Form NPORT-P BNY MELLON VARIABLE INVE For: Sep 30

November 29, 2021 7:26 AM EST

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		NPORT-P
		false
		
			
			
				
					0000813383
					XXXXXXXX
				
			
			
			
			
				S000001917
				C000005060
				C000005061
			
			
			
		
	
	
		
			BNY Mellon Variable Investment Fund
			811-05125
			0000813383
			549300WX7KVU2RWH5052
			240 Greenwich Street
			New York
			
			10286
			212 495 1784
			Opportunistic Small Cap Portfolio
			S000001917
			549300TEH236R8B40T45
			2021-12-31
			2021-09-30
			N
		
		
			330624745.33
			473081.39
			330151663.94
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			0.00
			
				
				
				
				
				
				
			
			
				
					
						UST
					
				
			
			
				
					
					
				
				
				
				
			
			
			
			
		
		
			
				COLLIERS INTERNATIONAL GROUP INC
				D3O8K13PHLEXXD1DT480
				COLLIERS INTERNATIONAL GROUP INC
				194693107
				
					
					
				
				63087.00
				NS
				USD
				8056840.77
				2.440345347302
				Long
				EC
				CORP
				CA
				
				N
				
				1
				
					N
					N
					N
				
			
			
				EVERBRIDGE INC
				549300WCY0UMR64ATW81
				EVERBRIDGE INC
				29978A104
				
					
					
				
				33275.00
				NS
				USD
				5025856.00
				1.5222870422707
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				CARDLYTICS INC
				549300JETJBH94EIPC66
				CARDLYTICS INC
				14161W105
				
					
					
				
				27655.00
				NS
				USD
				2321360.70
				0.7031194912959
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				HOUGHTON MIFFLIN HARCOURT CO
				N/A
				HOUGHTON MIFFLIN HARCOURT CO
				44157R109
				
					
					
				
				829923.00
				NS
				USD
				11145865.89
				3.3759835576735
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ONESPAWORLD HOLDINGS LTD
				5493007W8PZ8W6UC2X76
				ONESPAWORLD HOLDINGS LTD
				N/A
				
					
					
				
				142944.00
				NS
				USD
				1425151.68
				0.4316657571833
				Long
				EC
				CORP
				BS
				
				N
				
				1
				
					N
					N
					
				
			
			
				ULTRAGENYX PHARMACEUTICAL INC
				529900EV44GVDN1DCX77
				ULTRAGENYX PHARMACEUTICAL INC
				90400D108
				
					
					
				
				24409.00
				NS
				USD
				2201447.71
				0.6667989140893
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				UNIQURE B.V.
				N/A
				UNIQURE NV
				N/A
				
					
					
				
				34732.00
				NS
				USD
				1111771.32
				0.3367456358487
				Long
				EC
				CORP
				NL
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ESSENT GROUP LTD
				254900QUO860OUT6ZF83
				ESSENT GROUP LTD
				N/A
				
					
					
				
				109397.00
				NS
				USD
				4814561.97
				1.4582879615215
				Long
				EC
				CORP
				BM
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PJT PARTNERS INC
				549300W3WBEQUBKYTN87
				PJT PARTNERS INC
				69343T107
				
					
					
				
				59841.00
				NS
				USD
				4734021.51
				1.433892973158
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				BRINK'S CO/THE
				XFP140TFNOQMIVFTVQ13
				BRINK'S CO/THE
				109696104
				
					
					
				
				47719.00
				NS
				USD
				3020612.70
				0.9149166973603
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				HANOVER INSURANCE GROUP INC/THE
				JJYR6MFKFF6CF8DBZ078
				HANOVER INSURANCE GROUP INC/THE
				410867105
				
					
					
				
				29290.00
				NS
				USD
				3796569.80
				1.1499471953865
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				DIODES INC
				549300XP2X1ARVH3BX23
				DIODES INC
				254543101
				
					
					
				
				58165.00
				NS
				USD
				5269167.35
				1.5959838842301
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				XENON PHARMACEUTICALS INC
				549300XV44Q9Z1MIPQ03
				XENON PHARMACEUTICALS INC
				98420N105
				
					
					
				
				156632.00
				NS
				USD
				2393336.96
				0.7249204597178
				Long
				EC
				CORP
				CA
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CRACKER BARREL OLD COUNTRY STORE INC
				8P4PHQIUWPIECBFBW745
				CRACKER BARREL OLD COUNTRY STORE INC
				22410J106
				
