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BNY Mellon S&P 500 Index Fund

Fund Profile

Fund profile

Tickers
PEOPX
Fund manager
BNY Mellon Index Funds, Inc.
Total assets
$1.92 bn
Liabilities
$2.17 mm
Net assets
$1.92 bn
Number of holdings
506.00

Top 200 of 506 Holdings

As of Oct 2022
Security $Holding Balance % of Fund Category Position Country
AAPL Apple Inc 136.12 mm 887.72 k shares 7.09 Common equity Long USA
MSFT Microsoft Corporation 101.73 mm 438.26 k shares 5.30 Common equity Long USA
AMZN Amazon.com Inc. 53.35 mm 520.84 k shares 2.78 Common equity Long USA
TSLA Tesla Inc 35.61 mm 156.52 k shares 1.85 Common equity Long USA
GOOG Alphabet Inc 33.30 mm 352.35 k shares 1.73 Common equity Long USA
BRK.A Berkshire Hathaway Inc. 31.30 mm 106.06 k shares 1.63 Common equity Long USA
UNH Unitedhealth Group Inc 30.51 mm 54.97 k shares 1.59 Common equity Long USA
GOOG Alphabet Inc 29.83 mm 315.08 k shares 1.55 Common equity Long USA
XOM Exxon Mobil Corp. 27.14 mm 244.91 k shares 1.41 Common equity Long USA
JNJ Johnson & Johnson 26.88 mm 154.50 k shares 1.40 Common equity Long USA
JPM JPMorgan Chase & Co. 21.69 mm 172.33 k shares 1.13 Common equity Long USA
V Visa Inc 19.90 mm 96.08 k shares 1.04 Common equity Long USA
NVDA NVIDIA Corp 19.86 mm 147.15 k shares 1.03 Common equity Long USA
CVX Chevron Corp. 19.14 mm 105.83 k shares 1.00 Common equity Long USA
PG Procter & Gamble Co. 18.91 mm 140.42 k shares 0.98 Common equity Long USA
HD Home Depot, Inc. 17.88 mm 60.40 k shares 0.93 Common equity Long USA
LLY Lilly(Eli) & Co 16.78 mm 46.34 k shares 0.87 Common equity Long USA
MA Mastercard Incorporated 16.45 mm 50.14 k shares 0.86 Common equity Long USA
PFE Pfizer Inc. 15.35 mm 329.81 k shares 0.80 Common equity Long USA
ABBV Abbvie Inc 15.21 mm 103.90 k shares 0.79 Common equity Long USA
MRK Merck & Co Inc 15.07 mm 148.87 k shares 0.78 Common equity Long USA
BAC Bank Of America Corp. 14.81 mm 410.80 k shares 0.77 Common equity Long USA
PEP PepsiCo Inc 14.73 mm 81.10 k shares 0.77 Common equity Long USA
KO Coca-Cola Co 13.69 mm 228.72 k shares 0.71 Common equity Long USA
COST Costco Wholesale Corp 13.05 mm 26.03 k shares 0.68 Common equity Long USA
META Meta Platforms Inc 12.49 mm 134.02 k shares 0.65 Common equity Long USA
WMT Walmart Inc 11.92 mm 83.76 k shares 0.62 Common equity Long USA
TMO Thermo Fisher Scientific Inc. 11.83 mm 23.02 k shares 0.62 Common equity Long USA
MCD McDonald`s Corp 11.79 mm 43.23 k shares 0.61 Common equity Long USA
Walt Disney Co 11.41 mm 107.13 k shares 0.59 Common equity Long USA
Broadcom Pte. Ltd. 11.16 mm 23.73 k shares 0.58 Common equity Long USA
CSCO Cisco Systems, Inc. 11.05 mm 243.34 k shares 0.58 Common equity Long USA
ACN Accenture plc 10.55 mm 37.17 k shares 0.55 Common equity Long Ireland
WFC Wells Fargo & Co. 10.25 mm 222.90 k shares 0.53 Common equity Long USA
ABT Abbott Laboratories 10.18 mm 102.91 k shares 0.53 Common equity Long USA
BMY Bristol-Myers Squibb Co. 9.72 mm 125.48 k shares 0.51 Common equity Long USA
DHR Danaher Corp. 9.68 mm 38.47 k shares 0.50 Common equity Long USA
