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BNY MELLON STOCK INDEX FUND, INC.

CIK: 0000846800 Index
Report date: 2026-02-23
AUM $3.3B
Expense Ratio
Category Index
State NY
Fiscal Year End
Inception Date
Manager
Latest Filing 2026-02-23

About this Fund

BNY Mellon Stock Index Fund, Inc. is a leading mutual fund company that specializes in providing a wide range of investment solutions to individual and institutional investors. As a renowned asset management firm, BNY Mellon Stock Index Fund, Inc. offers a diverse portfolio of mutual funds that cater to various investment objectives and risk tolerance levels. The company's product lineup includes equity funds, debt funds, hybrid funds, and index funds, allowing investors to choose from a broad spectrum of investment options that align with their financial goals. For instance, the company's equity funds provide investors with the opportunity to participate in the growth potential of the stock market, while its debt funds offer a more conservative approach with a focus on income generation. Additionally, the company's hybrid funds combine the benefits of equity and debt investments, providing a balanced portfolio that can help mitigate risk. With a strong focus on wealth management, BNY Mellon Stock Index Fund, Inc. is committed to helping investors achieve their long-term financial objectives through a disciplined and systematic approach to investment. The company's investment philosophy is centered around providing investors with a range of investment options that can help them create a diversified portfolio, which is essential for managing risk and maximizing returns. One of the key strengths of BNY Mellon Stock Index Fund, Inc. is its ability to offer investors a systematic investment plan (SIP) that enables them to invest a fixed amount of money at regular intervals, regardless of the market's performance. This approach helps investors to reduce the impact of market volatility and timing risks, allowing them to benefit from the power of compounding and long-term growth. Furthermore, the company's SIP facility is designed to provide investors with the flexibility to invest in a variety of mutual funds, including equity, debt, and hybrid funds, thereby enabling them to create a diversified portfolio that meets their unique investment needs. BNY Mellon Stock Index Fund, Inc. has established itself as a trusted partner for investors who are seeking to create wealth over the long term. The company's experienced team of investment professionals has a deep understanding of the markets and a proven track record of delivering strong investment performance. With a strong commitment to transparency, accountability, and customer service, BNY Mellon Stock Index Fund, Inc. has built a reputation for being a reliable and trustworthy mutual fund company. Investors trust the company because of its ability to provide them with a wide range of investment options, a disciplined investment approach, and a strong focus on risk management. The company's investment approach is based on a thorough analysis of market trends, economic conditions, and company-specific factors, ensuring that investors receive the best possible investment solutions. Moreover, the company's customer service team is dedicated to providing investors with personalized support and guidance, helping them to navigate the complexities of the investment landscape and make informed investment decisions. As a result, BNY Mellon Stock Index Fund, Inc. has become a preferred choice for investors who are seeking to achieve their financial goals through a well-diversified portfolio of mutual funds. The company's commitment to excellence, integrity, and customer satisfaction has enabled it to establish long-term relationships with its investors, who appreciate the value that the company brings to their investment portfolios.

