0001775697-24-000405.txt : 20240418 0001775697-24-000405.hdr.sgml : 20240418 20240418064049 ACCESSION NUMBER: 0001775697-24-000405 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240229 FILED AS OF DATE: 20240418 DATE AS OF CHANGE: 20240418 PERIOD START: 20241130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BNY Mellon Investment Funds VI CENTRAL INDEX KEY: 0001224568 ORGANIZATION NAME: IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21327 FILM NUMBER: 24852799 BUSINESS ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10286 BUSINESS PHONE: 212-922-6400 MAIL ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10286 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS MANAGER FUNDS II DATE OF NAME CHANGE: 20081201 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS PREMIER MANAGER FUNDS II DATE OF NAME CHANGE: 20031016 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS PREMIER TP BALANCED FUND DATE OF NAME CHANGE: 20030326 0001224568 S000000342 BNY Mellon Balanced Opportunity Fund C000000867 Class A DBOAX C000000869 Class C DBOCX C000000870 Class I DBORX C000000872 Class J THPBX C000001397 Class Z DBOZX C000174004 Class Y DBOYX NPORT-P 1 primary_doc.xml NPORT-P false 0001224568 XXXXXXXX S000000342 C000000867 C000000869 C000000870 C000000872 C000001397 C000174004 BNY Mellon Investment Funds VI 811-21327 0001224568 549300Z48QF87LHB5Y57 240 Greenwich Street New York 10286 212 495 1784 BNY Mellon Balanced Opportunity Fund S000000342 54930021EVWJA2OA0N54 2024-11-30 2024-02-29 N 282636738.99 1209081.94 281427657.05 0.00 0.00 0.00 0.00 0.00 0.00 0.00 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Other Units USD 167479.46 0.059510661374 Long ABS-MBS USGA US N 2 2042-09-01 Fixed 4.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140LYGB3 560836.75 OU Other Units USD 442799.55 0.157340452833 Long ABS-MBS USGA US N 2 2051-11-01 Fixed 2.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140HNNY4 419180.67 OU Other Units USD 330731.47 0.1175191782736 Long ABS-MBS USGA US N 2 2050-12-01 Fixed 2.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QFFX2 251530.44 OU Other Units USD 217490.00 0.0772809617504 Long ABS-MBS USGA US N 2 2050-10-01 Fixed 3.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140X83G0 253987.05 OU Other Units USD 229020.31 0.0813780395291 Long ABS-MBS USGA US N 2 2050-10-01 Fixed 3.50 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140L8ZM5 466763.27 OU Other Units USD 368519.18 0.1309463269754 Long ABS-MBS USGA US N 2 2051-04-01 Fixed 2.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QHGH2 172333.93 OU Other Units USD 142701.55 0.0507062992656 Long ABS-MBS USGA US N 2 2051-02-01 Fixed 2.50 N N N N N N FREDDIE MAC - SLST N/A SEASONED LOANS STRUCTURED TRANSACTION TRUST SERIES 2019-2 35564CDD6 265000.00 OU Other Units USD 236404.35 0.0840018186123 Long ABS-CBDO USGA US N 2 2029-09-01 Fixed 2.75 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140Q8KB0 222486.62 OU Other Units USD 202010.54 0.0717806281434 Long ABS-MBS USGA US N 2 2048-02-01 Fixed 3.50 N N N N N N MPLX LP 5493000CZJ19CK4P3G36 MPLX LP 55336VAK6 110000.00 PA USD 106704.32 0.0379153637984 Long DBT CORP US N 2 2027-03-01 Fixed 4.125 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 31418CR89 179149.67 OU Other Units USD 162077.74 0.0575912622444 Long ABS-MBS USGA US N 2 2047-12-01 Fixed 3.50 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QGE29 416279.19 OU Other Units USD 332173.54 0.1180315905984 Long ABS-MBS USGA US N 2 2045-12-01 Fixed 2.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3138WJN53 150514.06 OU Other Units USD 140414.68 0.0498937032244 Long ABS-MBS USGA US N 2 2031-12-01 Fixed 2.50 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140J6DV6 63623.89 OU Other Units USD 61318.78 0.0217884697768 Long ABS-MBS USGA US N 2 2032-06-01 Fixed 3.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140GNA29 55382.48 OU Other Units USD 52183.51 0.0185424242048 Long ABS-MBS USGA US N 2 2047-06-01 Fixed 4.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QF5F2 348076.06 OU Other Units USD 289156.56 0.1027463196158 Long ABS-MBS USGA US N 2 2050-12-01 Fixed 2.50 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140X67M7 149629.16 OU Other Units USD 130738.86 0.0464555834243 Long ABS-MBS USGA US N 2 2047-12-01 Fixed 3.00 N N N N N N WELLS FARGO COMMERCIAL MORTGAG N/A WELLS FARGO COMMERCIAL MORTGAGE TRUST 2020-C56 95002RAX6 135000.00 OU Other Units USD 115488.02 0.0410364856143 Long ABS-MBS CORP US N 2 2053-06-01 Fixed 2.448 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QF5E5 356475.37 OU Other Units USD 295248.91 0.1049111210656 Long ABS-MBS USGA US N 2 2050-12-01 Fixed 2.50 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QCKE5 141172.85 OU Other Units USD 122318.19 0.043463457459 Long ABS-MBS USGA US N 2 2049-12-01 Fixed 3.00 N N N N N N FREDDIE MAC S6XOOCT0IEG5ABCC6L87 FREDDIE MAC POOL 3133KKAL3 314624.28 OU Other Units USD 259569.21 0.0922330138838 Long ABS-MBS USGA US N 2 2050-09-01 Fixed 2.50 N N N N N N MPLX LP 5493000CZJ19CK4P3G36 MPLX LP 55336VAL4 210000.00 PA USD 188648.04 0.0670325162698 Long DBT CORP US N 2 2047-03-01 Fixed 5.20 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140J96T3 35882.62 OU Other Units USD 34698.82 0.0123295700087 Long ABS-MBS USGA US N 2 2028-06-01 Fixed 3.00 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140QF4G1 343179.88 OU Other Units USD 284173.50 0.100975683406 Long ABS-MBS USGA US N 2 2050-12-01 Fixed 2.50 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 3140X4TL0 108405.12 OU Other Units USD 103939.37 0.0369328910632 Long ABS-MBS USGA US N 2 2028-09-01 Fixed 2.50 N N N N N N FREDDIE MAC S6XOOCT0IEG5ABCC6L87 FREDDIE MAC POOL 3133KKAH2 598938.90 OU Other Units USD 496595.07 0.1764556743304 Long ABS-MBS USGA US N 2 2050-09-01 Fixed 2.50 N N N N N N PEPSICO INC FJSUNZKFNQ5YPJ5OT455 PEPSICO INC 713448CM8 337000.00 PA USD 337000.00 0.1197465819573 Long DBT CORP US N 2 2024-03-01 Fixed 3.60 N N N N N N AMERICAN ELECTRIC POWER 1B4S6S7G0TW5EE83BO58 AMERICAN ELECTRIC POWER CO INC 025537AP6 155000.00 PA USD 106621.70 0.0378860063426 Long DBT CORP US N 2 2050-03-01 Fixed 3.25 N N N N N N FANNIE MAE B1V7KEBTPIMZEU4LTD58 FANNIE MAE POOL 31418CU69 98224.93 OU Other Units USD 85615.47 0.0304218394515 Long ABS-MBS USGA US N 2 2048-03-01 Fixed 3.00 N N N N N N GOVERNMENT NATIONAL MORTGAGE A 549300M8ZYFG0OCMTT87 GINNIE MAE II POOL 36179TQQ1 96025.68 OU Other Units USD 90502.59 0.0321583851952 Long ABS-MBS USGA US N 2 2048-01-01 Fixed 4.00 N N N N N N GOVERNMENT NATIONAL MORTGAGE A 549300M8ZYFG0OCMTT87 GINNIE MAE II POOL 36179TJY2 90874.93 OU Other Units USD 85488.19 0.0303766129086 Long ABS-MBS USGA US N 2 2047-10-01 Fixed 4.00 N N N N N N MEDTRONIC PLC 549300GX3ZBSQWUXY261 MEDTRONIC PLC N/A 19648.00 NS USD 1637857.28 0.5819816350562 Long EC CORP IE N 1 N N N ASSURANT INC H3F39CAXWQRVWURFXL38 ASSURANT INC 04621X108 5536.00 NS USD 1004507.20 0.3569326520817 Long EC CORP US N 1 N N N CONSTELLATION ENERGY CORP 549300F8Y20RYGNGV346 CONSTELLATION ENERGY CORP 21037T109 7059.00 NS USD 1189088.55 0.4225201469053 Long EC CORP US N 1 N N N BECTON DICKINSON & CO ICE2EP6D98PQUILVRZ91 BECTON DICKINSON & CO 075887109 6267.00 NS USD 1476191.85 0.5245368793791 Long EC CORP US N 1 N N N AMERICAN INTL GROUP ODVCVCQG2BP6VHV36M30 AMERICAN INTERNATIONAL GROUP INC 026874784 11357.00 NS USD 827811.73 0.2941472557023 Long EC CORP US N 1 N N N CF INDUSTRIES HOLDINGS INC 529900CG8YAQFZ2JMV97 CF INDUSTRIES HOLDINGS INC 125269100 8480.00 NS USD 684505.60 0.243226130358 Long EC CORP US N 1 N N N OCCIDENTAL PETROLEUM COR IM7X0T3ECJW4C1T7ON55 OCCIDENTAL PETROLEUM CORP 674599105 18218.00 NS USD 1104192.98 0.3923541103153 Long EC CORP US N 1 N N N INTEL CORP KNX4USFCNGPY45LOCE31 INTEL CORP 458140100 17120.00 NS USD 737016.00 0.2618847087473 Long EC CORP US N 1 N N N MICRON TECHNOLOGY INC B3DXGBC8GAIYWI2Z0172 MICRON TECHNOLOGY INC 595112103 12284.00 NS USD 1113053.24 0.3955024362805 Long EC CORP US N 1 N N N VULCAN MATERIALS CO 549300Q8LSNHAVWBNI21 VULCAN MATERIALS CO 929160109 1577.00 NS USD 419245.45 0.1489709484826 Long EC CORP US N 1 N N N CISCO SYSTEMS INC 549300LKFJ962MZ46593 CISCO SYSTEMS INC 17275R102 25691.00 NS USD 1242673.67 0.4415606067385 Long EC CORP US N 1 N N N DIAGEO PLC 213800ZVIELEA55JMJ32 DIAGEO PLC N/A 16520.00 NS 618105.89 0.2196322481163 Long EC CORP GB N 2 N N N DREYFUS INSTITUTIONAL PREFERRE 549300RBWL04JG8SIX57 Dreyfus Institutional Preferred Government Plus Money Market Fund 26200T208 5991322.64 OU Other Units USD 5991322.64 2.1289032864796 Long STIV RF US N 1 2099-12-01 Variable 5.410954 N N N N N N X9X9USD05574 N/A DREYFUS INSTITUTIONAL PREFERRED PL N/A 4953008.18 OU Other Units USD 4953008.18 1.7599578633879 Long RF US N 1 N N 2024-04-17 BNY Mellon Advantage Funds, Inc. James Windels James Windels Fund Treasurer XXXX NPORT-EX 2 c10834bnymello-february20241.htm Untitled Document

