DBMAX
BNY Mellon Small/Mid Cap Growth Fund
BNY Mellon Investment Funds I

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ALIGNMENT HEALTHCARE INC 0 1,002,991 1,002,991 2.31% $17.67M
METTLER-TOLEDO INTL INC 0 12,850 12,850 2.12% $16.21M
ROPER TECHNOLOGIES INC 0 42,461 42,461 1.96% $15.03M
LOAR HOLDINGS INC 0 254,780 254,780 1.91% $14.60M
YORK SPACE SYSTE 0 434,054 434,054 1.26% $9.62M
SOUTHSTATE BANK CORP 0 81,702 81,702 0.99% $7.56M
DECKERS OUTDOOR CORP 0 74,942 74,942 0.98% $7.50M
TRANSOCEAN LTD 0 1,074,102 1,074,102 0.93% $7.12M
CYTOKINETICS INC 0 68,362 68,362 0.59% $4.51M
DISC MEDICINE INC 0 65,330 65,330 0.55% $4.18M
DEFINIUM THERAPEUTICS INC 0 220,060 220,060 0.54% $4.16M
Dreyfus Institutional Preferred Government Plus Money Market Fund 0 3,930,975 3,930,975 0.51% $3.93M
DIANTHUS THERAPEUTICS INC 0 39,977 39,977 0.44% $3.35M
PLANET LABS PBC A 0 112,637 112,637 0.41% $3.15M
COMFORT SYSTEMS USA INC 0 1,427 1,427 0.26% $1.97M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AEROVIRONMENT INC 100,317 0 -100,317 0.00% -$24.27M
FORTUNE BRANDS INNOVATIONS INC 363,058 0 -363,058 0.00% -$18.16M
INSMED INC 93,651 0 -93,651 0.00% -$16.30M
FRESHPET INC 257,791 0 -257,791 0.00% -$15.71M
RAMBUS INC 132,557 0 -132,557 0.00% -$12.18M
EAGLE MATERIALS INC 56,534 0 -56,534 0.00% -$11.68M
ASSURANT INC 43,748 0 -43,748 0.00% -$10.54M
RYAN SPECIALTY HOLDINGS INC 183,062 0 -183,062 0.00% -$9.45M
LOUISIANA PACIFIC CORP 112,410 0 -112,410 0.00% -$9.08M
ALCOA CORP 170,629 0 -170,629 0.00% -$9.07M
BUILDERS FIRSTSOURCE 84,926 0 -84,926 0.00% -$8.74M
SOLENO THERAPEUTICS INC 188,450 0 -188,450 0.00% -$8.73M
DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND 3,068,773 0 -3,068,773 0.00% -$3.07M
REZOLUTE INC 239,497 0 -239,497 0.00% -$565.21K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BRP GROUP INC-A 1,102,687 1,492,975 390,288 4.28% $6.26M
GUARDANT HEALTH INC 309,044 310,721 1,677 3.75% -$2.86M
REPLIGEN CORP 178,805 212,427 33,622 3.27% -$4.27M
CONSTRUCTION PARTNERS INC CL A 173,915 184,123 10,208 2.67% $1.58M
FLOWSERVE CORP 251,340 259,306 7,966 2.49% $1.62M
WINGSTOP INC 79,016 105,027 26,011 2.13% -$2.57M
MIRION TECHNOLOGIES INC-A 715,210 863,690 148,480 2.10% -$694.22K
FIRST WATCH RESTAURANT GROUP INC 546,567 1,530,251 983,684 2.10% $7.79M
HERC HOLDINGS INC 97,500 151,020 53,520 1.96% $566.99K
MIRUM PHARMACEUTICALS INC 146,676 160,003 13,327 1.93% $3.20M
ESAB CORP 141,731 151,618 9,887 1.91% -$1.18M
RH 45,843 69,133 23,290 1.26% $1.45M
JFROG LTD 165,266 191,651 26,385 1.18% -$1.33M
GENEDX HOLDINGS CORP-A 70,945 116,036 45,091 0.97% -$1.78M
BLACK ROCK COFFEE BAR INC 333,225 467,855 134,630 0.79% -$1.37M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CASEY'S GENERAL 45,486 42,513 -2,973 4.04% $5.80M
REGAL REXNORD CORP 139,137 130,702 -8,435 3.20% $4.95M
CURTISS WRIGHT CORPORATION 42,085 33,100 -8,985 2.95% -$655.13K
MKS INSTRUMENTS INC 147,411 88,631 -58,780 2.66% -$3.19M
PATRICK INDUSTRIES INC 181,738 180,711 -1,027 2.62% $365.72K
SITIME CORP 70,360 55,234 -15,126 2.49% -$5.78M
BRUNSWICK CORP 303,109 258,043 -45,066 2.45% -$3.73M
TIMKEN CO 214,326 185,924 -28,402 2.44% $667.13K
KARMAN HOLDINGS INC 405,890 201,093 -204,797 2.10% -$13.60M
BIO-TECHNE CORP 326,655 305,304 -21,351 2.08% -$3.26M
PRIVIA HEALTH GROUP INC 791,138 774,738 -16,400 2.08% -$2.82M
SCHNEIDER NATL-B 622,264 581,591 -40,673 2.00% -$1.18M
ENTEGRIS INC 124,019 113,125 -10,894 1.73% $2.81M
ONTO INNOVATION INC 69,756 64,226 -5,530 1.72% $2.16M
WARBY PARKER INC 1,183,032 562,210 -620,822 1.55% -$13.93M
HUBBELL INC 28,353 23,280 -5,073 1.49% -$1.17M
WESCO INTL 63,195 37,216 -25,979 1.33% -$5.28M
Ascendis Pharma A/S 45,095 42,147 -2,948 1.26% $24.23K
BLACKSKY TECHNOLOGY INC CL A 438,248 354,766 -83,482 1.17% $708.76K
MADRIGAL PHARMACEUTICALS INC 17,090 15,973 -1,117 1.09% -$1.59M
YETI HOLDINGS INC 243,062 227,175 -15,887 1.09% -$2.42M
CERIBELL INC 470,155 428,851 -41,304 1.03% -$2.45M
NATERA INC 33,398 31,214 -2,184 0.82% -$1.41M
HNI CORP 283,069 183,671 -99,398 0.80% -$5.77M
NEWAMSTERDAM PHARMA COMPANY NV 190,863 178,388 -12,475 0.75% -$985.27K
XENON PHARMACEUTICALS INC 97,956 91,553 -6,403 0.70% $933.42K
RHYTHM PHARMACEUTICALS INC 60,258 56,319 -3,939 0.64% -$1.55M
SYNDAX PHARMACEUTICALS INC 191,078 178,589 -12,489 0.55% $157.29K
DENALI THERAPEUTICS INC 155,603 145,432 -10,171 0.36% $223.29K
DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND 2,904,235 2,247,737 -656,498 0.29% -$656.50K
MONOPAR THERAPEUTICS INC 28,048 26,214 -1,834 0.19% -$395.27K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
LOCUS ROBOTICS 101,086 101,086 0 0.60% -$1.31M
Supplying Demand Inc Com Stk 497,558 497,558 0 0.58% -$1.22M
Fundbox 702,664 702,664 0 0.41% -$3.05M
ROOFSTOCK 346,123 346,123 0 0.16% -$612.64K
SAPIENCE WARRANTS 08/23/2027 160,644 160,644 0 0.03% $6.43K

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