ETF:BKEM | ETF Holdings Page 5 | BNY Mellon Emerging Markets Equity ETF

BKEM ETF holdings Page 5

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundBNY Mellon Emerging Markets Equity ETF
Report date2026-04-30
Reported holdings1,770
SEC series IDS000067264

Positions 401–500 of 1,770

TickerIssuerWeightValue (USD)Balance
6488GLOBALWAFERS CO LTD0.044498%36,610.962,000 NS
ALASHOK LEYLAND LTD0.044436%36,559.7521,408 NS
AXIA6AXIA ENERGIA0.044421%36,547.452,670 NS
4938PEGATRON CORP0.044199%36,364.7814,000 NS
1326FORMOSA CHEMICALS & FIBRE CORP0.044138%36,314.2922,000 NS
259960KRAFTON INC0.044083%36,269.55203 NS
VIVT3TELEFONICA BRASIL SA0.044009%36,208.694,580 NS
IHHIHH HEALTHCARE BHD0.043998%36,199.4216,300 NS
MOTHERSOSAMVARDHANA MOTHERSON INTERNATIONAL LTD0.043818%36,051.2428,230 NS
6770POWERCHIP SEMICONDUCTOR MANUFACTURING CORP0.0438%36,036.5522,000 NS
3036WT MICROELECTRONICS CO LTD0.043768%36,010.425,593 NS
JBSJBS NV0.043744%35,990.462,241 NS
BHFCBHARAT FORGE LTD0.043661%35,921.661,812 NS
4904FAR EASTONE TELECOMMUNICATIONS COMPANY LTD0.043501%35,790.3712,000 NS
PSYSPERSISTENT SYSTEMS LTD0.043457%35,754.57707 NS
028300HLB CO LTD0.043396%35,704.42871 NS
005387HYUNDAI MOTOR COMPANY0.043288%35,614.89213 NS
AUBANKAU SMALL FINANCE BANK LTD0.042946%35,333.673,301 NS
TUPRSTURKIYE PETROL RAFINERILERY AS0.0429%35,295.875,885 NS
3702WPG HOLDINGS LTD0.042619%35,064.4611,000 NS
RNIREINET INVESTMENTS SCA0.04256%35,015.861,017 NS
ASURBGRUPO AEROPORTUARIO DEL SURESTE SAB/DE/CV0.042471%34,942.861,152 NS
1698TENCENT MUSIC ENTERTAINMENT GROUP0.042454%34,928.877,800 NS
005830DB INSURANCE CO LTD0.042439%34,916.67309 NS
1101TCC GROUP HOLDINGS CO LTD0.042403%34,886.6645,117 NS
2376GIGA-BYTE TECHNOLOGY COMPANY LTD0.04189%34,464.84,000 NS
836CHINA RESOURCES POWER HOLDINGS COMPANY LTD0.041857%34,438.1714,000 NS
ALBIBANK ALBILAD JSC0.041816%34,404.465,149 NS
2688ENN ENERGY HOLDINGS LTD0.041712%34,318.174,400 NS
ENEV3ENEVA SA0.041691%34,300.966,267 NS
HDFCAMCHDFC ASSET MANAGEMENT COMPANY LTD0.041337%34,009.761,190 NS
VODVODACOM GROUP LTD0.041252%33,939.794,011 NS
IIBINDUSIND BANK LTD0.041233%33,924.653,515 NS
BHELBHARAT HEAVY ELECTRICALS LTD0.041193%33,891.819,128 NS
1772GANFENG LITHIUM GROUP CO LTD0.040841%33,601.793,160 NS
RDOR3REDE D'OR SAO LUIZ SA0.040751%33,527.494,357 NS
MOLMOL MAGYAR OLAJ ES GAZIPARI NYRT0.040408%33,245.462,498 NS
BIMBOAGRUPO BIMBO SAB DE CV0.040381%33,223.239,798 NS
2395ADVANTECH COMPANY LTD0.040379%33,221.82,928 NS
ITUB3ITAU UNIBANCO HOLDING SA0.040268%33,130.63,814 NS
ADANIENSADANI ENERGY SOLUTIONS LTD0.040135%33,021.072,335 NS
272210HANWHA SYSTEMS CO LTD0.040084%32,978.76417 NS
GAMGAMUDA BHD0.039987%32,899.3129,561 NS
RECLREC LTD0.039985%32,897.728,813 NS
FORHFORTIS HEALTHCARE LTD0.039582%32,565.983,349 NS
ICICIGIICICI LOMBARD GENERAL INSURANCE CO LTD0.039423%32,435.211,746 NS
1816CGN POWER CO LTD0.039415%32,428.9173,000 NS
FIBRAPLFIDEICOMISO IRREVOCABLE 1721 BANCO ACTINVER SA0.039167%32,224.767,054 NS