Holdings

From latest SEC N-PORT filing · US-listed stocks only

266 positions
# Security Name CUSIP Asset Type Weight % Value ($M) Quantity
1 ODFL Old Dominion Freight Line Inc Since 2026-05-10 679580100 Equity (Common)
0.05%
$1.67 10,632
2 SNPS Synopsys Inc Since 2026-05-10 871607107 Equity (Common)
0.15%
$4.78 10,181
3 AON Aon PLC Since 2026-05-10 Equity (Common)
0.13%
$4.17 11,828
4 GIS General Mills Inc Since 2026-05-10 370334104 Equity (Common)
0.04%
$1.33 28,612
5 APO Apollo Global Management Inc Since 2026-05-10 03769M106 Equity (Common)
0.11%
$3.70 25,568
6 KMI Kinder Morgan Inc Since 2026-05-10 49456B101 Equity (Common)
0.09%
$2.99 108,653
7 KDP Keurig Dr Pepper Inc Since 2026-05-10 49271V100 Equity (Common)
0.06%
$2.09 74,758
8 CAT Caterpillar Inc Since 2026-05-10 149123101 Equity (Common)
0.46%
$14.82 25,869
9 PTC PTC Inc Since 2026-05-10 69370C100 Equity (Common)
0.03%
$1.10 6,334
10 IQV IQVIA Holdings Inc Since 2026-05-10 46266C105 Equity (Common)
0.06%
$2.11 9,344
11 ADI Analog Devices Inc Since 2026-05-10 032654105 Equity (Common)
0.23%
$7.38 27,226
12 BRO Brown & Brown Inc Since 2026-05-10 115236101 Equity (Common)
0.04%
$1.24 15,608
13 LULU Lululemon Athletica Inc Since 2026-05-10 550021109 Equity (Common)
0.04%
$1.27 6,109
14 AZO AutoZone Inc Since 2026-05-10 053332102 Equity (Common)
0.10%
$3.15 930
15 DOW Dow Inc Since 2026-05-10 260557103 Equity (Common)
0.03%
$0.95 40,748
16 T AT&T Inc Since 2026-05-10 00206R102 Equity (Common)
0.30%
$9.77 393,358
17 CRWD Crowdstrike Holdings Inc Since 2026-05-10 22788C105 Equity (Common)
0.20%
$6.58 14,041
18 FANG Diamondback Energy Inc Since 2026-05-10 25278X109 Equity (Common)
0.05%
$1.53 10,191
19 TKO TKO Group Holdings Inc Since 2026-05-10 87256C101 Equity (Common)
0.03%
$0.82 3,916
20 PFG Principal Financial Group Inc Since 2026-05-10 74251V102 Equity (Common)
0.03%
$0.93 10,573
21 NFLX Netflix Inc Since 2026-05-10 64110L106 Equity (Common)
0.68%
$22.04 235,089
22 UAL United Airlines Holdings Inc Since 2026-05-10 910047109 Equity (Common)
0.06%
$1.98 17,704
23 DOC Healthpeak Properties Inc Since 2026-05-10 42250P103 Equity (Common)
0.02%
$0.64 39,948
24 TMO Thermo Fisher Scientific Inc Since 2026-05-10 883556102 Equity (Common)
0.37%
$12.16 20,982
25 FIX Comfort Systems USA Inc Since 2026-05-10 199908104 Equity (Common)
0.05%
$1.76 1,889
26 EXPE Expedia Group Inc Since 2026-05-10 30212P303 Equity (Common)
0.06%
$1.83 6,444
27 PWR Quanta Services Inc Since 2026-05-10 74762E102 Equity (Common)
0.11%
$3.49 8,279
28 TXT Textron Inc Since 2026-05-10 883203101 Equity (Common)
0.03%
$0.91 10,388
29 ROP Roper Technologies Inc Since 2026-05-10 776696106 Equity (Common)
0.08%
$2.65 5,965
30 EME EMCOR Group Inc Since 2026-05-10 29084Q100 Equity (Common)
0.05%
$1.48 2,417
31 GL Globe Life Inc Since 2026-05-10 37959E102 Equity (Common)
0.02%
$0.60 4,285
32 CDNS Cadence Design Systems Inc Since 2026-05-10 127387108 Equity (Common)
0.15%
$4.73 15,141
33 V Visa Inc Since 2026-05-10 92826C839 Equity (Common)
1.01%
$33.01 94,108
34 CVNA Carvana Co Since 2026-05-10 146869102 Equity (Common)
0.10%
$3.30 7,811
35 PEP PepsiCo Inc Since 2026-05-10 713448108 Equity (Common)
0.34%
$10.92 76,072
36 VTRS Viatris Inc Since 2026-05-10 92556V106 Equity (Common)
0.03%
$0.83 67,020
37 GEHC GE HealthCare Technologies Inc Since 2026-05-10 36266G107 Equity (Common)
0.06%
$2.06 25,105
38 STZ Constellation Brands Inc Since 2026-05-10 21036P108 Equity (Common)
0.03%
$1.13 8,207
39 HLT Hilton Worldwide Holdings Inc Since 2026-05-10 43300A203 Equity (Common)
0.12%
$3.75 13,068
40 AMGN Amgen Inc Since 2026-05-10 031162100 Equity (Common)
0.30%
$9.79 29,914
41 ZTS Zoetis Inc Since 2026-05-10 98978V103 Equity (Common)
0.10%
$3.10 24,625
42 MSI Motorola Solutions Inc Since 2026-05-10 620076307 Equity (Common)
0.11%
$3.55 9,257
43 CFG Citizens Financial Group Inc Since 2026-05-10 174610105 Equity (Common)
0.04%
