BNY Mellon Responsible Horizons Corporate Bond ETF (RHCB)
- CUSIP 09661T842
- NAV $ 47.60 As of 09/18/24
- CHG $ 0.08 (0.17 %)
- MKT PRICE $47.62 As of 09/18/24
- CHG $-0.15 (-0.31 %)
-
TOTAL EXPENSE RATIO
0.35%Net0.35%Gross
Why invest in this Fund?
- The fund seeks total return consisting of capital appreciation and income.
- May be appropriate for investors looking for a fund that primarily invests in securities issued by companies that demonstrate attractive investment attributes and attractive business practices based on an environmental, social and governance (ESG) methodology.
- Well-resourced credit team is complemented by a wider fixed income group and a dedicated ESG team.
- Liquid ETF structure allows investors to buy or sell any time the market is open.
Yields and Expense Ratio
30-DAY SEC YIELD as of 09/19/24 SUBSIDIZED |
UNSUBSIDIZED |
CURRENT YIELD as of 09/19/24 |
CONTRACTUAL FEE WAIVER END DATE |
PROSPECTUS FEE TABLE EXPENSE RATIO (%) as of 11/01/23 NET |
GROSS |
---|---|---|---|---|---|
4.57 | 4.57 | 4.62 | - | 0.35 | 0.35 |
Yield fluctuates and past performance is no guarantee of future results.
The SEC 30-day Yield is calculated by dividing the net investment income per share earned during the period (calculated in accordance with regulatory guidelines) by the maximum offering price per share on the last day of the period.
Unsubsidized yield displays what the fund's 30-Day SEC Yield would have been had no fee waiver or expense reimbursement been in place during the period.
Gross Expenses is the total annual operating expense ratio for the fund, before any fee waivers or expense reimbursements. Net Expenses is the total annual operating expense ratio for the fund, after any applicable fee waivers or expense reimbursements. The Gross Expenses, or Net Expenses (if including fee waivers or expense reimbursements) is the actual fund expense ratio applicable to investors.
NAV - A fund's NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding.
Market Price - The market price is the most recent official closing price for the listed exchange.
Current Yield - (Sum of 30 days of net investment income/sum of 30 days of net assets) * (365*100)
Avg Effective Duration - It is used to measure the market price sensitivity of the fund’s portfolio holdings to changes in interest-rates. Duration is not a complete measure of bond risk and may not be successful.
Weighted Avg Yield to Maturity - The averaged total return anticipated on a group of bonds if held until their maturity.
Weighted Avg Maturity - A measure of the average maturity of all of the underlying security instruments in the fund, weighted to reflect the relative percentage ownership of each instrument, and taking into account applicable “maturity shortening” provisions.
NAV - A fund's NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding.
Market Price - The market price is the most recent official closing price for the listed exchange.
Current Yield - (Sum of 30 days of net investment income/sum of 30 days of net assets) * (365*100)
Avg Effective Duration - It is used to measure the market price sensitivity of the fund’s portfolio holdings to changes in interest-rates. Duration is not a complete measure of bond risk and may not be successful.
Weighted Avg Yield to Maturity - The averaged total return anticipated on a group of bonds if held until their maturity.
Weighted Avg Maturity - A measure of the average maturity of all of the underlying security instruments in the fund, weighted to reflect the relative percentage ownership of each instrument, and taking into account applicable “maturity shortening” provisions.
Portfolio Managers
-
Erin Spalsbury
Portfolio Manager, Insight North America, LLC
Managing Fund Since Inception
Joined Firm in 2019
Joined Industry in 1994
Daily Statistics
As of 09/18/24 NAME |
30-DAY MEDIAN BID/ASK SPREAD |
PREVIOUS DAY VOLUME |
20-DAY AVG VOLUME |
PREMIUM/ DISCOUNT |
YTD Total Return (NAV) |
---|---|---|---|---|---|
BNY Mellon Responsible Horizons Corporate Bond ETF
|
0.19% | 0 | 8 | 0.22% | 6.13% |
The performance data quoted represents past performance, which is no guarantee of future results.
30-Day Median Bid-Ask Spread - Gives investors the midpoint within the spread between an ETF’s selling price and buying price. It is calculated over the last 30 days in 10 second intervals by dividing the difference between the bid (sell price) and offer (buy price) by the midpoint of the National Best Bid Offer (NBBO) and identifying the median of those values.