TALTAL EDUCATION GROUP0.039114%32,181.282,894 NS
5347VANGUARD INTERNATIONAL SEMICONDUCTOR CORP0.039104%32,172.617,006 NS
6239POWERTECH TECHNOLOGY INC0.038936%32,034.595,000 NS
2207HOTAI MOTOR CO LTD0.038751%31,882.472,120 NS
AC*ARCA CONTINENTAL SAB DE CV0.038652%31,800.682,652 NS
IOCLINDIAN OIL CORP LTD0.038591%31,750.5821,185 NS
8046NAN YA PRINTED CIRCUIT BOARD CORP0.038552%31,718.981,000 NS
2099CHINA GOLD INTERNATIONAL RESOURCES CORP LTD0.03854%31,708.951,500 NS
ELMELM COMPANY0.038171%31,405.41201 NS
GFINBUROGRUPO FINANCIERO INBURSA SAB DE CV0.038094%31,341.4812,764 NS
BBSE3BB SEGURIDADE PARTICIPACOES SA0.037744%31,053.664,556 NS
PPCPUBLIC POWER CORP SA0.037721%31,034.971,469 NS
PAYTMONE 97 COMMUNICATIONS LTD0.037621%30,952.732,681 NS
300502EOPTOLINK TECHNOLOGY INC LTD0.037407%30,776.52400 NS
TTELEKOM MALAYSIA BHD0.037314%30,699.7416,300 NS
RHBBANKRHB BANK BHD0.037161%30,573.9314,917 NS
CPLE3COMPANHIA PARANAENSE DE ENERGIA SA0.037108%30,530.469,573 NS
UNITDSPRUNITED SPIRITS LTD0.037091%30,516.512,185 NS
LXSPYLUXSHARE PRECISION INDUSTRY CO LTD0.036942%30,393.713,100 NS
AKBNKAKBANK TAS0.036874%30,338.0318,727 NS
GCPLGODREJ CONSUMER PRODUCTS LTD0.036841%30,310.692,696 NS
5871CHAILEASE HOLDING COMPANY LTD0.036628%30,135.828,267 NS
DLFUDLF LTD0.036307%29,871.444,830 NS
MME FMM0026!ICE FUTURES U.S.0.036121%29,718.274 NC
601398INDUSTRIAL AND COMMERCIAL BANK OF CHINA LTD (THE)0.035909%29,544.2427,100 NS
1919COSCO SHIPPING HOLDINGS CO LTD0.035747%29,411.216,000 NS
UGPA3ULTRAPAR PARTICIPACOES SA0.03562%29,306.644,877 NS
5876SHANGHAI COMMERCIAL & SAVINGS BANK LTD (THE)0.035481%29,192.1423,686 NS
KTB-RKRUNG THAI BANK PCL0.035437%29,155.6128,800 NS
PPHPEPKOR HOLDINGS LTD0.035349%29,083.2822,107 NS
018260SAMSUNG SDS CO LTD0.035275%29,022.25259 NS
966CHINA TAIPING INSURANCE HOLDINGS COMPANY LTD0.03526%29,009.8610,200 NS
SCB-RSCB X PCL0.035168%28,934.737,200 NS
FUNO11FIBRA UNO ADMINISTRACION SA DE CV0.034925%28,734.3716,790 NS
VIPSVIPSHOP HOLDINGS LTD0.03491%28,722.441,996 NS
LAURUSLAURUS LABS LTD0.034894%28,708.712,475 NS
BSANBANCO SANTANDER CHILE SA0.034874%28,692.75360,115 NS
POWERINDHITACHI ENERGY INDIA LTD0.0348%28,631.7881 NS
ADNOCDRIADNOC DRILLING COMPANY PJSC0.034729%28,573.5318,542 NS
BRMSBUMI RESOURCES MINERALS TBK PT0.034632%28,493.56612,700 NS
CIBESTGRUPO CIBEST SA0.034328%28,243.161,359 NS
SWIGGYSWIGGY LTD0.03406%28,022.839,840 NS
600276JIANGSU HENGRUI PHARMACEUTICALS CO LTD0.033924%27,911.173,540 NS
603259WUXI APPTEC CO LTD0.033903%27,893.881,740 NS
TRUE-RTRUE CORP PCL0.033867%27,864.4166,300 NS
GCARSOA1GRUPO CARSO SAB DE CV0.033851%27,850.683,658 NS
IDFCFBIDFC FIRST BANK LTD0.033792%27,802.0737,892 NS
KIMBERAKIMBERLY CLARK DE MEXICO SAB DE CV0.03367%27,701.9612,297 NS
BZKANZHUN LTD0.033654%27,688.962,048 NS
009830HANWHA SOLUTIONS CORP0.033653%27,688.11810 NS
KOMBKOMERCNI BANKA AS0.033584%27,631.3519 NS
168TSINGTAO BREWERY COMPANY LTD0.033482%27,547.474,000 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.