$1.35 23,113
44 PAYC Paycom Software Inc Since 2026-05-10 70432V102 Equity (Common)
0.01%
$0.40 2,522
45 META Meta Platforms Inc Since 2026-05-10 30303M102 Equity (Common)
2.45%
$79.76 120,836
46 BIIB Biogen Inc Since 2026-05-10 09062X103 Equity (Common)
0.04%
$1.38 7,858
47 AKAM Akamai Technologies Inc Since 2026-05-10 00971T101 Equity (Common)
0.02%
$0.72 8,243
48 SPGI S&P Global Inc Since 2026-05-10 78409V104 Equity (Common)
0.28%
$8.97 17,170
49 DDOG Datadog Inc Since 2026-05-10 23804L103 Equity (Common)
0.08%
$2.53 18,593
50 IT Gartner Inc Since 2026-05-10 366651107 Equity (Common)
0.03%
$0.99 3,929
51 CPT Camden Property Trust Since 2026-05-10 133131102 Equity (Common)
0.02%
$0.68 6,142
52 ABT Abbott Laboratories Since 2026-05-10 002824100 Equity (Common)
0.37%
$12.12 96,708
53 LIN Linde PLC Since 2026-05-10 Equity (Common)
0.34%
$11.11 26,055
54 KVUE Kenvue Inc Since 2026-05-10 49177J102 Equity (Common)
0.06%
$1.80 104,649
55 FISV Fiserv Inc Since 2026-05-10 337738108 Equity (Common)
0.06%
$2.00 29,808
56 NEE NextEra Energy Inc Since 2026-05-10 65339F101 Equity (Common)
0.29%
$9.28 115,613
57 BR Broadridge Financial Solutions Since 2026-05-10 11133T103 Equity (Common)
0.04%
$1.41 6,311
58 ALLE Allegion plc Since 2026-05-10 Equity (Common)
0.02%
$0.79 4,935
59 TPR Tapestry Inc Since 2026-05-10 876030107 Equity (Common)
0.04%
$1.43 11,169
60 WELL Welltower Inc Since 2026-05-10 95040Q104 Equity (Common)
0.21%
$6.99 37,683
61 DPZ Domino's Pizza Inc Since 2026-05-10 25754A201 Equity (Common)
0.02%
$0.73 1,755
62 GRMN Garmin Ltd Since 2026-05-10 Equity (Common)
0.06%
$1.81 8,938
63 IR Ingersoll Rand Inc Since 2026-05-10 45687V106 Equity (Common)
0.05%
$1.65 20,791
64 CRM Salesforce Inc Since 2026-05-10 79466L302 Equity (Common)
0.43%
$14.07 53,120
65 MSCI MSCI Inc Since 2026-05-10 55354G100 Equity (Common)
0.07%
$2.35 4,092
66 HSIC Henry Schein Inc Since 2026-05-10 806407102 Equity (Common)
0.01%
$0.39 5,165
67 HII Huntington Ingalls Industries Since 2026-05-10 446413106 Equity (Common)
0.02%
$0.76 2,219
68 TSLA Tesla Inc Since 2026-05-10 88160R101 Equity (Common)
2.16%
$70.22 156,135
69 MDT Medtronic PLC Since 2026-05-10 Equity (Common)
0.21%
$6.84 71,193
70 NVR NVR Inc Since 2026-05-10 62944T105 Equity (Common)
0.03%
$1.11 152
71 CF CF Industries Holdings Inc Since 2026-05-10 125269100 Equity (Common)
0.02%
$0.64 8,272
72 CTRA Coterra Energy Inc Since 2026-05-10 127097103 Equity (Common)
0.04%
$1.16 43,869
73 SWK Stanley Black & Decker Inc Since 2026-05-10 854502101 Equity (Common)
0.02%
$0.66 8,898
74 NI NiSource Inc Since 2026-05-10 65473P105 Equity (Common)
0.03%
$1.13 27,067
75 BLK Blackrock Inc Since 2026-05-10 09290D101 Equity (Common)
0.26%
$8.56 8,002
76 MOH Molina Healthcare Inc Since 2026-05-10 60855R100 Equity (Common)
0.02%
$0.49 2,849
77 J Jacobs Solutions Inc Since 2026-05-10 46982L108 Equity (Common)
0.03%
$0.91 6,872
78 LDOS Leidos Holdings Inc Since 2026-05-10 525327102 Equity (Common)
0.04%
$1.24 6,859
79 GEN Gen Digital Inc Since 2026-05-10 668771108 Equity (Common)
0.03%
$0.88 32,217
80 MTCH Match Group Inc Since 2026-05-10 57667L107 Equity (Common)
0.01%
$0.45 13,801
81 TMUS T-Mobile US Inc Since 2026-05-10 872590104 Equity (Common)
0.17%
$5.46 26,889
82 AMP Ameriprise Financial Inc Since 2026-05-10 03076C106 Equity (Common)
0.08%
$2.56 5,222
83 CNP CenterPoint Energy Inc Since 2026-05-10 15189T107 Equity (Common)
0.04%
$1.34 34,900
84 XYZ Block Inc Since 2026-05-10 852234103 Equity (Common)
0.06%
$1.96 30,048
85 FFIV F5 Inc Since 2026-05-10 315616102 Equity (Common)
0.03%
$0.83 3,240
86 CBOE Cboe Global Markets Inc Since 2026-05-10 12503M108 Equity (Common)
0.04%
$1.41 5,628
87 TROW T Rowe Price Group Inc Since 2026-05-10 74144T108 Equity (Common)
0.04%
$1.20 11,694
88 CAG Conagra Brands Inc Since 2026-05-10 205887102 Equity (Common)
0.01%
$0.46 26,304
89 AIZ Assurant Inc Since 2026-05-10 04621X108 Equity (Common)
