DNLRX Holdings — Dreyfus Active MidCap Fund

All 242 reported holdings of Dreyfus Active MidCap Fund (DNLRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Halliburton Company1.70%$7.89M
Vertiv Holdings Co1.67%$7.79M
Valero Energy Corp.1.51%$7.01M
Emcor Group Inc1.43%$6.65M
Loews Corporation1.42%$6.61M
The Allstate Corporation1.26%$5.88M
Ameriprise Financial, Inc.1.25%$5.81M
Corteva Inc1.22%$5.68M
Edison International1.19%$5.55M
Simon Property Group Inc1.14%$5.30M
Howmet Aerospace Inc1.05%$4.88M
Assurant Inc.1.02%$4.76M
IDEXX Laboratories Inc.1.01%$4.69M
ResMed Inc.1.00%$4.65M
First Horizon Corporation0.97%$4.50M
Western Digital Corp.0.96%$4.48M
State Street Corp.0.96%$4.45M
Constellation Brands, Inc.0.94%$4.39M
Church & Dwight Co Inc.0.94%$4.37M
MSCI Inc.0.94%$4.36M
Dupont De Nemours Inc0.90%$4.18M
Vulcan Materials Company0.86%$3.98M
Archer-Daniels-Midland Co.0.84%$3.93M
Public Service Enterprise Group Incorporated0.82%$3.82M
Smith(Ao)Corp0.82%$3.81M
Verisk Analytics, Inc.0.81%$3.75M
Sandisk Corp.0.80%$3.74M
Royal Caribbean Cruises Ltd.0.80%$3.73M
Tapestry Inc0.80%$3.73M
US Foods Holding Corp0.79%$3.70M
Fox Corporation0.78%$3.61M
APA Corp.0.77%$3.61M
The New York Times Company0.76%$3.52M
Crown Holdings Inc0.76%$3.52M
J. B. Hunt Transport Services, Inc.0.70%$3.26M
Antero Midstream Corp.0.69%$3.19M
Broadridge Financial Solutions Inc.0.68%$3.17M
Devon Energy Corporation0.68%$3.16M
Cardinal Health, Inc.0.66%$3.07M
First Industrial Realty Trust, Inc.0.65%$3.03M
Synchrony Financial0.65%$3.02M
PG&E Corporation0.65%$3.00M
Jabil Inc0.64%$2.97M
Corning Incorporated0.64%$2.96M
Ralph Lauren Corp.0.63%$2.94M
Marathon Petroleum Corp.0.62%$2.88M
Rockwell Automation, Inc.0.62%$2.87M
Ciena Corporation0.61%$2.83M
Westinghouse Air Brake Technologies Corp.0.60%$2.78M
Northern Trust Corporation0.59%$2.77M
NetApp Inc.0.58%$2.71M
Dreyfus Institutional Preferred Money Market Funds0.58%$2.70M
Pentair PLC0.58%$2.69M
Lincoln Electric Holdings Inc.0.58%$2.69M
Keysight Technologies, Inc.0.57%$2.67M
Dollar Tree Inc0.57%$2.65M
Ross Stores Inc0.57%$2.64M
The Hanover Insurance Group, Inc.0.56%$2.62M
NNN REIT Inc0.56%$2.62M
CNO Financial Group, Inc.0.54%$2.52M
BWX Technologies Inc.0.54%$2.50M
Expedia Group Inc0.54%$2.50M
Flex Ltd.0.54%$2.49M
Aptiv PLC0.53%$2.47M
Ferguson Enterprises Inc0.52%$2.40M
Delta Air Lines Inc.0.51%$2.39M
Mettler-Toledo International Inc0.51%$2.37M
Primerica, Inc.0.51%$2.37M
Corpay Inc0.51%$2.37M
The Toro Company0.50%$2.32M
NRG Energy, Inc.0.49%$2.29M
Host Hotels & Resorts Inc0.49%$2.28M
Pultegroup, Inc.0.48%$2.25M
Dollar General Corporation0.48%$2.25M
Fortive Corporation0.48%$2.25M
Cencora Inc0.48%$2.25M