CRM Salesforce Inc 9.50 mm 58.45 k shares 0.49 Common equity Long USA
COP Conoco Phillips 9.43 mm 74.81 k shares 0.49 Common equity Long USA
VZ Verizon Communications Inc 9.22 mm 246.79 k shares 0.48 Common equity Long USA
NEE NextEra Energy Inc 8.95 mm 115.46 k shares 0.47 Common equity Long USA
S&P500 EMINI FUT DEC22 8.93 mm 46.00 contracts 0.47 Equity derivative Long USA
MSCI MSCI Inc 8.76 mm 27.50 k shares 0.46 Common equity Long USA
LIN Linde Plc 8.70 mm 29.25 k shares 0.45 Common equity Long Ireland
TXN Texas Instruments Inc. 8.62 mm 53.69 k shares 0.45 Common equity Long USA
AMGN AMGEN Inc. 8.49 mm 31.40 k shares 0.44 Common equity Long USA
PM Philip Morris International Inc 8.37 mm 91.09 k shares 0.44 Common equity Long USA
RTX Raytheon Technologies Corporation 8.23 mm 86.77 k shares 0.43 Common equity Long USA
CMCSA Comcast Corp 8.21 mm 258.79 k shares 0.43 Common equity Long USA
HON Honeywell International Inc 8.08 mm 39.59 k shares 0.42 Common equity Long USA
QCOM Qualcomm, Inc. 7.74 mm 65.80 k shares 0.40 Common equity Long USA
ELV Elevance Health Inc 7.71 mm 14.10 k shares 0.40 Common equity Long USA
T AT&T, Inc. 7.63 mm 418.76 k shares 0.40 Common equity Long USA
NFLX Netflix Inc. 7.61 mm 26.07 k shares 0.40 Common equity Long USA
LOW Lowe`s Cos., Inc. 7.37 mm 37.80 k shares 0.38 Common equity Long USA
IBM International Business Machines Corp. 7.36 mm 53.24 k shares 0.38 Common equity Long USA
CVS CVS Health Corp 7.29 mm 77.02 k shares 0.38 Common equity Long USA
UNP Union Pacific Corp. 7.23 mm 36.70 k shares 0.38 Common equity Long USA
UPS United Parcel Service, Inc. 7.22 mm 43.01 k shares 0.38 Common equity Long USA
SCHW Charles Schwab Corp. 7.15 mm 89.73 k shares 0.37 Common equity Long USA
INTU Intuit Inc 7.09 mm 16.58 k shares 0.37 Common equity Long USA
ORCL Oracle Corp. 6.97 mm 89.26 k shares 0.36 Common equity Long USA
GS Goldman Sachs Group, Inc. 6.91 mm 20.06 k shares 0.36 Common equity Long USA
NKE Nike, Inc. 6.88 mm 74.26 k shares 0.36 Common equity Long USA
INTC Intel Corp. 6.88 mm 242.02 k shares 0.36 Common equity Long USA
MDT Medtronic Plc 6.82 mm 78.08 k shares 0.36 Common equity Long Ireland
LMT Lockheed Martin Corp. 6.75 mm 13.87 k shares 0.35 Common equity Long USA
CAT Caterpillar Inc. 6.73 mm 31.11 k shares 0.35 Common equity Long USA
DE Deere & Co. 6.47 mm 16.34 k shares 0.34 Common equity Long USA
MS Morgan Stanley 6.47 mm 78.69 k shares 0.34 Common equity Long USA
SPGI S&P Global Inc 6.43 mm 20.02 k shares 0.33 Common equity Long USA
Dreyfus Institutional Preferred Government Plus Money Market Fund 6.43 mm 6.43 mm other units 0.33 Short-term investment vehicle Long USA
Prologis, L.P. 6.00 mm 54.15 k shares 0.31 Common equity Long USA
ADP Automatic Data Processing Inc. 5.90 mm 24.42 k shares 0.31 Common equity Long USA
SBUX Starbucks Corp. 5.82 mm 67.27 k shares 0.30 Common equity Long USA
Cigna Holding Co 5.79 mm 17.93 k shares 0.30 Common equity Long USA
GILD Gilead Sciences, Inc. 5.76 mm 73.42 k shares 0.30 Common equity Long USA
BLK Blackrock Inc. 5.71 mm 8.84 k shares 0.30 Common equity Long USA
