MPSSX Holdings — BNY Mellon Small Cap Multi-Strategy Fund

All 153 reported holdings of BNY Mellon Small Cap Multi-Strategy Fund (MPSSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Dreyfus Institutional Preferred Money Market Funds2.33%$3.03M
Baldwin Insurance Group, Inc. (the)2.11%$2.76M
Bel Fuse, Inc.2.11%$2.75M
Kulicke And Soffa Industries, Inc.2.04%$2.66M
Guardant Health, Inc.1.80%$2.34M
Herc Holdings, Inc.1.77%$2.31M
Sensata Technologies Holding PLC1.77%$2.31M
Myr Group, Inc.1.74%$2.27M
Repligen Corp.1.74%$2.26M
Construction Partners, Inc.1.64%$2.13M
Lindblad Expeditions Holdings, Inc.1.63%$2.13M
Mks, Inc.1.60%$2.08M
Privia Health Group, Inc.1.57%$2.04M
Flowserve Corp.1.55%$2.02M
Alignment Healthcare, Inc.1.55%$2.02M
Lumen Technologies, Inc.1.32%$1.72M
First Watch Restaurant Group, Inc.1.31%$1.70M
Regal Rexnord Corp.1.29%$1.69M
Macom Technology Solutions Holdings, Inc.1.29%$1.68M
Casey's General Stores, Inc.1.28%$1.67M
Wingstop, Inc.1.26%$1.64M
Mirum Pharmaceuticals, Inc.1.23%$1.60M
Curtiss-Wright Corp.1.21%$1.58M
Yeti Holdings, Inc.1.21%$1.57M
Brunswick Corp.1.11%$1.44M
Iridium Communications, Inc.1.01%$1.32M
Bwx Technologies, Inc.1.00%$1.30M
Bio-Techne Corp.0.96%$1.25M
Patrick Industries, Inc.0.92%$1.20M
Silicon Motion Technology Corp.0.88%$1.14M
Marex Group PLC0.88%$1.14M
Esab Corp.0.87%$1.13M
Gates Industrial Corp. PLC0.82%$1.07M
Onto Innovation, Inc.0.82%$1.06M
Liberty Energy, Inc.0.81%$1.06M
Standex International Corp.0.78%$1.02M
Brightspring Health Services, Inc.0.76%$993.17K
Rhythm Pharmaceuticals, Inc.0.73%$948.73K
Rh, Inc.0.73%$946.18K
Karman Holdings, Inc.0.71%$930.12K
Simmons First National Corp.0.71%$926.04K
California Resources Corp.0.71%$925.10K
Loar Holdings, Inc.0.70%$908.46K
Syndax Pharmaceuticals, Inc.0.69%$899.96K
Viavi Solutions, Inc.0.67%$873.16K
Crescent Energy Company0.65%$849.82K
Columbia Banking System, Inc.0.65%$847.76K
Bloom Energy Corp.0.64%$830.21K
First Horizon Corp.0.63%$827.58K
Metropolitan Bank Holding Corp.0.63%$823.05K
Ceribell, Inc.0.62%$812.34K
Tennant Company0.61%$799.27K
Prog Holdings, Inc.0.61%$795.04K
Element Solutions, Inc.0.60%$779.48K
Veeco Instruments, Inc.0.59%$775.09K
Cactus, Inc.0.59%$769.55K
Alcoa Corp.0.59%$769.02K
Oceaneering International, Inc.0.59%$762.76K
Lumentum Holdings, Inc.0.58%$755.78K
Southstate Bank Corp.0.58%$754.49K
Novanta, Inc.0.57%$744.23K
Mdu Resources Group, Inc.0.57%$738.10K
Ryman Hospitality Properties, Inc.0.56%$729.81K
Cellebrite Di Ltd.0.54%$705.77K
Origin Bancorp, Inc.0.53%$690.50K
Bkv Corp.0.53%$689.51K
Timken Company (the)0.52%$678.68K
Expro Group Holdings NV0.52%$674.03K
Ascendis Pharma A/s0.51%$669.19K
Knight-Swift Transportation Holdings, Inc.0.51%$668.27K
Etoro Group Ltd.0.51%$667.48K
Allegiant Travel Company0.51%$662.52K
Healthpeak Properties, Inc.0.51%$658.78K