ON Semiconductor Corp.0.48%$2.23M
Godaddy Inc0.48%$2.22M
Baker Hughes Company0.48%$2.21M
CF Industries Holdings, Inc.0.47%$2.19M
Allegion PLC0.47%$2.18M
Carnival Corp.0.46%$2.16M
PTC Inc0.46%$2.14M
IQVIA Holdings Inc.0.45%$2.09M
Robinhood Markets Inc0.44%$2.04M
ONE Gas, Inc.0.44%$2.03M
Zoom Communications Inc.0.43%$2.02M
Armstrong World Industries, Inc.0.42%$1.95M
Royalty Pharma PLC0.42%$1.94M
Skyworks Solutions, Inc.0.42%$1.94M
Medpace Holdings Inc.0.42%$1.93M
Acuity, Inc.0.41%$1.92M
Tetra Tech Inc0.41%$1.91M
Leidos Holdings Inc0.41%$1.90M
Regions Financial Corporation0.41%$1.90M
Phillips 660.41%$1.89M
Paychex Inc0.40%$1.88M
Incyte Corporation.0.40%$1.87M
Clearway Energy Inc0.40%$1.85M
The Western Union Company0.40%$1.84M
Flowserve Corporation0.39%$1.84M
M&T Bank Corporation0.38%$1.79M
Globe Life Inc0.38%$1.78M
Tenet Healthcare Corporation0.38%$1.77M
ATI Inc0.38%$1.75M
Dominos Pizza Inc.0.37%$1.74M
RPM International Inc.0.37%$1.70M
Watts Water Technologies Inc.0.36%$1.70M
Charles River Laboratories International, Inc.0.36%$1.70M
Illumina Inc0.36%$1.68M
Cirrus Logic, Inc.0.35%$1.65M
Veeva Systems Inc0.35%$1.64M
Hershey Co. (The)0.35%$1.61M
Five Below Inc0.34%$1.60M
Popular, Inc.0.34%$1.58M
Onto Innovation Inc.0.34%$1.57M
HF Sinclair Corp.0.34%$1.57M
Willis Towers Watson PLC0.34%$1.57M
Commercial Metals Company0.34%$1.56M
Advanced Drainage System Inc0.33%$1.55M
West Pharmaceutical Services Incorporated0.33%$1.53M
Eastgroup Properties, Inc.0.33%$1.53M
Warner Bros. Discovery Inc.0.33%$1.52M
Comfort Systems USA Inc.0.32%$1.51M
Genpact Ltd.0.32%$1.49M
Match Group Inc0.32%$1.49M
Twilio Inc0.32%$1.49M
Rayonier Inc0.32%$1.48M
Williams-Sonoma Inc.0.32%$1.48M
Lamar Advertising Company0.31%$1.44M
Jazz Pharmaceuticals PLC0.31%$1.43M
Roku Inc0.30%$1.42M
Carvana Co0.29%$1.37M
Coinbase Global Inc0.29%$1.35M
Sprouts Farmers Markets Inc0.29%$1.35M
Hilton Worldwide Holdings Inc0.29%$1.34M
Zebra Technologies Corporation0.29%$1.34M
Vistra Corp0.29%$1.33M
DexCom Inc0.28%$1.30M
Gartner Inc.0.28%$1.29M
CNX Resources Corporation0.28%$1.29M
Flowers Foods, Inc.0.27%$1.25M
Alnylam Pharmaceuticals Inc.0.27%$1.24M
Exelixis, Inc.0.27%$1.24M
MGIC Investment Corp.0.26%$1.23M
Jacobs Solutions Inc.0.26%$1.22M
Topbuild Corporation0.26%$1.22M
Cabot Corporation0.26%$1.21M
Electronic Arts Inc.0.26%$1.20M
Verisign, Inc.0.25%$1.18M
ADT Inc0.25%$1.17M
Fair Isaac Corporation0.25%$1.17M
Boston Beer Co Inc0.25%$1.14M
Moderna Inc0.25%$1.14M
Reliance Inc0.24%$1.13M
Dynatrace Inc0.24%$1.13M
Exelon Corp.0.24%$1.13M
SEI Investments Co0.24%$1.12M
OGE Energy Corporation0.24%$1.11M
Roblox Corporation0.23%$1.08M
Nutanix Inc0.23%$1.08M
Littelfuse Inc.0.23%$1.08M