AMT American Tower Corp. 5.70 mm 27.51 k shares 0.30 Common equity Long USA
AMD Advanced Micro Devices Inc. 5.70 mm 94.87 k shares 0.30 Common equity Long USA
PYPL PayPal Holdings Inc 5.68 mm 67.90 k shares 0.30 Common equity Long USA
TMUS T-Mobile US Inc 5.36 mm 35.37 k shares 0.28 Common equity Long USA
CB Chubb Limited 5.27 mm 24.54 k shares 0.27 Common equity Long Switzerland
AXP American Express Co. 5.23 mm 35.23 k shares 0.27 Common equity Long USA
C Citigroup Inc 5.21 mm 113.71 k shares 0.27 Common equity Long USA
ISRG Intuitive Surgical Inc 5.17 mm 20.97 k shares 0.27 Common equity Long USA
GE General Electric Co. 5.00 mm 64.20 k shares 0.26 Common equity Long USA
NOW ServiceNow Inc 4.98 mm 11.84 k shares 0.26 Common equity Long USA
TJX TJX Companies, Inc. 4.95 mm 68.70 k shares 0.26 Common equity Long USA
MDLZ Mondelez International Inc. 4.95 mm 80.54 k shares 0.26 Common equity Long USA
MO Altria Group Inc. 4.90 mm 105.82 k shares 0.25 Common equity Long USA
MMC Marsh & McLennan Cos., Inc. 4.74 mm 29.32 k shares 0.25 Common equity Long USA
REGN Regeneron Pharmaceuticals, Inc. 4.72 mm 6.30 k shares 0.25 Common equity Long USA
EOG EOG Resources, Inc. 4.70 mm 34.43 k shares 0.24 Common equity Long USA
VRTX Vertex Pharmaceuticals, Inc. 4.70 mm 15.06 k shares 0.24 Common equity Long USA
BA Boeing Co. 4.69 mm 32.92 k shares 0.24 Common equity Long USA
NOC Northrop Grumman Corp. 4.69 mm 8.54 k shares 0.24 Common equity Long USA
AMAT Applied Materials Inc. 4.51 mm 51.12 k shares 0.24 Common equity Long USA
SYK Stryker Corp. 4.51 mm 19.67 k shares 0.23 Common equity Long USA
TGT Target Corp 4.50 mm 27.37 k shares 0.23 Common equity Long USA
PGR Progressive Corp. 4.45 mm 34.62 k shares 0.23 Common equity Long USA
ADI Analog Devices Inc. 4.36 mm 30.55 k shares 0.23 Common equity Long USA
BKNG Booking Holdings Inc 4.35 mm 2.33 k shares 0.23 Common equity Long USA
SLB SLB 4.31 mm 82.91 k shares 0.22 Common equity Long CuraƧao
DCO Ducommun Inc. 4.24 mm 45.49 k shares 0.22 Common equity Long USA
HUM Humana Inc. 4.16 mm 7.45 k shares 0.22 Common equity Long USA
ZTS Zoetis Inc 4.15 mm 27.51 k shares 0.22 Common equity Long USA
MMM 3M Co. 4.07 mm 32.38 k shares 0.21 Common equity Long USA
SO Southern Company 4.06 mm 62.05 k shares 0.21 Common equity Long USA
BDX Becton, Dickinson And Co. 3.95 mm 16.76 k shares 0.21 Common equity Long USA
PNC PNC Financial Services Group Inc 3.90 mm 24.10 k shares 0.20 Common equity Long USA
FISV Fiserv, Inc. 3.89 mm 37.88 k shares 0.20 Common equity Long USA
CME CME Group Inc 3.69 mm 21.28 k shares 0.19 Common equity Long USA
CSX CSX Corp. 3.64 mm 125.25 k shares 0.19 Common equity Long USA
BSX Boston Scientific Corp. 3.64 mm 84.35 k shares 0.19 Common equity Long USA
PXD Pioneer Natural Resources Co. 3.63 mm 14.17 k shares 0.19 Common equity Long USA
CL Colgate-Palmolive Co. 3.61 mm 48.85 k shares 0.19 Common equity Long USA
ITW Illinois Tool Works, Inc. 3.52 mm 16.49 k shares 0.18 Common equity Long USA
ETN Eaton Corporation plc 3.52 mm 23.42 k shares 0.18 Common equity Long Ireland