0.02%
$0.70 2,891
90 ULTA Ulta Beauty Inc Since 2026-05-10 90384S303 Equity (Common)
0.05%
$1.47 2,423
91 DVA DaVita Inc Since 2026-05-10 23918K108 Equity (Common)
0.01%
$0.20 1,727
92 MRNA Moderna Inc Since 2026-05-10 60770K107 Equity (Common)
0.02%
$0.56 18,980
93 INTU Intuit Inc Since 2026-05-10 461202103 Equity (Common)
0.32%
$10.27 15,500
94 HAS Hasbro Inc Since 2026-05-10 418056107 Equity (Common)
0.02%
$0.63 7,658
95 ITW Illinois Tool Works Inc Since 2026-05-10 452308109 Equity (Common)
0.11%
$3.63 14,739
96 ABBV AbbVie Inc Since 2026-05-10 00287Y109 Equity (Common)
0.69%
$22.43 98,158
97 CMG Chipotle Mexican Grill Inc Since 2026-05-10 169656105 Equity (Common)
0.08%
$2.75 74,265
98 AMD Advanced Micro Devices Inc Since 2026-05-10 007903107 Equity (Common)
0.60%
$19.41 90,634
99 ESS Essex Property Trust Inc Since 2026-05-10 297178105 Equity (Common)
0.03%
$0.97 3,702
100 UPS United Parcel Service Inc Since 2026-05-10 911312106 Equity (Common)
0.12%
$4.06 40,898
101 IBKR Interactive Brokers Group Inc Since 2026-05-10 45841N107 Equity (Common)
0.05%
$1.55 24,081
102 FITB Fifth Third Bancorp Since 2026-05-10 316773100 Equity (Common)
0.05%
$1.69 36,020
103 D Dominion Energy Inc Since 2026-05-10 25746U109 Equity (Common)
0.09%
$2.78 47,475
104 LH Labcorp Holdings Inc Since 2026-05-10 504922105 Equity (Common)
0.03%
$1.10 4,406
105 IDXX IDEXX Laboratories Inc Since 2026-05-10 45168D104 Equity (Common)
0.09%
$3.01 4,445
106 LHX L3Harris Technologies Inc Since 2026-05-10 502431109 Equity (Common)
0.09%
$3.05 10,396
107 FE FirstEnergy Corp Since 2026-05-10 337932107 Equity (Common)
0.04%
$1.34 29,873
108 TTWO Take-Two Interactive Software Since 2026-05-10 874054109 Equity (Common)
0.08%
$2.45 9,559
109 HON Honeywell International Inc Since 2026-05-10 438516106 Equity (Common)
0.21%
$6.88 35,278
110 YUM Yum! Brands Inc Since 2026-05-10 988498101 Equity (Common)
0.07%
$2.31 15,291
111 DXCM Dexcom Inc Since 2026-05-10 252131107 Equity (Common)
0.04%
$1.40 21,093
112 DLTR Dollar Tree Inc Since 2026-05-10 256746108 Equity (Common)
0.04%
$1.28 10,401
113 JKHY Jack Henry & Associates Inc Since 2026-05-10 426281101 Equity (Common)
0.02%
$0.75 4,086
114 BKNG Booking Holdings Inc Since 2026-05-10 09857L108 Equity (Common)
0.30%
$9.64 1,801
115 IVZ Invesco Ltd Since 2026-05-10 Equity (Common)
0.02%
$0.67 25,590
116 MET MetLife Inc Since 2026-05-10 59156R108 Equity (Common)
0.07%
$2.44 30,918
117 BLDR Builders FirstSource Inc Since 2026-05-10 12008R107 Equity (Common)
0.02%
$0.63 6,124
118 JPM JPMorgan Chase & Co Since 2026-05-10 46625H100 Equity (Common)
1.50%
$48.76 151,309
119 AXON Axon Enterprise Inc Since 2026-05-10 05464C101 Equity (Common)
0.08%
$2.56 4,498
120 EVRG Evergy Inc Since 2026-05-10 30034W106 Equity (Common)
0.03%
$0.96 13,230
121 UDR UDR Inc Since 2026-05-10 902653104 Equity (Common)
0.02%
$0.59 16,179
122 BAX Baxter International Inc Since 2026-05-10 071813109 Equity (Common)
0.02%
$0.53 27,467
123 WBD Warner Bros Discovery Inc Since 2026-05-10 934423104 Equity (Common)
0.12%
$3.88 134,810
124 PFE Pfizer Inc Since 2026-05-10 717081103 Equity (Common)
0.24%
$7.87 315,916
125 ECL Ecolab Inc Since 2026-05-10 278865100 Equity (Common)
0.11%
$3.72 14,184
126 CSCO Cisco Systems Inc Since 2026-05-10 17275R102 Equity (Common)
0.52%
$16.85 218,788
127 BEN Franklin Resources Inc Since 2026-05-10 354613101 Equity (Common)
0.01%
$0.40 16,624
128 NTAP NetApp Inc Since 2026-05-10 64110D104 Equity (Common)
0.04%
$1.14 10,678
129 ROK Rockwell Automation Inc Since 2026-05-10 773903109 Equity (Common)
0.07%
$2.42 6,225
130 ICE Intercontinental Exchange Inc Since 2026-05-10 45866F104 Equity (Common)
0.16%
$5.15 31,807
131 EG Everest Group Ltd Since 2026-05-10 Equity (Common)
0.03%
$0.82 2,411
132 ADP Automatic Data Processing Inc Since 2026-05-10 053015103 Equity (Common)
0.18%
$5.79 22,506
133 ZBH Zimmer Biomet Holdings Inc Since 2026-05-10 98956P102 Equity (Common)