STATEMENT OF INVESTMENTS
BNY Mellon Balanced Opportunity Fund

February 29, 2024 (Unaudited)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%

     

Aerospace & Defense - .2%

     

HEICO Corp., Gtd. Notes

 

5.35

 

8/1/2033

 

71,000

a 

70,690

 

Lockheed Martin Corp., Sr. Unscd. Notes

 

5.20

 

2/15/2055

 

320,000

 

314,790

 

RTX Corp., Sr. Unscd. Notes

 

4.13

 

11/16/2028

 

200,000

 

192,047

 
 

577,527

 

Agriculture - .0%

     

Philip Morris International, Inc., Sr. Unscd. Notes

 

5.63

 

11/17/2029

 

50,000

 

51,222

 

Asset-Backed Certificates - .1%

     

CNH Equipment Trust, Ser. 2021-A, Cl. A3

 

0.40

 

12/15/2025

 

135,233

 

133,545

 

John Deere Owner Trust, Ser. 2023-B, Cl. A3

 

5.18

 

3/15/2028

 

225,000

 

225,419

 
 

358,964

 

Asset-Backed Certificates/Auto Receivables - 1.1%

     

Carvana Auto Receivables Trust, Ser. 2021-P4, Cl. A3

 

1.31

 

1/11/2027

 

246,532

 

239,434

 

Hertz Vehicle Financing LLC, Ser. 2021-1A, CI. A

 

1.21

 

12/26/2025

 

575,000

b 

559,809

 

Honda Auto Receivables Owner Trust, Ser. 2023-1, Cl. A3

 

5.04

 

4/21/2027

 

178,000

 

177,667

 

Hyundai Auto Receivables Trust, Ser. 2022-C, CI. A4

 

5.52

 

10/16/2028

 

376,000

 

379,972

 

Mercedes-Benz Auto Receivables Trust, Ser. 2023-1, CI. A3

 

4.51

 

11/15/2027

 

247,000

 

244,659

 

Nissan Auto Lease Trust, Ser. 2023-A, CI. A3

 

4.91

 

1/15/2026

 

348,000

 

346,680

 

OSCAR US Funding XII LLC, Ser. 2021-1A, Cl. A4

 

1.00

 

4/10/2028

 

380,000

b 

366,168

 

Toyota Auto Receivables Owner Trust, Ser. 2022-D, CI. A3

 

5.30

 

9/15/2027

 

579,000

 

580,750

 

Toyota Auto Receivables Owner Trust, Ser. 2023-A, CI. A3

 

4.63

 

9/15/2027

 

202,000

 

200,362

 
 

3,095,501

 

Automobiles & Components - .4%

     

General Motors Financial Co., Inc., Sr. Unscd. Notes

 

2.35

 

1/8/2031

 

280,000

 

228,482

 

General Motors Financial Co., Inc., Sr. Unscd. Notes

 

2.40

 

4/10/2028

 

545,000

 

486,093

 

Volkswagen Group of America Finance LLC, Gtd. Notes

 

3.35

 

5/13/2025

 

420,000

b 

409,250

 
 

1,123,825

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Banks - 2.9%

     

Bank of America Corp., Sr. Unscd. Notes

 

1.20

 

10/24/2026

 

110,000

 

102,529

 

Bank of America Corp., Sr. Unscd. Notes

 

3.42

 

12/20/2028

 

105,000

a 

98,136

 

Bank of America Corp., Sr. Unscd. Notes

 

3.97

 

2/7/2030

 

250,000

 

235,094

 

Bank of America Corp., Sr. Unscd. Notes

 

4.00

 

4/1/2024

 

68,000

 

67,904

 

Bank of America Corp., Sr. Unscd. Notes

 

5.29

 

4/25/2034

 

290,000

a 

285,996

 

Bank of Montreal, Covered Bonds

 

3.75

 

7/25/2025

 

310,000

b 

303,986

 

Barclays PLC, Sr. Unscd. Notes

 

3.93

 

5/7/2025

 

405,000

 

403,444

 

BNP Paribas SA, Sr. Notes

 

1.68

 

6/30/2027

 

250,000

b 

228,855

 

Citigroup, Inc., Sr. Unscd. Notes

 

4.65

 

7/30/2045

 

260,000

 

234,023

 

Citizens Bank NA, Sr. Unscd. Notes

 

3.75

 

2/18/2026

 

250,000

 

239,669

 

Commonwealth Bank of Australia, Covered Bonds

 

3.21

 

5/27/2025

 

420,000

b 

409,990

 

Cooperatieve Rabobank UA, Sr. Notes

 

1.34

 

6/24/2026

 

280,000

b 

264,674

 

ING Groep NV, Sr. Unscd. Notes

 

3.55

 

4/9/2024

 

200,000

 

199,528

 

Intesa Sanpaolo SpA, Sr. Notes

 

7.20

 

11/28/2033

 

300,000

 

315,025

 

JPMorgan Chase & Co., Sr. Unscd. Notes

 

3.70

 

5/6/2030

 

400,000

 

372,818

 

JPMorgan Chase & Co., Sr. Unscd. Notes

 

3.96

 

1/29/2027

 

255,000

 

249,037

 

JPMorgan Chase & Co., Sr. Unscd. Notes

 

4.45

 

12/5/2029

 

185,000

 

179,028

 

JPMorgan Chase & Co., Sr. Unscd. Notes

 

5.35

 

6/1/2034

 

590,000

 

587,598

 

Lloyds Banking Group PLC, Sr. Unscd. Notes

 

1.63

 

5/11/2027

 

280,000

 

256,910

 

Morgan Stanley, Sr. Unscd. Notes

 

4.00

 

7/23/2025

 

75,000

 

73,729

 

Morgan Stanley, Sr. Unscd. Notes

 

4.43

 

1/23/2030

 

300,000

 

288,141

 

NatWest Group PLC, Sr. Unscd. Notes

 

1.64

 

6/14/2027

 

200,000

 

182,835

 

NatWest Group PLC, Sr. Unscd. Notes

 

4.27

 

3/22/2025

 

250,000

 

249,787

 

Royal Bank of Canada, Sr. Unscd. Notes

 

2.55

 

7/16/2024

 

230,000

 

227,315

 

The Goldman Sachs Group, Inc., Sr. Unscd. Notes

 

3.81

 

4/23/2029

 

610,000

 

576,124

 

The Toronto-Dominion Bank, Sr. Unscd. Notes

 

5.52

 

7/17/2028

 

360,000

a 

366,228

 

Truist Financial Corp., Sr. Unscd. Notes

 

2.50

 

8/1/2024

 

265,000

 

261,338

 

U.S. Bancorp, Sr. Unscd. Notes

 

2.40

 

7/30/2024

 

205,000

 

202,306

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Banks - 2.9%(continued)

     

Wells Fargo & Co., Sr. Unscd. Notes

 

4.15

 

1/24/2029

 

405,000

 

387,915

 

Wells Fargo & Co., Sub. Notes

 

