ETF:BKIE | ETF Holdings Page 9 | BNY Mellon International Equity ETF

BKIE ETF holdings Page 9

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 801–900 of 986

TickerIssuerWeightValue (USD)Balance
GETIBGETINGE AB0.015742%190,217.949,588 NS
EMP/AEMPIRE COMPANY LTD0.01557%188,138.645,507 NS
6845AZBIL CORP0.015533%187,699.1821,100 NS
9041KINTETSU GROUP HOLDINGS COMPANY LTD0.01549%187,169.528,800 NS
MBKMBANK SA0.015435%186,507.27593 NS
BOLBOLLORE SE0.01539%185,960.6929,521 NS
6965HAMAMATSU PHOTONICS KK0.015384%185,898.3414,400 NS
1972SWIRE PROPERTIES LTD0.015054%181,905.2257,000 NS
1808HASEKO CORP0.015022%181,516.2210,500 NS
19SWIRE PACIFIC LTD0.014781%178,611.7816,500 NS
6869SYSMEX CORP0.014773%178,509.9420,300 NS
6302SUMITOMO HEAVY INDUSTRIES LTD0.014748%178,205.555,300 NS
8984DAIWA HOUSE REIT INVESTMENT CORP0.014725%177,934.34222 NS
MGDLMIGDAL INSURANCE & FINANCIAL HOLDINGS LTD0.014615%176,596.0327,716 NS
MILBANK MILLENNIUM SA0.014435%174,427.7635,466 NS
SBBTFVEND MARKETPLACES ASA0.014412%174,146.846,358 NS
4768OTSUKA CORP0.014389%173,867.469,400 NS
3283NIPPON PROLOGIS REIT INC0.014353%173,431.61304 NS
AXFOAXFOOD AB0.014345%173,340.515,689 NS
4324DENTSU GROUP INC0.014192%171,494.219,000 NS
SECTBSECTRA AB0.014162%171,128.186,204 NS
5929SANWA HOLDINGS CORP0.014136%170,814.597,500 NS
8960UNITED URBAN INVESTMENT CORP0.014083%170,170.7151 NS
EDVENDEAVOUR GROUP LTD0.01407%170,021.6870,593 NS
9435HIKARI TSUSHIN INC0.014048%169,745.7700 NS
VOWVOLKSWAGEN AG0.014045%169,713.951,645 NS
3231NOMURA REAL ESTATE HOLDINGS INC0.014018%169,386.4326,100 NS
GENSGENTING SINGAPORE LTD0.013981%168,938.79316,400 NS
ATMA2 MILK CO LTD (THE)0.013951%168,575.2533,025 NS
4751CYBERAGENT INC0.013912%168,107.9121,100 NS
MINTMAPLETREE INDUSTRIAL TRUST0.013902%167,988.69108,600 NS
6532BAYCURRENT INC0.013896%167,907.855,200 NS
ALXATLAS ARTERIA LTD0.013835%167,174.5348,443 NS
NODNORDIC SEMICONDUCTOR ASA0.013774%166,436.058,192 NS
9064YAMATO HOLDINGS COMPANY LTD0.013698%165,522.1614,700 NS
5938LIXIL CORP0.013595%164,271.0815,900 NS
WIXWIX.COM LTD0.013568%163,944.552,195 NS
9023TOKYO METRO CO LTD0.013498%163,098.8216,300 NS
7261MAZDA MOTOR CORP0.013408%162,015.5725,100 NS
WORWORLEY LTD0.013331%161,087.5718,956 NS
DLEKGDELEK GROUP LTD0.013323%160,986.67472 NS
7731NIKON CORP0.013316%160,902.3314,600 NS
4536SANTEN PHARMACEUTICAL COMPANY LTD0.013313%160,872.9815,600 NS
8954ORIX JREIT INC0.013307%160,791.3254 NS
4676FUJI MEDIA HOLDINGS INC0.01324%159,985.326,500 NS
9506TOHOKU ELECTRIC POWER COMPANY INC0.013164%159,067.3622,900 NS
CHP-UCHOICE PROPERTIES REAL ESTATE INVESTMENT TRUST0.013091%158,184.6214,287 NS
6465HOSHIZAKI CORP0.012926%156,186.474,800 NS
GLBEGLOBAL-E ONLINE LTD0.0129%155,877.534,969 NS
8252MARUI GROUP COMPANY LTD0.01285%155,275.28,100 NS
