MPISX
BNY Mellon Income Stock Fund
BNY MELLON FUNDS TRUST

Portfolio concentration

As of November 30, 2025 · N-PORT
Holdings
60
Top-10 weight
38.27%
Effective holdings ?
42
Crowding ?
1149.0

Holdings

As of November 30, 2025 · N-PORT
#SecurityTickerSharesValue% of fund
1 CME GROUP INC CL A 22,671 $6.38M 4.56%
2 OLD REPUBLIC INTL CORP 138,409 $6.38M 4.56%
3 JOHNSON&JOHNSON 29,950 $6.20M 4.43%
4 CISCO SYSTEMS INC 77,244 $5.94M 4.24%
5 ASSURANT INC 24,592 $5.61M 4.01%
6 JPMORGAN CHASE and CO 16,690 $5.23M 3.73%
7 MEDTRONIC PLC 43,209 $4.55M 3.25%
8 BANK OF AMERICA CORPORATION 83,628 $4.49M 3.20%
9 EXXON MOBIL CORP 38,680 $4.48M 3.20%
10 L3HARRIS TECHNOLOGIES INC 15,422 $4.30M 3.07%
11 UNITEDHEALTH GRP 10,961 $3.61M 2.58%
12 AON PLC 9,425 $3.34M 2.38%
13 APPLIED MATERIALS INC 12,127 $3.06M 2.18%
14 DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND 2,924,299 $2.92M 2.09%
15 CRH PLC 23,662 $2.84M 2.03%
16 MARATHON PETROLEUM CORP 13,867 $2.69M 1.92%
17 OMNICOM GROUP INC 37,471 $2.68M 1.92%
18 CSX CORP 70,273 $2.48M 1.77%
19 CITIGROUP INC 23,595 $2.44M 1.75%
20 MORGAN STANLEY 13,998 $2.37M 1.70%
21 LAS VEGAS SANDS CORP 33,684 $2.30M 1.64%
22 BRISTOL-MYERS SQUIBB CO 45,905 $2.26M 1.61%
23 PHILLIPS 66 16,300 $2.23M 1.59%
24 FREEPORT MCMORAN INC 50,634 $2.18M 1.55%
25 FIRST HORIZON CORP 90,947 $2.03M 1.45%
26 DOVER CORP 10,585 $1.96M 1.40%
27 DIAMONDBACK ENERGY INC 12,166 $1.86M 1.33%
28 VOYA FINANCIAL INC 25,743 $1.81M 1.29%
29 HUMANA INC 7,174 $1.76M 1.26%
30 COMERICA INC 21,286 $1.71M 1.22%
31 CAPITAL ONE FINANCIAL CORP 7,598 $1.66M 1.19%
32 DELTA AIR LI 25,642 $1.64M 1.17%
33 GOLDMAN SACHS GROUP INC 1,985 $1.64M 1.17%
34 HUBBELL INC 3,763 $1.62M 1.16%
35 TE CONNECTIVITY PLC 6,972 $1.58M 1.13%
36 EQT CORPORATION 24,597 $1.50M 1.07%
37 PFIZER INC 58,117 $1.50M 1.07%
38 ELEVANCE HEALTH INC 4,327 $1.46M 1.05%
39 ESTEE LAUDER COS INC CL A 14,541 $1.37M 0.98%
40 DOLBY LABORATORIES INC CL A 20,131 $1.36M 0.97%
41 CATERPILLAR INC 2,356 $1.36M 0.97%
42 NEWMONT CORP 14,902 $1.35M 0.97%
43 PACKAGING CORP OF AMERICA 6,519 $1.33M 0.95%
44 EMERSON ELECTRIC CO 9,699 $1.29M 0.92%
45 CARLISLE COS INC 3,859 $1.23M 0.88%
46 WALT DISNEY CO/T 11,703 $1.22M 0.87%
47 INTL BUS MACH CORP 3,888 $1.20M 0.86%
48 WEYERHAEUSER CO 54,011 $1.20M 0.86%
49 AT&T INC 44,553 $1.16M 0.83%
50 AMERICAN INTERNATIONAL GROUP 15,100 $1.15M 0.82%
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