4.30

 

7/22/2027

 

320,000

 

310,728

 
 

8,160,690

 

Beverage Products - .1%

     

PepsiCo, Inc., Sr. Unscd. Notes

 

3.60

 

3/1/2024

 

337,000

 

337,000

 

Building Materials - .2%

     

Carrier Global Corp., Sr. Unscd. Notes

 

2.49

 

2/15/2027

 

395,000

 

367,026

 

Trane Technologies Financing Ltd., Gtd. Notes

 

5.25

 

3/3/2033

 

200,000

 

201,835

 
 

568,861

 

Chemicals - .1%

     

Nutrien Ltd., Sr. Unscd. Notes

 

3.95

 

5/13/2050

 

220,000

 

172,037

 

The Sherwin-Williams Company, Sr. Unscd. Notes

 

2.30

 

5/15/2030

 

75,000

 

63,718

 
 

235,755

 

Commercial Mortgage Pass-Through Certificates - .8%

     

CAMB Commercial Mortgage Trust, Ser. 2019-LIFE, Cl. A, (1 Month TSFR +1.37%)

 

6.69

 

12/15/2037

 

225,000

b,c 

225,060

 

Citigroup Commercial Mortgage Trust, Ser. 2020-GC46, Cl. A2

 

2.71

 

2/15/2053

 

140,000

 

127,857

 

Commercial Mortgage Trust, Ser. 2014-UBS3, Cl. A3

 

3.55

 

6/10/2047

 

175,744

 

175,090

 

CSAIL Commercial Mortgage Trust, Ser. 2017-CX10, Cl. A4

 

3.19

 

11/15/2050

 

240,000

 

220,463

 

DBCG Mortgage Trust, Ser. 2017-BBG, Cl. A, (1 Month PRIME FLAT)

 

8.50

 

6/15/2034

 

335,000

b,c 

335,009

 

GS Mortgage Securities Trust, Ser. 2019-GC39, Cl. A3

 

3.31

 

5/10/2052

 

215,000

 

194,461

 

New Economy Assets Phase 1 Sponsor LLC, Ser. 2021-1, Cl. A1

 

1.91

 

10/20/2061

 

495,000

b 

431,410

 

Wells Fargo Commercial Mortgage Trust, Ser. 2014-LC18, Cl. A4

 

3.15

 

12/15/2047

 

139,152

 

136,416

 

Wells Fargo Commercial Mortgage Trust, Ser. 2020-C56, CI. A5

 

2.45

 

6/15/2053

 

135,000

 

115,488

 

WFRBS Commercial Mortgage Trust, Ser. 2014-C22, Cl. A4

 

3.49

 

9/15/2057

 

160,337

 

158,540

 
 

2,119,794

 

Consumer Discretionary - .1%

     

Marriott International, Inc., Sr. Unscd. Notes, Ser. HH

 

2.85

 

4/15/2031

 

465,000

 

397,152

 

Diversified Financials - .6%

     

Aercap Ireland Capital DAC/AerCap Global Aviation Trust, Gtd. Notes

 

1.75

 

1/30/2026

 

225,000

 

209,154

 

Air Lease Corp., Sr. Unscd. Notes

 

1.88

 

8/15/2026

 

215,000

 

197,505

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Diversified Financials - .6%(continued)

     

Air Lease Corp., Sr. Unscd. Notes

 

2.88

 

1/15/2026

 

135,000

a 

128,805

 

American Express Co., Sr. Unscd. Notes

 

2.50

 

7/30/2024

 

300,000

 

296,172

 

Capital One Financial Corp., Sr. Unscd. Notes

 

6.31

 

6/8/2029

 

198,000

 

202,790

 

Discover Financial Services, Sr. Unscd. Notes

 

6.70

 

11/29/2032

 

342,000

 

358,121

 

Intercontinental Exchange, Inc., Sr. Unscd. Notes

 

4.35

 

6/15/2029

 

130,000

 

126,070

 

Nasdaq, Inc., Sr. Unscd. Notes

 

5.95

 

8/15/2053

 

140,000

a 

144,183

 

USAA Capital Corp., Sr. Unscd. Notes

 

2.13

 

5/1/2030

 

165,000

b 

136,774

 
 

1,799,574

 

Electronic Components - .1%

     

Trimble, Inc., Sr. Unscd. Notes

 

6.10

 

3/15/2033

 

260,000

 

271,846

 

Energy - .8%

     

Cameron LNG LLC, Sr. Scd. Notes

 

3.30

 

1/15/2035

 

260,000

b 

215,213

 

Cheniere Corpus Christi Holdings LLC, Sr. Scd. Notes

 

3.70

 

11/15/2029

 

285,000

 

262,991

 

Enbridge, Inc., Gtd. Notes

 

5.70

 

3/8/2033

 

188,000

 

190,196

 

Enterprise Products Operating LLC, Gtd. Notes

 

2.80

 

1/31/2030

 

185,000

 

164,356

 

Enterprise Products Operating LLC, Gtd. Notes

 

3.30

 

2/15/2053

 

190,000

 

132,465

 

Equinor ASA, Gtd. Notes

 

3.25

 

11/18/2049

 

660,000

 

476,425

 

Kinder Morgan Energy Partners LP, Gtd. Notes

 

5.00

 

3/1/2043

 

140,000

 

122,696

 

Kinder Morgan Energy Partners LP, Gtd. Notes

 

6.55

 

9/15/2040

 

210,000

 

217,347

 

MPLX LP, Sr. Unscd. Notes

 

4.13

 

3/1/2027

 

110,000

 

106,704

 

MPLX LP, Sr. Unscd. Notes

 

5.20

 

3/1/2047

 

210,000

 

188,648

 

ONEOK, Inc., Gtd. Notes

 

5.65

 

11/1/2028

 

76,000

 

77,371

 

Spectra Energy Partners LP, Gtd. Notes

 

4.75

 

3/15/2024

 

75,000

 

74,941

 
 

2,229,353

 

Environmental Control - .3%

     

Republic Services, Inc., Sr. Unscd. Notes

 

2.38

 

3/15/2033

 

525,000

 

420,972

 

Republic Services, Inc., Sr. Unscd. Notes

 

2.50

 

8/15/2024

 

100,000

 

98,598

 

Waste Management, Inc., Gtd. Notes

 

2.00

 

6/1/2029

 

365,000

 

316,076

 

Waste Management, Inc., Gtd. Notes

 

3.15

 

11/15/2027

 

100,000

 

94,168

 
 

929,814

 

Food Products - .2%

     

Conagra Brands, Inc., Sr. Unscd. Notes

 

1.38

 

11/1/2027

 

180,000

 

156,606

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Food Products - .2%(continued)

     

Kraft Heinz Foods Co., Gtd. Notes

 

4.38

 

6/1/2046

 

270,000

 

223,889

 

Mondelez International, Inc., Sr. Unscd. Notes

 

2.13

 

3/17/2024

 

151,000

 

150,793

 
 

531,288

 

Foreign Governmental - .7%

     

British Columbia, Sr. Unscd. Bonds

 

2.25

 

6/2/2026

 

520,000

 

492,973

 

Hungary, Sr. Unscd. Notes

 

5.25

 

6/16/2029

 

250,000

b 

245,909

 

Italy, Sr. Unscd. Notes

 

1.25

 

2/17/2026

 

400,000

 

369,647

 

Italy, Sr. Unscd. Notes

 

2.88

 

10/17/2029

 

225,000

 

198,704

 

Mexico, Sr. Unscd. Notes

 

2.66

 

5/24/2031

 

510,000

 

422,734

 

Romania, Sr. Unscd. Notes

 

6.00

 

5/25/2034

 

210,000

 

204,948

 

Uruguay, Sr. Unscd. Bonds

 

4.38

 

1/23/2031

 

60,000

 

58,525

 
 

1,993,440

 

Health Care - 1.5%

     

AbbVie, Inc., Sr. Unscd. Notes

 

3.20

 

11/21/2029

 

220,000

 

201,360

 

Amgen, Inc., Sr. Unscd. Notes

 

3.15

 

2/21/2040

 

255,000

 

191,450

 

Amgen, Inc., Sr. Unscd. Notes

 

5.65

 

3/2/2053

 

225,000

 

225,066

 

AstraZeneca PLC, Sr. Unscd. Notes

 

1.38

 

8/6/2030

 

160,000

 

129,699

 

Biogen, Inc., Sr. Unscd. Notes

 

2.25

 

5/1/2030

 

235,000

 

196,751

 

Bio-Rad Laboratories, Inc., Sr. Unscd. Notes

 

3.70

 

3/15/2032

 

430,000

 

383,181

 

Bristol-Myers Squibb Co., Sr. Unscd. Notes

 

3.20

 

6/15/2026

 

89,000

 

85,666

 

Bristol-Myers Squibb Co., Sr. Unscd. Notes

 

3.40

 

7/26/2029

 

25,000

 

23,319

 

Cencora, Inc., Sr. Unscd. Notes

 

3.25

 

3/1/2025

 

130,000

 

127,224

 

CVS Health Corp., Sr. Unscd. Notes

 

4.30

 

3/25/2028

 

50,000

 