20-Day Avg Volume - 20-Day Average Volume is the sum of last 20 days of trading volume divided by 20 days.
Premium / Discount - The amount the fund is trading above or below the reported NAV expressed as a percentage of the NAV. When the fund's market price is greater than the fund's NAV, it is said to be trading at a "Premium" and the percentage is expressed as a positive number. When the fund's market price is less than the fund's NAV, it is said to be trading at a "Discount" and the percentage is expressed as a negative number.
Total Returns
Month End
Average Annual As of 08/31/24 |
|||||||
---|---|---|---|---|---|---|---|
Name |
3 MO 08/31/24 |
YTD 08/31/24 |
1 YR | 3 YRS | 5 YRS | 10 YRS | Since Inception |
BNY Mellon Responsible Horizons Corporate Bond ETF
RHCB |
4.72 | 3.96 | 9.79 | - | - | - | 1.65 |
ICE BofA US Corporate Index
|
4.60 | 3.97 | 9.45 | -1.89 | 0.82 | 2.66 | - |
Bloomberg U.S. Aggregate Bond Index
|
4.79 | 3.07 | 7.30 | -2.11 | -0.04 | 1.64 | - |
Quarter End
Average Annual As of 06/30/24 |
|||||||
---|---|---|---|---|---|---|---|
Name |
3 MO 06/30/24 |
YTD 06/30/24 |
1 YR | 3 YRS | 5 YRS | 10 YRS | Since Inception |
BNY Mellon Responsible Horizons Corporate Bond ETF
RHCB |
0.02 | -0.15 | 5.07 | - | - | - | -0.02 |
ICE BofA US Corporate Index
|
0.12 | 0.04 | 5.04 | -2.81 | 0.78 | 2.39 | - |
Bloomberg U.S. Aggregate Bond Index
|
0.07 | -0.71 | 2.63 | -3.02 | -0.23 | 1.35 | - |
The performance data quoted represents past performance, which is no guarantee of future results. Share price, yield and investment return fluctuate and an investor's shares may be worth more or less than original cost upon redemption. Current performance may be lower or higher than the performance quoted.
Market Price performance is calculated using the most recent NYSE Arca Official Closing Price. Market Price returns do not represent investors’ returns had they traded shares at other times.
The Bloomberg U.S. Aggregate Total Return Index is designed to measure the investment grade, U.S. dollar-denominated, fixed-rate taxable bond market. The index includes Treasuries, government-related and corporate securities, mortgage-backed pass-through securities (agency fixed-rate), commercial mortgage-backed securities (agency and non-agency) and other asset-backed securities having at least one year until final maturity. To be included in the index, securities must be rated investment grade (Baa3/BBB-/BBB- or higher) using the middle rating of Moody?s, S&P and Fitch. Investors cannot invest directly in an index.
Growth of $10,000 Investment
Past performance is no guarantee of future results.
Historical NAV and Market Price
Historical Premium/Discount
Premium and Discount Summary Table
As of 09/19/24 | Calendar Year 2022 | Q2 2024 |
---|---|---|
Days Traded at Premium
|
195 | 63 |
Days Traded at Discount
|
2 | 0 |
The table shows the number of trading days in which the fund traded at a premium or discount to its closing NAV. Past results are not indicative of future results.
Premium/Discount
Prospectus Fee Table Expense Ratios
Fees as stated in the prospectus Fee Description | Total Expense Ratio (%) |
---|---|
Management Fee | 0.35% |
Other Expenses | 0.00% |
Total Expenses | 0.35% |
Net Expenses | 0.35% |
The Total Expenses is the actual fund expense ratio applicable to investors.
Portfolio Manager/Sub-Investment Adviser
The fund's investment adviser is BNY Mellon ETF Investment Adviser, LLC and the fund's sub-adviser is Insight North America LLC, an affiliate of the Adviser. Erin Spalsbury and Jonathan Earle are the fund's primary portfolio managers. Each portfolio manager has been a primary portfolio manager of the fund since its inception in March 2022. Ms. Spalsbury is a senior portfolio manager and member of the Fixed Income Group at Insight. Mr. Earle is a portfolio manager and member of the Fixed Income Group at Insight. Each portfolio manager is jointly and primarily responsible for the day-to-day management of the fund's portfolio.