Warby Parker, Inc.0.50%$653.75K
First Busey Corp.0.50%$652.72K
Methanex Corp.0.50%$650.75K
Dynatrace, Inc.0.50%$648.99K
Enpro, Inc.0.49%$644.99K
Voya Financial, Inc.0.49%$640.91K
Copt Defense Properties0.49%$637.42K
Modine Manufacturing Company0.49%$636.75K
Diodes, Inc.0.48%$624.34K
Monro, Inc.0.48%$622.53K
Weatherford International PLC0.47%$618.94K
Urban Edge Properties0.47%$613.58K
Transocean Ltd.0.46%$604.32K
Pbf Energy, Inc.0.46%$603.62K
Southwest Gas Holdings, Inc.0.46%$601.14K
Carter's, Inc.0.46%$600.31K
Business First Bancshares, Inc.0.46%$600.24K
John Wiley & Sons, Inc.0.46%$596.78K
Americold Realty Trust, Inc.0.46%$596.52K
Hayward Holdings, Inc.0.45%$586.17K
Magnite, Inc.0.44%$575.64K
Madrigal Pharmaceuticals, Inc.0.44%$568.38K
Rayonier, Inc.0.43%$566.33K
Genius Sports Ltd.0.43%$561.96K
One Gas, Inc.0.43%$558.87K
Envista Holdings Corp.0.43%$554.70K
Texas Capital Bancshares, Inc.0.42%$545.30K
Lci Industries0.42%$543.36K
Black Rock Coffee Bar, Inc.0.42%$542.08K
Visteon Corp.0.41%$538.46K
Epr Properties0.41%$531.31K
Omnicell, Inc.0.41%$528.66K
Wisdomtree, Inc.0.40%$526.81K
Fluor Corp.0.40%$520.43K
Alamos Gold, Inc.0.39%$511.71K
Moelis & Company0.39%$510.73K
Newamsterdam Pharma Company NV0.39%$507.32K
Third Coast Bancshares, Inc.0.38%$501.74K
Korn Ferry0.38%$498.61K
Netstreit Corp.0.38%$497.63K
Lionsgate Studios Corp.0.38%$493.47K
Nomad Foods Ltd.0.37%$484.44K
Valvoline, Inc.0.36%$472.70K
Stag Industrial, Inc.0.35%$462.77K
Millrose Properties, Inc.0.35%$457.39K
Diversified Healthcare Trust0.35%$454.01K
J & J Snack Foods Corp.0.34%$440.20K
Pennymac Financial Services, Inc.0.34%$438.72K
Bank Ozk0.33%$428.83K
Bankunited, Inc.0.33%$426.74K
Xenon Pharmaceuticals, Inc.0.33%$425.14K
Planet Labs Pbc0.32%$417.15K
United Community Banks, Inc.0.31%$408.02K
Starz Entertainment Corp.0.31%$407.75K
Hallador Energy Company0.30%$394.06K
Meritage Homes Corp.0.30%$391.05K
Levi Strauss & Company0.30%$390.32K
Janus International Group, Inc.0.30%$387.50K
Definium Therapeutics, Inc.0.29%$384.45K
National Healthcare Properties, Inc.0.29%$383.94K
Cytokinetics, Inc.0.29%$383.57K
Hni Corp.0.29%$383.20K
Bath & Body Works, Inc.0.29%$377.38K
Ivanhoe Electric, Inc.0.29%$373.84K
Heartflow, Inc.0.28%$366.77K
Strata Critical Medical, Inc.0.27%$356.24K
Newmark Group, Inc.0.27%$352.60K
Disc Medicine, Inc.0.25%$330.74K
Encompass Health Corp.0.24%$318.71K
Matrix Service Company0.24%$306.68K
Stitch Fix, Inc.0.21%$278.05K
Dianthus Therapeutics, Inc.0.21%$272.43K
Dolby Laboratories, Inc.0.20%$258.12K
Denali Therapeutics, Inc.0.18%$240.87K
York Space Systems, Inc.0.18%$233.54K
Blackbaud, Inc.0.13%$172.69K
Monopar Therapeutics, Inc.0.09%$122.73K
Tenax Therapeutics, Inc.0.09%$122.51K
Target Hospitality Corp.0.08%$107.65K
Fervo Energy Company0.00%$330

MPSSX overview: performance, fees, allocation and SEC filings