					
					
				
				17557.00
				NS
				USD
				2455170.88
				0.7436494036408
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				R1 RCM INC
				549300VKOMJ3EM506212
				R1 RCM INC
				749397105
				
					
					
				
				126316.00
				NS
				USD
				2780215.16
				0.8421024225112
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PTC THERAPEUTICS INC
				549300UJLWOIWFDGB318
				PTC THERAPEUTICS INC
				69366J200
				
					
					
				
				17937.00
				NS
				USD
				667435.77
				0.2021603532252
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PAPA JOHN'S INTERNATIONAL INC
				HZYLD3DK5XOX0WBVNB56
				PAPA JOHN'S INTERNATIONAL INC
				698813102
				
					
					
				
				36318.00
				NS
				USD
				4612022.82
				1.3969406559883
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CLEARWAY ENERGY INC
				549300LHAZ9HA9G3XC48
				CLEARWAY ENERGY INC
				18539C204
				
					
					
				
				198146.00
				NS
				USD
				5997879.42
				1.8167042832442
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				NEXTERA ENERGY PARTNERS LP
				5493008F4ZOQFNG3WN54
				NEXTERA ENERGY PARTNERS LP
				65341B106
				
					
					
				
				78812.00
				NS
				USD
				5939272.32
				1.7989527143741
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				EVERQUOTE INC
				N/A
				EVERQUOTE INC
				30041R108
				
					
					
				
				112838.00
				NS
				USD
				2102171.94
				0.6367291671084
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ARENA PHARMACEUTICALS INC
				529900CVGQMPJ3A3NI85
				ARENA PHARMACEUTICALS INC
				040047607
				
					
					
				
				43118.00
				NS
				USD
				2567676.90
				0.7777264755711
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				REXNORD CORP
				549300AM3633XDFU1Q85
				REXNORD CORP
				76169B102
				
					
					
				
				79755.00
				NS
				USD
				5127448.95
				1.5530586424461
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CHEFS' WAREHOUSE INC/THE
				549300JYEDC8C547E980
				CHEFS' WAREHOUSE INC/THE
				163086101
				
					
					
				
				148455.00
				NS
				USD
				4835179.35
				1.4645327823877
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				GENERATION BIO CO
				N/A
				GENERATION BIO CO
				37148K100
				
					
					
				
				64396.00
				NS
				USD
				1614407.72
				0.4889897269436
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				HEALTH CATALYST INC
				549300223PL6GWKVJG92
				HEALTH CATALYST INC
				42225T107
				
					
					
				
				105270.00
				NS
				USD
				5264552.70
				1.5945861478247
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				IAMGOLD CORP
				254900E7II30XAB9LA72
				IAMGOLD CORP
				450913108
				
					
					
				
				752140.00
				NS
				USD
				1699836.40
				0.5148653136301
				Long
				EC
				CORP
				CA
				
				N
				
				1
				
					N
					N
					N
				
			
			
				FIRST MERCHANTS CORP
				TZTBT0OTGQ2FEK6XMX94
				FIRST MERCHANTS CORP
				320817109
				
					
					
				
				83315.00
				NS
				USD
				3485899.60
				1.0558479573901
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				WABASH NATIONAL CORP
				5299004ZAWHQZI5XO485
				WABASH NATIONAL CORP
				929566107
				
					
					
				
				266491.00
				NS
				USD
				4032008.83
				1.2212595816972
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PBF ENERGY INC
				2549003PBEDCSZMZIY02
				PBF ENERGY INC
				69318G106
				
					
					
				
				393344.00
				NS
				USD
				5101671.68
				1.5452509368322
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				SKYWEST INC
				529900UYS2KGS6Z42P09
				SKYWEST INC
				830879102
				
					
					
				
				168847.00
				NS
				USD
				8330910.98
				2.5233587741402
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				EVENTBRITE INC
				549300N6XBV2B1FAUF55
				EVENTBRITE INC
				29975E109
				
					
					
				
				295199.00
				NS
				USD
				5582213.09
				1.6908026521454
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				MP MATERIALS CORP
				N/A
				MP MATERIALS CORP
				553368101
				
					
					
				
				132122.00
				NS
				USD
				4258292.06
				1.2897987576927
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				ALKERMES PLC
				N/A
				ALKERMES PLC
				N/A
				
					
					