Best Buy Co Inc.0.23%$1.07M
Darling Ingredients, Inc0.23%$1.06M
Essex Property Trust, Inc.0.23%$1.06M
Iridium Communications, Inc.0.23%$1.05M
Veralto Corp.0.22%$1.04M
Aecom0.22%$1.03M
Sirius Xm Holdings, Inc.0.22%$1.02M
Global Payments Inc0.21%$1.00M
Leggett & Platt Inc.0.21%$997.89K
Polaris Inc.0.21%$981.82K
Etsy Inc0.21%$979.86K
Block(H&R)Inc0.20%$950.42K
Las Vegas Sands Corp0.20%$946.08K
MKS Inc.0.20%$933.03K
Deckers Outdoor Corp.0.20%$928.03K
Paylocity Holding Corporation0.20%$922.55K
Unity Software Inc0.20%$922.45K
Ringcentral Inc0.20%$917.22K
Newmarket Corporation0.20%$916.56K
Docusign Inc0.20%$913.78K
Wayfair Inc0.20%$913.28K
Lumentum Holdings Inc.0.20%$911.48K
Insulet Corporation0.19%$891.61K
LivaNova PLC0.19%$884.50K
Talen Energy Corp.0.19%$874.69K
Monolithic Power Systems Inc.0.19%$869.21K
Align Technology Inc.0.19%$868.29K
Hubspot Inc0.18%$848.25K
Biomarin Pharmaceutical Inc.0.18%$823.74K
Pegasystems Inc0.17%$802.04K
TechnipFMC PLC0.17%$799.83K
Credit Acceptance Corp.0.17%$798.65K
Portland General Electric Company0.17%$770.44K
Qorvo Inc0.17%$769.67K
Everpure Inc.0.16%$746.92K
Reddit Inc0.16%$746.77K
Bio-Rad Laboratories, Inc.0.16%$745.93K
American Homes 4 Rent0.16%$735.44K
Lyft Inc0.16%$728.68K
Hasbro Inc0.16%$727.18K
Alcoa Corporation0.15%$711.06K
The Trade Desk Inc0.15%$710.88K
Sensata Technologies Holding PLC0.15%$705.84K
Qualys Inc0.15%$695.68K
Regal Rexnord Corporation0.15%$692.86K
Southwest Gas Holdings Inc0.14%$665.91K
Halozyme Therapeutics Inc0.14%$664.85K
Universal Health Services, Inc.0.14%$662.55K
Anglogold Ashanti PLC0.14%$658.54K
Vornado Realty Trust0.14%$651.05K
Rocket Lab Corp.0.14%$650.93K
Blackbaud Inc0.14%$641.78K
Lamb Weston Holdings Inc0.14%$630.35K
10X Genomics Inc0.13%$590.22K
Black Hills Corporation0.13%$586.31K
UiPath Inc.0.12%$581.16K
Macy's, Inc.0.12%$551.58K
Astera Labs Inc0.12%$545.04K
Karman Holdings, Inc.0.12%$544.34K
Celsius Holdings, Inc.0.11%$533.41K
Affirm Holdings Inc0.11%$525.10K
Paycom Software Inc0.11%$521.65K
Albemarle Corp0.11%$503.22K
Hecla Mining Company0.11%$495.56K
Healthequity Inc0.10%$445.60K
Brookfield Renewable Corp.0.09%$430.92K
Manhattan Associates Inc0.09%$413.34K
Bath & Body Works Inc0.09%$399.31K
BILL Holdings Inc0.08%$376.41K
PPL Corporation0.08%$368.78K
Super Micro Computer Inc.0.06%$289.59K
AST SpaceMobile Inc.0.06%$271.40K
MongoDB Inc.0.06%$260.44K
Quantumscape Corp.0.05%$249.50K
Playtika Holding Corp0.05%$231.74K
SM Energy Co.0.04%$207.75K
Inspire Medical Systems Inc0.04%$181.10K
Rubrik Inc.0.04%$175.07K
MP Materials Corp0.03%$147.72K
Duolingo Inc0.03%$131.20K

DNLRX overview: performance, fees, allocation and SEC filings