48,545

 

CVS Health Corp., Sr. Unscd. Notes

 

5.05

 

3/25/2048

 

350,000

a 

312,471

 

DH Europe Finance II SARL, Gtd. Notes

 

2.60

 

11/15/2029

 

180,000

 

160,108

 

GE HealthCare Technologies, Inc., Sr. Unscd. Notes

 

5.91

 

11/22/2032

 

380,000

 

395,090

 

Gilead Sciences, Inc., Sr. Unscd. Notes

 

3.65

 

3/1/2026

 

75,000

 

72,840

 

Gilead Sciences, Inc., Sr. Unscd. Notes

 

4.75

 

3/1/2046

 

110,000

 

100,056

 

Illumina, Inc., Sr. Unscd. Notes

 

5.75

 

12/13/2027

 

86,000

 

86,773

 

Laboratory Corp. of America Holdings, Sr. Unscd. Notes

 

3.60

 

2/1/2025

 

350,000

 

343,121

 

Medtronic, Inc., Gtd. Notes

 

4.63

 

3/15/2045

 

50,000

 

46,444

 

Merck & Co., Inc., Sr. Unscd. Notes

 

3.40

 

3/7/2029

 

60,000

 

56,362

 

Pfizer, Inc., Sr. Unscd. Notes

 

3.45

 

3/15/2029

 

55,000

 

51,732

 

Regeneron Pharmaceuticals, Inc., Sr. Unscd. Notes

 

1.75

 

9/15/2030

 

112,000

 

90,628

 

Royalty Pharma PLC, Gtd. Notes

 

2.15

 

9/2/2031

 

325,000

a 

259,524

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Health Care - 1.5%(continued)

     

The Cigna Group, Gtd. Notes

 

4.38

 

10/15/2028

 

295,000

 

286,478

 

UnitedHealth Group, Inc., Sr. Unscd. Notes

 

2.88

 

8/15/2029

 

150,000

 

136,151

 

UnitedHealth Group, Inc., Sr. Unscd. Notes

 

4.75

 

7/15/2045

 

155,000

 

142,738

 
 

4,152,777

 

Industrial - .1%

     

GE Capital Funding LLC, Gtd. Notes

 

4.55

 

5/15/2032

 

247,000

 

237,484

 

Insurance - .8%

     

Five Corners Funding Trust II, Sr. Unscd. Notes

 

2.85

 

5/15/2030

 

260,000

b 

225,509

 

Jackson Financial, Inc., Sr. Unscd. Notes

 

3.13

 

11/23/2031

 

195,000

 

161,382

 

Massachusetts Mutual Life Insurance Co., Sub. Notes

 

3.38

 

4/15/2050

 

225,000

b 

154,696

 

MassMutual Global Funding II, Scd. Notes

 

2.95

 

1/11/2025

 

200,000

b 

195,911

 

Metropolitan Life Global Funding I, Sr. Scd. Notes

 

3.00

 

9/19/2027

 

545,000

b 

506,863

 

New York Life Insurance Co., Sub. Notes

 

3.75

 

5/15/2050

 

339,000

b 

259,243

 

Pacific Life Global Funding II, Scd. Notes

 

1.20

 

6/24/2025

 

375,000

b 

355,997

 

Pacific Life Global Funding II, Scd. Notes

 

1.38

 

4/14/2026

 

270,000

b 

249,430

 

Pricoa Global Funding I, Scd. Notes

 

2.40

 

9/23/2024

 

155,000

b 

152,300

 

Principal Financial Group, Inc., Gtd. Notes

 

4.30

 

11/15/2046

 

125,000

 

103,702

 
 

2,365,033

 

Internet Software & Services - .1%

     

Meta Platforms, Inc., Sr. Unscd. Notes

 

5.60

 

5/15/2053

 

225,000

a 

233,121

 

Media - .3%

     

Charter Communications Operating LLC/Charter Communications Operating Capital, Sr. Scd. Notes

 

4.91

 

7/23/2025

 

185,000

 

182,490

 

Comcast Corp., Gtd. Notes

 

2.65

 

2/1/2030

 

335,000

 

294,686

 

Comcast Corp., Gtd. Notes

 

2.89

 

11/1/2051

 

210,000

 

133,070

 

Comcast Corp., Gtd. Notes

 

6.50

 

11/15/2035

 

43,000

 

46,830

 

The Walt Disney Company, Gtd. Notes

 

6.65

 

11/15/2037

 

245,000

 

277,685

 
 

934,761

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Metals & Mining - .2%

     

Anglo American Capital PLC, Gtd. Notes

 

2.63

 

9/10/2030

 

400,000

b 

337,004

 

Glencore Funding LLC, Gtd. Notes

 

2.63

 

9/23/2031

 

415,000

b 

344,510

 
 

681,514

 

Municipal Securities - .5%

     

California, GO, Ser. A

 

2.38

 

10/1/2026

 

230,000

 

217,152

 

Central Florida Tourism Oversight District, GO, Refunding, Ser. A

 

2.40

 

6/1/2032

 

65,000

 

54,298

 

Central Florida Tourism Oversight District, GO, Refunding, Ser. A

 

2.45

 

6/1/2033

 

65,000

 

53,342

 

Central Florida Tourism Oversight District, GO, Refunding, Ser. A

 

2.50

 

6/1/2034

 

50,000

 

40,319

 

Connecticut, GO, Ser. A

 

2.10

 

7/1/2025

 

40,000

 

38,545

 

Dallas Fort Worth International Airport, Revenue Bonds, Refunding, Ser. C

 

2.92

 

11/1/2050

 

160,000

 

114,161

 

Honolulu City & County Wastewater System, Revenue Bonds, Refunding, Ser. B

 

2.50

 

7/1/2027

 

25,000

 

23,365

 

Los Angeles Department of Water & Power, Revenue Bonds (Build America Bonds)

 

5.72

 

7/1/2039

 

120,000

 

125,594

 

Massachusetts School Building Authority, Revenue Bonds, Refunding, Ser. B

 

2.44

 

10/15/2027

 

115,000

 

107,056

 

Metropolitan Transportation Authority, Revenue Bonds (Build America Bonds)

 

6.55

 

11/15/2031

 

225,000

 

238,638

 

Metropolitan Transportation Authority, Revenue Bonds (Build America Bonds) Ser. A2

 

6.09

 

11/15/2040

 

10,000

 

10,638

 

Miami-Dade County Water & Sewer System, Revenue Bonds, Refunding, Ser. C

 

2.55

 

10/1/2028

 

250,000

 

228,523

 

New York City, GO (Build America Bonds) Ser. D

 

5.99

 

12/1/2036

 

135,000

 

142,357

 

Wisconsin, Revenue Bonds, Refunding, Ser. A

 

2.20

 

5/1/2027

 

135,000

 

125,460

 
 

1,519,448

 

Real Estate - 1.0%

     

Alexandria Real Estate Equities, Inc., Gtd. Notes

 

3.80

 

4/15/2026

 

225,000

 

218,612

 

American Homes 4 Rent LP, Sr. Unscd. Notes

 

2.38

 

7/15/2031

 

258,000

 

208,018

 

American Tower Corp., Sr. Unscd. Notes

 

5.55

 

7/15/2033

 

240,000

a 

239,950

 

AvalonBay Communities, Inc., Sr. Unscd. Notes

 

3.30

 

6/1/2029

 

215,000

 

198,281

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Real Estate - 1.0%(continued)

     

Crown Castle, Inc., Sr. Unscd. Notes

 

2.25

 

1/15/2031

 

740,000

 

605,131

 

Healthcare Realty Holdings LP, Gtd. Notes

 

3.10

 

2/15/2030

 

235,000

 

202,479

 

Prologis LP, Sr. Unscd. Notes

 

2.13

 

4/15/2027

 

40,000

 

36,755

 

Prologis LP, Sr. Unscd. Notes

 

2.25

 

4/15/2030

 

120,000

 

102,983

 

Realty Income Corp., Sr. Unscd. Notes

 

2.85

 

12/15/2032

 

225,000

 

185,545

 

SBA Tower Trust, Asset Backed Notes

 

2.84

 

1/15/2025

 

210,000

b 

205,302

 

Simon Property Group LP, Sr. Unscd. Notes

 

3.50

 

9/1/2025

 

230,000

a 

224,475

 

WP Carey, Inc., Sr. Unscd. Notes

 

2.25

 

4/1/2033

 

295,000

 

224,072

 
 

2,651,603

 

Retailing - .3%

     

7-Eleven, Inc., Sr. Unscd. Notes

 

2.80

 

2/10/2051

 

280,000

a,b 

173,733

 

Dollar General Corp., Sr. Unscd. Notes

 

3.50

 

4/3/2030

 

200,000

 

181,076

 

Dollar Tree, Inc., Sr. Unscd. Notes

 

4.20

 

5/15/2028

 

110,000

a 

106,150

 

Lowe's Cos., Inc., Sr. Unscd. Notes

 

5.63

 

4/15/2053

 

357,000

a 

354,644

 
 

815,603

 

Semiconductors & Semiconductor Equipment - .3%

     

Broadcom, Inc., Sr. Unscd. Notes

 

3.42

 

