DQIRX Holdings — BNY Mellon Equity Income Fund

All 116 reported holdings of BNY Mellon Equity Income Fund (DQIRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.7.24%$169.61M
Apple, Inc.6.20%$145.31M
Broadcom, Inc.5.29%$123.87M
Microsoft Corp.4.53%$106.18M
Amazon.com, Inc.3.49%$81.86M
Alphabet, Inc.3.16%$74.16M
Jp Morgan Chase & Company2.56%$60.01M
Alphabet, Inc.2.47%$57.85M
Verizon Communications, Inc.2.25%$52.72M
Seagate Technology Holdings PLC2.24%$52.48M
Philip Morris International, Inc.2.22%$52.05M
Altria Group, Inc.2.18%$51.05M
Qualcomm, Inc.2.05%$48.09M
Meta Platforms, Inc.1.94%$45.56M
Cisco Systems, Inc.1.86%$43.69M
Assurant, Inc.1.61%$37.79M
Texas Instruments, Inc.1.61%$37.76M
Goldman Sachs Group, Inc. (the)1.59%$37.31M
Bristol-Myers Squibb Company1.50%$35.04M
At&t, Inc.1.41%$33.08M
Johnson & Johnson1.41%$33.04M
Phillips 661.23%$28.92M
Skyworks Solutions, Inc.1.18%$27.68M
Medtronic PLC1.16%$27.25M
Tesla, Inc.1.16%$27.22M
State Street Corp.1.01%$23.70M
Allstate Corp. (the)0.93%$21.75M
Darden Restaurants, Inc.0.91%$21.36M
Gilead Sciences, Inc.0.89%$20.74M
Exxon Mobil Corp.0.85%$19.92M
Cummins, Inc.0.85%$19.87M
Morgan Stanley0.82%$19.26M
Lockheed Martin Corp.0.82%$19.10M
Valero Energy Corp.0.80%$18.70M
Bank Of America Corp.0.79%$18.44M
Johnson Controls International PLC0.78%$18.31M
Lyondellbasell Industries NV0.75%$17.52M
Edison International0.73%$17.18M
Lam Research Corp.0.73%$17.02M
Micron Technology, Inc.0.64%$14.95M
Unitedhealth Group, Inc.0.64%$14.88M
Honeywell International, Inc.0.60%$14.08M
Pfizer, Inc.0.60%$13.97M
Hasbro, Inc.0.60%$13.97M
Exelon Corp.0.59%$13.90M
Advanced Micro Devices, Inc.0.57%$13.47M
Netapp, Inc.0.57%$13.37M
Howmet Aerospace, Inc.0.55%$12.99M
Dreyfus Institutional Preferred Money Market Funds0.55%$12.87M
Hershey Company (the)0.55%$12.85M
Citigroup, Inc.0.50%$11.83M
Cf Industries Holdings, Inc.0.48%$11.26M
T. Rowe Price Group, Inc.0.47%$11.03M
Constellation Energy Corp.0.47%$10.99M
Pnc Financial Services Group, Inc. (the)0.45%$10.58M
Las Vegas Sands Corp.0.45%$10.47M
Rtx Corp.0.44%$10.35M
Simon Property Group, Inc.0.43%$10.12M
Ppg Industries, Inc.0.42%$9.93M
Packaging Corp. Of America0.42%$9.92M
Pepsico, Inc.0.42%$9.90M
Paychex, Inc.0.41%$9.68M
Ralph Lauren Corp.0.41%$9.64M
American Electric Power Company, Inc.0.41%$9.55M
Apa Corp.0.40%$9.32M
Amgen, Inc.0.40%$9.27M
Analog Devices, Inc.0.39%$9.11M
Chevron Corp.0.38%$8.82M
Netflix, Inc.0.38%$8.80M
Newmont Corp.0.37%$8.58M
Illinois Tool Works, Inc.0.36%$8.42M
First Horizon Corp.0.35%$8.28M
US Bancorp0.35%$8.23M
Kinder Morgan, Inc.0.34%$7.97M
Best Buy Co., Inc.0.33%$7.84M
Comcast Corp.0.33%$7.68M
Corning, Inc.0.33%$7.66M
Conocophillips0.31%$7.31M
Walmart, Inc.0.31%$7.28M
International Business Machines Corp.0.30%$7.06M
Regions Financial Corp.0.29%$6.91M
Host Hotels & Resorts, Inc.0.28%$6.50M
Blackrock, Inc.0.25%$5.97M
Dominion Energy, Inc.0.24%$5.69M
Intel Corp.0.24%$5.67M
Fedex Corp.0.24%$5.61M
Cms Energy Corp.0.23%$5.50M
Citizens Financial Group, Inc.0.23%$5.48M
Eli Lilly & Company0.23%$5.45M
Merck & Company, Inc.0.23%$5.41M
Ch Robinson Worldwide, Inc.0.22%$5.08M
Tyson Foods, Inc.0.22%$5.07M
Cincinnati Financial Corp.0.21%$4.88M
Avery Dennison Corp.0.20%$4.74M
Franklin Resources, Inc.0.20%$4.68M
Te Connectivity PLC0.20%$4.65M
Archer Daniels Midland Company0.20%$4.61M
Masco Corp.0.20%$4.57M
Nrg Energy, Inc.0.20%$4.57M
International Paper Company0.19%$4.56M
Slb Ltd.0.19%$4.39M
Bxp, Inc.0.18%$4.32M
A.o. Smith Corp.0.18%$4.19M
Essex Property Trust, Inc.0.16%$3.67M
Firstenergy Corp.0.15%$3.55M
Dolby Laboratories, Inc.0.15%$3.52M
Consolidated Edison, Inc.0.15%$3.42M
Avalonbay Communities, Inc.0.13%$3.15M
Equity Residential0.12%$2.86M
Zoetis, Inc.0.11%$2.65M
Target Corp.0.11%$2.59M
Conagra Brands, Inc.0.11%$2.47M
Northern Trust Corp.0.10%$2.32M
Vici Properties, Inc.0.09%$2.00M
Western Union Company (the)0.04%$995.73K
Versant Media Group, Inc.0.02%$532.61K

DQIRX overview: performance, fees, allocation and SEC filings