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Form NPORT-P BNY Mellon Investment For: Mar 31

May 26, 2022 12:26 PM EDT

	
		NPORT-P
		false
		
			
			
				
					0000799295
					XXXXXXXX
				
			
			
			
			
				S000011511
				C000031772
				C000062293
				C000062294
				C000130462
			
			
			
		
	
	
		
			BNY Mellon Investment Funds I
			811-04813
			0000799295
			5493000M3XIJVKIWWS65
			240 Greenwich Street
			New York
			
			10286
			212 495 1784
			BNY Mellon International Equity Fund
			S000011511
			549300WQE56OLIWHGM40
			2022-09-30
			2022-03-31
			N
		
		
			617060015.04
			1495698.36
			615564316.68
			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
			134480.16
			N
			
				
					
					
					
					
				
				
					
						
						
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
					
					
						
						
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
					
					
						
						
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
					
					
						
						
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
					
					
						
						
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
					
					
						
						
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
						
							
							
							
						
					
				
				
				
				
			
			
			
			
		
		
			
				ST JAMES'S PLACE PLC
				213800M993ICXOMBCP87
				ST JAMES'S PLACE PLC
				N/A
				
					
					
				
				262474.00
				NS
				
				4948824.08
				0.803949148107
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				HOUSING DEVELOPMENT FINANCE CORP LTD
				335800OX2H9AP7NHLT64
				HOUSING DEVELOPMENT FINANCE CORP LTD
				N/A
				
					
					
				
				161051.00
				NS
				
				5043126.16
				0.8192687625559
				Long
				EC
				CORP
				IN
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ASTRAZENECA PLC
				PY6ZZQWO2IZFZC3IOL08
				ASTRAZENECA PLC
				N/A
				
					
					
				
				120865.00
				NS
				
				16028053.91
				2.6037984132098
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				SAP SE
				529900D6BF99LW9R2E68
				SAP SE
				N/A
				
					
					
				
				134799.00
				NS
				
				15041321.74
				2.4435012446992
				Long
				EC
				CORP
				DE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				SUGI HOLDINGS CO LTD
				529900N86BFWB1FADG87
				SUGI HOLDINGS CO LTD
				N/A
				
					
					
				
				136700.00
				NS
				
				6764805.27
				1.098959944021
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				BAYER AG
				549300J4U55H3WP1XT59
				BAYER AG
				N/A
				
					
					
				
				154979.00
				NS
				
				10603232.09
				1.7225222129813
				Long
				EC
				CORP
				DE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				TOMRA SYSTEMS ASA
				549300J726JCFJU3VT89
				TOMRA SYSTEMS ASA
				N/A
				
					
					
				
				149225.00
				NS
				
				7605789.48
				1.2355799830992
				Long
				EC
				CORP
				NO
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ADVANTEST CORP
				353800EMK32PDKS9XR54
				ADVANTEST CORP
				N/A
				
					
					
				
				87300.00
				NS
				
				6847516.54
				1.1123966016957
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				AXA SA
				F5WCUMTUM4RKZ1MAIE39
				AXA SA
				N/A
				
					
					
				
				240081.00
				NS
				
				7011305.83
				1.1390045913991
				Long
				EC
				CORP
				FR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				PAN PACIFIC INTERNATIONAL HOLDINGS CORP
				529900QLHJM2E18A5763
				PAN PACIFIC INTERNATIONAL HOLDINGS CORP
				N/A
				
					
					
				
				643200.00
				NS
				
				10316073.76
				1.6758726067227
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				AIA GROUP LTD
				ZP5ILWVSYE4LJGMMVD57
				AIA GROUP LTD
				N/A
				
					
					
				
				1587312.00
				NS
				
				16618257.08
				2.6996784299696
				Long
				EC
				CORP
				HK
				
				N
				
				2
				
					N
					N
					N
				
			
			
				KONINKLIJKE AHOLD DELHAIZE NV
				724500C9GNBV20UYRX36
				KONINKLIJKE AHOLD DELHAIZE NV
				N/A
				
					
					
				
				206970.00
				NS
				
				6653307.70
				1.0808468781758
				Long
				EC
				CORP
				NL
				
				N
				
				2
				
					N
					N
					N
				
			
			
				EBARA CORP
				353800UV8U3SOMCDTI49
				EBARA CORP
				N/A
				
					
					