4/15/2033

 

225,000

b 

192,243

 

NXP BV/ NXP Funding LLC/ NXP USA, Inc., Gtd. Notes

 

2.65

 

2/15/2032

 

410,000

 

336,579

 

SK Hynix, Inc., Sr. Unscd. Notes

 

5.50

 

1/16/2029

 

210,000

a 

209,759

 
 

738,581

 

Supranational Bank - .4%

     

Asian Development Bank, Sr. Unscd. Notes

 

4.00

 

1/12/2033

 

520,000

 

504,699

 

International Finance Facility for Immunisation Co., Sr. Unscd. Notes

 

1.00

 

4/21/2026

 

560,000

 

516,936

 
 

1,021,635

 

Technology Hardware & Equipment - .2%

     

Apple, Inc., Sr. Unscd. Notes

 

3.00

 

6/20/2027

 

330,000

 

313,222

 

Dell International LLC/EMC Corp., Sr. Unscd. Notes

 

6.02

 

6/15/2026

 

68,000

 

68,766

 

Hewlett Packard Enterprise Co., Sr. Unscd. Notes

 

4.90

 

10/15/2025

 

105,000

 

104,321

 
 

486,309

 

Telecommunication Services - .6%

     

AT&T, Inc., Sr. Unscd. Notes

 

2.55

 

12/1/2033

 

438,000

 

345,610

 

Sprint Spectrum Co. LLC/ Sprint Spectrum Co. II LLC/ Sprint Spectrum Co. III LLC, Sr. Scd. Notes

 

4.74

 

3/20/2025

 

62,500

b 

62,092

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

Telecommunication Services - .6%(continued)

     

Telefonica Emisiones SA, Gtd. Notes

 

5.21

 

3/8/2047

 

150,000

 

135,017

 

T-Mobile USA, Inc., Gtd. Notes

 

3.88

 

4/15/2030

 

270,000

 

250,761

 

T-Mobile USA, Inc., Gtd. Notes

 

5.20

 

1/15/2033

 

180,000

 

178,994

 

Verizon Communications, Inc., Sr. Unscd. Notes

 

2.36

 

3/15/2032

 

51,000

 

41,368

 

Verizon Communications, Inc., Sr. Unscd. Notes

 

3.88

 

2/8/2029

 

140,000

a 

133,002

 

Verizon Communications, Inc., Sr. Unscd. Notes

 

4.02

 

12/3/2029

 

495,000

 

469,286

 
 

1,616,130

 

Transportation - .4%

     

Canadian Pacific Railway Co., Gtd. Notes

 

2.45

 

12/2/2031

 

130,000

 

115,677

 

Canadian Pacific Railway Co., Gtd. Notes

 

3.00

 

12/2/2041

 

125,000

 

106,291

 

CSX Corp., Sr. Unscd. Notes

 

2.60

 

11/1/2026

 

380,000

a 

358,761

 

CSX Corp., Sr. Unscd. Notes

 

3.35

 

11/1/2025

 

205,000

 

199,086

 

FedEx Corp., Gtd. Notes

 

4.40

 

1/15/2047

 

205,000

 

170,498

 

Ryder System, Inc., Sr. Unscd. Notes

 

5.25

 

6/1/2028

 

158,000

 

158,398

 
 

1,108,711

 

U.S. Government Agencies Collateralized Mortgage Obligations - .4%

     

Federal Home Loan Mortgage Corp. Seasoned Loans Structured Transaction Trust, Ser. 2019-2, Cl. A2C

 

2.75

 

9/25/2029

 

265,000

d 

236,404

 

Federal Home Loan Mortgage Corp. Seasoned Loans Structured Transaction Trust, Ser. 2019-3, Cl. A2C

 

2.75

 

11/25/2029

 

255,000

d 

226,743

 

Government National Mortgage Association, Ser. 2022-173, Cl. PQ

 

5.00

 

6/20/2051

 

461,788

 

454,848

 

Government National Mortgage Association, Ser. 2022-177, CI. PL

 

6.00

 

6/20/2051

 

233,355

 

236,674

 
 

1,154,669

 

U.S. Government Agencies Collateralized Municipal-Backed Securities - .5%

     

Federal Home Loan Mortgage Corp. Multifamily Structured Pass Through Certificates, Ser. K089, Cl. A2

 

3.56

 

1/25/2029

 

560,000

d 

532,563

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

U.S. Government Agencies Collateralized Municipal-Backed Securities - .5%(continued)

     

Federal Home Loan Mortgage Corp. Multifamily Structured Pass Through Certificates, Ser. K090, Cl. A2

 

3.42

 

2/25/2029

 

545,000

d 

514,800

 

Federal Home Loan Mortgage Corp. Multifamily Structured Pass Through Certificates, Ser. K095, Cl. A2

 

2.79

 

6/25/2029

 

515,000

d 

469,989

 
 

1,517,352

 

U.S. Government Agencies Mortgage-Backed - 9.6%

     

Federal Home Loan Mortgage Corp.:

   

2.00%, 9/1/2050-12/1/2051

  

2,379,269

d 

1,879,260

 

2.50%, 11/1/2027-9/1/2050

  

1,264,408

d 

1,053,682

 

3.00%, 6/1/2031-12/1/2046

  

468,448

d 

419,647

 

3.50%, 4/1/2035-9/1/2049

  

1,247,262

d 

1,153,923

 

5.50%, 1/1/2036-8/1/2053

  

971,186

d 

971,004

 

Federal National Mortgage Association:

   

1.50%, 3/1/2051

  

483,232

d 

362,012

 

2.00%, 8/1/2036-12/1/2051

  

5,713,693

d 

4,567,499

 

2.50%, 9/1/2028-1/1/2052

  

3,779,001

d 

3,159,646

 

3.00%, 6/1/2028-12/1/2050

  

3,133,796

d 

2,787,265

 

3.50%, 8/1/2034-10/1/2050

  

2,988,236

d 

2,726,370

 

4.00%, 7/1/2042-8/1/2052

  

3,797,145

d 

3,531,291

 

4.50%, 2/1/2039-10/1/2052

  

2,193,868

d 

2,107,810

 

5.00%, 4/1/2035-12/1/2048

  

243,902

d 

241,750

 

5.50%, 9/1/2034-5/1/2039

  

20,157

d 

20,475

 

8.00%, 3/1/2030

  

67

d 

67

 

Government National Mortgage Association I:

   

5.50%, 4/15/2033

  

6,702

 

6,835

 

Government National Mortgage Association II:

   

3.00%, 1/20/2045-9/20/2051

  

1,227,710

 

1,081,793

 

3.50%, 7/20/2047-2/20/2052

  

775,856

 

705,375

 

4.00%, 10/20/2047-1/20/2048

  

186,901

 

175,991

 

4.50%, 7/20/2048

  

59,602

 

57,705

 
 

27,009,400

 

U.S. Treasury Securities - 8.8%

     

U.S. Treasury Bonds 

 

1.75

 

8/15/2041

 

5,195,000

 

3,461,372

 

U.S. Treasury Bonds 

 

2.25

 

2/15/2052

 

4,970,000

 

3,252,438

 

U.S. Treasury Bonds 

 

2.38

 

5/15/2051

 

2,703,000

 

1,824,842

 

U.S. Treasury Inflation Indexed Notes 

 

0.13

 

1/15/2031

 

530,262

e 

470,186

 

U.S. Treasury Inflation Indexed Notes 

 

0.13

 

4/15/2027

 

1,347,161

e 

1,270,109

 

U.S. Treasury Notes 

 

0.88

 

9/30/2026

 

1,825,000

 

1,667,023

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Bonds and Notes - 36.2%(continued)

     

U.S. Treasury Securities - 8.8%(continued)

     

U.S. Treasury Notes 

 

1.13

 

1/15/2025

 

1,080,000

a 

1,043,763

 

U.S. Treasury Notes 

 

3.63

 

5/31/2028

 

2,250,000

a 

2,190,630

 

U.S. Treasury Notes 

 

3.63

 

3/31/2030

 

915,000

 

883,118

 

U.S. Treasury Notes 

 

4.13

 

7/31/2028

 

3,604,000

a 

3,579,363

 

U.S. Treasury Notes 

 

4.75

 

7/31/2025

 

3,130,000

 

3,126,454

 

U.S. Treasury Strip Principal, Bonds

 

0.00

 

5/15/2043

 

2,510,000

a,f 

1,056,084

 

U.S. Treasury Strip Principal, Bonds

 

0.00

 

2/15/2049

 

2,500,000

f 

827,755

 
 

24,653,137

 

Utilities - 1.5%

     

American Electric Power Co., Inc., Sr. Unscd. Notes

 

3.25

 

3/1/2050

 

155,000

 

106,622

 

Berkshire Hathaway Energy Co., Sr. Unscd. Notes

 

3.25

 

4/15/2028

 

95,000

 

89,035

 

CenterPoint Energy Houston Electric LLC, Mortgage Notes

 

5.15

 

3/1/2034

 

1,050,000

 

1,048,868

 

Consolidated Edison Company of New York, Inc., Sr. Unscd. Debs., Ser. 20A

 

3.35

 

4/1/2030

 

170,000

 

155,529

 

