BNY Mellon Sustainable U.S. Equity Portfolio, Inc.
BNY MELLON SUSTAINABLE U.S. EQUITY PORTFOLIO, 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.

Dec 31, 2025 → Mar 31, 2026

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

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TEXAS INSTRUMENTS INC 0 28,514 28,514 1.86% $5.54M
Dreyfus Institutional Preferred Government Plus Money Market Fund 0 4,241,936 4,241,936 1.42% $4.24M
NETFLIX INC 0 39,835 39,835 1.28% $3.83M
BANK OF AMERICA CORPORATION 0 76,177 76,177 1.24% $3.71M
DOVER CORP 0 13,901 13,901 0.97% $2.90M
CROWDSTRIKE HOLDINGS INC 0 7,123 7,123 0.93% $2.78M
INSMED INC 0 16,080 16,080 0.88% $2.63M
FIFTH THIRD BANCORP 0 47,931 47,931 0.75% $2.23M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND 4,815,753 0 -4,815,753 0.00% -$4.82M
BROADCOM INC 13,616 0 -13,616 0.00% -$4.71M
VERALTO CORP 33,961 0 -33,961 0.00% -$3.39M
ABBOTT LABS 21,655 0 -21,655 0.00% -$2.71M
BENTLEY SYSTEM-B 59,850 0 -59,850 0.00% -$2.28M
ORACLE CORP 9,821 0 -9,821 0.00% -$1.91M
HUBSPOT INC 3,965 0 -3,965 0.00% -$1.59M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
HOWMET AEROSPACE INC 19,329 22,817 3,488 1.76% $1.30M
GILEAD SCIENCES INC 34,359 36,582 2,223 1.71% $881.21K
TAIWAN SEMIC MFG CO LTD SP ADR 8,511 13,411 4,900 1.52% $1.95M
UNITEDHEALTH GRP 12,656 14,799 2,143 1.34% -$173.41K
EDWARDS LIFESCIENCES CORP 18,523 43,682 25,159 1.17% $1.92M
INTL PAPER CO 53,076 80,023 26,947 0.96% $766.16K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 166,551 163,767 -2,784 9.57% -$2.50M
APPLE INC 83,557 80,603 -2,954 6.85% -$2.26M
MICROSOFT CORP 49,332 48,509 -823 6.02% -$5.90M
ALPHABET INC CL A 55,384 54,460 -924 5.25% -$1.67M
AMAZON.COM INC 63,162 62,108 -1,054 4.33% -$1.64M
COSTCO WHOLESALE CORP 8,231 8,094 -137 2.70% $967.18K
GOLDMAN SACHS GROUP INC 10,180 9,270 -910 2.63% -$1.11M
JPMORGAN CHASE and CO 41,358 25,637 -15,721 2.53% -$5.78M
WALMART INC 61,509 60,482 -1,027 2.52% $663.99K
GE VERNOVA LLC 8,830 7,741 -1,089 2.26% $986.10K
HUBBELL INC 12,476 12,268 -208 2.02% $479.68K
MASTERCARD INC CL A 11,775 11,578 -197 1.94% -$937.05K
MICRON TECHNOLOGY INC 28,618 16,645 -11,973 1.88% -$2.54M
INGERSOLL RAND INC 69,037 67,885 -1,152 1.82% -$30.16K
NEXTERA ENERGY INC 58,732 57,752 -980 1.80% $649.00K
CONSTELLATION ENERGY CORP 19,049 18,731 -318 1.75% -$1.50M
ABBVIE INC 23,368 22,978 -390 1.67% -$341.87K
CME GROUP INC CL A 16,993 16,709 -284 1.65% $294.55K
FIRST HORIZON CORP 216,360 212,742 -3,618 1.62% -$329.00K
TE CONNECTIVITY PLC 22,543 22,167 -376 1.55% -$495.41K
THERMO FISHER SCIENTIFIC INC 9,091 8,939 -152 1.47% -$873.99K
DARLING INGREDIENTS INC 72,144 70,940 -1,204 1.47% $1.79M
EMERSON ELECTRIC CO 30,788 30,274 -514 1.33% -$119.68K
ASSURANT INC 19,287 17,587 -1,700 1.28% -$814.65K
TRANE TECHNOLOGIES PLC 9,335 9,179 -156 1.28% $192.07K
WASTE MANAGEMENT INC 16,489 16,214 -275 1.25% $103.02K
LINDE PLC 7,276 7,155 -121 1.19% $444.75K
AON PLC 11,972 10,390 -1,582 1.12% -$871.00K
CROWN HOLDINGS INC 33,746 33,183 -563 1.11% -$148.23K
AECOM 39,130 38,477 -653 1.09% -$466.64K
INTUIT INC 11,479 7,535 -3,944 1.09% -$4.35M
IDEXX LABS INC 7,511 5,537 -1,974 1.04% -$1.97M
ESTEE LAUDER COS INC CL A 45,281 36,984 -8,297 0.89% -$2.09M
BOSTON SCIENTIFIC CORP 63,207 40,803 -22,404 0.86% -$3.47M
SERVICENOW INC 26,885 20,955 -5,930 0.73% -$1.93M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SYNOPSYS INC 6,807 6,807 0 0.90% -$498.54K
CARRIER GLOBAL CORP 47,184 47,184 0 0.89% $163.73K
ALCON INC 31,879 31,879 0 0.80% -$110.30K

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