BNY MELLON STRATEGIC MUNICIPAL BOND FUND, INC. - Common Stock (DSM)

CUSIP: 09662E109

Q2 2021 13F Holders as of 30 Jun 2021

Holder snapshot 6 signals
Share change
+11,605
SEC-reported price per share
$8.23
Number of holders
70
Value change
+$134,074
Number of buys
28
Number of sells
25
Security identity Names, identifiers, and filing context for this profile. 1 source field
Shares outstanding
49,444,539

Security key

09662E109

Report period

Q2 2021

Institutions

70

Top holders

10

Ownership snapshot

Top reported holders of DSM - BNY MELLON STRATEGIC MUNICIPAL BOND FUND, INC. - Common Stock (13F + 13D/G + 3/4/5)

Grouped by holder across the latest SEC ownership disclosures. Start with comparable ownership when available, then verify the linked 13F, 13D/G, or 3/4/5 evidence.

Comparable stake leader
Hennion & Walsh Asset Man...
Disclosed value leader
Hennion & Walsh Asset Man...
Comparable rows
15/15
Latest evidence
31 Mar 2021
13F Lead comparable stake: 4.6% Showing 1-6 of 15 holder rows.

Quick read

Hennion & Walsh Asset Management, Inc. leads the comparable SEC ownership view at 4.6%.

15 of 15 rows have a safely comparable ownership percentage. Use this as a filing-backed starting point, then open the detailed table for source links, reporting role, position value, share count, and filing date.

Open SEC evidence Opens Hennion & Walsh Asset Management, Inc.'s linked filing trail.
Comparable ownership Top 5
Hennion & Walsh Asset Management,... 4.6%
ROBINSON CAPITAL MANAGEMENT, LLC 1.8%
UBS Group AG 1.1%
PARAMETRIC PORTFOLIO ASSOCIATES LLC 0.77%
MORGAN STANLEY 0.7%

Ownership % is shown only when SEC disclosures are safely comparable across share classes.

Detailed SEC evidence table Showing 1-6 of 15 holder rows
Holder Evidence Ownership % Position 12M Net Δ As of
Hennion & Walsh Asset Management, Inc.
13F
Company
13F
4.6%
$17,815,000
2,275,171 shares
31 Mar 2021
ROBINSON CAPITAL MANAGEMENT, LLC
13F
Company
13F
1.8%
$7,004,000
886,556 shares
31 Mar 2021
UBS Group AG
13F
Company
13F
1.1%
$4,181,000
534,028 shares
31 Mar 2021
PARAMETRIC PORTFOLIO ASSOCIATES LLC
13F
Company
13F
0.77%
$2,995,000
382,516 shares
31 Mar 2021
MORGAN STANLEY
13F
Company
13F
0.7%
$2,692,000
343,807 shares
31 Mar 2021
SIT INVESTMENT ASSOCIATES INC
13F
Company
13F
0.59%
$2,292,000
292,778 shares
31 Mar 2021
How to read this table

Rows are grouped by holder and ranked first by SEC-reported ownership % when it is safely comparable, then by disclosed holdings value. indicates unavailable or non-comparable values; "mixed-class rows" means the latest filing spans non-comparable classes.

13F holder rows

Institutional holders as of Q2 2021

Investor-level positions for this CUSIP, loaded as an interactive table.

Institutions
70
Shares
8,361,471
Rows available
70
Investor Option Weight % Change % SEC-reported value * Price Shares Share Change Activity Report Period

* SEC-reported price is the security price as of the portfolio date and can indicate the last known price at which the security was still held. The marker flags a reported price that did not pass the local price check.

Compare Q2 2021 vs Q1 2026 Across Filers

Q1 2026 holders
88
Q2 2021 holders
70
Holder diff
-18
Investor Q1 2026 Shares Q2 2021 Shares Share Diff Share Chg % Q1 2026 value Q2 2021 value Value change Value Chg %

Trend: ostatnie 8 kwartałów (+ wybrane okresy porównania).

Quarterly Holders Trend
Quarterly Value Trend
Quarterly Shares Trend
We use cookies and similar technologies to provide certain features, enhance the user experience and, if you allow them, measure engagement and deliver advertising. Analytics and marketing storage stay off until you grant consent. By clicking on "Agree and continue", you declare your consent to the use of the selected optional cookies. Manage preferences to update or revoke optional consent for future visits. For more information, see our Privacy Policy .