WM Waste Management, Inc. 3.50 mm 22.10 k shares 0.18 Common equity Long USA
PTSI P.A.M. Transportation Services, Inc. 3.49 mm 64.51 k shares 0.18 Common equity Long USA
AON Aon plc 3.48 mm 12.38 k shares 0.18 Common equity Long Ireland
TFC Truist Financial Corporation 3.47 mm 77.42 k shares 0.18 Common equity Long USA
D Dominion Energy Inc 3.42 mm 48.92 k shares 0.18 Common equity Long USA
CCI Crown Castle Inc 3.42 mm 25.63 k shares 0.18 Common equity Long USA
DG Dollar General Corp. 3.40 mm 13.34 k shares 0.18 Common equity Long USA
USB U.S. Bancorp. 3.38 mm 79.53 k shares 0.18 Common equity Long USA
GM General Motors Company 3.36 mm 85.49 k shares 0.17 Common equity Long USA
MPC Marathon Petroleum Corp 3.34 mm 29.38 k shares 0.17 Common equity Long USA
APD Air Products & Chemicals Inc. 3.28 mm 13.10 k shares 0.17 Common equity Long USA
MCK Mckesson Corporation 3.28 mm 8.42 k shares 0.17 Common equity Long USA
GD General Dynamics Corp. 3.28 mm 13.11 k shares 0.17 Common equity Long USA
LRCX Lam Research Corp. 3.25 mm 8.04 k shares 0.17 Common equity Long USA
OXY Occidental Petroleum Corp. 3.21 mm 44.21 k shares 0.17 Common equity Long USA
ADM Archer Daniels Midland Co. 3.19 mm 32.94 k shares 0.17 Common equity Long USA
ICE Intercontinental Exchange Inc 3.16 mm 33.05 k shares 0.16 Common equity Long USA
NSC Norfolk Southern Corp. 3.15 mm 13.80 k shares 0.16 Common equity Long USA
ORLY O`Reilly Automotive, Inc. 3.14 mm 3.75 k shares 0.16 Common equity Long USA
SHW Sherwin-Williams Co. 3.12 mm 13.86 k shares 0.16 Common equity Long USA
F Ford Motor Co. 3.08 mm 230.35 k shares 0.16 Common equity Long USA
ATVI Activision Blizzard Inc 3.02 mm 41.55 k shares 0.16 Common equity Long USA
EQIX Equinix Inc 3.01 mm 5.31 k shares 0.16 Common equity Long USA
DVN Devon Energy Corp. 3.01 mm 38.86 k shares 0.16 Common equity Long USA
MRNA Moderna Inc 3.00 mm 19.97 k shares 0.16 Common equity Long USA
EMR Emerson Electric Co. 2.99 mm 34.49 k shares 0.16 Common equity Long USA
FIS Fidelity National Information Services, Inc. 2.94 mm 35.46 k shares 0.15 Common equity Long USA
VLO Valero Energy Corp. 2.93 mm 23.37 k shares 0.15 Common equity Long USA
PSX Phillips 66 2.93 mm 28.12 k shares 0.15 Common equity Long USA
AZO Autozone Inc. 2.90 mm 1.14 k shares 0.15 Common equity Long USA
MET Metlife Inc 2.88 mm 39.39 k shares 0.15 Common equity Long USA
GIS General Mills, Inc. 2.88 mm 35.30 k shares 0.15 Common equity Long USA
PSA Public Storage 2.87 mm 9.27 k shares 0.15 Common equity Long USA
CNC Centene Corp. 2.87 mm 33.68 k shares 0.15 Common equity Long USA
SRE Sempra Energy 2.81 mm 18.60 k shares 0.15 Common equity Long USA
DXCM Dexcom Inc 2.79 mm 23.13 k shares 0.15 Common equity Long USA
CTVA Corteva Inc 2.77 mm 42.41 k shares 0.14 Common equity Long USA
HCA HCA Healthcare Inc 2.77 mm 12.73 k shares 0.14 Common equity Long USA
ADSK Autodesk Inc. 2.76 mm 12.88 k shares 0.14 Common equity Long USA
LHX L3Harris Technologies Inc 2.76 mm 11.19 k shares 0.14 Common equity Long USA
EL Estee Lauder Cos., Inc. 2.74 mm 13.68 k shares 0.14 Common equity Long USA