				
				193578.00
				NS
				USD
				5969945.52
				1.8082433536015
				Long
				EC
				CORP
				IE
				
				N
				
				1
				
					N
					N
					N
				
			
			
				MATRIX SERVICE CO
				529900VYBKSX6HD2YW58
				MATRIX SERVICE CO
				576853105
				
					
					
				
				203995.00
				NS
				USD
				2133787.70
				0.6463052993692
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				VALMONT INDUSTRIES INC
				5493009ZGZJJ8F77JN08
				VALMONT INDUSTRIES INC
				920253101
				
					
					
				
				16344.00
				NS
				USD
				3842801.28
				1.1639502991262
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ONDAS HOLDINGS INC
				549300JWLHDUB82V8607
				ONDAS HOLDINGS INC
				68236H204
				
					
					
				
				96791.00
				NS
				USD
				886605.56
				0.2685449315685
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				SYNOVUS FINANCIAL CORP
				549300EIUS8UN5JTLE54
				SYNOVUS FINANCIAL CORP
				87161C501
				
					
					
				
				123209.00
				NS
				USD
				5407643.01
				1.6379269289349
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				GIBRALTAR INDUSTRIES INC
				N/A
				GIBRALTAR INDUSTRIES INC
				374689107
				
					
					
				
				55653.00
				NS
				USD
				3876231.45
				1.1740760000241
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CALLAWAY GOLF CO
				5493005UB0KFRKBPCU72
				CALLAWAY GOLF CO
				131193104
				
					
					
				
				143983.00
				NS
				USD
				3978250.29
				1.2049765984892
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				ADTRAN INC
				549300XWTHXJVGKWU616
				ADTRAN INC
				00738A106
				
					
					
				
				283275.00
				NS
				USD
				5314239.00
				1.6096356857876
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ACADIA HEALTHCARE CO INC
				5493005CW985Y9D0NC11
				ACADIA HEALTHCARE CO INC
				00404A109
				
					
					
				
				73665.00
				NS
				USD
				4698353.70
				1.4230895110235
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				THOR INDUSTRIES INC
				254900XZO1228PDSG060
				THOR INDUSTRIES INC
				885160101
				
					
					
				
				15952.00
				NS
				USD
				1958267.52
				0.5931417993264
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				FLUOR CORP
				CQ7WZ4NOFWT7FAE6Q943
				FLUOR CORP
				343412102
				
					
					
				
				257374.00
				NS
				USD
				4110262.78
				1.2449620065361
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				BANKUNITED INC
				96OVUWEW5D4YX6PFXD91
				BANKUNITED INC
				06652K103
				
					
					
				
				141522.00
				NS
				USD
				5918450.04
				1.7926458311219
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				NUVASIVE INC
				549300C5ZB4NZ6TWM881
				NUVASIVE INC
				670704105
				
					
					
				
				52168.00
				NS
				USD
				3122254.80
				0.9457031846331
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				TITAN MACHINERY INC
				549300835ZM8G0BT5C94
				TITAN MACHINERY INC
				88830R101
				
					
					
				
				93618.00
				NS
				USD
				2425642.38
				0.7347054838532
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				SILVERGATE CAPITAL CORP
				BPE6FTXDZEBNAGIT2T19
				SILVERGATE CAPITAL CORP
				82837P408
				
					
					
				
				20601.00
				NS
				USD
				2379415.50
				0.7207037734125
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				VONAGE HOLDINGS CORP
				529900W7N0N4WLN1JY21
				VONAGE HOLDINGS CORP
				92886T201
				
					
					
				
				128732.00
				NS
				USD
				2075159.84
				0.6285474424799
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ARLO TECHNOLOGIES INC
				549300T4EUX2OQ75HV52
				ARLO TECHNOLOGIES INC
				04206A101
				
					
					
				
				394975.00
				NS
				USD
				2531789.75
				0.7668565773032
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CHANNELADVISOR CORP
				549300KE5CWXBSGWXT83
				CHANNELADVISOR CORP
				159179100
				
					
					
				
				294217.00
				NS
				USD
				7423094.91
				2.2483893679085
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ARRAY TECHNOLOGIES INC
				N/A
				ARRAY TECHNOLOGIES INC
				04271T100
				
					
					
				
				269553.00
				NS
				USD
				4992121.56
				1.5120691806984
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				MODIVCARE INC
				549300EFZIFW7F7I0Q28
				MODIVCARE INC
				60783X104
				