Top Holdings
Holdings | % Portfolio Weight |
---|---|
CRED AGRICOLE 6.316 10/29 | 1.12 |
COOPERATIEVE R 1.004 9/26 | 1.01 |
ELEC DE FRANC 9.125 12/72 | 0.96 |
HSBC HOLDINGS 6.332 3/44 | 0.95 |
US TREASURY N/B 4.5 2/44 | 0.93 |
UBS GROUP 6.301 9/34 | 0.92 |
ALLIANZ SE 6.35 9/53 | 0.91 |
DIAGEO CAP PL 5.625 10/33 | 0.91 |
ENEL FINANCE AM 7.1 10/27 | 0.91 |
ROYAL BK CANADA 7.5 5/84 | 0.89 |
MORGAN STANLEY 1.928 4/32 | 0.89 |
ING GROEP NV 5.55 3/35 | 0.89 |
ENI SPA 5.95 5/54 | 0.88 |
IND BK OF KOR 5.375 10/28 | 0.88 |
ALCON FINANCE 5.375 12/32 | 0.88 |
TAKEDA PHARM 5.3 7/34 | 0.88 |
LYB INT FIN III 5.5 3/34 | 0.88 |
SMURFIT KAPPA 5.438 4/34 | 0.88 |
GOLDMAN SACHS 4.411 4/39 | 0.88 |
TORONTO DOM BAN 7.25 7/84 | 0.88 |
BIMBO BAKERIES 5.375 1/36 | 0.87 |
IBM INT CAPITAL 4.75 2/31 | 0.87 |
IBM INT CAPITAL 5.25 2/44 | 0.87 |
TAKEDA PHARMACEU 5 11/28 | 0.86 |
BERRY GLOBAL INC 5.5 4/28 | 0.86 |
CHILE 4.85 1/29 | 0.86 |
ENEL FIN INTL NV 5 6/32 | 0.85 |
SCHLUMBERGER HLD 4.3 5/29 | 0.84 |
NUTRIEN LTD 4 12/26 | 0.84 |
ASHTEAD CAPITA 4.25 11/29 | 0.82 |
CITIGROUP INC 3.98 3/30 | 0.80 |
LSEGA FIN PLC 1.375 4/26 | 0.80 |
BANK OF AMER C 3.194 7/30 | 0.80 |
COMMONWEALTH ED 5.65 6/54 | 0.79 |
AMERICAN HOMES 4 5.5 2/34 | 0.76 |
DREYFUS INSTITUTIONAL PRE | 0.76 |
AKER BP ASA 3.1 7/31 | 0.75 |
BRASKEM NL 4.5 1/30 | 0.73 |
STELLANTIS FIN 2.691 9/31 | 0.73 |
AT&T INC 2.55 12/33 | 0.71 |
BANK OF AMER C 3.824 1/28 | 0.69 |
BOSTON GAS CO 6.119 7/53 | 0.67 |
AERCAP IRELAND 6.95 3/55 | 0.66 |
PENSKE TRUCK LE 5.55 5/28 | 0.65 |
JPMORGAN CHASE 3.882 7/38 | 0.65 |
AIRCASTLE / IE 5.75 10/31 | 0.65 |
JPMORGAN CHASE 5.012 1/30 | 0.65 |
HCA INC 5.25 6/26 | 0.64 |
GALAXY PIPELINE 2.16 3/34 | 0.61 |
DAIMLER FINANCE 1.45 3/26 | 0.61 |
GOLDMAN SACHS 1.093 12/26 | 0.60 |
CON EDISON CO 5.3 3/35 | 0.60 |
T-MOBILE USA INC 3.5 4/31 | 0.59 |
GENERAL MILLS I 4.95 3/33 | 0.58 |
AGREE LP 2.9 10/30 | 0.57 |
ALEXANDRIA REA 1.875 2/33 | 0.56 |
PUBLIC SERVICE 5.45 8/53 | 0.56 |
ASTRAZENECA FIN 2.25 5/31 | 0.56 |
PNC FINANCIAL 5.492 5/30 | 0.55 |
MORGAN STANLEY 4.679 7/26 | 0.55 |
AVANGRID INC 3.2 4/25 | 0.54 |
REXFORD INDUS RE 5 6/28 | 0.54 |
AERCAP IRELAND 3.85 10/41 | 0.53 |
MET LIFE GLOB 1.55 1/31 | 0.53 |
FIDELITY NATION 1.15 3/26 | 0.52 |
ERAC USA FINANC 3.8 11/25 | 0.52 |
