← All Mutual Funds

BNY Mellon Sustainable U.S. Equity Fund, Inc.

CIK: 0000030167 Equity
Report date: 2026-04-23
AUM $493M
Expense Ratio
Category Equity
State MD
Fiscal Year End
Inception Date
Manager
Latest Filing 2026-04-23

Holdings

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

35 positions
# Security Name CUSIP Asset Type Weight % Value ($M) Quantity
1 TT Trane Technologies PLC Since 2026-05-10 Equity (Common)
1.36%
$6.71 14,518
2 TMO Thermo Fisher Scientific Inc Since 2026-05-10 883556102 Equity (Common)
1.50%
$7.37 14,141
3 BSX Boston Scientific Corporation Since 2026-05-10 101137107 Equity (Common)
1.78%
$8.79 114,358
4 ACM AECOM Since 2026-05-10 00766T100 Equity (Common)
1.19%
$5.88 59,980
5 IR Ingersoll Rand Inc Since 2026-05-10 45687V106 Equity (Common)
2.04%
$10.07 106,998
6 HUBB Hubbell Incorporated Since 2026-05-10 443510607 Equity (Common)
2.01%
$9.89 19,330
7 EMR Emerson Electric Co. Since 2026-05-10 291011104 Equity (Common)
1.45%
$7.17 47,531
8 MU Micron Technology Inc. Since 2026-05-10 595112103 Equity (Common)
2.60%
$12.83 31,121
9 GOOG Alphabet Inc. Since 2026-05-10 02079K305 Equity (Common)
5.44%
$26.81 85,992
10 NOW Servicenow Inc Since 2026-05-10 81762P102 Equity (Common)
0.71%
$3.50 32,363
11 IDXX IDEXX Laboratories Inc. Since 2026-05-10 45168D104 Equity (Common)
1.16%
$5.72 8,709
12 JPM JPMorgan Chase & Co. Since 2026-05-10 46625H100 Equity (Common)
2.45%
$12.09 40,244
13 TEL TE Connectivity PLC Since 2026-05-10 Equity (Common)
1.63%
$8.04 34,919
14 DAR Darling Ingredients, Inc Since 2026-05-10 237266101 Equity (Common)
1.27%
$6.25 117,501
15 AMZN Amazon.com, Inc. Since 2026-05-10 023135106 Equity (Common)
4.15%
$20.43 97,306
16 WMT Walmart Inc Since 2026-05-10 931142103 Equity (Common)
2.47%
$12.19 95,231
17 GILD Gilead Sciences Inc. Since 2026-05-10 375558103 Equity (Common)
1.74%
$8.56 57,479
18 CCK Crown Holdings Inc Since 2026-05-10 228368106 Equity (Common)
1.22%
$6.01 52,441
19 HWM Howmet Aerospace Inc Since 2026-05-10 443201108 Equity (Common)
1.91%
$9.44 35,938
20 AIZ Assurant Inc. Since 2026-05-10 04621X108 Equity (Common)
1.29%
$6.34 27,609
21 COST Costco Wholesale Corporation Since 2026-05-10 22160K105 Equity (Common)
2.61%
$12.88 12,745
22 SNPS Synopsys Inc Since 2026-05-10 871607107 Equity (Common)
0.90%
$4.43 10,694
23 FHN First Horizon Corporation Since 2026-05-10 320517105 Equity (Common)
1.64%
$8.11 340,682
24 CME CME Group Inc. Since 2026-05-10 12572Q105 Equity (Common)
1.71%
$8.42 26,352
25 INTU Intuit Inc Since 2026-05-10 461202103 Equity (Common)
0.98%
$4.84 11,834
26 AAPL Apple Inc. Since 2026-05-10 037833100 Equity (Common)
6.96%
$34.33 129,940
27 AON Aon PLC Since 2026-05-10 Equity (Common)
1.11%
$5.47 16,310
28 ABBV AbbVie Inc. Since 2026-05-10 00287Y109 Equity (Common)
1.69%
$8.34 35,955
29 BSY Bentley Systems Incorporated Since 2026-05-10 08265T208 Equity (Common)
0.69%
$3.42 93,446
30 MA MasterCard Incorporated Since 2026-05-10 57636Q104 Equity (Common)
1.91%
$9.43 18,232
31 EW Edwards Lifesciences Corporation Since 2026-05-10 28176E108 Equity (Common)
1.20%
$5.93 68,608
32 LIN Linde PLC Since 2026-05-10 Equity (Common)
1.18%
$5.83 11,464
33 CARR Carrier Global Corporation Since 2026-05-10 14448C104 Equity (Common)
0.98%
$4.83 74,922
34 NEE NextEra Energy Inc Since 2026-05-10 65339F101 Equity (Common)
1.75%
$8.63 92,005
35 FITB Fifth Third Bancorp Since 2026-05-10 316773100 Equity (Common)
0.74%
$3.66 73,986