ETF:BKIE | ETF Holdings Page 8 | BNY Mellon International Equity ETF

BKIE ETF holdings Page 8

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 International Equity ETF
Report date2026-04-30
Reported holdings986
SEC series IDS000067263

Positions 701–800 of 986

TickerIssuerWeightValue (USD)Balance
MGRMIRVAC GROUP0.020935%252,967.46206,975 NS
2267YAKULT HONSHA CO LTD0.020924%252,839.7314,500 NS
AZJAURIZON HOLDINGS LTD0.020893%252,465.984,211 NS
12HENDERSON LAND DEVELOPMENT CO LTD0.020811%251,465.7764,000 NS
4612NIPPON PAINT HOLDINGS CO LTD0.020794%251,262.8239,800 NS
8729SONY FINANCIAL GROUP INC0.020739%250,597.81280,700 NS
RHCRAMSAY HEALTH CARE LTD0.020604%248,970.78,884 NS
INDUAINDUSTRIVARDEN AB0.020579%248,664.254,726 NS
4182MITSUBISHI GAS CHEMICAL CO INC0.020448%247,088.488,800 NS
4021NISSAN CHEMICAL CORP0.020394%246,434.385,700 NS
CUCANADIAN UTILITIES LTD0.020343%245,816.626,900 NS
PNDORAPANDORA A/S0.020308%245,389.843,231 NS
9005TOKYU CORP0.020306%245,365.1823,100 NS
DXSDEXUS0.020302%245,317.5654,770 NS
GJFGJENSIDIGE FORSIKRING ASA0.020092%242,783.748,700 NS
1997WHARF REAL ESTATE INVESTMENT CO LTD0.020056%242,351.3678,000 NS
MGORMEGA OR HOLDINGS LTD0.019982%241,459.071,179 NS
CENCONTACT ENERGY LTD0.019976%241,377.4443,156 NS
A2AA2A SPA0.019938%240,918.3884,692 NS
FROFRONTLINE PLC0.019925%240,760.866,646 NS
7201NISSAN MOTOR CO LTD0.019853%239,900.45105,600 NS
1038CK INFRASTRUCTURE HOLDINGS LTD0.019781%239,023.4628,500 NS
5332TOTO LTD0.019768%238,872.46,900 NS
UOLUOL GROUP LTD0.019756%238,716.9728,600 NS
4042TOSOH CORP0.019752%238,674.5815,500 NS
CAMTCAMTEK LTD0.019713%238,200.51,276 NS
SSABBSSAB AB0.01965%237,441.726,391 NS
DIMSARTORIUS STEDIM BIOTECH SA0.019593%236,755.821,288 NS
3088MATSUKIYOCOCOKARA & COMPANY0.019437%234,865.5116,100 NS
4005SUMITOMO CHEMICAL COMPANY LTD0.019404%234,467.0672,100 NS
CLICAPITALAND INVESTMENT LTD0.019329%233,567.59107,000 NS
SCISEMBCORP INDUSTRIES LTD0.019316%233,406.6244,700 NS
5101YOKOHAMA RUBBER CO LTD (THE)0.019288%233,065.955,800 NS
WILWILMAR INTERNATIONAL LTD0.019142%231,303.0581,600 NS
FSVFIRSTSERVICE CORP0.01909%230,671.71,725 NS
9147NIPPON EXPRESS HOLDINGS INC0.019059%230,297.698,800 NS
WTBWHITBREAD PLC0.019033%229,981.37,576 NS
8953JAPAN METROPOLITAN FUND INVESTMENT CORP0.018958%229,080.12310 NS
3289TOKYU FUDOSAN HOLDINGS CORP0.01893%228,741.926,800 NS
LOTBLOTUS BAKERIES NV0.018924%228,673.9919 NS
WHCWHITEHAVEN COAL LTD0.018919%228,612.7937,810 NS
7701SHIMADZU CORP0.018797%227,137.629,800 NS
8136SANRIO CO LTD0.018797%227,136.9838,900 NS
9024SEIBU HOLDINGS INC0.018667%225,565.239,600 NS
SGHSGH LTD0.018661%225,490.358,096 NS
1928SANDS CHINA LTD0.01862%224,995.69108,000 NS
INPSTINPOST SA0.018578%224,493.5712,574 NS
SAVENORDNET AB0.018566%224,337.76,850 NS