				
				149800.00
				NS
				
				8332899.28
				1.353700832586
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				INFINEON TECHNOLOGIES AG
				TSI2PJM6EPETEQ4X1U25
				INFINEON TECHNOLOGIES AG
				N/A
				
					
					
				
				201965.00
				NS
				
				6899816.06
				1.1208927926838
				Long
				EC
				CORP
				DE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				PING AN INSURANCE GROUP CO OF CHINA LTD
				529900M9MC28JLN35U89
				PING AN INSURANCE GROUP CO OF CHINA LTD
				N/A
				
					
					
				
				963500.00
				NS
				
				6798049.95
				1.1043606274425
				Long
				EC
				CORP
				CN
				
				N
				
				2
				
					N
					N
					N
				
			
			
				LVMH MOET HENNESSY LOUIS VUITTON SE
				IOG4E947OATN0KJYSD45
				LVMH MOET HENNESSY LOUIS VUITTON SE
				N/A
				
					
					
				
				23563.00
				NS
				
				16778497.33
				2.7257098690342
				Long
				EC
				CORP
				FR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ASML HOLDING NV
				724500Y6DUVHQD6OXN27
				ASML HOLDING NV
				N/A
				
					
					
				
				20212.00
				NS
				
				13481394.32
				2.1900870395982
				Long
				EC
				CORP
				NL
				
				N
				
				2
				
					N
					N
					N
				
			
			
				BAE SYSTEMS PLC
				8SVCSVKSGDWMW2QHOH83
				BAE SYSTEMS PLC
				N/A
				
					
					
				
				644756.00
				NS
				
				6077768.12
				0.987348999172
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				RELX PLC
				549300WSX3VBUFFJOO66
				RELX PLC
				N/A
				
					
					
				
				421521.00
				NS
				
				13122502.80
				2.1317841928809
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				TECHNOPRO HOLDINGS INC
				3538001DJ8I5PJQNHU53
				TECHNOPRO HOLDINGS INC
				N/A
				
					
					
				
				773800.00
				NS
				
				20789646.65
				3.3773313505447
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ZURICH INSURANCE GROUP AG
				529900QVNRBND50TXP03
				ZURICH INSURANCE GROUP AG
				N/A
				
					
					
				
				31888.00
				NS
				
				15721696.24
				2.5540298249894
				Long
				EC
				CORP
				CH
				
				N
				
				2
				
					N
					N
					N
				
			
			
				LEGRAND SA
				969500XXRPGD7HCAFA90
				LEGRAND SA
				N/A
				
					
					
				
				62152.00
				NS
				
				5908603.82
				0.9598678253261
				Long
				EC
				CORP
				FR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				NOVARTIS AG
				5493007HIVTX6SY6XD66
				NOVARTIS AG
				N/A
				
					
					
				
				153933.00
				NS
				
				13500149.41
				2.1931338520094
				Long
				EC
				CORP
				CH
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ASSOCIATED BRITISH FOODS PLC
				GBQKSY6W7G0OHCQ8OQ72
				ASSOCIATED BRITISH FOODS PLC
				N/A
				
					
					
				
				353105.00
				NS
				
				7668526.35
				1.2457717483299
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				SONY GROUP CORP
				529900R5WX9N2OI2N910
				SONY GROUP CORP
				N/A
				
					
					
				
				230900.00
				NS
				
				23831415.14
				3.8714744331726
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				BUREAU VERITAS SA
				969500TPU5T3HA5D1F11
				BUREAU VERITAS SA
				N/A
				
					
					
				
				414793.00
				NS
				
				11847853.01
				1.9247140695062
				Long
				EC
				CORP
				FR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ASHTEAD GROUP PLC
				2138007UTBN8X9K1A235
				ASHTEAD GROUP PLC
				N/A
				
					
					
				
				66391.00
				NS
				
				4185164.17
				0.6798906396284
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				MOWI ASA
				549300W1OGQF5LZIH349
				MOWI ASA
				N/A
				
					
					
				
				327825.00
				NS
				
				8837581.93
				1.4356878218128
				Long
				EC
				CORP
				NO
				
				N
				
				2
				
					N
					N
					N
				
			
			
				LONZA GROUP AG
				549300EFW4H2TCZ71055
				LONZA GROUP AG
				N/A
				
					
					