AIR LEASE CORP 2.1 9/28 | 0.52 |
CITIGROUP INC 3.106 4/26 | 0.52 |
CROWN CASTLE INC 4.9 9/29 | 0.51 |
JPMORGAN CHASE 5.766 4/35 | 0.51 |
FISERV INC 5.45 3/34 | 0.51 |
HP ENTERPRISE 4.55 10/29 | 0.50 |
COREBRIDGE GF 5.2 1/29 | 0.50 |
EXELON CORP 4.05 4/30 | 0.50 |
BANK OF AMER 2.572 10/32 | 0.49 |
HOME DEPOT INC 3.5 9/56 | 0.49 |
MICRON TECH 2.703 4/32 | 0.49 |
BANK OF AMER C 5.202 4/29 | 0.49 |
PNC FINANCIAL 4.758 1/27 | 0.49 |
PFIZER INC 2.625 4/30 | 0.47 |
Net Current Assets | 0.47 |
BANK NOVA SCOTI 4.85 2/30 | 0.47 |
COCA-COLA CO/THE 3.5 5/44 | 0.46 |
MASTERCARD INC 4.35 1/32 | 0.46 |
US BANCORP 6.787 10/27 | 0.45 |
METLIFE INC 6.4 12/36 | 0.45 |
TRANE TECH 5.25 3/33 | 0.44 |
CAN IMPERIAL B 5.001 4/28 | 0.43 |
COMCAST CORP 4.65 2/33 | 0.43 |
NY STATE ELECTR 5.85 8/33 | 0.43 |
ERP OPERATING 4.15 12/28 | 0.42 |
ANHEUSER-BUSCH 4.9 2/46 | 0.42 |
AUTOZONE INC 4.5 2/28 | 0.42 |
COMCAST CORP 2.937 11/56 | 0.42 |
CROWN CASTLE INT 3.8 2/28 | 0.41 |
JOHNSON CONTROL 4.9 12/32 | 0.41 |
BOSTON PROP LP 2.75 10/26 | 0.41 |
EQUINIX INC 1 9/25 | 0.41 |
WARNERMEDIA HL 4.054 3/29 | 0.40 |
EVERSOURCE ENER 1.65 8/30 | 0.40 |
NXP BV/NXP FDG 3.25 5/41 | 0.39 |
D.R. HORTON 5 10/34 | 0.39 |
ABBVIE INC 4.05 11/39 | 0.39 |
PNC FINANCIAL 4.626 6/33 | 0.39 |
HP ENTERPRISE 5 10/34 | 0.39 |
AMGEN INC 4.663 6/51 | 0.39 |
US BANCORP 5.775 6/29 | 0.38 |
PFIZER INVSTMNT 5.34 5/63 | 0.38 |
PFIZER INVSTMNT 5.3 5/53 | 0.38 |
MARSH & MCLENNA 5.45 3/53 | 0.38 |
VENTAS REALTY 5.625 7/34 | 0.37 |
CON EDISON CO 4.125 5/49 | 0.36 |
VERIZON COMM INC 1.5 9/30 | 0.36 |
THERMO FISHER 1.5 10/39 | 0.36 |
MORGAN STANLEY 5.942 2/39 | 0.35 |
ORACLE CORP 3.65 3/41 | 0.35 |
RYDER SYSTEM IN 5.65 3/28 | 0.35 |
WILLIAMS COS IN 5.75 6/44 | 0.35 |
AT&T INC 3.5 6/41 | 0.35 |
VERIZON COMM I 3.875 3/52 | 0.35 |
AGCO CORP 5.8 3/34 | 0.34 |
PUBLIC SERVICE 4.65 3/33 | 0.34 |
CONSTL ENRGY GE 6.5 10/53 | 0.34 |
INTERCONTINENT 4.6 3/33 | 0.34 |
STARBUCKS CORP 5 2/34 | 0.34 |
DELTA/SKYMILES 4.75 10/28 | 0.34 |
CITIZENS FIN G 5.641 5/37 | 0.33 |
FEDEX CORP 4.75 11/45 | 0.33 |
ERAC USA FINANCE 4.9 5/33 | 0.33 |
CSX CORP 3.95 5/50 | 0.32 |
NEW ENG POWER 5.936 11/52 | 0.32 |
XLIT LTD 5.25 12/43 | 0.31 |
LOWE'S COS INC 2.8 9/41 | 0.31 |
BRISTOL-MYERS 5.1 2/31 | 0.31 |
TRUIST FINANC 7.161 10/29 | 0.30 |
ROGERS COMMUNIC 4.5 3/42 | 0.30 |
