DRTCX
BNY Mellon Sustainable U.S. Equity Fund, Inc.
BNY Mellon Sustainable U.S. Equity Fund, Inc.

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
51
Top-10 weight
44.55%
Effective holdings ?
30
Crowding ?
1697.7

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 257,958 $45.71M 9.27%
2 APPLE INC 129,940 $34.33M 6.96%
3 MICROSOFT CORP 75,976 $29.84M 6.05%
4 ALPHABET INC CL A 85,992 $26.81M 5.44%
5 AMAZON.COM INC 97,306 $20.43M 4.15%
6 COSTCO WHOLESALE CORP 12,745 $12.88M 2.61%
7 MICRON TECHNOLOGY INC 31,121 $12.83M 2.60%
8 GOLDMAN SACHS GROUP INC 14,551 $12.51M 2.54%
9 WALMART INC 95,231 $12.18M 2.47%
10 JPMORGAN CHASE and CO 40,244 $12.09M 2.45%
11 GE VERNOVA LLC 13,734 $12.00M 2.43%
12 INGERSOLL RAND INC 106,998 $10.07M 2.04%
13 HUBBELL INC 19,330 $9.89M 2.01%
14 CONSTELLATION ENERGY CORP 29,429 $9.71M 1.97%
15 HOWMET AEROSPACE INC 35,938 $9.43M 1.91%
16 MASTERCARD INC CL A 18,232 $9.43M 1.91%
17 BOSTON SCIENTIFIC CORP 114,358 $8.79M 1.78%
18 NEXTERA ENERGY INC 92,005 $8.63M 1.75%
19 GILEAD SCIENCES INC 57,479 $8.56M 1.74%
20 CME GROUP INC CL A 26,352 $8.42M 1.71%
21 ABBVIE INC 35,955 $8.34M 1.69%
22 TEXAS INSTRUMENTS INC 38,258 $8.11M 1.65%
23 FIRST HORIZON CORP 340,682 $8.10M 1.64%
24 TE CONNECTIVITY PLC 34,919 $8.04M 1.63%
25 ESTEE LAUDER COS INC CL A 72,698 $7.96M 1.61%
26 THERMO FISHER SCIENTIFIC INC 14,141 $7.37M 1.50%
27 EMERSON ELECTRIC CO 47,531 $7.17M 1.45%
28 UNITEDHEALTH GRP 23,251 $6.82M 1.38%
29 TRANE TECHNOLOGIES PLC 14,518 $6.71M 1.36%
30 TAIWAN SEMIC MFG CO LTD SP ADR 17,423 $6.53M 1.32%
31 ASSURANT INC 27,609 $6.34M 1.29%
32 DARLING INGREDIENTS INC 117,501 $6.25M 1.27%
33 WASTE MANAGEMENT INC 25,539 $6.15M 1.25%
34 CROWN HOLDINGS INC 52,441 $6.01M 1.22%
35 BANK OF AMERICA CORPORATION 119,691 $5.96M 1.21%
36 EDWARDS LIFESCIENCES CORP 68,608 $5.93M 1.20%
37 AECOM 59,980 $5.88M 1.19%
38 LINDE PLC 11,464 $5.82M 1.18%
39 IDEXX LABS INC 8,709 $5.72M 1.16%
40 INTL PAPER CO 125,877 $5.48M 1.11%
41 AON PLC 16,310 $5.47M 1.11%
42 VERALTO CORP 52,429 $5.11M 1.04%
43 INTUIT INC 11,834 $4.84M 0.98%
44 CARRIER GLOBAL CORP 74,922 $4.82M 0.98%
45 SYNOPSYS INC 10,694 $4.43M 0.90%
46 ALCON INC 50,401 $4.39M 0.89%
47 FIFTH THIRD BANCORP 73,986 $3.66M 0.74%
48 SERVICENOW INC 32,363 $3.50M 0.71%
49 BENTLEY SYSTEM-B 93,446 $3.42M 0.69%
50 ORACLE CORP 15,567 $2.26M 0.46%
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