				
				15431.00
				NS
				
				11179501.39
				1.8161386368683
				Long
				EC
				CORP
				CH
				
				N
				
				2
				
					N
					N
					N
				
			
			
				INFORMA PLC
				5493006VM2LKUPSEDU20
				INFORMA PLC
				N/A
				
					
					
				
				928949.00
				NS
				
				7290620.56
				1.1843799847465
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				NOVOZYMES A/S
				529900T6WNZXD2R3JW38
				NOVOZYMES A/S
				N/A
				
					
					
				
				114426.00
				NS
				
				7831497.63
				1.2722468502135
				Long
				EC
				CORP
				DK
				
				N
				
				2
				
					N
					N
					N
				
			
			
				L'OREAL SA
				529900JI1GG6F7RKVI53
				L'OREAL SA
				N/A
				
					
					
				
				27998.00
				NS
				
				11206644.09
				1.8205480380087
				Long
				EC
				CORP
				FR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
				549300KB6NK5SBD14S87
				TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
				874039100
				
					
					
				
				55887.00
				NS
				USD
				5826778.62
				0.9465751119925
				Long
				EC
				CORP
				TW
				
				N
				
				1
				
					N
					N
					N
				
			
			
				CHR HANSEN HOLDING A/S
				549300MKPW8ZF3E8MW37
				CHR HANSEN HOLDING A/S
				N/A
				
					
					
				
				102744.00
				NS
				
				7550327.26
				1.2265700033949
				Long
				EC
				CORP
				DK
				
				N
				
				2
				
					N
					N
					N
				
			
			
				FANUC CORP
				529900QTSW745LOKW705
				FANUC CORP
				N/A
				
					
					
				
				60700.00
				NS
				
				10674606.35
				1.734117144342
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				HISCOX LTD
				5493007JXOLJ0QCY2D70
				HISCOX LTD
				N/A
				
					
					
				
				355815.00
				NS
				
				4587227.44
				0.7452068477167
				Long
				EC
				CORP
				BM
				
				N
				
				2
				
					N
					N
					N
				
			
			
				M3 INC
				N/A
				M3 INC
				N/A
				
					
					
				
				229200.00
				NS
				
				8295096.71
				1.347559708259
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				BARCLAYS PLC
				213800LBQA1Y9L22JB70
				BARCLAYS PLC
				N/A
				
					
					
				
				7884235.00
				NS
				
				15315995.52
				2.4881227038314
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ROCHE HOLDING AG
				549300U41AUUVOAAOB37
				ROCHE HOLDING AG
				N/A
				
					
					
				
				44609.00
				NS
				
				17641758.31
				2.8659488264604
				Long
				EC
				CORP
				CH
				
				N
				
				2
				
					N
					N
					N
				
			
			
				TOPCON CORP
				N/A
				TOPCON CORP
				N/A
				
					
					
				
				670500.00
				NS
				
				8517633.77
				1.3837114236801
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				DIAGEO PLC
				213800ZVIELEA55JMJ32
				DIAGEO PLC
				N/A
				
					
					
				
				303906.00
				NS
				
				15360384.07
				2.4953337374793
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				SANOFI
				549300E9PC51EN656011
				SANOFI
				N/A
				
					
					
				
				86471.00
				NS
				
				8818682.26
				1.4326175220101
				Long
				EC
				CORP
				FR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				DEUTSCHE POST AG
				8ER8GIG7CSMVD8VUFE78
				DEUTSCHE POST AG
				N/A
				
					
					
				
				115007.00
				NS
				
				5522468.23
				0.8971391096522
				Long
				EC
				CORP
				DE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				VOLKSWAGEN AG
				529900NNUPAGGOMPXZ31
				VOLKSWAGEN AG
				N/A
				
					
					
				
				51148.00
				NS
				
				8844325.87
				1.4367833921402
				Long
				EP
				CORP
				DE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				TOYOTA INDUSTRIES CORP
				35380000WKGEAHEMW830
				TOYOTA INDUSTRIES CORP
				N/A
				
					
					
				
				139800.00
				NS
				
				9622432.08
				1.5631887390578
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				IJ9FUHTNIN3T6UGB_1091200_S
				N/A
				AUD/JPY FWD 20220412 2467
				N/A
				