					
					
				
				18397.00
				NS
				USD
				3341263.14
				1.0120388612087
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ENERSYS
				7ZS3DE5PN30BYUJFWP05
				ENERSYS
				29275Y102
				
					
					
				
				55093.00
				NS
				USD
				4101122.92
				1.2421936243051
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				WESCO INTERNATIONAL INC
				529900TXOGREY3WNJ434
				WESCO INTERNATIONAL INC
				95082P105
				
					
					
				
				48548.00
				NS
				USD
				5598555.36
				1.6957525802497
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				VIPER ENERGY PARTNERS LP
				5299009LINL232255G03
				VIPER ENERGY PARTNERS LP
				92763M105
				
					
					
				
				191445.00
				NS
				USD
				4183073.25
				1.2670156497409
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PAYA HOLDINGS INC
				N/A
				PAYA HOLDINGS INC
				70434P103
				
					
					
				
				682988.00
				NS
				USD
				7424079.56
				2.2486876096281
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				APRIA INC
				N/A
				APRIA INC
				03836A101
				
					
					
				
				159909.00
				NS
				USD
				5940619.35
				1.7993607177698
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				BRP GROUP INC
				N/A
				BRP GROUP INC
				05589G102
				
					
					
				
				119986.00
				NS
				USD
				3994333.94
				1.2098481928977
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PRIVIA HEALTH GROUP INC
				N/A
				PRIVIA HEALTH GROUP INC
				74276R102
				
					
					
				
				139662.00
				NS
				USD
				3290436.72
				0.996643991047
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				BLOOMIN' BRANDS INC
				E1UJ2GO305B5FXGV7N04
				BLOOMIN' BRANDS INC
				094235108
				
					
					
				
				177750.00
				NS
				USD
				4443750.00
				1.3459723167736
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					
				
			
			
				MAXLINEAR INC
				549300EMOI0SM2IY4F64
				MAXLINEAR INC
				57776J100
				
					
					
				
				97583.00
				NS
				USD
				4805962.75
				1.4556833343337
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				LARGO RESOURCES LTD
				549300DNLDBZOCZKIM08
				LARGO RESOURCES LTD
				517103602
				
					
					
				
				191860.00
				NS
				USD
				2016448.60
				0.6107643305309
				Long
				EC
				CORP
				CA
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CNX RESOURCES CORP
				549300JK3KH8PWM3B226
				CNX RESOURCES CORP
				12653C108
				
					
					
				
				362828.00
				NS
				USD
				4578889.36
				1.3869048259081
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				GOPRO INC
				549300CQJMLT21SZFL16
				GOPRO INC
				38268T103
				
					
					
				
				243940.00
				NS
				USD
				2283278.40
				0.6915847016342
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				SPECTRUM BRANDS HOLDINGS INC
				549300JM0MJETDD30O20
				SPECTRUM BRANDS HOLDINGS INC
				84790A105
				
					
					
				
				35973.00
				NS
				USD
				3441536.91
				1.0424108935054
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				SUMMIT MATERIALS INC
				N/A
				SUMMIT MATERIALS INC
				86614U100
				
					
					
				
				119346.00
				NS
				USD
				3815491.62
				1.1556784462226
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				INNOVAGE HOLDING CORP
				N/A
				INNOVAGE HOLDING CORP
				45784A104
				
					
					
				
				115103.00
				NS
				USD
				760830.83
				0.2304488854971
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				US ECOLOGY INC
				549300DG4KZA2L1YBS33
				US ECOLOGY INC
				91734M103
				
					
					
				
				105468.00
				NS
				USD
				3411889.80
				1.0334310478047
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				FIRST BANCORP/PUERTO RICO
				5493000C44WC17AV1S09
				FIRST BANCORP/PUERTO RICO
				318672706
				
					
					
				
				510751.00
				NS
				USD
				6716375.65
				2.0343303952636
				Long
				EC
				CORP
				PR
				
				N
				
				1
				
					N
					N
					N
				
			
			
				PARTY CITY HOLDCO INC
				549300BUAG9YASF5Q703
				PARTY CITY HOLDCO INC
				702149105
				
					
					
				
				807581.00
				NS
				USD
				5733825.10
				1.7367245803256
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ZUORA INC
				549300ISVGC1YZWQJ420
				ZUORA INC
				98983V106
				
					
					