0.03%
$1.02 11,388
134 A Agilent Technologies Inc Since 2026-05-10 00846U101 Equity (Common)
0.07%
$2.13 15,642
135 PPG PPG Industries Inc Since 2026-05-10 693506107 Equity (Common)
0.04%
$1.23 12,018
136 DD DuPont de Nemours Inc Since 2026-05-10 26614N102 Equity (Common)
0.03%
$0.95 23,635
137 DLR Digital Realty Trust Inc Since 2026-05-10 253868103 Equity (Common)
0.08%
$2.75 17,810
138 ORLY O'Reilly Automotive Inc Since 2026-05-10 67103H107 Equity (Common)
0.13%
$4.26 46,744
139 TEL TE Connectivity PLC Since 2026-05-10 Equity (Common)
0.11%
$3.73 16,418
140 MRK Merck & Co Inc Since 2026-05-10 58933Y105 Equity (Common)
0.45%
$14.51 137,812
141 TRMB Trimble Inc Since 2026-05-10 896239100 Equity (Common)
0.03%
$0.98 12,470
142 DRI Darden Restaurants Inc Since 2026-05-10 237194105 Equity (Common)
0.04%
$1.24 6,728
143 EQIX Equinix Inc Since 2026-05-10 29444U700 Equity (Common)
0.13%
$4.11 5,366
144 FSLR First Solar Inc Since 2026-05-10 336433107 Equity (Common)
0.05%
$1.51 5,784
145 LW Lamb Weston Holdings Inc Since 2026-05-10 513272104 Equity (Common)
0.01%
$0.35 8,423
146 PLTR Palantir Technologies Inc Since 2026-05-10 69608A108 Equity (Common)
0.69%
$22.56 126,898
147 NCLH Norwegian Cruise Line Holdings Since 2026-05-10 Equity (Common)
0.02%
$0.55 24,478
148 HOLX Hologic Inc Since 2026-05-10 436440101 Equity (Common)
0.03%
$0.95 12,738
149 CPAY Corpay Inc Since 2026-05-10 219948106 Equity (Common)
0.03%
$1.13 3,748
150 EXR Extra Space Storage Inc Since 2026-05-10 30225T102 Equity (Common)
0.05%
$1.59 12,201
151 TRGP Targa Resources Corp Since 2026-05-10 87612G101 Equity (Common)
0.07%
$2.19 11,841
152 MU Micron Technology Inc Since 2026-05-10 595112103 Equity (Common)
0.55%
$17.86 62,587
153 APD Air Products and Chemicals Inc Since 2026-05-10 009158106 Equity (Common)
0.09%
$3.07 12,413
154 JCI Johnson Controls International Since 2026-05-10 Equity (Common)
0.13%
$4.14 34,607
155 MO Altria Group Inc Since 2026-05-10 02209S103 Equity (Common)
0.17%
$5.37 93,194
156 HUM Humana Inc Since 2026-05-10 444859102 Equity (Common)
0.05%
$1.77 6,907
157 RMD ResMed Inc Since 2026-05-10 761152107 Equity (Common)
0.06%
$1.93 8,028
158 PSA Public Storage Since 2026-05-10 74460D109 Equity (Common)
0.07%
$2.26 8,718
159 CBRE CBRE Group Inc Since 2026-05-10 12504L109 Equity (Common)
0.08%
$2.61 16,237
160 EIX Edison International Since 2026-05-10 281020107 Equity (Common)
0.04%
$1.23 20,456
161 WDAY Workday Inc Since 2026-05-10 98138H101 Equity (Common)
0.08%
$2.57 11,978
162 GILD Gilead Sciences Inc Since 2026-05-10 375558103 Equity (Common)
0.26%
$8.46 68,945
163 SYF Synchrony Financial Since 2026-05-10 87165B103 Equity (Common)
0.05%
$1.78 21,388
164 STE STERIS PLC Since 2026-05-10 Equity (Common)
0.04%
$1.43 5,630
165 CHTR Charter Communications Inc Since 2026-05-10 16119P108 Equity (Common)
0.03%
$1.02 4,869
166 ADBE Adobe Inc Since 2026-05-10 00724F101 Equity (Common)
0.25%
$8.15 23,299
167 KEYS Keysight Technologies Inc Since 2026-05-10 49338L103 Equity (Common)
0.06%
$1.92 9,435
168 TT Trane Technologies PLC Since 2026-05-10 Equity (Common)
0.15%
$4.79 12,308
169 MGM MGM Resorts International Since 2026-05-10 552953101 Equity (Common)
0.01%
$0.37 10,031
170 VICI VICI Properties Inc Since 2026-05-10 925652109 Equity (Common)
0.05%
$1.63 57,808
171 UBER Uber Technologies Inc Since 2026-05-10 90353T100 Equity (Common)
0.29%
$9.38 114,735
172 ANET Arista Networks Inc Since 2026-05-10 040413205 Equity (Common)
0.23%
$7.50 57,267
173 GNRC Generac Holdings Inc Since 2026-05-10 368736104 Equity (Common)
0.01%
$0.45 3,308
174 EA Electronic Arts Inc Since 2026-05-10 285512109 Equity (Common)
0.08%
$2.55 12,468
175 VST Vistra Corp Since 2026-05-10 92840M102 Equity (Common)
0.09%
$2.86 17,750
176 NKE NIKE Inc Since 2026-05-10 654106103 Equity (Common)
0.13%
$4.25 66,716
177 ALGN Align Technology Inc Since 2026-05-10 016255101 Equity (Common)
