BNY Mellon Midcap Index Fund - IND

Historical Holders from Q2 2019 to Q3 2025

Type / Class
Equity / IND
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
103,562
Holdings value
$3,081,997
% of all portfolios
0%
Number of holders
1
Number of sells
-2
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of BNY Mellon Midcap Index Fund - IND

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 103,562 $3,081,997 -$18,812 $29.76 1
2025 Q2 104,210 $2,941,972 -$31,378 $28.39 2
2025 Q1 105,326 $2,790,082 -$20,636 $26.49 1
2024 Q4 106,105 $2,997,477 +$327,814 $28.25 1
2024 Q3 94,501 $3,012,687 -$3,031,305 $31.88 1
2024 Q2 189,586 $5,657,238 +$2,800,898 $29.84 1
2024 Q1 95,722 $2,961,636 -$93,222 $30.94 1
2023 Q4 98,735 $2,781,000 +$189,418 $28.17 1
2023 Q3 92,010 $2,539,000 -$15,481 $27.59 1
2023 Q2 92,571 $2,671,000 -$10,243 $28.85 1
2023 Q1 92,926 $2,560,000 -$13,031 $27.55 1
2022 Q4 93,399 $2,482,000 +$310,652 $26.57 1
2022 Q3 81,709 $2,280,000 -$3,628 $27.9 1
2022 Q2 81,839 $2,344,000 -$6,702 $28.64 1
2022 Q1 82,073 $2,782,000 -$11,389 $33.9 1
2021 Q4 82,409 $2,940,000 +$370,385 $35.68 1
2021 Q3 72,027 $2,751,000 -$28,340 $38.19 1
2021 Q2 72,769 $2,832,000 -$47,752 $38.92 1
2021 Q1 73,996 $2,782,000 -$9,700 $37.6 1
2020 Q4 74,254 $2,464,000 +$210,582 $33.18 1
2020 Q3 67,908 $2,013,000 -$2,045 $29.64 1
2020 Q2 67,977 $1,925,000 -$85 $28.32 1
2020 Q1 67,980 $1,553,000 -$317,590 $22.84 1
2019 Q4 79,209 $2,583,000 +$221,743 $32.64 2
2019 Q3 72,408 $2,445,000 -$16,342 $33.78 2
2019 Q2 72,892 $2,466,000 +$2,466,000 $33.82 2