				
				353947.00
				NS
				USD
				5868441.26
				1.7774986168376
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				TRUECAR INC
				549300KK16488YXWVE52
				TRUECAR INC
				89785L107
				
					
					
				
				479994.00
				NS
				USD
				1996775.04
				0.6048053843408
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				SOC TELEMED INC
				N/A
				SOC TELEMED INC
				78472F101
				
					
					
				
				700321.00
				NS
				USD
				1582725.46
				0.4793934524248
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				FIRST INTERSTATE BANCSYSTEM INC
				549300WRWYTYX0RCNJ43
				FIRST INTERSTATE BANCSYSTEM INC
				32055Y201
				
					
					
				
				94550.00
				NS
				USD
				3806583.00
				1.1529801045291
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				TEREX CORP
				YAWJZJYEQ7M1SYMOS462
				TEREX CORP
				880779103
				
					
					
				
				57883.00
				NS
				USD
				2436874.30
				0.7381075324348
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				TRONOX HOLDINGS PLC
				549300NRVC84SGJSXV06
				TRONOX HOLDINGS PLC
				N/A
				
					
					
				
				180255.00
				NS
				USD
				4443285.75
				1.3458316995814
				Long
				EC
				CORP
				GB
				
				N
				
				1
				
					N
					N
					N
				
			
			
				MAXAR TECHNOLOGIES INC
				549300OEN2G821MIJ922
				MAXAR TECHNOLOGIES INC
				57778K105
				
					
					
				
				125694.00
				NS
				USD
				3559654.08
				1.0781875328203
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ISHARES RUSSELL 2000 ETF
				549300O80OAR5VTWR172
				ISHARES RUSSELL 2000 ETF
				464287655
				
					
					
				
				7511.00
				NS
				USD
				1643031.25
				0.4976595393741
				Long
				EC
				RF
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				GRAFTECH INTERNATIONAL LTD
				549300GY32W00XP57351
				GRAFTECH INTERNATIONAL LTD
				384313508
				
					
					
				
				485243.00
				NS
				USD
				5007707.76
				1.5167901019302
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ALAMOS GOLD INC
				549300TDOX73YGYXE959
				ALAMOS GOLD INC
				011532108
				
					
					
				
				722605.00
				NS
				USD
				5202756.00
				1.5758684775084
				Long
				EC
				CORP
				CA
				
				N
				
				1
				
					N
					N
					N
				
			
			
				QUANTERIX CORP
				N/A
				QUANTERIX CORP
				74766Q101
				
					
					
				
				18675.00
				NS
				USD
				929828.25
				0.2816366996014
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				EXTREME NETWORKS INC
				549300WRECW11X94UB57
				EXTREME NETWORKS INC
				30226D106
				
					
					
				
				393569.00
				NS
				USD
				3876654.65
				1.1742041835368
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				ZOGENIX INC
				54930089H3HF4C32SK78
				ZOGENIX INC
				98978L204
				
					
					
				
				11527.00
				NS
				USD
				175095.13
				0.0530347561815
				Long
				EC
				CORP
				US
				
				N
				
				1
				
					N
					N
					N
				
			
			
				DREYFUS INSTITUTIONAL PREFERRE
				549300RBWL04JG8SIX57
				Dreyfus Institutional Preferred Government Plus Money Market Fund
				N/A
				
					
					
				
				5264810.20
				OU
				Other Units
				USD
				5264810.20
				1.5946641422824
				Long
				STIV
				RF
				US
				
				N
				
				1
				
					2099-12-01
					Variable
					0.061343
					N
					N
					N
				
				
					N
					N
					N
				
			
			
				99VVB9HH4
				N/A
				DREYFUS INST PREF GOVT PLUS MMF - SL #4134
				99VVB9HH4
				
					
					
				
				4466283.47
				OU
				Other Units
				USD
				4466283.47
				1.3527975042438
				Long
				
				RF
				US
				
				N
				1
				
					
					N
					N
				
			
		
		
			2021-11-23
			BNY Mellon Advantage Funds, Inc.
			James Windels
			James Windels
			Fund Treasurer
		
	
	XXXX



STATEMENT OF INVESTMENTS
Opportunistic Small Cap Portfolio

September 30, 2021 (Unaudited)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 98.0%

     

Automobiles & Components - .6%

     

Thor Industries

   

15,952

 

 1,958,267

 

Banks - 9.9%

     

BankUnited

   

141,522

 

5,918,450

 

Essent Group

   

