13FBOX
Bank of New York Mellon Corp · 13F Holdings
Options Calculator Rankings

Bank of New York Mellon Corp

No.25 Data as of 2026Q2
Latest AUM (Q2 2026)
$609.43B
QoQ Change Q1 2026
+$65.53B+12.0%
Holdings
4274
New Buys
285
Adds
2275
Reduces
1617
Exits
186
Unchanged
97
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NVIDIA CORPORATIONNVDA
5%4.93%$30.45B152.2M$26.82B153.8M-1.6M-1.03%Reduce
APPLE INCAAPL
4.2%4.3%$25.58B88.4M$23.39B92.2M-3.8M-4.08%Reduce
MICROSOFT CORPMSFT
3.27%3.52%$19.95B53.5M$19.12B51.7M+1.8M+3.51%Add
AMAZON COM INCAMZN
2.68%2.56%$16.34B68.6M$13.94B66.9M+1.6M+2.44%Add
ALPHABET INCGOOGL
2.3%2.12%$14.02B39.2M$11.54B40.1M-897,109-2.24%Reduce
BROADCOM INCAVGO
1.73%1.63%$10.53B27.9M$8.89B28.7M-842,177-2.93%Reduce
IISHARES TRIVV
1.68%1.6%$10.21B13.6M$8.73B13.4M+274,153+2.05%Add
AAlphabet Inc Class CGOOG
1.61%1.52%$9.83B27.8M$8.25B28.8M-939,614-3.27%Reduce
MICRON TECHNOLOGY INCMU
1.35%0.46%$8.25B7.1M$2.51B7.4M-295,401-3.97%Reduce
META PLATFORMS INCMETA
1.28%1.49%$7.79B13.8M$8.10B14.2M-320,215-2.26%Reduce
JPMORGAN CHASE & COJPM
1.16%1.14%$7.08B21.6M$6.21B21.1M+540,362+2.56%Add
TESLA INCTSLA
1%1.01%$6.08B14.5M$5.51B14.8M-366,082-2.47%Reduce
ADVANCED MICRO DEVICES INCAMD
0.99%0.39%$6.02B10.4M$2.11B10.4M-375-0.00%Reduce
ELI LILLY & COLLY
0.94%0.82%$5.74B4.8M$4.48B4.9M-81,949-1.68%Reduce
JOHNSON & JOHNSONJNJ
0.9%0.98%$5.51B21.7M$5.33B21.8M-138,615-0.64%Reduce
BERKSHIRE HATHAWAY INC DELBRK.B
0.86%0.95%$5.27B10.5M$5.18B10.8M-272,168-2.52%Reduce
EXXON MOBIL CORPXOM
0.85%1.38%$5.17B37.8M$7.51B44.3M-6.5M-14.65%Reduce
APPLIED MATLS INCAMAT
0.83%0.54%$5.08B7.0M$2.94B8.6M-1.6M-18.35%Reduce
CISCO SYS INCCSCO
0.77%0.65%$4.71B40.1M$3.51B45.3M-5.1M-11.32%Reduce
IISHARES COREIJH
0.77%0.73%$4.66B60.5M$3.97B58.7M+1.8M+3.00%Add
TEXAS INSTRS INCTXN
0.74%0.59%$4.49B15.1M$3.18B16.4M-1.3M-8.19%Reduce
UNITEDHEALTH GROUP INCUNH
0.73%0.5%$4.45B10.7M$2.73B10.1M+616,723+6.11%Add
INTEL CORPINTC
0.68%0.25%$4.15B29.7M$1.35B30.7M-964,444-3.14%Reduce
VISA INCV
0.64%0.67%$3.90B11.4M$3.63B12.0M-626,581-5.22%Reduce
LAM RESEARCH CORPLRCX
0.62%0.35%$3.78B8.7M$1.91B8.9M-214,867-2.41%Reduce
IISHARES TRIEFA
0.61%0.63%$3.73B38.6M$3.45B38.1M+529,821+1.39%Add
TAIWAN SEMICONDUCTOR MANUFACTSM
0.61%0.57%$3.73B7.8M$3.11B9.2M-1.4M-15.05%Reduce
MASTERCARD INCORPORATEDMA
0.59%0.68%$3.58B7.0M$3.71B7.4M-441,277-5.95%Reduce
CCITIGROUP INCC
0.53%0.49%$3.24B23.2M$2.66B23.4M-252,433-1.08%Reduce
ABBVIE INCABBV
0.53%0.53%$3.23B12.9M$2.89B13.3M-424,793-3.20%Reduce
CATERPILLAR INCCAT
0.52%0.45%$3.19B3.0M$2.44B3.4M-450,038-13.05%Reduce
WALMART INCWMT
0.5%0.64%$3.08B27.2M$3.50B28.1M-982,674-3.49%Reduce
COSTCO WHOLESALE CORPORATIONCOST
0.49%0.62%$3.01B3.2M$3.38B3.4M-176,566-5.21%Reduce
HOME DEPOT INCHD
0.46%0.48%$2.78B7.9M$2.61B7.9M-51,175-0.65%Reduce
COCA COLA COKO
0.45%0.4%$2.77B34.1M$2.15B28.3M+5.8M+20.41%Add
IINTERNATIONAL BUSINESS MACHSIBM
0.43%0.32%$2.61B9.3M$1.74B7.2M+2.1M+29.27%Add
AMPHENOL CORPAPH
0.42%0.38%$2.57B14.6M$2.06B16.3M-1.7M-10.67%Reduce
GOLDMAN SACHS GROUP INCGS
0.42%0.41%$2.56B2.5M$2.23B2.6M-100,892-3.83%Reduce
KLA CORPKLAC
0.41%0.24%$2.52B8.4M$1.31B888,388+7.5M+841.08%Add
GE VERNOVA INCGEV
0.41%0.36%$2.50B2.1M$1.98B2.3M-140,273-6.19%Reduce
LINDE PLCLIN
0.4%0.46%$2.46B4.7M$2.53B5.1M-368,318-7.22%Reduce
CHEVRON CORPORATIONCVX
0.39%0.57%$2.38B14.3M$3.09B14.9M-581,825-3.90%Reduce
MARVELL TECHNOLOGY INCMRVL
0.39%0.06%$2.37B8.0M$311.2M3.1M+4.8M+153.26%Add
MERCK & CO INCMRK
0.39%0.41%$2.36B18.3M$2.25B18.7M-373,190-1.99%Reduce
BBANK OF AMER CORPBAC
0.38%0.37%$2.31B40.6M$2.00B41.0M-355,716-0.87%Reduce
PROCTER & GAMBLE COPG
0.37%0.43%$2.28B15.6M$2.32B16.0M-470,777-2.94%Reduce
PHILIP MORRIS INTL INCPM
0.35%0.27%$2.11B11.7M$1.47B8.9M+2.8M+30.91%Add
GE AEROSPACEGE
0.35%0.3%$2.11B5.6M$1.63B5.8M-106,482-1.85%Reduce
MORGAN STANLEYMS
0.33%0.3%$2.04B9.8M$1.61B9.8M-34,305-0.35%Reduce
TTHERMO FISHER SCIENTIFIC INCTMO
0.32%0.34%$1.97B3.9M$1.85B3.8M+171,796+4.56%Add

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow