Bank of New York Mellon Corp/The
Quarter-over-quarter position changes
| Action | Company | Flow |
|---|---|---|
| Trimmed | TJX Cos Inc/The | $198.00M |
| Added | INTERNATIONAL PAPER CO /NEW | $193.40M |
| Added | H01301128 | $186.73M |
| Added | DELTA AIR LINES, INC. | $184.41M |
| Added | REGAL REXNORD CORP | $184.30M |
| New | Sunbelt Rentals Holdings, Inc.SUNB | $183.33M |
| Trimmed | Mastercard Inc | $179.97M |
| Trimmed | AMPHENOL CORP /DE | $176.64M |
| Trimmed | DANAHER CORP /DE | $170.54M |
| Trimmed | Intuitive Surgical Inc | $170.50M |
| Trimmed | Howmet Aerospace Inc. | $163.14M |
| Trimmed | 464287101 | $161.45M |
| Trimmed | Burlington Stores, Inc. | $159.46M |
| Trimmed | TE Connectivity PLC | $156.18M |
| Trimmed | Visa Inc | $156.04M |
| Trimmed | EQT Corp | $154.48M |
| Added | Vertiv Holdings Co | $152.40M |
| Added | PFIZER INC | $150.65M |
| Added | CNH Industrial N.V. | $147.55M |
| Exited | 46137V233 | $146.99M |
| New | 46138E461 | $143.35M |
| Trimmed | Fastenal Co | $139.44M |
| Trimmed | KLA CORP | $135.35M |
| Added | ConocoPhillips | $131.39M |
| Trimmed | Walt Disney Co | $129.87M |
| Added | Elevance Health Inc | $127.81M |
| Trimmed | COSTCO WHOLESALE CORP /NEW | $126.26M |
| Added | General Motors Co | $125.23M |
| Added | PPG INDUSTRIES INC | $123.56M |
| New | Pinnacle Financial Partners, Inc. | $119.72M |
| Trimmed | LINDE PLC | $119.03M |
| Trimmed | O REILLY AUTOMOTIVE INC | $118.40M |
| Trimmed | APPLIED MATERIALS INC /DE | $118.33M |
| Trimmed | STRYKER CORP | $118.10M |
| Added | Western Digital Corp | $117.86M |
| Added | 922042718 | $117.17M |
| Added | OCCIDENTAL PETROLEUM CORP /DE | $115.50M |
| Added | 92203J407 | $114.23M |
| Trimmed | Marathon Petroleum Corp | $111.81M |
| Trimmed | 922908769 | $106.78M |
| Trimmed | BOSTON SCIENTIFIC CORP | $105.48M |
| Trimmed | Booking Holdings Inc | $104.58M |
| Added | 09661T602 | $104.43M |
| Added | iShares MSCI UAE ETF | $104.20M |
| Added | 464288885 | $102.48M |
| Added | DECKERS OUTDOOR CORP | $99.60M |
| Trimmed | 92857W308 | $98.29M |
| Added | Jazz Pharmaceuticals PLC | $97.84M |
| Trimmed | Fortinet Inc | $95.74M |
| Exited | Amcor PLC | $95.72M |