DRGYX
BNY Mellon Dynamic Value Fund
BNY Mellon Advantage Funds, Inc.

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.

Nov 30, 2025 → Feb 28, 2026

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

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
TEXAS INSTRUMENTS INC 0 1,183,265 1,183,265 2.21% $250.98M
COLGATE-PALMOLIVE CO 0 2,190,863 2,190,863 1.92% $217.20M
FIFTH THIRD BANCORP 0 3,678,556 3,678,556 1.61% $181.98M
SLB LTD 0 2,773,171 2,773,171 1.26% $142.37M
VERIZON COMMUNICATIONS INC 0 2,613,757 2,613,757 1.16% $131.05M
CHUBB LTD 0 373,345 373,345 1.12% $127.26M
TRUIST FINL CORP 0 2,132,747 2,132,747 0.93% $105.17M
VALERO ENERGY CORP 0 507,276 507,276 0.92% $103.81M
HARTFORD INSURANCE GROUP INC/THE 0 695,959 695,959 0.86% $98.01M
INTL PAPER CO 0 2,123,398 2,123,398 0.82% $92.47M
EXPAND ENERGY CORP 0 621,130 621,130 0.59% $67.03M
ADV MICRO DEVICE 0 256,594 256,594 0.45% $51.37M
FORD MOTOR CO 0 3,539,451 3,539,451 0.44% $49.87M
GENERAL MOTORS CO 0 623,890 623,890 0.43% $49.11M
Dreyfus Institutional Preferred Government Plus Money Market Fund 0 30,770,275 30,770,275 0.27% $30.77M
DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND 0 30,681,720 30,681,720 0.27% $30.68M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND 123,309,083 0 -123,309,083 0.00% -$123.31M
HUMANA INC 456,197 0 -456,197 0.00% -$112.12M
NORTHROP GRUMMAN CORP 179,776 0 -179,776 0.00% -$102.88M
CUMMINS INC 164,537 0 -164,537 0.00% -$81.94M
ALCOA CORP 1,564,631 0 -1,564,631 0.00% -$65.31M
LABCORP HOLDINGS INC 227,567 0 -227,567 0.00% -$61.17M
CHECK POINT SOFTWARE TECHS LTD 260,392 0 -260,392 0.00% -$48.63M
ROYAL CARIBBEAN CRUISES LTD 179,974 0 -179,974 0.00% -$47.92M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
JPMORGAN CHASE and CO 1,123,797 1,148,809 25,012 3.04% -$6.85M
UNITEDHEALTH GRP 536,694 792,183 255,489 2.05% $55.34M
OMNICOM GROUP INC 1,932,110 2,641,708 709,598 1.99% $86.93M
AON PLC 595,609 618,840 23,231 1.83% -$3.20M
CSX CORP 4,575,130 4,691,551 116,421 1.77% $38.51M
AMAZON.COM INC 916,897 942,556 25,659 1.75% -$15.90M
MORGAN STANLEY 988,672 1,075,007 86,335 1.58% $11.26M
HONEYWELL INTL INC 535,198 685,845 150,647 1.47% $64.21M
THERMO FISHER SCIENTIFIC INC 290,227 297,486 7,259 1.37% -$16.45M
ELEVANCE HEALTH INC 300,102 475,636 175,534 1.34% $50.69M
SCHWAB CHARLES CORP 518,578 1,430,165 911,587 1.20% $88.06M
AMERICAN INTERNATIONAL GROUP 1,385,966 1,659,389 273,423 1.18% $28.01M
LOWES COS INC 428,165 502,355 74,190 1.17% $29.09M
WEYERHAEUSER CO 4,604,981 5,404,849 799,868 1.17% $30.30M
AT&T INC 2,936,852 4,558,672 1,621,820 1.13% $51.27M
WALT DISNEY CO/T 848,610 1,189,782 341,172 1.11% $37.51M
ESTEE LAUDER COS INC CL A 1,072,916 1,121,255 48,339 1.08% $21.81M
BRISTOL-MYERS SQUIBB CO 1,535,572 1,953,052 417,480 1.07% $46.26M
AKAMAI TECHNOLOGIES INC 1,136,324 1,199,889 63,565 1.04% $16.33M
DELTA AIR LI 1,511,555 1,779,134 267,579 1.03% $20.00M