0.02%
$0.55 3,538
178 CAH Cardinal Health Inc Since 2026-05-10 14149Y108 Equity (Common)
0.08%
$2.72 13,231
179 ABNB Airbnb Inc Since 2026-05-10 009066101 Equity (Common)
0.10%
$3.24 23,842
180 CMI Cummins Inc Since 2026-05-10 231021106 Equity (Common)
0.12%
$3.91 7,656
181 KEY KeyCorp Since 2026-05-10 493267108 Equity (Common)
0.03%
$1.11 53,578
182 AJG Arthur J Gallagher & Co Since 2026-05-10 363576109 Equity (Common)
0.11%
$3.69 14,245
183 AMZN Amazon.com Inc Since 2026-05-10 023135106 Equity (Common)
3.83%
$124.57 539,689
184 PRU Prudential Financial Inc Since 2026-05-10 744320102 Equity (Common)
0.07%
$2.19 19,396
185 BG Bunge Global SA Since 2026-05-10 Equity (Common)
0.02%
$0.62 7,004
186 RVTY Revvity Inc Since 2026-05-10 714046109 Equity (Common)
0.02%
$0.57 5,946
187 URI United Rentals Inc Since 2026-05-10 911363109 Equity (Common)
0.09%
$2.89 3,575
188 HWM Howmet Aerospace Inc Since 2026-05-10 443201108 Equity (Common)
0.14%
$4.59 22,400
189 RSG Republic Services Inc Since 2026-05-10 760759100 Equity (Common)
0.07%
$2.37 11,201
190 VRSK Verisk Analytics Inc Since 2026-05-10 92345Y106 Equity (Common)
0.06%
$1.80 8,032
191 VZ Verizon Communications Inc Since 2026-05-10 92343V104 Equity (Common)
0.29%
$9.54 234,279
192 GPN Global Payments Inc Since 2026-05-10 37940X102 Equity (Common)
0.03%
$0.99 12,762
193 TSN Tyson Foods Inc Since 2026-05-10 902494103 Equity (Common)
0.03%
$0.91 15,537
194 UHS Universal Health Services Inc Since 2026-05-10 913903100 Equity (Common)
0.02%
$0.71 3,241
195 SPG Simon Property Group Inc Since 2026-05-10 828806109 Equity (Common)
0.10%
$3.36 18,141
196 COIN Coinbase Global Inc Since 2026-05-10 19260Q107 Equity (Common)
0.09%
$2.94 12,982
197 DASH DoorDash Inc Since 2026-05-10 25809K105 Equity (Common)
0.15%
$4.75 20,996
198 AAPL Apple Inc Since 2026-05-10 037833100 Equity (Common)
6.86%
$223.29 821,361
199 SRE Sempra Since 2026-05-10 816851109 Equity (Common)
0.10%
$3.20 36,254
200 EFX Equifax Inc Since 2026-05-10 294429105 Equity (Common)
0.04%
$1.45 6,676
201 AME AMETEK Inc Since 2026-05-10 031100100 Equity (Common)
0.08%
$2.63 12,794
202 OMC Omnicom Group Inc Since 2026-05-10 681919106 Equity (Common)
0.04%
$1.46 18,119
203 LUV Southwest Airlines Co Since 2026-05-10 844741108 Equity (Common)
0.04%
$1.19 28,768
204 ES Eversource Energy Since 2026-05-10 30040W108 Equity (Common)
0.04%
$1.34 19,879
205 COP ConocoPhillips Since 2026-05-10 20825C104 Equity (Common)
0.20%
$6.40 68,381
206 C Citigroup Inc Since 2026-05-10 172967424 Equity (Common)
0.36%
$11.71 100,398
207 FTNT Fortinet Inc Since 2026-05-10 34959E109 Equity (Common)
0.09%
$2.78 35,010
208 CRH CRH PLC Since 2026-05-10 Equity (Common)
0.14%
$4.54 36,366
209 WMT Walmart Inc Since 2026-05-10 931142103 Equity (Common)
0.83%
$27.17 243,887
210 TER Teradyne Inc Since 2026-05-10 880770102 Equity (Common)
0.05%
$1.67 8,642
211 CSGP CoStar Group Inc Since 2026-05-10 22160N109 Equity (Common)
0.05%
$1.54 22,931
212 ACGL Arch Capital Group Ltd Since 2026-05-10 Equity (Common)
0.06%
$1.95 20,318
213 COR Cencora Inc Since 2026-05-10 03073E105 Equity (Common)
0.11%
$3.67 10,882
214 LII Lennox International Inc Since 2026-05-10 526107107 Equity (Common)
0.03%
$0.89 1,837
215 HPQ HP Inc Since 2026-05-10 40434L105 Equity (Common)
0.03%
$1.12 50,130
216 AMCR Amcor PLC Since 2026-05-10 Equity (Common)
0.03%
$1.10 132,523
217 EMR Emerson Electric Co Since 2026-05-10 291011104 Equity (Common)
0.13%
$4.10 30,890
218 LVS Las Vegas Sands Corp Since 2026-05-10 517834107 Equity (Common)
0.03%
$1.06 16,268
219 PNR Pentair PLC Since 2026-05-10 Equity (Common)
0.03%
$0.98 9,424
220 NOW ServiceNow Inc Since 2026-05-10 81762P102 Equity (Common)
0.27%
$8.84 57,673
221 TYL Tyler Technologies Inc Since 2026-05-10 902252105 Equity (Common)
0.03%
$1.13 2,487
222 XEL Xcel Energy Inc Since 2026-05-10 98389B100 Equity (Common)
0.07%
$2.41 32,683