109,397

 

4,814,562

 

First Bancorp

   

510,751

 

6,716,376

 

First Interstate BancSystem, Cl. A

   

94,550

 

3,806,583

 

First Merchants

   

83,315

 

3,485,900

 

Silvergate Capital, Cl. A

   

20,601

a 

2,379,415

 

Synovus Financial

   

123,209

 

5,407,643

 
    

32,528,929

 

Capital Goods - 15.5%

     

Array Technologies

   

269,553

a 

4,992,122

 

EnerSys

   

55,093

 

4,101,123

 

Fluor

   

257,374

a,b 

4,110,263

 

Gibraltar Industries

   

55,653

a 

3,876,231

 

GrafTech International

   

485,243

 

5,007,708

 

Matrix Service

   

203,995

a 

2,133,788

 

Maxar Technologies

   

125,694

 

3,559,654

 

Rexnord

   

79,755

 

5,127,449

 

Terex

   

57,883

 

2,436,874

 

Titan Machinery

   

93,618

a 

2,425,642

 

Valmont Industries

   

16,344

 

3,842,801

 

Wabash National

   

266,491

 

4,032,009

 

WESCO International

   

48,548

a 

5,598,555

 
    

51,244,219

 

Commercial & Professional Services - 2.0%

     

The Brink's Company

   

47,719

 

3,020,613

 

U.S. Ecology

   

105,468

a 

3,411,890

 
    

6,432,503

 

Consumer Durables & Apparel - 1.9%

     

Callaway Golf

   

143,983

a,b 

3,978,250

 

GoPro, Cl. A

   

243,940

a 

2,283,278

 
    

6,261,528

 

Consumer Services - 7.3%

     

Bloomin‘ Brands

   

177,750

a,b 

4,443,750

 

Cracker Barrel Old Country Store

   

17,557

 

2,455,171

 

Houghton Mifflin Harcourt

   

829,923

a 

11,145,866

 

OneSpaWorld Holdings

   

142,944

a,b 

1,425,152

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 98.0% (continued)

     

Consumer Services - 7.3% (continued)

     

Papa John's International

   

36,318

 

4,612,023

 
    

24,081,962

 

Diversified Financials - 1.4%

     

PJT Partners, Cl. A

   

59,841

 

 4,734,021

 

Energy - 4.2%

     

CNX Resources

   

362,828

a 

4,578,889

 

PBF Energy, Cl. A

   

393,344

a 

5,101,672

 

Viper Energy Partners

   

191,445

 

4,183,073

 
    

13,863,634

 

Food & Staples Retailing - 1.5%

     

The Chefs' Warehouse

   

148,455

a 

 4,835,179

 

Health Care Equipment & Services - 9.3%

     

Acadia Healthcare

   

73,665

a 

4,698,354

 

Apria

   

159,909

a 

5,940,619

 

Health Catalyst

   

105,270

a,b 

5,264,553

 

Innovage Holding

   

115,103

a 

760,831

 

ModivCare

   

18,397

a 

3,341,263

 

NuVasive

   

52,168

a 

3,122,255

 

Privia Health Group

   

139,662

a,b 

3,290,437

 

R1 RCM

   

126,316

a 

2,780,215

 

SOC Telemed

   

700,321

a 

1,582,725

 
    

30,781,252

 

Household & Personal Products - 1.0%

     

Spectrum Brands Holdings

   

35,973

 

 3,441,537

 

Insurance - 2.4%

     

BRP Group, Cl. A

   

119,986

a 

3,994,334

 

The Hanover Insurance Group

   

29,290

 

3,796,570

 
    

7,790,904

 

Materials - 6.5%

     

Alamos Gold, Cl. A

   

722,605

 

5,202,756

 

IAMGOLD

   

752,140

a 

1,699,836

 

Largo Resources

   

191,860

a 

2,016,449

 

MP Materials

   

132,122

a,b 

4,258,292

 

Summit Materials, Cl. A

   

119,346

a 

3,815,492

 

Tronox Holdings, Cl. A

   

180,255

 

4,443,286

 
    

21,436,111

 

Media & Entertainment - 3.6%

     

Cardlytics

   

27,655

a,b 

2,321,361

 

Eventbrite, Cl. A

   

295,199

a,b 

5,582,213

 

EverQuote, Cl. A

   

112,838

a 

2,102,172

 

TrueCar

   

479,994

a 

1,996,775

 
    

