BOSYX
BNY Mellon Small Cap Value Fund
BNY Mellon Investment Funds I

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
113
Top-10 weight
17.20%
Effective holdings ?
92
Crowding ?
347.8

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND DRF03 6,094,566 $6.09M 2.28%
2 Dreyfus Institutional Preferred Government Plus Money Market Fund 5,829,498 $5.83M 2.18%
3 CALIFORNIA RESOU 76,189 $5.27M 1.97%
4 CRESCENT ENERGY INC A 367,816 $4.97M 1.86%
5 VIAVI SOLUTIONS INC 135,427 $4.51M 1.68%
6 MAREX GROUP PLC MRX 99,216 $4.42M 1.65%
7 BWX TECHNOLOGIES INC 19,689 $4.03M 1.50%
8 FIRST MERCHANTS CORP 103,890 $4.02M 1.50%
9 FLOWSERVE CORP 54,148 $3.98M 1.49%
10 SIMMONS FIRST -A 203,309 $3.95M 1.48%
11 COLUMBIA BANKING SYSTEMS INC 143,723 $3.94M 1.47%
12 LIBERTY ENERGY INC CL A 135,134 $3.89M 1.45%
13 METHANEX CORP 63,498 $3.78M 1.41%
14 FIRST HORIZON CORP 165,389 $3.76M 1.41%
15 FRANK'S INTERNATIONAL NV 215,060 $3.74M 1.40%
16 FLUOR CORP 78,735 $3.67M 1.37%
17 SUN COUNTRY HOLD 221,435 $3.66M 1.37%
18 METROPOLITAN BANK HOLDING CORP 43,304 $3.61M 1.35%
19 BKV CORPORATION 122,549 $3.50M 1.31%
20 ELEMENT SOLUTIONS INC 101,630 $3.47M 1.30%
21 MDU RESOURCES GROUP INC 164,820 $3.42M 1.28%
22 PBF ENERGY INC CL A 71,550 $3.41M 1.27%
23 GATES INDUSTRIAL CORP PLC 146,613 $3.31M 1.24%
24 ALIGNMENT HEALTHCARE INC 185,687 $3.27M 1.22%
25 ALAMOS GOLD INC A 73,163 $3.25M 1.21%
26 PRIVIA HEALTH GROUP INC 152,891 $3.14M 1.17%
27 MIRUM PHARMACEUTICALS INC 33,962 $3.14M 1.17%
28 ALCOA CORP 46,955 $3.11M 1.16%
29 COHU INC 100,468 $3.08M 1.15%
30 KULICKE and SOFFA INDUSTRIES INC 45,568 $2.99M 1.12%
31 ONE GAS INC 34,160 $2.94M 1.10%
32 ULTRA CLEAN HOLDINGS INC 46,603 $2.90M 1.08%
33 TENNANT CO 43,467 $2.89M 1.08%
34 FIRST BUSEY CORP 112,479 $2.84M 1.06%
35 ORIGIN BANCORP INC 68,278 $2.83M 1.06%
36 WILEY JOHN&SON-A 74,273 $2.83M 1.06%
37 LCI INDUSTRIES 22,823 $2.81M 1.05%
38 MYR GROUP INC/DELAWARE 9,859 $2.78M 1.04%
39 YETI HOLDINGS INC 75,873 $2.78M 1.04%
40 MONRO INC 170,428 $2.73M 1.02%
41 KALVISTA PHARMACEUTICALS INC 134,331 $2.70M 1.01%
42 BRP GROUP INC-A 122,907 $2.70M 1.01%
43 SOUTHWEST GAS HOLDINGS INC 31,016 $2.70M 1.01%
44 HEALTHPEAK PROPERTIES INC 163,200 $2.68M 1.00%
45 EPR PROPERTIES 53,517 $2.67M 1.00%
46 LINDBLAD EXPEDITIONS HOLDINGS 153,682 $2.66M 0.99%
47 ENPRO INDUSTRIES INC 10,517 $2.64M 0.98%
48 CELLEBRITE DI LTD 190,164 $2.62M 0.98%
49 RAYONIER INC REIT 126,578 $2.61M 0.98%
50 SOUTHSTATE BANK CORP 27,885 $2.58M 0.96%
1 / 3 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.