zettlemayer |
|
| Vice Presidents: |
Frank Amato Paul Anderson Neil Benjamin Apfelbaum, II Catherine M. Applegate Jeff D. Aronsohn, Jr. Kenneth C. Baber Justin A. Bard Raisa E. Barkaloff Joshua W. Billiel Matthew A. Boyle Thomas R. Brown Dan Casey Edward R. Costello Stephen J. Costlow Mary Ellen Coyne Casey Curtin Caitlyn (Grande) D'Alessandro David G. Dankmyer Christopher T. Davis Lori J. Defilippi Charles R. Ebbs Mark A. Flisek Maya Gorokhovskiy (Ferd) David D. Gregoire Raymond J. Hanley Adam Michele Heurich George M. Hnaras Scott A. Holick Michael Honer Christopher Jackson Timothy H. Johnson Andrew R. Kehler Scott Robert Kelley Patrick Kelly Robert H. Kern Shawn E. Knutson Andrew Paul Larson John S. Larson Anthony W. Lennon Justin Levy John P. Liekar Jonathan Lipinski Alexi A. Maravel Thomas Andrew Marik Stephen R. Massey Meghan McAndrew Catherine McGee Samuel McGowan Michael Meehan Mark J. Murphy Marcus Persichetti Luke Anthony Raffa Max E. Recker Emory Redd Ionnis (Yiannis) Repoulis Kaitlyn Ross John R. Rush Melissa R. Ryan John Shrewsbury Justin J. Slomkowski Derrick Stancick Jason Straker Gregory Tzanoukakis Scott A. Vallina James M. Wagner David Wasik Jennifer M. Weaver Littell Wilson Jr. |
|
| Assistant Vice Presidents: |
Debbie Adams-Marshall Matthew Alan Cichowicz Courtney Comstock Adina Davis Katlyn Alexis Davis Christopher DiBartolomeo Madison Dischinger Rebecca R. Donahue Michelle Ausefski Doyle Andrew Druckenbroad Lucie Gordon Elizabeth Krah Graner Kristen C. Kiesling Katerina Alexandra Kotulak Leah Kaitlin Leitzel Clara L. Matvey Jennifer M. McSorley Patrick Joseph O'Reilly David J. Pallof, Jr. Carol Anne Sheppard Laura Vickerman |
|
| Secretary: | Kary A. Moore | |
| Assistant Secretaries: | Thomas R. Donahue | |
| George F. Magera | ||
| Treasurer: | Richard A. Novak | |
| Assistant Treasurer: | Autumn L. Favero | |
| Chief Compliance Officer: | Stephen Van Meter |
| (c) | Not Applicable |
| Item 33 Location of Accounts and Records: |
| All accounts and records required to be maintained by Section 31(a) of the Investment Company Act of 1940 and Rules 31a-1 through 31a-3 promulgated thereunder are maintained at one of the following locations: |
| Registrant |
Federated Hermes Funds 4000 Ericsson Drive Warrendale, PA 15086-7561 (Notices should be sent to the Agent for Service at the address listed on the facing page of this filing.) |
|
SS&C GIDS, Inc. (Transfer Agent and Dividend Disbursing Agent) |
P.O. Box 219318 Kansas City, MO 64121-9318 |
|
State Street Bank and Trust Company (Custodian) |
1 Iron Street Boston, MA 02110 |
| Federated Administrative Services (Administrator) |
1001 Liberty Avenue Pittsburgh, PA 15222-3779 |
|
Federated Investment Management Company (Adviser) |
1001 Liberty Avenue Pittsburgh, PA 15222-3779 |
| Item 34 Management Services: Not applicable. |
| Item 35 Undertakings: |
| Registrant hereby undertakes to comply with the provisions of Section 16(c) of the 1940 Act with respect to the removal of Trustees and the calling of special shareholder meetings by shareholders. |
|
SIGNATURES Pursuant to the requirements of the Securities Act of 1933, and the Investment Company Act of 1940, the Registrant, FEDERATED HERMES ADJUSTABLE RATE SECURITIES TRUST, certifies that it meets all of the requirements for effectiveness of this Amendment to its Registration Statement pursuant to Rule 485(b) under the Securities Act of 1933 and has duly caused this Amendment to its Registration Statement to be signed on its behalf by the undersigned, duly authorized, in the City of Pittsburgh and Commonwealth of Pennsylvania, on the 27th day of October, 2025. |
| FEDERATED HERMES ADJUSTABLE RATE SECURITIES TRUST |
|
BY: /s/ George F. Magera George F. Magera, Assistant Secretary |
| Pursuant to the requirements of the Securities Act of 1933, this Amendment to its Registration Statement has been signed below by the following person in the capacity and on the date indicated: |
| NAME | TITLE | DATE |
|
BY: /s/ George F. Magera George F. Magera, Assistant Secretary |
Attorney In Fact For the Persons Listed Below | October 27, 2025 |
| J. Christopher Donahue* | President and Trustee (Principal Executive Officer) | |
| Jeremy D. Boughton* | Treasurer (Principal Financial Officer/Principal Accounting Officer) | |
| John B. Fisher* | Trustee | |
| John G. Carson* | Trustee | |
| G. Thomas Hough* | Trustee | |
| Karen L. Larrimer* | Trustee | |
| Max Miller* | Trustee | |
| Frank J. Nasta* | Trustee | |
| Thomas O'Neill* | Trustee | |
| Madelyn A. Reilly* | Trustee | |
| John S. Walsh* | Trustee | |
| *By Power of Attorney |