7-ELEVEN INC 2.5 2/41 | 0.30 |
GEN MOTORS FIN 6.1 1/34 | 0.29 |
US TREASURY N/ 3.875 8/34 | 0.29 |
AMGEN INC 1.65 8/28 | 0.29 |
PROLOGIS EURO 1.5 9/49 | 0.29 |
BANK OF AMER C 5.288 4/34 | 0.28 |
MICROSOFT CORP 2.675 6/60 | 0.28 |
DISCOVER FIN SV 6.7 11/32 | 0.28 |
TOTAL CAP INTL 3.127 5/50 | 0.28 |
STATE STREET CRP 6.7 6/73 | 0.28 |
FORD MOTOR CO 3.25 2/32 | 0.27 |
CAPITAL ONE FI 2.359 7/32 | 0.27 |
DELL INT / EM 3.375 12/41 | 0.27 |
ILLUMINA INC 5.75 12/27 | 0.27 |
CHARTER COMM OP 5.25 4/53 | 0.26 |
CHARTER COMM 6.484 10/45 | 0.25 |
PFIZER INVSTMNT 5.11 5/43 | 0.25 |
UNION PAC CORP 4.95 9/52 | 0.25 |
ENBRIDGE INC 5.5 7/77 | 0.25 |
WALT DISNEY CO 3.5 5/40 | 0.25 |
ATMOS ENERGY 5.5 6/41 | 0.24 |
CITIGROUP INC 6.174 5/34 | 0.24 |
CITIGROUP INC 5.449 6/35 | 0.24 |
GOLDMAN SACHS G 2.64 2/28 | 0.24 |
LINCOLN NATL C 5.852 3/34 | 0.23 |
T-MOBILE USA INC 3.3 2/51 | 0.23 |
ANHEUSER-BUSCH 5.55 1/49 | 0.23 |
ROGERS COMMUNIC 4.55 3/52 | 0.23 |
SUZANO AUSTRIA 3.75 1/31 | 0.23 |
UNTD AIR 24-1 A 5.45 2/37 | 0.22 |
MCDONALD'S CO 4.875 12/45 | 0.22 |
SCHLUMBERGER HLD 5 11/29 | 0.21 |
US TREASURY N/B 4.25 2/54 | 0.21 |
ORACLE CORP 4.65 5/30 | 0.21 |
UNITED RENTAL N 5.25 1/30 | 0.21 |
KITE REALTY GROU 4 3/25 | 0.21 |
LOWE'S COS INC 5.625 4/53 | 0.21 |
BUNGE LTD FIN CP 4.1 1/28 | 0.21 |
US BANCORP 5.678 1/35 | 0.21 |
JM SMUCKER CO 4.25 3/35 | 0.20 |
HCA INC 4.625 3/52 | 0.20 |
UNITEDHEALTH GR 6.05 2/63 | 0.20 |
CANADIAN PACIF 1.75 12/26 | 0.20 |
PARKLAND CORP 4.5 10/29 | 0.20 |
HERC HOLDINGS 6.625 6/29 | 0.20 |
BALL CORP 6 6/29 | 0.20 |
ELI LILLY & CO 4.7 2/33 | 0.20 |
BP CAP MKTS AMER 3 2/50 | 0.19 |
VERIZON COMM IN 2.85 9/41 | 0.19 |
PUBLIC SERVICE 5.125 3/53 | 0.19 |
ADVANCED MICRO 4.393 6/52 | 0.18 |
WESTPAC BANKI 2.668 11/35 | 0.18 |
NETFLIX INC 4.9 8/34 | 0.18 |
ORACLE CORP 4 7/46 | 0.18 |
HCA INC 5.45 4/31 | 0.18 |
KROGER CO 5 9/34 | 0.17 |
ALLSTATE CORP 3.85 8/49 | 0.17 |
COCA-COLA CO/TH 4.65 8/34 | 0.17 |
MORGAN STANLEY 5.948 1/38 | 0.17 |
UNITEDHEALTH GR 3.05 5/41 | 0.17 |
BLACKROCK FUND 5.35 1/55 | 0.16 |
INTEL CORP 5.2 2/33 | 0.16 |
REGENCY CENTERS 5.25 1/34 | 0.16 |
PARAMOUNT GLOB 6.375 3/62 | 0.16 |
GFL ENVIRON INC 6.75 1/31 | 0.15 |
AT&T INC 3.55 9/55 | 0.15 |
DOW CHEMICAL CO 6.3 3/33 | 0.15 |
LIBERTY MUTUAL 4.3 2/61 | 0.15 |