Dominion Energy, Inc., Sr. Unscd. Notes

 

3.90

 

10/1/2025

 

165,000

 

161,197

 

Duke Energy Corp., Sr. Unscd. Notes

 

3.15

 

8/15/2027

 

275,000

 

257,980

 

Electricite de France SA, Sr. Unscd. Notes

 

6.25

 

5/23/2033

 

200,000

a,b 

209,035

 

Eversource Energy, Sr. Unscd. Notes, Ser. O

 

4.25

 

4/1/2029

 

215,000

 

205,155

 

Kentucky Utilities Co., First Mortgage Bonds

 

4.38

 

10/1/2045

 

105,000

 

88,375

 

Louisville Gas & Electric Co., First Mortgage Bonds

 

4.38

 

10/1/2045

 

125,000

 

105,347

 

NiSource, Inc., Sr. Unscd. Notes

 

5.25

 

3/30/2028

 

25,000

 

25,125

 

NiSource, Inc., Sr. Unscd. Notes

 

5.65

 

2/1/2045

 

230,000

 

225,765

 

NRG Energy, Inc., Sr. Scd. Notes

 

2.45

 

12/2/2027

 

440,000

b 

393,242

 

Potomac Electric Power Co., First Mortgage Bonds

 

5.20

 

3/15/2034

 

607,000

 

604,378

 

Sempra, Sr. Unscd. Notes

 

3.40

 

2/1/2028

 

100,000

 

94,092

 

Sierra Pacific Power Co., Mortgage Notes, Ser. P

 

6.75

 

7/1/2037

 

25,000

 

26,652

 

Southern California Edison Co., First Mortgage Bonds

 

3.65

 

2/1/2050

 

40,000

a 

29,311

 

Southern California Edison Co., First Mortgage Bonds, Ser. A

 

4.20

 

3/1/2029

 

235,000

 

226,513

 

The AES Corp., Sr. Unscd. Notes

 

5.45

 

6/1/2028

 

132,000

 

131,673

 
 

4,183,894

 

Total Bonds and Notes
(cost $112,136,956)

 

101,862,768

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

    

Shares

 

Value ($)

 

Common Stocks - 60.4%

     

Advertising - .5%

     

Publicis Groupe SA 

     

7,278

g 

769,566

 

The Interpublic Group of Companies, Inc. 

     

22,946

 

720,504

 
 

1,490,070

 

Aerospace & Defense - 1.5%

     

BAE Systems PLC 

     

16,870

 

264,574

 

Howmet Aerospace, Inc. 

     

22,649

 

1,507,291

 

L3Harris Technologies, Inc. 

     

3,633

 

768,961

 

Melrose Industries PLC 

     

16,118

g 

129,297

 

Northrop Grumman Corp. 

     

1,487

 

685,537

 

The Boeing Company 

     

4,608

g 

938,742

 
 

4,294,402

 

Agriculture - .4%

     

British American Tobacco PLC 

     

7,972

 

236,559

 

Darling Ingredients, Inc. 

     

8,766

g 

370,889

 

Philip Morris International, Inc. 

     

4,843

 

435,676

 
 

1,043,124

 

Automobiles & Components - .6%

     

Cie Generale des Etablissements Michelin SCA 

     

10,708

 

396,944

 

Daimler Truck Holding AG 

     

2,279

 

93,082

 

General Motors Co. 

     

16,426

 

673,137

 

Mercedes-Benz Group AG 

     

7,349

 

585,358

 
 

1,748,521

 

Banks - 2.6%

     

Bank of America Corp. 

     

21,474

 

741,282

 

BNP Paribas SA 

     

9,150

 

548,308

 

Citigroup, Inc. 

     

17,410

 

966,081

 

First Horizon Corp. 

     

37,880

 

534,108

 

ING Groep NV 

     

35,122

 

482,086

 

JPMorgan Chase & Co. 

     

16,113

 

2,997,985

 

Mizuho Financial Group, Inc. 

     

6,300

 

117,476

 

Sumitomo Mitsui Financial Group, Inc. 

     

9,100

 

506,793

 

Truist Financial Corp. 

     

13,523

 

473,035

 
 

7,367,154

 

Beverage Products - .2%

     

Diageo PLC 

     

16,520

 

618,105

 

Building Materials - 1.4%

     

CRH PLC 

     

11,971

 

1,009,275

 

CRH PLC 

     

6,370

 

529,086

 

Johnson Controls International PLC 

     

13,869

 

822,016

 

Trane Technologies PLC 

     

6,140

 

1,731,296

 
 

4,091,673

 


          
 

Description

    

Shares

 

Value ($)

 

Common Stocks - 60.4%(continued)

     

Chemicals - .5%

     

CF Industries Holdings, Inc. 

     

8,480

 

684,506

 

Evonik Industries AG 

     

11,173

g 

205,927

 

Vulcan Materials Co. 

     

1,228

 

326,464

 

Yara International ASA 

     

2,525

 

78,521

 
 

1,295,418

 

Commercial & Professional Services - 2.0%

     

Ashtead Group PLC 

     

2,546

 

183,767

 

Block, Inc. 

     

25,987

g 

2,065,187

 

Brambles Ltd. 

     

10,236

 

100,311

 

Cintas Corp. 

     

1,885

 

1,184,930

 

CoStar Group, Inc. 

     

25,489

g 

2,218,308

 
 

5,752,503

 

Consumer Discretionary - 1.5%

     

Aristocrat Leisure Ltd. 

     

2,074

 

62,958

 

Bunzl PLC 

     

2,364

 

94,240

 

Dolby Laboratories, Inc., Cl. A 

     

7,003

 

567,243

 

Ferguson PLC 

     

665

 

138,715

 

International Game Technology PLC 

     

20,972

g 

569,809

 

ITOCHU Corp. 

     

10,800

 

470,660

 

Las Vegas Sands Corp. 

     

24,436

 

1,332,251

 

Peloton Interactive, Inc., Cl. A 

     

43,385

a,g 

196,100

 

Planet Fitness, Inc., Cl. A 

     

8,190

g 

508,189

 

Sony Group Corp. 

     

2,400

 

206,332

 
 

4,146,497

 

Consumer Durables & Apparel - .3%

     

Burberry Group PLC 

     

9,047

 

146,712

 

Kering SA 

     

798

 

367,781

 

LVMH Moet Hennessy Louis Vuitton SE 

     

393

 

359,937

 
 

874,430

 

Consumer Staples - .4%

     

Kenvue, Inc. 

     

53,710

 

1,020,490

 

Unilever PLC 

     

1,638

 

80,105

 
 

1,100,595

 

Diversified Financials - 2.5%

     

Ameriprise Financial, Inc. 

     

789

 

321,407

 

Ares Management Corp., Cl. A 

     

6,214

 

824,163

 

ASX Ltd. 

     

10,246

 

438,351

 

CME Group, Inc. 

     

7,097

 

1,563,824

 

LPL Financial Holdings, Inc. 

     

2,508

 

671,868

 

Morgan Stanley 

     

5,456

 

469,434

 

Singapore Exchange Ltd. 

     

28,700

 

202,382

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

    

Shares

 

Value ($)

 

Common Stocks - 60.4%(continued)

     

Diversified Financials - 2.5%(continued)

     

The Goldman Sachs Group, Inc. 

     

4,179

 

1,625,840

 

Voya Financial, Inc. 

     

14,205

 

971,054

 
 

7,088,323

 

Electronic Components - 1.1%

     

AMETEK, Inc. 

     

8,821

 

1,589,368

 

Casio Computer Co. Ltd. 

     

15,600

 

124,673

 

Eaton Corp. PLC 

     

2,431

 

702,559

 

Hubbell, Inc. 

     

1,860

 

708,046

 
 

3,124,646

 

Energy - 3.7%

     

BP PLC 

     

32,854

 

191,830

 

ConocoPhillips 

     

13,749

 

1,547,312

 

Diamondback Energy, Inc. 

     

2,361

 

430,930

 

Eni SpA 

     

13,099

 

201,691

 

EQT Corp. 

     

76,688

 

2,848,959

 

Marathon Petroleum Corp. 

     

5,060

 

856,304

 

Occidental Petroleum Corp. 

     

18,218

 

1,104,193

 

OMV AG 

     

4,276

g 

188,399

 

Phillips 66 

     

7,913

 

1,127,682

 

Schlumberger NV 

     

24,697

 

1,193,606

 

Shell PLC 

     

21,251

 

659,456

 
 

10,350,362

 

Environmental Control - .7%

     

Veralto Corp. 

     

13,909

 

1,202,016

 

Waste Connections, Inc. 

     

3,968

 

660,434

 
 

1,862,450

 

Food Products - .2%

     

Koninklijke Ahold Delhaize NV 

     

7,368

 

219,189

 

Tate & Lyle PLC 

     

35,667

g 

270,411

 
 

489,600

 

Health Care - 10.5%

     

AbbVie, Inc. 

     

3,653

 

643,111

 

Alcon, Inc. 

     

7,346

g 

621,104

 

Alcon, Inc. 

      

a,g 

0

 

Align Technology, Inc. 

     

3,302

g 

998,591

 

Alnylam Pharmaceuticals, Inc. 

