DRRIX
BNY Mellon Global Real Return Fund
BNY Mellon Advantage Funds, Inc.

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
132
Top-10 weight
32.43%
Effective holdings ?
59
Crowding ?
640.2

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Merrill Lynch BV 39,836,900 $41.74M 4.82%
2 SPDR GOLD SHARES ETF GLD 80,514 $35.82M 4.14%
3 Letras do Tesouro Nacional Treasury Bills 292,344,000 $34.58M 3.99%
4 ISHARES GOLD TRUST MUTUAL FUND IAU 348,463 $31.78M 3.67%
5 MEXICAN BONOS MXN 7.75% 05-29-31 MBONO 564,010,000 $31.53M 3.64%
6 SOUTH AFRICA REPUBLIC OF 7% 02/28/2031 R213 374,600,000 $22.80M 2.63%
7 ALPHABET INC CL A 63,100 $21.33M 2.46%
8 NVIDIA CORP 107,656 $20.58M 2.38%
9 Graniteshares Gold Trust BAR 387,240 $18.48M 2.13%
10 MICROSOFT CORP 37,332 $16.06M 1.85%
11 AMAZON.COM INC 64,271 $15.38M 1.78%
12 DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND DRF03 13,701,303 $13.70M 1.58%
13 META PLATFORMS INC CL A 18,155 $13.01M 1.50%
14 TAIWAN SEMIC MFG CO LTD SP ADR 39,198 $12.96M 1.50%
15 AUSTRALIAN GOVT. 17,370,000 $10.94M 1.26%
16 BioPharma Credit PLC/The Fund BPCR 11,414,734 $10.56M 1.22%
17 JPMORGAN CHASE and CO 32,877 $10.06M 1.16%
18 ROLLS-ROYCE HOLDINGS PLC 563,500 $9.37M 1.08%
19 ASTRAZENECA PLC 49,989 $9.28M 1.07%
20 GREENCOAT UK WIND PLC MUTUAL FUND UKW 6,887,180 $9.25M 1.07%
21 Romanian Government International Bond 7,470,000 $9.16M 1.06%
22 BARCLAYS PLC 1,361,433 $9.09M 1.05%
23 ASML Holding NV 6,343 $9.01M 1.04%
24 LAND SECURITIES 990,136 $8.83M 1.02%
25 TEXAS INSTRUMENTS INC 40,335 $8.69M 1.00%
26 AIA Group Ltd 737,400 $8.52M 0.98%
27 BNP PARIBAS 78,573 $8.43M 0.97%
28 JOHNSON&JOHNSON 36,848 $8.37M 0.97%
29 HUBBELL INC 16,899 $8.25M 0.95%
30 GILEAD SCIENCES INC 57,775 $8.20M 0.95%
31 OLD REPUBLIC INTL CORP 205,703 $8.06M 0.93%
32 SCHNEIDER ELECTR 28,182 $8.04M 0.93%
33 UNICAJA BANCO SA 2,329,246 $7.98M 0.92%
34 TENCENT HOLDINGS LTD 101,100 $7.75M 0.89%
35 THERMO FISHER SCIENTIFIC INC 13,000 $7.52M 0.87%
36 NEW ZEALAND GVT NZGB 18,650,000 $7.39M 0.85%
37 ESTEE LAUDER COS INC CL A 62,970 $7.26M 0.84%
38 SK HYNIX INC 11,418 $7.23M 0.83%
39 INDITEX SA 108,839 $7.11M 0.82%
40 INGERSOLL RAND INC 81,661 $7.03M 0.81%
41 Bayer Aktiengesellschaft BAYN 132,670 $7.01M 0.81%
42 ADV MICRO DEVICE 29,041 $6.87M 0.79%
43 ISHARES SILVER TRUST SLV 89,380 $6.74M 0.78%
44 Renewables Infrastructure Group Ltd/The TRIG 7,163,244 $6.70M 0.77%
45 PEPSICO INC 43,267 $6.65M 0.77%
46 ALIBABA GROUP HOLDING LTD SPON ADR 38,175 $6.47M 0.75%
47 Republic of Colombia COLOM 5,450,000 $6.26M 0.72%
48 NEW ZEALAND GVT 10,590,000 $6.19M 0.71%
49 Sprott Physical Uranium Trust U/U 271,471 $6.11M 0.71%
50 GE VERNOVA LLC 8,186 $5.95M 0.69%
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