223 AVGO Broadcom Inc Since 2026-05-10 11135F101 Equity (Common)
2.79%
$90.75 262,211
224 ISRG Intuitive Surgical Inc Since 2026-05-10 46120E602 Equity (Common)
0.34%
$11.18 19,740
225 APTV Aptiv PLC Since 2026-05-10 Equity (Common)
0.03%
$0.86 11,285
226 ADSK Autodesk Inc Since 2026-05-10 052769106 Equity (Common)
0.11%
$3.52 11,891
227 HST Host Hotels & Resorts Inc Since 2026-05-10 44107P104 Equity (Common)
0.02%
$0.60 33,908
228 PANW Palo Alto Networks Inc Since 2026-05-10 697435105 Equity (Common)
0.21%
$6.93 37,621
229 MLM Martin Marietta Materials Inc Since 2026-05-10 573284106 Equity (Common)
0.06%
$2.06 3,311
230 VTR Ventas Inc Since 2026-05-10 92276F100 Equity (Common)
0.06%
$2.02 26,133
231 KKR KKR & Co Inc Since 2026-05-10 48251W104 Equity (Common)
0.15%
$4.86 38,119
232 WEC WEC Energy Group Inc Since 2026-05-10 92939U106 Equity (Common)
0.06%
$1.85 17,554
233 CME CME Group Inc Since 2026-05-10 12572Q105 Equity (Common)
0.17%
$5.46 19,998
234 PHM PulteGroup Inc Since 2026-05-10 745867101 Equity (Common)
0.04%
$1.24 10,572
235 BXP BXP Inc Since 2026-05-10 101121101 Equity (Common)
0.02%
$0.56 8,309
236 CTVA Corteva Inc Since 2026-05-10 22052L104 Equity (Common)
0.08%
$2.52 37,551
237 GDDY GoDaddy Inc Since 2026-05-10 380237107 Equity (Common)
0.03%
$0.98 7,899
238 MPWR Monolithic Power Systems Inc Since 2026-05-10 609839105 Equity (Common)
0.07%
$2.40 2,652
239 ROL Rollins Inc Since 2026-05-10 775711104 Equity (Common)
0.03%
$0.92 15,376
240 SMCI Super Micro Computer Inc Since 2026-05-10 86800U302 Equity (Common)
0.03%
$0.84 28,742
241 EPAM EPAM Systems Inc Since 2026-05-10 29414B104 Equity (Common)
0.02%
$0.69 3,351
242 ED Consolidated Edison Inc Since 2026-05-10 209115104 Equity (Common)
0.06%
$1.96 19,705
243 PCAR PACCAR Inc Since 2026-05-10 693718108 Equity (Common)
0.10%
$3.19 29,177
244 GOOG Alphabet Inc Since 2026-05-10 02079K107 Equity (Common)
2.50%
$81.26 258,943
245 GOOG Alphabet Inc Since 2026-05-10 02079K305 Equity (Common)
3.10%
$101.04 322,808
246 PAYX Paychex Inc Since 2026-05-10 704326107 Equity (Common)
0.06%
$2.00 17,781
247 STLD Steel Dynamics Inc Since 2026-05-10 858119100 Equity (Common)
0.04%
$1.25 7,386
248 LYV Live Nation Entertainment Inc Since 2026-05-10 538034109 Equity (Common)
0.04%
$1.19 8,375
249 WSM Williams-Sonoma Inc Since 2026-05-10 969904101 Equity (Common)
0.04%
$1.17 6,552
250 ACN Accenture PLC Since 2026-05-10 Equity (Common)
0.29%
$9.29 34,609
251 SWKS Skyworks Solutions Inc Since 2026-05-10 83088M102 Equity (Common)
0.02%
$0.53 8,316
252 AMAT Applied Materials Inc Since 2026-05-10 038222105 Equity (Common)
0.35%
$11.36 44,216
253 EQR Equity Residential Since 2026-05-10 29476L107 Equity (Common)
0.04%
$1.16 18,358
254 CPRT Copart Inc Since 2026-05-10 217204106 Equity (Common)
0.06%
$1.90 48,600
255 BBY Best Buy Co Inc Since 2026-05-10 086516101 Equity (Common)
0.02%
$0.76 11,299
256 RCL Royal Caribbean Cruises Ltd Since 2026-05-10 Equity (Common)
0.12%
$3.92 14,036
257 EBAY eBay Inc Since 2026-05-10 278642103 Equity (Common)
0.07%
$2.19 25,107
258 DAL Delta Air Lines Inc Since 2026-05-10 247361702 Equity (Common)
0.08%
$2.48 35,677
259 CHD Church & Dwight Co Inc Since 2026-05-10 171340102 Equity (Common)
0.04%
$1.17 14,004
260 BX Blackstone Inc Since 2026-05-10 09260D107 Equity (Common)
0.19%
$6.31 40,956
261 HOOD Robinhood Markets Inc Since 2026-05-10 770700102 Equity (Common)
0.15%
$4.94 43,658
262 PYPL PayPal Holdings Inc Since 2026-05-10 70450Y103 Equity (Common)
0.09%
$3.02 51,733
263 SW Smurfit WestRock PLC Since 2026-05-10 Equity (Common)
0.04%
$1.16 30,014
264 OKE ONEOK Inc Since 2026-05-10 682680103 Equity (Common)
0.08%
$2.56 34,868
265 NRG NRG Energy Inc Since 2026-05-10 629377508 Equity (Common)
0.05%
$1.68 10,543
266 REGN Regeneron Pharmaceuticals Inc Since 2026-05-10 75886F107 Equity (Common)
0.13%
$4.27 5,529
Frequently Asked Questions — BNY MELLON STOCK INDEX FUND, INC.