     

4,320

g 

652,709

 

Amgen, Inc. 

     

1,175

 

321,750

 

Bayer AG 

     

11,000

 

334,173

 

Becton, Dickinson and Co. 

     

6,267

 

1,476,192

 

Biogen, Inc. 

     

1,194

g 

259,086

 

BioMarin Pharmaceutical, Inc. 

     

12,223

g 

1,054,600

 

Bio-Techne Corp. 

     

13,069

 

961,486

 

Boston Scientific Corp. 

     

26,519

g 

1,755,823

 

Centene Corp. 

     

11,031

g 

865,161

 


          
 

Description

    

Shares

 

Value ($)

 

Common Stocks - 60.4%(continued)

     

Health Care - 10.5%(continued)

     

Danaher Corp. 

     

12,010

 

3,040,211

 

DexCom, Inc. 

     

12,527

g 

1,441,482

 

Eli Lilly & Co. 

     

1,903

 

1,434,253

 

FUJIFILM Holdings Corp. 

     

1,900

 

120,364

 

Globus Medical, Inc., Cl. A 

     

11,113

g 

599,991

 

GSK PLC 

     

14,340

 

301,185

 

Illumina, Inc. 

     

13,877

g 

1,940,421

 

Inspire Medical Systems, Inc. 

     

2,138

g 

382,788

 

Intuitive Surgical, Inc. 

     

4,172

g 

1,608,723

 

Medtronic PLC 

     

19,648

 

1,637,857

 

Novartis AG 

     

979

 

98,961

 

Regeneron Pharmaceuticals, Inc. 

     

816

g 

788,329

 

Repligen Corp. 

     

3,593

g 

697,006

 

Roche Holding AG 

     

1,227

 

321,609

 

Sanofi SA 

     

5,350

 

508,303

 

Sanofi SA, ADR 

     

12,778

g 

611,427

 

Sarepta Therapeutics, Inc. 

     

8,522

g 

1,089,964

 

Shionogi & Co. Ltd. 

     

2,000

 

99,747

 

Sonova Holding AG 

     

944

g 

290,947

 

UnitedHealth Group, Inc. 

     

4,238

 

2,091,877

 

Zoetis, Inc. 

     

3,002

 

595,387

 
 

29,644,618

 

Industrial - .8%

     

ACS Actividades de Construccion y Servicios SA 

     

3,356

a 

137,603

 

Ingersoll Rand, Inc. 

     

18,179

 

1,660,288

 

Mitsubishi Electric Corp. 

     

6,700

 

105,974

 

Vinci SA 

     

2,283

 

292,276

 
 

2,196,141

 

Information Technology - 5.9%

     

Akamai Technologies, Inc. 

     

5,477

g 

607,509

 

CACI International, Inc., Cl. A 

     

1,805

g 

676,604

 

Dynatrace, Inc. 

     

12,061

g 

597,623

 

HubSpot, Inc. 

     

2,486

g 

1,538,362

 

International Business Machines Corp. 

     

5,607

 

1,037,463

 

Microsoft Corp. 

     

20,232

 

8,368,764

 

MongoDB, Inc. 

     

1,591

g 

712,100

 

Roper Technologies, Inc. 

     

2,416

 

1,316,068

 

Snowflake, Inc., Cl. A 

     

4,325

g 

814,311

 

Twilio, Inc., Cl. A 

     

16,840

g 

1,003,496

 
 

16,672,300

 

Insurance - 3.2%

     

Allianz SE 

     

850

 

233,223

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

    

Shares

 

Value ($)

 

Common Stocks - 60.4%(continued)

     

Insurance - 3.2%(continued)

     

American International Group, Inc. 

     

11,357

 

827,812

 

Aon PLC, Cl. A 

     

1,034

 

326,734

 

Assurant, Inc. 

     

5,536

 

1,004,507

 

AXA SA 

     

4,700

 

167,126

 

Berkshire Hathaway, Inc., Cl. B 

     

5,757

g 

2,356,916

 

Hiscox Ltd. 

     

25,195

g 

360,959

 

Muenchener Rueckversicherungs-Gesellschaft AG 

     

329

 

153,088

 

RenaissanceRe Holdings Ltd. 

     

5,623

 

1,264,163

 

The Allstate Corp. 

     

8,787

 

1,401,702

 

Willis Towers Watson PLC 

     

3,823

 

1,042,188

 
 

9,138,418

 

Internet Software & Services - 7.2%

     

Alphabet, Inc., Cl. A 

     

4,947

g 

684,962

 

Alphabet, Inc., Cl. C 

     

46,149

g 

6,450,707

 

Amazon.com, Inc. 

     

46,374

g 

8,197,068

 

Chewy, Inc., Cl. A 

     

13,195

a,g 

232,760

 

Pinterest, Inc., Cl. A 

     

24,841

g 

911,665

 

Shopify, Inc., Cl. A 

     

26,565

g 

2,028,769

 

Trend Micro, Inc. 

     

1,100

 

53,592

 

Uber Technologies, Inc. 

     

20,148

g 

1,601,766

 
 

20,161,289

 

Media - .6%

     

Netflix, Inc. 

     

1,462

g 

881,469

 

The Walt Disney Company 

     

7,696

 

858,720

 
 

1,740,189

 

Metals & Mining - .8%

     

Freeport-McMoRan, Inc. 

     

26,263

 

993,004

 

Newmont Corp. 

     

30,837

 

963,656

 

Rio Tinto PLC 

     

3,983

 

255,606

 
 

2,212,266

 

Real Estate - .1%

     

Klepierre SA 

     

4,781

 

121,414

 

Sun Hung Kai Properties Ltd. 

     

15,500

 

157,246

 
 

278,660

 

Retailing - .7%

     

Lululemon Athletica, Inc. 

     

1,157

g 

540,423

 

Restaurant Brands International, Inc. 

     

7,788

a 

604,738

 

RH 

     

1,555

g 

426,692

 

Ross Stores, Inc. 

     

3,035

 

452,094

 
 

2,023,947

 

Semiconductors & Semiconductor Equipment - 5.5%

     

Advanced Micro Devices, Inc. 

     

1,846

g 

355,410

 


          
 

Description

    

Shares

 

Value ($)

 

Common Stocks - 60.4%(continued)

     

Semiconductors & Semiconductor Equipment - 5.5%(continued)

     

Advantest Corp. 

     

2,800

 

131,473

 

Applied Materials, Inc. 

     

14,896

 

3,003,332

 

ASML Holding NV 

     

384

 

363,310

 

Intel Corp. 

     

13,236

 

569,810

 

Micron Technology, Inc. 

     

12,284

 

1,113,053

 

NVIDIA Corp. 

     

11,926

 

9,434,897

 

Renesas Electronics Corp. 

     

10,900

 

179,310

 

STMicroelectronics NV 

     

1,848

 

84,014

 

Tokyo Electron Ltd. 

     

1,200

 

296,751

 
 

15,531,360

 

Technology Hardware & Equipment - 2.7%

     

Apple, Inc. 

     

40,624

 

7,342,788

 

Fujitsu Ltd. 

     

1,100

 

171,586

 
 

7,514,374

 

Telecommunication Services - 1.1%

     

AT&T, Inc. 

     

58,099

 

983,616

 

Cisco Systems, Inc. 

     

25,691

 

1,242,674

 

Nippon Telegraph & Telephone Corp. 

     

190,000

 

231,352

 

Orange SA 

     

48,174

 

552,276

 
 

3,009,918

 

Transportation - .6%

     

AP Moller - Maersk A/S, Cl. B 

     

39

 

55,075

 

DHL Group 

     

5,345

g 

247,939

 

FedEx Corp. 

     

4,060

 

1,010,818

 

Kuehne + Nagel International AG 

     

791

g 

266,308

 
 

1,580,140

 

Utilities - .6%

     

Constellation Energy Corp. 