FEDEX CORP 214,551 296,590 82,039 1.01% $55.63M
PFIZER INC 3,800,769 3,916,114 115,345 0.96% $10.45M
CARLISLE COS INC 180,092 271,012 90,920 0.94% $49.71M
EDWARDS LIFESCIENCES CORP 837,019 1,151,531 314,512 0.88% $27.03M
CONSTELLATION ENERGY CORP 144,888 288,283 143,395 0.84% $42.31M
DOVER CORP 269,387 410,745 141,358 0.82% $42.71M
META PLATFORMS INC CL A 76,243 140,679 64,436 0.80% $41.78M
ALCON INC 873,349 934,683 61,334 0.72% $12.22M
INTEL CORP 1,285,025 1,577,442 292,417 0.63% $19.83M
JAZZ PHARMA PLC 286,881 360,058 73,177 0.60% $17.78M
VERALTO CORP 468,957 629,355 160,398 0.54% $13.85M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
BERKSHIRE HATH-B 810,633 769,945 -40,688 3.43% -$27.73M
EXXON MOBIL CORP 2,269,568 2,250,488 -19,080 3.03% $80.11M
CISCO SYSTEMS INC 4,593,465 4,274,532 -318,933 3.00% -$13.77M
JOHNSON&JOHNSON 1,900,195 1,325,241 -574,954 2.90% -$63.96M
ASSURANT INC 1,319,524 1,316,839 -2,685 2.67% $1.27M
APPLIED MATERIALS INC 897,330 775,602 -121,728 2.55% $62.41M
L3HARRIS TECHNOLOGIES INC 767,628 706,734 -60,894 2.27% $43.70M
ALPHABET INC CL A 782,640 729,542 -53,098 2.01% -$23.14M
CITIGROUP INC 1,912,376 1,532,781 -379,595 1.49% -$29.23M
BANK OF AMERICA CORPORATION 4,991,485 3,304,219 -1,687,266 1.45% -$103.14M
MARATHON PETROLEUM CORP 1,042,592 762,904 -279,688 1.33% -$50.77M
NEWMONT CORP 1,749,290 1,065,174 -684,116 1.22% -$20.24M
MEDTRONIC PLC 2,812,577 1,352,137 -1,460,440 1.17% -$164.20M
HUBBELL INC 284,887 242,746 -42,141 1.10% $1.29M
PACKAGING CORP OF AMERICA 547,405 492,986 -54,419 1.01% $2.73M
FIRST HORIZON CORP 6,757,105 4,795,621 -1,961,484 1.01% -$36.87M
DIAMONDBACK ENERGY INC 728,641 653,221 -75,420 1.00% $2.53M
CRH PLC 1,930,456 937,994 -992,462 0.99% -$119.04M
CATERPILLAR INC 231,063 150,699 -80,364 0.99% -$21.09M
PERMIAN RESOURCES CORP CL A 6,830,168 5,968,038 -862,130 0.96% $10.19M
GILEAD SCIENCES INC 757,783 675,616 -82,167 0.89% $5.27M
VOYA FINANCIAL INC 1,570,779 1,495,405 -75,374 0.88% -$10.41M
FREEPORT MCMORAN INC 3,425,496 1,375,262 -2,050,234 0.83% -$53.60M
GOLDMAN SACHS GROUP INC 155,766 102,719 -53,047 0.78% -$40.37M
DOLBY LABORATORIES INC CL A 1,436,645 1,317,885 -118,760 0.77% -$9.17M
EMERSON ELECTRIC CO 623,419 579,658 -43,761 0.77% $4.23M
CME GROUP INC CL A 391,877 269,570 -122,307 0.76% -$24.17M
PHILLIPS 66 1,367,490 525,158 -842,332 0.72% -$106.24M
CAPITAL ONE FINANCIAL CORP 478,884 405,500 -73,384 0.70% -$25.58M
INTL BUS MACH CORP 344,309 328,500 -15,809 0.70% -$27.34M
EQT CORPORATION 1,851,274 1,202,366 -648,908 0.65% -$38.82M
FERGUSON ENTERPRISES INC 292,134 280,054 -12,080 0.64% -$494.48K
HOWMET AEROSPACE INC 267,600 225,395 -42,205 0.52% $4.42M
LAS VEGAS SANDS CORP 1,470,892 1,018,981 -451,911 0.51% -$42.46M
TE CONNECTIVITY PLC 433,860 241,769 -192,091 0.49% -$42.47M
DANAHER CORP 335,353 229,323 -106,030 0.43% -$27.75M

No positions in this category.

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