					
					
				
				-2429793610.00
				NC
				
				-19963174.13
				-3.2430687726783
				Short
				DFE
				
				AU
				
				N
				
				2
				
					
						
							JP MORGAN CHASE BANK
							N/A
						
						2429793610.00
						JPY
						19963174.13
						USD
						2022-04-12
						1063637.98
					
				
				
					N
					N
					N
				
			
			
				IJ9FUHTNIN3T6UGB_1091200_L
				N/A
				AUD/JPY FWD 20220412 2467
				N/A
				
					
					
				
				29373209.62
				NC
				
				21982918.72
				3.571181454858
				Long
				DFE
				
				AU
				
				N
				
				2
				
					
						
							JP MORGAN CHASE BANK
							N/A
						
						21982918.72
						USD
						29373209.62
						AUD
						2022-04-12
						956106.61
					
				
				
					N
					N
					N
				
			
			
				ALIBABA GROUP HOLDING LTD
				5493001NTNQJDH60PM02
				ALIBABA GROUP HOLDING LTD
				N/A
				
					
					
				
				417196.00
				NS
				
				5710279.39
				0.9276495136686
				Long
				EC
				CORP
				KY
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ELGLC6GPDPU6JKS4_1091200_L
				N/A
				AUD/JPY FWD 20220412 00189
				N/A
				
					
					
				
				8282724.81
				NC
				
				6198793.68
				1.0070099113984
				Long
				DFE
				
				AU
				
				N
				
				2
				
					
						
							STATE STREET GLOBAL MARKETS LLC
							N/A
						
						702869625.00
						JPY
						8282724.81
						AUD
						2022-04-12
						111405.08
					
				
				
					N
					N
					N
				
			
			
				ELGLC6GPDPU6JKS4_1091200_S
				N/A
				AUD/JPY FWD 20220412 00189
				N/A
				
					
					
				
				-12335159.20
				NC
				
				-9231636.77
				-1.4997030399341
				Short
				DFE
				
				AU
				
				N
				
				2
				
					
						
							STATE STREET GLOBAL MARKETS LLC
							N/A
						
						12335159.20
						AUD
						1088578910.00
						JPY
						2022-04-12
						-97347.62
					
				
				
					N
					N
					N
				
			
			
				SHELL PLC
				21380068P1DRHMJ8KU70
				SHELL PLC
				N/A
				
					
					
				
				825249.00
				NS
				
				22647937.79
				3.6792155062122
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ELGLC6GPDPU6JKS4_1091200_S
				N/A
				AUD/JPY FWD 20220412 00189
				N/A
				
					
					
				
				-702869625.00
				NC
				
				-5774773.90
				-0.9381268120195
				Short
				DFE
				
				AU
				
				N
				
				2
				
					
						
							STATE STREET GLOBAL MARKETS LLC
							N/A
						
						12335159.20
						AUD
						1088578910.00
						JPY
						2022-04-12
						312614.70
					
				
				
					N
					N
					N
				
			
			
				BJNV75IALDUROJMK_1091200_S
				N/A
				AUD/CHF FWD 20220518 00189
				N/A
				
					
					
				
				-5592991.00
				NC
				
				-6064231.47
				-0.9851499357056
				Short
				DFE
				
				AU
				
				N
				
				2
				
					
						
							STATE STREET GLOBAL MARKETS LLC
							N/A
						
						5592991.00
						CHF
						6064231.47
						USD
						2022-05-18
						28796.54
					
				
				
					N
					N
					N
				
			
			
				ALCON INC
				549300LDT5AP8S0NBM78
				ALCON INC
				N/A
				
					
					
				
				122989.00
				NS
				
				9715283.90
				1.5782727550548
				Long
				EC
				CORP
				CH
				
				N
				
				2
				
					N
					N
					N
				
			
			
				BJNV75IALDUROJMK_1091200_L
				N/A
				AUD/CHF FWD 20220518 00189
				N/A
				
					
					
				
				8290398.00
				NC
				
				6208233.16
				1.0085433791035
				Long
				DFE
				
				AU
				
				N
				
				2
				
					
						
							STATE STREET GLOBAL MARKETS LLC
							N/A
						
						6208233.16
						USD
						8290398.00
						AUD
						2022-05-18
						115205.15
					
				
				