AEP American Electric Power Company Inc. 2.67 mm 30.40 k shares 0.14 Common equity Long USA
FCX Freeport-McMoRan Inc 2.65 mm 83.67 k shares 0.14 Common equity Long USA
APH Amphenol Corp. 2.65 mm 34.91 k shares 0.14 Common equity Long USA
KLAC KLA Corp. 2.62 mm 8.29 k shares 0.14 Common equity Long USA
EW Edwards Lifesciences Corp 2.62 mm 36.17 k shares 0.14 Common equity Long USA
SNPS Synopsys, Inc. 2.61 mm 8.92 k shares 0.14 Common equity Long USA
TRV Travelers Companies Inc. 2.60 mm 14.11 k shares 0.14 Common equity Long USA
MAR Marriott International, Inc. 2.58 mm 16.10 k shares 0.13 Common equity Long USA
SYY Sysco Corp. 2.57 mm 29.74 k shares 0.13 Common equity Long USA
AIG American International Group Inc 2.56 mm 44.87 k shares 0.13 Common equity Long USA
ROP Roper Technologies Inc 2.55 mm 6.14 k shares 0.13 Common equity Long USA
MSI Motorola Solutions Inc 2.47 mm 9.89 k shares 0.13 Common equity Long USA
KMB Kimberly-Clark Corp. 2.46 mm 19.80 k shares 0.13 Common equity Long USA
MCO Moody`s Corp. 2.46 mm 9.27 k shares 0.13 Common equity Long USA
A Agilent Technologies Inc. 2.44 mm 17.64 k shares 0.13 Common equity Long USA
BIIB Biogen Inc 2.44 mm 8.61 k shares 0.13 Common equity Long USA
CMG Chipotle Mexican Grill 2.42 mm 1.62 k shares 0.13 Common equity Long USA
ENPH Enphase Energy Inc 2.42 mm 7.89 k shares 0.13 Common equity Long USA
CDNS Cadence Design Systems, Inc. 2.42 mm 15.97 k shares 0.13 Common equity Long USA
COF Capital One Financial Corp. 2.39 mm 22.58 k shares 0.12 Common equity Long USA
CHTR Charter Communications Inc. 2.37 mm 6.46 k shares 0.12 Common equity Long USA
WMB Williams Cos Inc 2.36 mm 72.19 k shares 0.12 Common equity Long USA
JCI Johnson Controls International plc - Registered Shares 2.33 mm 40.33 k shares 0.12 Common equity Long Ireland
AJG Arthur J. Gallagher & Co. 2.32 mm 12.41 k shares 0.12 Common equity Long USA
PRU Prudential Financial Inc. 2.30 mm 21.86 k shares 0.12 Common equity Long USA
HES Hess Corporation 2.30 mm 16.30 k shares 0.12 Common equity Long USA
ECL Ecolab, Inc. 2.30 mm 14.63 k shares 0.12 Common equity Long USA
STZ Constellation Brands Inc 2.30 mm 9.29 k shares 0.12 Common equity Long USA
IQV IQVIA Holdings Inc 2.28 mm 10.87 k shares 0.12 Common equity Long USA
FDX Fedex Corp 2.27 mm 14.19 k shares 0.12 Common equity Long USA
TEL TE Connectivity Ltd - Registered Shares 2.27 mm 18.58 k shares 0.12 Common equity Long Switzerland
NXPI NXP Semiconductors NV 2.27 mm 15.51 k shares 0.12 Common equity Long Netherlands
O Realty Income Corp. 2.26 mm 36.29 k shares 0.12 Common equity Long USA
EXC Exelon Corp. 2.25 mm 58.37 k shares 0.12 Common equity Long USA
PAYX Paychex Inc. 2.25 mm 19.02 k shares 0.12 Common equity Long USA
MSCI MSCI Inc 2.25 mm 4.80 k shares 0.12 Common equity Long USA
HLT Hilton Worldwide Holdings Inc 2.20 mm 16.29 k shares 0.11 Common equity Long USA
AFL Aflac Inc. 2.20 mm 33.79 k shares 0.11 Common equity Long USA
FTNT Fortinet Inc 2.19 mm 38.38 k shares 0.11 Common equity Long USA
PH Parker-Hannifin Corp. 2.19 mm 7.55 k shares 0.11 Common equity Long USA
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