VERIZON COMM INC 5.5 2/54 | 0.15 |
COREBRIDGE FIN 5.75 1/34 | 0.15 |
WILLIAMS SCOTS 6.625 6/29 | 0.15 |
US TREASURY N/ 4.625 5/54 | 0.15 |
GENERAL MOTORS 5.95 4/49 | 0.15 |
PUBLIC SERVIC 6.125 10/33 | 0.15 |
AMGEN INC 5.6 3/43 | 0.15 |
CHARTER COMM OP 4.4 12/61 | 0.15 |
AMGEN INC 5.25 3/30 | 0.15 |
TOTALENERGIES 4.724 9/34 | 0.15 |
SEALED AIR CORP 6.5 7/32 | 0.14 |
NEWMNT / NEWCRS 5.35 3/34 | 0.14 |
AMGEN INC 5.65 3/53 | 0.14 |
JM SMUCKER CO 5.9 11/28 | 0.13 |
LOWE'S COS INC 4.45 4/62 | 0.13 |
TEXAS INSTRUMEN 5.05 5/63 | 0.13 |
BRISTOL-MYERS 4.25 10/49 | 0.13 |
XPO INC 6.25 6/28 | 0.13 |
INTEL CORP 5.7 2/53 | 0.13 |
MACY'S RETAIL 5.875 3/30 | 0.13 |
INTEL CORP 5.625 2/43 | 0.13 |
NASDAQ INC 5.95 8/53 | 0.12 |
ZIMMER BIOMET 5.35 12/28 | 0.12 |
ROYAL CARIBBEAN 6.25 3/32 | 0.12 |
PARK INTERMED HL 7 2/30 | 0.12 |
ENBRIDGE INC 6.2 11/30 | 0.12 |
AMERICAN HOMES 4 4.3 4/52 | 0.12 |
UNITEDHEALTH GR 4.95 5/62 | 0.12 |
UNITEDHEALTH G 5.875 2/53 | 0.12 |
BUILDERS FIRST 6.375 3/34 | 0.11 |
CIGNA GROUP/THE 5.6 2/54 | 0.11 |
EVERSOURCE ENERG 5.5 1/34 | 0.11 |
KB HOME 4 6/31 | 0.11 |
BRISTOL-MYERS 6.25 11/53 | 0.11 |
PHILLIPS EDIS 4.95 1/35 | 0.11 |
HOME DEPOT INC 5.3 6/54 | 0.11 |
US FOODS INC 6.875 9/28 | 0.11 |
GILEAD SCIENCE 5.55 10/53 | 0.10 |
INTERCONTINENT 4.95 6/52 | 0.10 |
FORD MOTOR CO 6.1 8/32 | 0.10 |
KROGER CO 5.5 9/54 | 0.09 |
TOTALENERGIES 5.488 4/54 | 0.09 |
SONOCO PRODUCTS 4.45 9/26 | 0.09 |
CANADIAN NATL RR 4.4 8/52 | 0.09 |
AMGEN INC 4.875 3/53 | 0.09 |
TORONTO DOM B 5.264 12/26 | 0.09 |
JM SMUCKER CO 6.5 11/43 | 0.09 |
TRUIST FINANCI 5.711 1/35 | 0.08 |
JM SMUCKER CO 6.5 11/53 | 0.08 |
DELL INT / EMC 3.45 12/51 | 0.08 |
WARNERMEDIA HL 5.391 3/62 | 0.08 |
BUILDERS FIRST 6.375 6/32 | 0.08 |
CONSTL ENRGY GE 5.75 3/54 | 0.08 |
NOVARTIS CAPITAL 4.7 9/54 | 0.07 |
BRISTOL-MYERS 6.4 11/63 | 0.07 |
ABBVIE INC 4.95 3/31 | 0.07 |
TRANE TECH 5.1 6/34 | 0.06 |
ANHEUSER-BUSCH 4.6 4/48 | 0.06 |
TRUIST FINANCI 6.047 6/27 | 0.06 |
PHILLIPS EDIS 5.75 7/34 | 0.05 |
NUTRIEN LTD 4.9 3/28 | 0.05 |
US 2YR NOTE (CBT) Dec24 | 0.05 |
TRUIST FINANCI 5.867 6/34 | 0.04 |
AGREE LP 5.625 6/34 | 0.04 |
KITE REALTY GRP 5.5 3/34 | 0.04 |
CARRIER GLOBAL 5.9 3/34 | 0.04 |
CA ST HLTH FAC 4.353 6/41 | 0.04 |
GROUP 1 AUTO 6.375 1/30 | 0.03 |
US LONG BOND(CBT) Dec24 | 0.03 |