12,002,521

 

Pharmaceuticals Biotechnology & Life Sciences - 5.4%

     

Alkermes

   

193,578

a 

5,969,945

 


        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 98.0% (continued)

     

Pharmaceuticals Biotechnology & Life Sciences - 5.4% (continued)

     

Arena Pharmaceuticals

   

43,118

a 

2,567,677

 

Generation Bio

   

64,396

a,b 

1,614,408

 

PTC Therapeutics

   

17,937

a 

667,436

 

Quanterix

   

21,145

a 

1,052,810

 

Ultragenyx Pharmaceutical

   

24,409

a 

2,201,448

 

uniQure

   

34,732

a 

1,111,771

 

Xenon Pharmaceuticals

   

156,632

a 

2,393,337

 

Zogenix

   

5,764

a 

87,555

 
    

17,666,387

 

Real Estate - 2.4%

     

Colliers International Group

   

63,087

 

 8,056,841

 

Retailing - 1.7%

     

Party City Holdco

   

807,581

a 

 5,733,825

 

Semiconductors & Semiconductor Equipment - 3.1%

     

Diodes

   

58,165

a 

5,269,167

 

MaxLinear

   

97,583

a 

4,805,963

 
    

10,075,130

 

Software & Services - 8.4%

     

ChannelAdvisor

   

294,217

a 

7,423,095

 

Everbridge

   

33,275

a,b 

5,025,856

 

Paya Holdings

   

682,988

a,b 

7,424,080

 

Vonage Holdings

   

128,732

a 

2,075,160

 

Zuora, Cl. A

   

353,947

a 

5,868,441

 
    

27,816,632

 

Technology Hardware & Equipment - 3.8%

     

ADTRAN

   

283,275

 

5,314,239

 

Arlo Technologies

   

394,975

a 

2,531,790

 

Extreme Networks

   

401,004

a 

3,949,889

 

Ondas Holdings

   

96,791

a,b 

886,606

 
    

12,682,524

 

Transportation - 2.5%

     

SkyWest

   

168,847

a 

 8,330,911

 

Utilities - 3.6%

     

Clearway Energy, Cl. C

   

198,146

 

5,997,879

 

NextEra Energy Partners

   

78,812

 

5,939,272

 
    

11,937,151

 

Total Common Stocks (cost $275,026,291)

   

323,691,968

 
        

Exchange-Traded Funds - .5%

     

Registered Investment Companies - .5%

     

iShares Russell 2000 ETF
(cost $1,658,583)

   

7,511

 

 1,643,031

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 
  

1-Day
Yield (%)

     

Investment Companies - 1.6%

     

Registered Investment Companies - 1.6%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund, Institutional Shares
(cost $5,264,810)

 

0.06

 

5,264,810

c 

 5,264,810

 
        

Investment of Cash Collateral for Securities Loaned - 1.4%

     

Registered Investment Companies - 1.4%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund, SL Shares
(cost $4,466,284)

 

0.02

 

4,466,284

c 

 4,466,284

 

Total Investments (cost $286,415,968)

 

101.5%

 

335,066,093

 

Liabilities, Less Cash and Receivables

 

(1.5%)

 

(4,914,429)

 

Net Assets

 

100.0%

 

330,151,664

 

ETF—Exchange-Traded Fund

a Non-income producing security.

b Security, or portion thereof, on loan. At September 30, 2021, the value of the fund’s securities on loan was $28,860,889 and the value of the collateral was $30,008,523, consisting of cash collateral of $4,466,284 and U.S. Government & Agency securities valued at $25,542,239.

c 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
Opportunistic Small Cap Portfolio

September 30, 2021 (Unaudited)

The following is a summary of the inputs used as of September 30, 2021 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:

  

Equity Securities—Common Stocks

323,691,968

-

-

323,691,968

Exchange-Traded Funds

1,643,031

-

-

1,643,031

Investment Companies

9,731,094

-

-

9,731,094

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


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:

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 Members (“Board”). These securities are generally categorized within Level 2 of the fair value hierarchy.

The Service’s procedures are reviewed by BNY Mellon under the general supervision of the Board.

Fair valuing of securities may be determined with the assistance of a pricing 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.

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.

At September 30, 2021, accumulated net unrealized appreciation on investments was $48,650,125, consisting of $70,729,725 gross unrealized appreciation and $22,079,600 gross unrealized depreciation.

At September 30, 2021, 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.




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