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

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
66
Top-10 weight
31.93%
Effective holdings ?
46
Crowding ?
470.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BRP GROUP INC-A 1,492,975 $32.76M 4.30%
2 CASEY'S GENERAL 42,513 $30.94M 4.06%
3 GUARDANT HEALTH INC 310,721 $28.70M 3.76%
4 REPLIGEN CORP 212,427 $25.03M 3.28%
5 REGAL REXNORD CORP 130,702 $24.48M 3.21%
6 CURTISS WRIGHT CORPORATION 33,100 $22.55M 2.96%
7 CONSTRUCTION PARTNERS INC CL A 184,123 $20.46M 2.68%
8 MKS INSTRUMENTS INC 88,631 $20.37M 2.67%
9 PATRICK INDUSTRIES INC 180,711 $20.07M 2.63%
10 SITIME CORP 55,234 $19.08M 2.50%
11 FLOWSERVE CORP 259,306 $19.06M 2.50%
12 BRUNSWICK CORP 258,043 $18.78M 2.46%
13 TIMKEN CO 185,924 $18.70M 2.45%
14 ALIGNMENT HEALTHCARE INC 1,002,991 $17.67M 2.32%
15 WINGSTOP INC 105,027 $16.28M 2.13%
16 METTLER-TOLEDO INTL INC 12,850 $16.21M 2.13%
17 KARMAN HOLDINGS INC 201,093 $16.10M 2.11%
18 MIRION TECHNOLOGIES INC-A 863,690 $16.06M 2.11%
19 FIRST WATCH RESTAURANT GROUP INC 1,530,251 $16.04M 2.10%
20 BIO-TECHNE CORP 305,304 $15.96M 2.09%
21 PRIVIA HEALTH GROUP INC 774,738 $15.94M 2.09%
22 SCHNEIDER NATL-B 581,591 $15.33M 2.01%
23 HERC HOLDINGS INC 151,020 $15.03M 1.97%
24 ROPER TECHNOLOGIES INC 42,461 $15.03M 1.97%
25 MIRUM PHARMACEUTICALS INC 160,003 $14.78M 1.94%
26 ESAB CORP 151,618 $14.66M 1.92%
27 LOAR HOLDINGS INC 254,780 $14.60M 1.91%
28 ENTEGRIS INC 113,125 $13.26M 1.74%
29 ONTO INNOVATION INC 64,226 $13.17M 1.73%
30 WARBY PARKER INC 562,210 $11.85M 1.55%
31 HUBBELL INC 23,280 $11.42M 1.50%
32 WESCO INTL 37,216 $10.18M 1.34%
33 RH 69,133 $9.67M 1.27%
34 Ascendis Pharma A/S 42,147 $9.64M 1.26%
35 YORK SPACE SYSTE 434,054 $9.62M 1.26%
36 JFROG LTD 191,651 $8.99M 1.18%
37 BLACKSKY TECHNOLOGY INC CL A 354,766 $8.93M 1.17%
38 MADRIGAL PHARMACEUTICALS INC 15,973 $8.36M 1.10%
39 YETI HOLDINGS INC 227,175 $8.31M 1.09%
40 CERIBELL INC 428,851 $7.86M 1.03%
41 SOUTHSTATE BANK CORP 81,702 $7.56M 0.99%
42 DECKERS OUTDOOR CORP 74,942 $7.50M 0.98%
43 GENEDX HOLDINGS CORP-A 116,036 $7.45M 0.98%
44 TRANSOCEAN LTD 1,074,102 $7.12M 0.93%
45 NATERA INC 31,214 $6.24M 0.82%
46 HNI CORP 183,671 $6.13M 0.80%
47 BLACK ROCK COFFEE BAR INC 467,855 $6.04M 0.79%
48 NEWAMSTERDAM PHARMA COMPANY NV 178,388 $5.71M 0.75%
49 XENON PHARMACEUTICALS INC 91,553 $5.32M 0.70%
50 RHYTHM PHARMACEUTICALS INC 56,319 $4.90M 0.64%
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