					N
					N
					N
				
			
			
				UNIVERSAL MUSIC GROUP NV
				724500GJBUL3D9TW9Y18
				UNIVERSAL MUSIC GROUP NV
				N/A
				
					
					
				
				609960.00
				NS
				
				16192977.09
				2.6305906062481
				Long
				EC
				CORP
				NL
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ELGLC6GPDPU6JKS4_1091200_L
				N/A
				AUD/JPY FWD 20220412 00189
				N/A
				
					
					
				
				1088578910.00
				NC
				
				8943759.77
				1.4529366838931
				Long
				DFE
				
				AU
				
				N
				
				2
				
					
						
							STATE STREET GLOBAL MARKETS LLC
							N/A
						
						702869625.00
						JPY
						8282724.81
						AUD
						2022-04-12
						-190529.38
					
				
				
					N
					N
					N
				
			
			
				LINDE PLC
				8945002PAZHZLBGKGF02
				LINDE PLC
				N/A
				
					
					
				
				33197.00
				NS
				
				10697435.31
				1.7378257673699
				Long
				EC
				CORP
				IE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				NATWEST GROUP PLC
				2138005O9XJIJN4JPN90
				NATWEST GROUP PLC
				N/A
				
					
					
				
				1634778.00
				NS
				
				4599968.57
				0.7472766769213
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				RECRUIT HOLDINGS CO LTD
				353800R2LRSMVVC4I806
				RECRUIT HOLDINGS CO LTD
				N/A
				
					
					
				
				383713.00
				NS
				
				16797905.39
				2.7288627580945
				Long
				EC
				CORP
				JP
				
				N
				
				2
				
					N
					N
					N
				
			
			
				ANGLO AMERICAN PLC
				549300S9XF92D1X8ME43
				ANGLO AMERICAN PLC
				N/A
				
					
					
				
				380602.00
				NS
				
				19630111.76
				3.1889619375394
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				CRH PLC
				549300MIDJNNTH068E74
				CRH PLC
				N/A
				
					
					
				
				239290.00
				NS
				
				9581075.12
				1.5564701949708
				Long
				EC
				CORP
				IE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				PRUDENTIAL PLC
				5493001Z3ZE83NGK8Y12
				PRUDENTIAL PLC
				N/A
				
					
					
				
				672418.00
				NS
				
				9932808.83
				1.6136102371189
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				CRODA INTERNATIONAL PLC
				2138004WCNBFJEEOXV26
				CRODA INTERNATIONAL PLC
				N/A
				
					
					
				
				47545.00
				NS
				
				4886297.94
				0.7937916165046
				Long
				EC
				CORP
				GB
				
				N
				
				2
				
					N
					N
					N
				
			
			
				SWEDBANK AB
				M312WZV08Y7LYUC71685
				SWEDBANK AB
				N/A
				
					
					
				
				355869.00
				NS
				
				5310933.67
				0.8627747785388
				Long
				EC
				CORP
				SE
				
				N
				
				2
				
					N
					N
					N
				
			
			
				SAMSUNG SDI CO LTD
				9884002AESDO4YW87G32
				SAMSUNG SDI CO LTD
				N/A
				
					
					
				
				25856.00
				NS
				
				12616294.12
				2.0495492961718
				Long
				EC
				CORP
				KR
				
				N
				
				2
				
					N
					N
					N
				
			
			
				DREYFUS INSTITUTIONAL PREFERRE
				549300RBWL04JG8SIX57
				Dreyfus Institutional Preferred Government Plus Money Market Fund
				N/A
				
					
					
				
				429281.54
				OU
				Other Units
				USD
				429281.54
				0.0697378857688
				Long
				STIV
				RF
				US
				
				N
				
				1
				
					2099-12-01
					Variable
					0.305872
					N
					N
					N
				
				
					N
					N
					N
				
			
			
				99VVB9HH4
				N/A
				DREYFUS INST PREF GOVT PLUS-SL #4134
				99VVB9HH4
				
					
					
				
				0.06
				OU
				Other Units
				USD
				0.06
				0.0000000097471
				Long
				
				RF
				US
				
				N
				1
				
					
					N
					N
				
			
		
		
			2022-05-25
			BNY Mellon Advantage Funds, Inc.
			James Windels
			James Windels
			Fund Treasurer
		
	





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