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Bank of New York Mellon Corp/The

All holdings · as of Mar 31, 2026

4,174 positions

CompanyClassValueShares% of portfolio
SEALSQ CORP$308.7K117,8340.0%
Arcos Dorados Holdings Inc$310.6K37,6520.0%
INNOVATOR LADD ALLO BUFF ETF$311.1K8,6640.0%
Ategrity Specialty Insurance Co HoldingsASICCommon Stock$312.0K15,7800.0%
SOLARIS ENERGY INFRASTRU$312.4K250,0000.0%
CHEFS' WAREHOUSE THE$312.8K212,0000.0%
American Outdoor Brands, Inc.$313.2K33,5300.0%
VUZIX CORPVUZICommon Stock$313.4K135,6660.0%
Riverview Bancorp Inc$313.6K57,0260.0%
KLARNA GROUP PLC$315.6K24,1110.0%
Sharplink, Inc.$315.8K48,9570.0%
SB FINANCIAL GROUP, INC.$316.2K15,0550.0%
MODIV INDUSTRIAL, INC.MDVREIT$317.5K22,1700.0%
ZIPRECRUITER, INC.$317.9K172,7900.0%
FIRST TRUST US EQUITY OPPORT$319.4K2,0110.0%
CB Financial Services Inc$320.0K9,3630.0%
KALTURA INCKLTRCommon Stock$322.5K264,3840.0%
FENNEC PHARMACEUTICALS INC.$322.6K52,4620.0%
JELD-WEN Holding, Inc.$322.7K260,2490.0%
CONVERGENCE LONG/SHORT EQY$324.2K11,5200.0%
VANGUARD RUSSELL 2000 GROWTH$324.4K1,4170.0%
MAMMOTH ENERGY SERVICES, INC.$324.7K132,5390.0%
Funko, Inc.FNKOCommon Stock$324.8K103,1250.0%
Westrock Coffee CoWESTCommon Stock$324.9K76,4370.0%
POST HOLDINGS INC$324.9K300,0000.0%
HERON THERAPEUTICS, INC. /DE$325.5K406,8060.0%
UNITED SECURITY BANCSHARESUBFOCommon Stock$326.0K31,0210.0%
Braemar Hotels & Resorts Inc.$326.6K138,4110.0%
GUARDANT HEALTH INC$327.2K200,0000.0%
New Fortress Energy Inc.NFECommon Stock$328.3K556,4070.0%
BLACKLINE INC$328.4K350,0000.0%
TTEC Holdings, Inc.TTECCommon Stock$329.4K131,7790.0%
CENTESSA PHARMACEUTICALS-ADR$329.6K8,2980.0%
BCB BANCORP INC$330.3K36,7770.0%
ISHARES RUSSELL 2500 ETF$331.4K4,3400.0%
ISHARES MICRO-CAP ETF$333.8K2,0910.0%
INSEEGO CORP$334.4K30,0760.0%
NYLI MACKAY MUNI INSURED ETF$334.8K14,1200.0%
FRANKLIN EMERGING MARKET COR$336.2K9,5120.0%
FONAR CORP$338.2K18,2240.0%
Thryv Holdings, Inc.$338.6K123,5760.0%
Health Catalyst, Inc.$338.6K266,6530.0%
BRIDGEBIO PHARMA INC$339.9K200,0000.0%
BV Financial, Inc.$341.4K17,8360.0%
Codexis, Inc.$341.7K209,6450.0%
TUCOWS INC /PATCXCommon Stock$341.9K19,9270.0%
AUDIOEYE INC$342.5K53,7630.0%
GLOBAL X COPPER MINERS ETF$342.6K4,4870.0%
KORU Medical Systems, Inc.KRMDCommon Stock$343.8K79,5760.0%
Sight Sciences, Inc.SGHTCommon Stock$344.8K91,4590.0%
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