7459MEDIPAL HOLDINGS CORP0.012758%154,158.458,600 NS
2897NISSIN FOOD HOLDINGS COMPANY LTD0.012733%153,856.618,600 NS
4151KYOWA KIRIN CO LTD0.012723%153,743.6610,200 NS
NHFOFNH FOODS LTD0.012685%153,284.23,700 NS
9001TOBU RAILWAY CO LTD0.012685%153,280.378,600 NS
2331ALSOK CO LTD0.012668%153,074.2520,200 NS
7276KOITO MANUFACTURING CO LTD0.012624%152,542.689,400 NS
MFTMAINFREIGHT LTD0.012608%152,353.534,386 NS
TASETEL AVIV STOCK EXCHANGE LTD (THE)0.012601%152,268.723,023 NS
BAKKABAKKAFROST P/F0.012597%152,218.733,065 NS
4WHARF (HOLDINGS) LTD (THE)0.012567%151,850.6546,000 NS
6305HITACHI CONSTRUCTION MACHINERY CO LTD0.012426%150,152.24,300 NS
SKLTFSEEK LTD0.01231%148,746.2714,949 NS
MLTMAPLETREE LOGISTIC TRUST MANAGEMENT LTD0.012193%147,333.05153,800 NS
9142KYUSHU RAILWAY COMPANY0.012127%146,537.766,400 NS
3405KURARAY CO LTD0.012068%145,825.613,900 NS
2587SUNTORY BEVERAGE & FOOD LTD0.01188%143,549.985,000 NS
9404NIPPON TELEVISION HOLDINGS INC0.011789%142,457.167,500 NS
ZABZABKA GROUP SA0.011765%142,161.4922,307 NS
MVNEMIVNE REAL ESTATE (K.D.) LTD0.01169%141,261.4829,183 NS
SBNORSPAREBANKEN NORGE AS0.011656%140,843.896,512 NS
5838RAKUTEN BANK LTD0.011654%140,821.933,500 NS
9007ODAKYU ELECTRIC RAILWAY CO LTD0.011645%140,710.2514,000 NS
WIEWIENERBERGER AG0.011594%140,097.224,847 NS
7951YAMAHA CORP0.011467%138,556.5219,300 NS
8227SHIMAMURA CO LTD0.011412%137,892.226,600 NS
MMHDMENORA MIVTACHIM HOLDINGS LTD0.011396%137,706.25845 NS
2002NISSHIN SEIFUN GROUP INC0.011373%137,425.110,800 NS
2181PERSOL HOLDINGS CO LTD0.011367%137,352.1692,100 NS
HOLMBHOLMEN AB0.011202%135,355.643,943 NS
INWINFRASTRUTTURE WIRELESS ITALIANE SPA0.011176%135,044.9915,934 NS
THULETHULE GROUP AB0.011146%134,679.885,446 NS
VIGVIENNA INSURANCE GROUP AG - WIENER VERSICHERUNG GRUPPE0.011121%134,384.381,790 NS
384CHINA GAS HOLDINGS LTD0.011106%134,194.73144,800 NS
LATOBINVESTMENT AB LATOUR0.011091%134,017.665,910 NS
2212YAMAZAKI BAKING CO LTD0.011089%133,999.556,400 NS
4527ROHTO PHARMACEUTICAL CO LTD0.011056%133,592.19,100 NS
BDXBUDIMEX SA0.010953%132,346.94730 NS
MCYMERCURY NZ LTD0.010952%132,334.5833,548 NS
KMARKONGSBERG MARITIME ASA0.010936%132,149.8420,246 NS
LUNDBL E LUNDBERGFORETAGEN AB0.01054%127,366.272,215 NS
SATSSATS LTD0.010465%126,449.6948,800 NS
AAFAIRTEL AFRICA PLC0.010458%126,368.926,226 NS
9009KEISEI ELECTRIC RAILWAY CO LTD0.010453%126,311.2217,800 NS
1913PRADA SPA0.010447%126,242.2228,500 NS
4088AIR WATER INC0.010427%125,998.858,900 NS
PROTPROTECTOR FORSIKRING ASA0.010398%125,645.842,505 NS
2579COCA-COLA BOTTLERS JAPAN HOLDINGS INC0.010286%124,290.235,700 NS
ACPASSECO POLAND SA0.010274%124,145.522,475 NS
AKERAKER ASA0.010061%121,570.531,053 NS

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