     

7,059

 

1,189,089

 

Enel SpA 

     

25,892

 

164,794

 

SSE PLC 

     

10,197

 

209,275

 
 

1,563,158

 

Total Common Stocks
(cost $118,943,994)

 

170,004,651

 
         

Preferred Stocks - .1%

     

Automobiles & Components - .1%

     

Volkswagen AG 
(cost $262,276)

 

7.40

   

1,687

g 

228,649

 
         

Exchange-Traded Funds - 1.3%

     

Registered Investment Companies - 1.3%

     

iShares Core U.S. Aggregate Bond ETF 

     

16,639

 

1,619,807

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity Date

 

Principal Amount ($)

 

Value ($)

 

Exchange-Traded Funds - 1.3%(continued)

     

Registered Investment Companies - 1.3%(continued)

     

iShares MSCI EAFE ETF 

     

5,516

 

426,111

 

SPDR S&P 500 ETF Trust 

     

3,121

 

1,585,718

 

Total Exchange-Traded Funds
(cost $3,363,427)

 

3,631,636

 

Description

1-Day
Yield (%)

   

Shares

 

Value ($)

 

Investment Companies - 2.1%

     

Registered Investment Companies - 2.1%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund, Institutional Shares 
(cost $5,991,323)

 

5.41

   

5,991,323

h 

5,991,323

 
         

Investment of Cash Collateral for Securities Loaned - 1.8%

     

Registered Investment Companies - 1.8%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund, Institutional Shares 
(cost $4,953,004)

 

5.41

   

4,953,004

h 

4,953,004

 

Total Investments (cost $245,650,980)

 

101.9%

286,672,031

 

Liabilities, Less Cash and Receivables

 

(1.9%)

(5,244,374)

 

Net Assets

 

100.0%

281,427,657

 

ADR—American Depositary Receipt

ETF—Exchange-Traded Fund

GO—General Obligation

PRIME—Prime Lending Rate

SPDR—Standard & Poor's Depository Receipt

TSFR—Term Secured Overnight Financing Rate Reference Rates

a Security, or portion thereof, on loan. At February 29, 2024, the value of the fund’s securities on loan was $12,582,102 and the value of the collateral was $12,910,386, consisting of cash collateral of $4,953,004 and U.S. Government & Agency securities valued at $7,957,382. In addition, the value of collateral may include pending sales that are also on loan.

b Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At February 29, 2024, these securities were valued at $8,149,217 or 2.9% of net assets.

c Variable rate security—interest rate resets periodically and rate shown is the interest rate in effect at period end. Security description also includes the reference rate and spread if published and available.

d The Federal Housing Finance Agency (“FHFA”) placed the Federal Home Loan Mortgage Corporation and Federal National Mortgage Association into conservatorship with FHFA as the conservator. As such, the FHFA oversees the continuing affairs of these companies.

e Principal amount for accrual purposes is periodically adjusted based on changes in the Consumer Price Index.

f Zero coupon until a specified date at which time the stated coupon rate becomes effective until maturity.

g Non-income producing security.

h Investment in affiliated issuer. The investment objective of this investment company is publicly available and can be found within the investment company’s prospectus.


STATEMENT OF INVESTMENTS
BNY Mellon Balanced Opportunity Fund

February 29, 2024 (Unaudited)

The following is a summary of the inputs used as of February 29, 2024 in valuing the fund’s investments:

       
 

Level 1-Unadjusted Quoted Prices

Level 2- Other Significant Observable Inputs

 

Level 3-Significant Unobservable Inputs

Total

 

Assets ($) 

  

Investments in Securities:

  

Asset-Backed Securities

-

3,885,875

 

-

3,885,875

 

Commercial Mortgage-Backed

-

1,688,384

 

-

1,688,384

 

Corporate Bonds

-

38,441,063

 

-

38,441,063

 

Equity Securities - Common Stocks

152,668,210

17,336,441

†† 

-

170,004,651

 

Equity Securities - Preferred Stocks

-

228,649

†† 

-

228,649

 

Exchange-Traded Funds

3,631,636

-

 

-

3,631,636

 

Foreign Governmental

-

1,993,440

 

-

1,993,440

 

Investment Companies

10,944,327

-

 

-

10,944,327

 

Municipal Securities

-

1,519,448

 

-

1,519,448

 

U.S. Government Agencies Collateralized Mortgage Obligations

-

1,154,669

 

-

1,154,669

 

U.S. Government Agencies Collateralized Municipal-Backed Securities

-

1,517,352

 

-

1,517,352

 

U.S. Government Agencies Mortgage-Backed

-

27,009,400

 

-

27,009,400

 

U.S. Treasury Securities

-

24,653,137

 

-

24,653,137

 

 See Statement of Investments for additional detailed categorizations, if any.

†† Securities classified within Level 2 at period end as the values were determined pursuant to the fund’s fair valuation procedures.


The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the SEC under authority of federal laws are also sources of authoritative GAAP for SEC registrants. The fund is an investment company and applies the accounting and reporting guidance of the FASB ASC Topic 946 Financial Services-Investment Companies. The fund’s financial statements are prepared in accordance with GAAP, which may require the use of management estimates and assumptions. Actual results could differ from those estimates.

The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price). GAAP establishes a fair value hierarchy that prioritizes the inputs of valuation techniques used to measure fair value. This hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements).

Additionally, GAAP provides guidance on determining whether the volume and activity in a market has decreased significantly and whether such a decrease in activity results in transactions that are not orderly. GAAP requires enhanced disclosures around valuation inputs and techniques used during annual and interim periods.

Various inputs are used in determining the value of the fund’s investments relating to fair value measurements. These inputs are summarized in the three broad levels listed below:

Level 1—unadjusted quoted prices in active markets for identical investments.

Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).

Level 3—significant unobservable inputs (including the fund’s own assumptions in determining the fair value of investments).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the fund’s investments are as follows:

The Trust’s Board of Trustees (the “Board”) has designated the Adviser as the fund’s valuation designee to make all fair value determinations with respect to the fund’s portfolio investments, subject to the Board’s oversight and pursuant to Rule 2a-5 under the Act.


Investments in debt securities excluding short-term investments (other than U.S. Treasury Bills)are valued each business day by one or more independent pricing services (each, a “Service”) approved by the Board. Investments for which quoted bid prices are readily available and are representative of the bid side of the market in the judgment of a Service are valued at the mean between the quoted bid prices (as obtained by a Service from dealers in such securities) and asked prices (as calculated by a Service based upon its evaluation of the market for such securities). Securities are valued as determined by a Service, based on methods which include consideration of the following: yields or prices of securities of comparable quality, coupon, maturity and type; indications as to values from dealers; and general market conditions. The Services are engaged under the general supervision of the Board. These securities are generally categorized within Level 2 of the fair value hierarchy.

Investments in equity securities are valued at the last sales price on the securities exchange or national securities market on which such securities are primarily traded. Securities listed on the National Market System for which market quotations are available are valued at the official closing price or, if there is no official closing price that day, at the last sales price. For open short positions, asked prices are used for valuation purposes. Bid price is used when no asked price is available. Registered investment companies that are not traded on an exchange are valued at their net asset value. All of the preceding securities are generally categorized within Level 1 of the fair value hierarchy.

Securities not listed on an exchange or the national securities market, or securities for which there were no transactions, are valued at the average of the most recent bid and asked prices. U.S. Treasury Bills are valued at the mean price between quoted bid prices and asked prices by an independent pricing service (the “Service”) approved by the Board.These securities are generally categorized within Level 2 of the fair value hierarchy.

Fair valuing of securities may be determined with the assistance of a Service using calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant American Depository Receipts and futures. Utilizing these techniques may result in transfers between Level 1 and Level 2 of the fair value hierarchy.

When market quotations or official closing prices are not readily available, or are determined not to accurately reflect fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded (for example, a foreign exchange or market), but before the fund calculates its net asset value, the fund may value these investments at fair value as determined in accordance with the procedures approved by the Board. Certain factors may be considered when fair valuing investments such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. These securities are


either categorized within Level 2 or 3 of the fair value hierarchy depending on the relevant inputs used.

For securities where observable inputs are limited, assumptions about market activity and risk are used and such securities are generally categorized within Level 3 of the fair value hierarchy.

Financial futures and options, which are traded on an exchange, are valued at the last sales price on the securities exchange on which such securities are primarily traded or at the last sales price on the national securities market on each business day and are generally categorized within Level 1 of the fair value hierarchy. Options traded over-the-counter (“OTC”) are valued at the mean between the bid and asked price and are generally categorized within Level 2 of the fair value hierarchy. Investments in swap transactions are valued each business day by the Service. Swaps are valued by the Service by using a swap pricing model which incorporates among other factors, default probabilities, recovery rates, credit curves of the underlying issuer and swap spreads on interest rates and are generally categorized within Level 2 of the fair value hierarchy. Forward contracts are valued at the forward rate and are generally categorized within Level 2 of the fair value hierarchy.

Pursuant to a securities lending agreement with The Bank of New York Mellon, a subsidiary of BNY Mellon and an affiliate of BNY Mellon Investment Adviser, Inc., the fund may lend securities to qualified institutions. It is the fund’s policy that, at origination, all loans are secured by collateral of at least 102% of the value of U.S. securities loaned and 105% of the value of foreign securities loaned. Collateral equivalent to at least 100% of the market value of securities on loan is maintained at all times. Collateral is either in the form of cash, which can be invested in certain money market mutual funds managed by BNY Mellon Investment Adviser Inc., or U.S. Government and Agency securities. The fund is entitled to receive all dividends, interest and distributions on securities loaned, in addition to income earned as a result of the lending transaction. Should a borrower fail to return the securities in a timely manner, The Bank of New York Mellon is required to replace the securities for the benefit of the fund or credit the fund with the market value of the unreturned securities and is subrogated to the fund’s rights against the borrower and the collateral. Additionally, the contractual maturity of security lending transactions are on an overnight and continuous basis.

Derivatives: A derivative is a financial instrument whose performance is derived from the performance of another asset. Each type of derivative instrument that was held by the fund at February 29, 2024 is discussed below.

At February 29, 2024, accumulated net unrealized appreciation on investments was $41,021,051, consisting of $56,160,381 gross unrealized appreciation and $15,139,330 gross unrealized depreciation

At February 29, 2024, the cost of investments for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).


Additional investment related disclosures are hereby incorporated by reference to the annual and semi-annual reports previously filed with the SEC on Form N-CSR.