Funds

BNY Mellon Mid Cap Multi-Strategy Fund Class M

MPMCX

BNY Mellon Mid Cap Multi-Strategy Fund Class M

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  • Price (USD)16.66
  • Today's Change-0.02 / -0.12%
  • 1 Year change-3.81%
Data delayed at least 15 minutes, as of Jul 05 2024.
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Profile and investment

Fund typeOpen Ended Investment Company
Investment style (stocks)Market Cap: Mid
Investment Style: Growth
Morningstar categoryMid-Cap Growth
Launch date02 Oct 2000
Price currencyUSD
DomicileUnited States
SymbolMPMCX
Manager & start date
Steven Pollack
20 Aug 2012
William Priebe
21 Mar 2013
William A. Priebe
21 Mar 2013
John Porter
09 Mar 2017
José Muñoz
31 Jul 2017
Andrew Leger
22 Sep 2021
Karen Miki Behr
22 Sep 2021
Alicia Levine
22 Sep 2021
Michael Mongelluzzo
29 Sep 2023
Pricing frequencyDaily
Total net assets
1.23bn USD
As of Jun 30 2024
Share class size
1.11bn USD
As of Jun 30 2024
Net expense ratio0.92%
Front end load--
Deferred load--
Maximum Redemption Fee--
Min. initial investment10,000.00
USD
Min. additional investment100.00
USD
Initial IRA--
Additional IRA--
Available for saleUnited States
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Top 5 holdings

Top 5 holdings as a per cent of portfolio
25.66%7.30%0.00%7.30%
Category average% Net assets% Short% Long
Company1 year changePortfolio weightLong allocation
iShares Russell Mid-Cap ETF
IWR:PCQ:USD
+10.72%2.80%
Amphenol Corp
APH:NYQ
+62.20%1.52%
CoStar Group Inc
CSGP:NSQ
-17.46%1.23%
Dexcom Inc
DXCM:NSQ
-11.23%0.88%
HubSpot Inc
HUBS:NYQ
+12.75%0.87%
Per cent of portfolio in top 5 holdings: 7.30%

Diversification

Asset type

Asset type

US stock96.46%
Non-US stock2.69%
Cash0.86%
US bond0.00%
Non-US bond0.00%
Other0.00%

Top 5 sectors

Equity
Fixed income
Industrials20.67%
Technology19.47%
Financial Services11.56%
Consumer Cyclical11.32%
Healthcare10.19%
Other25.94%

Top 5 regions

United States96.46%
Canada0.79%
Latin America0.63%
United Kingdom0.58%
Middle East0.45%
Other0.23%
Sector and region weightings are calculated using only long position holdings of the portfolio.
The performance data shown in tables and graphs on this page is calculated in USD of the fund/index/average (as applicable), on a Bid To Bid / Nav to Nav basis, with gross dividends re-invested on ex-dividend date. Past performance is not necessarily a guide to future performance; unit prices may fall as well as rise.
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