What type of mutual fund is BNY MELLON STOCK INDEX FUND, INC.?
BNY MELLON STOCK INDEX FUND, INC. is a SEC-registered Index fund, with $3.3B in assets under management. This fund holds a diversified portfolio of securities according to its stated investment mandate as registered with the SEC. As of its latest SEC N-PORT filing, BNY MELLON STOCK INDEX FUND, INC. holds 266 portfolio positions, all detailed in the holdings table on this page.
What are BNY MELLON STOCK INDEX FUND, INC.'s assets under management (AUM)?
BNY MELLON STOCK INDEX FUND, INC. has $3.3B in assets under management (AUM) according to its most recent SEC N-PORT filing on StockSifting. AUM represents the total market value of all securities and other assets held by the fund as of the report date. A larger AUM generally signals a more established fund with greater institutional adoption, more trading liquidity, and potentially lower per-unit operational costs due to economies of scale. AUM changes daily as market prices fluctuate and as investors purchase or redeem fund shares — the figure shown here reflects the most recently available N-PORT disclosure, not the current real-time value. For the live figure, consult the fund's official website or its latest SEC EDGAR filing.
What are BNY MELLON STOCK INDEX FUND, INC.'s top holdings?
According to BNY MELLON STOCK INDEX FUND, INC.'s most recent SEC N-PORT filing, the fund's largest holdings by portfolio weight include Old Dominion Freight Line Inc, Synopsys Inc, Aon PLC , among others. The complete list of all 266 holdings — including CUSIP, asset type, portfolio weight percentage, dollar value, and share quantity — is available in the holdings table above. Holdings data is sourced directly from SEC EDGAR N-PORT filings and reflects the fund's positions as of the report date shown at the top of this page. Due to the 60-day SEC disclosure lag, these positions may differ from the fund's current portfolio. For the latest holdings before public release, refer to SEC EDGAR directly.
What is BNY MELLON STOCK INDEX FUND, INC.'s expense ratio?
Expense ratio data for BNY MELLON STOCK INDEX FUND, INC. is not currently available in StockSifting's database. The expense ratio is the annual fee charged by a mutual fund as a percentage of your investment, covering management fees and operational costs. It is one of the most important factors affecting net long-term returns — lower expense ratios allow more of a fund's gross performance to flow through to investors. For the most accurate and current expense ratio, refer to the fund's official prospectus or its SEC EDGAR filings. You can also contact us if you believe this data should be present.
Where can I find BNY MELLON STOCK INDEX FUND, INC.'s SEC filings?
BNY MELLON STOCK INDEX FUND, INC. is required to file monthly portfolio reports (Form N-PORT) with the U.S. Securities and Exchange Commission (SEC). Its SEC Central Index Key (CIK) is 0000846800. You can access all of BNY MELLON STOCK INDEX FUND, INC.'s SEC filings — including N-PORT holdings disclosures, annual reports (Form N-CEN), and registration statements — directly on SEC EDGAR (CIK: 0000846800). N-PORT filings disclose the fund's complete portfolio holdings, fair value measurements, and certain risk metrics as of each filing period end date. StockSifting automatically parses these filings to populate the holdings table, AUM figures, and expense ratio displayed on this page, making the raw EDGAR data accessible without needing to download and parse XML files manually.
How current is BNY MELLON STOCK INDEX FUND, INC.'s holdings data on StockSifting?
Holdings data for BNY MELLON STOCK INDEX FUND, INC. on StockSifting is sourced from its most recent SEC EDGAR N-PORT filing. Under SEC rules, registered investment companies must file N-PORT reports monthly, but these are made publicly available approximately 60 days after the reporting period end date. This means the holdings shown on this page reflect the fund's portfolio from roughly two months prior — not today's exact positions. The Report date displayed at the top of this page indicates exactly when the underlying data was current. If the fund has made significant portfolio changes since that date — responding to market events, earnings releases, or macro shifts — those changes will not be reflected here until the next N-PORT filing is released. For the most up-to-date holdings before the public disclosure window, refer to the fund's official website or SEC EDGAR directly. StockSifting is best used for fundamental research and historical portfolio analysis, not real-time trading decisions.