7181JAPAN POST INSURANCE CO LTD0.018449%222,928.1122,900 NS
TUBFINANCIERE DE TUBIZE SA0.01839%222,219.41968 NS
SB1NOSPAREBANK 1 SOR-NORGE ASA0.018354%221,787.4610,316 NS
AZAAVANZA BANK HOLDING AB0.018237%220,367.736,154 NS
COHCOCHLEAR LTD0.018221%220,179.453,258 NS
7550ZENSHO HOLDINGS COMPANY LTD0.018215%220,107.854,000 NS
CASTCASTELLUM AB0.018194%219,852.4217,267 NS
BMEDBANCA MEDIOLANUM SPA0.018192%219,828.2310,059 NS
SAGABSAGAX AB0.018172%219,578.8811,077 NS
CPRDAVIDE CAMPARI - MILANO NV0.01815%219,319.0529,677 NS
VARRYVAR ENERGI ASA0.018046%218,057.5743,224 NS
9508KYUSHU ELECTRIC POWER COMPANY INC0.017929%216,642.120,100 NS
SOFSOFINA SA0.017925%216,598.63847 NS
4704TREND MICRO INC0.017641%213,162.316,100 NS
DIED'IETEREN GROUP NV/SA0.017592%212,578.831,032 NS
MLSRMELISRON LTD0.017555%212,121.21,432 NS
3626TIS INC0.017504%211,511.449,700 NS
VERVERBUND AG0.017481%211,229.652,807 NS
PMEPRO MEDICUS LTD0.01744%210,742.822,181 NS
3281GLP J-REIT0.017389%210,117.74243 NS
BALDBFASTIGHETS AB BALDER0.017239%208,313.4535,080 NS
SYNSYSYENSQO SA/NV0.017182%207,624.053,141 NS
DNPDINO POLSKA SA0.017178%207,576.4423,499 NS
SAESHUFERSAL LTD0.017159%207,337.3913,908 NS
MITUFMITSUI CHEMICALS INC0.017113%206,786.6417,100 NS
2413M3 INC0.017077%206,349.5121,500 NS
2259ZIJIN GOLD INTERNATIONAL CO LTD0.017046%205,975.4310,700 NS
3086J.FRONT RETAILING COMPANY LTD0.017019%205,644.6814,100 NS
1911SUMITOMO FORESTRY COMPANY LTD0.016914%204,384.9923,100 NS
7747ASAHI INTECC COMPANY LTD0.016894%204,145.379,700 NS
7752RICOH COMPANY LTD0.016756%202,467.3824,100 NS
2702MCDONALD'S HOLDINGS CO (JAPAN) LTD0.016724%202,086.723,900 NS
3861OJI HOLDINGS CORP0.016723%202,075.5638,500 NS
BTRWBARRATT REDROW PLC0.016707%201,883.1359,262 NS
9513ELECTRIC POWER DEVELOPMENT CO LTD0.016694%201,722.988,200 NS
BIGBIG SHOPPING CENTERS LTD0.016684%201,600.87764 NS
MELMERIDIAN ENERGY LTD0.016617%200,790.2560,043 NS
3288OPEN HOUSE GROUP CO LTD0.016451%198,786.253,400 NS
4732USS COMPANY LTD0.016381%197,941.9918,300 NS
3462NOMURA REAL ESTATE MASTER FUND INC0.016365%197,752.46192 NS
9401TBS HOLDINGS INC0.016322%197,226.645,600 NS
1942KANDENKO CO LTD0.01625%196,362.594,500 NS
6724SEIKO EPSON CORP0.016165%195,328.1614,600 NS
6806HIROSE ELECTRIC CO LTD0.016136%194,984.211,400 NS
9684SQUARE ENIX HOLDINGS COMPANY LTD0.01609%194,421.3612,400 NS
6448BROTHER INDUSTRIES LTD0.016074%194,229.9210,200 NS
PLUSPLUS500 LTD0.016034%193,752.853,170 NS
SALMSALMAR ASA0.016033%193,732.53,224 NS
3391TSURUHA HOLDINGS INC0.015977%193,054.4714,700 NS
FIBIFIRST INTERNATIONAL BANK OF ISRAEL LTD (THE)0.015914%192,296.972,303 NS
ICLICL GROUP LTD0.015872%191,792.6935,745 NS
AGLAGL ENERGY LTD0.01577%190,557.2327,667 NS

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