METLIFE INC 5 7/52 | 0.03 |
BRISTOL-MYERS 5.55 2/54 | 0.03 |
XPO INC 7.125 2/32 | 0.02 |
LOWE'S COS INC 4.25 4/52 | 0.02 |
EURO | 0.00 |
US 10YR NOTE (CBT)Dec24 | 0.00 |
SECLEND | 0.00 |
US ULTRA BOND CBT Dec24 | -0.00 |
EURO-BUND FUTURE Dec24 | -0.01 |
US 10yr Ultra Fut Dec24 | -0.05 |
CURRENCY CONTRACT - USD | -0.09 |
% Portfolio Weight is calculated using the closing market price of each security from the prior business day.
Asset Allocation
Main Risks
Bonds are subject to interest-rate, credit, liquidity, call and market risks, to varying degrees. Generally, all other factors being equal, bond prices are inversely related to interest-rate changes and rate increases can cause price declines.
Dividend Schedule
Distributions History
(Values Listed In $)EX DATE | RECORD DATE | PAYABLE DATE | DIVIDEND INCOME | SHORT-TERM CAPITAL GAIN |
LONG-TERM CAPITAL GAIN |
RETURN OF CAPITAL | TOTAL DISTRIBUTION |
---|---|---|---|---|---|---|---|
09/03/24 | 09/03/24 | 09/06/24 | 0.1851 | 0.0000 | 0.0000 | 0.0000 | 0.1851 |
(Values Listed In $)EX DATE | RECORD DATE | PAYABLE DATE | DIVIDEND INCOME | SHORT-TERM CAPITAL GAIN |
LONG-TERM CAPITAL GAIN |
RETURN OF CAPITAL | TOTAL DISTRIBUTION |
---|---|---|---|---|---|---|---|
08/01/24 | 08/01/24 | 08/06/24 | 0.2129 | 0.0000 | 0.0000 | 0.0000 | 0.2129 |
07/01/24 | 07/01/24 | 07/05/24 | 0.1628 | 0.0000 | 0.0000 | 0.0000 | 0.1628 |
06/03/24 | 06/03/24 | 06/06/24 | 0.1841 | 0.0000 | 0.0000 | 0.0000 | 0.1841 |
05/01/24 | 05/02/24 | 05/07/24 | 0.1775 | 0.0000 | 0.0000 | 0.0000 | 0.1775 |
04/01/24 | 04/02/24 | 04/05/24 | 0.1795 | 0.0000 | 0.0000 | 0.0000 | 0.1795 |
03/01/24 | 03/04/24 | 03/07/24 | 0.1662 | 0.0000 | 0.0000 | 0.0000 | 0.1662 |
02/01/24 | 02/02/24 | 02/07/24 | 0.1631 | 0.0000 | 0.0000 | 0.0000 | 0.1631 |
12/27/23 | 12/28/23 | 01/03/24 | 0.1830 | 0.0000 | 0.0000 | 0.0000 | 0.1830 |
12/01/23 | 12/04/23 | 12/07/23 | 0.1688 | 0.0000 | 0.0000 | 0.0000 | 0.1688 |
11/01/23 | 11/02/23 | 11/07/23 | 0.1773 | 0.0000 | 0.0000 | 0.0000 | 0.1773 |
10/02/23 | 10/03/23 | 10/06/23 | 0.1561 | 0.0000 | 0.0000 | 0.0000 | 0.1561 |
09/01/23 | 09/05/23 | 09/08/23 | 0.1664 | 0.0000 | 0.0000 | 0.0000 | 0.1664 |
See all rows... |
Literature
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BNY Mellon Responsible Horizons Corporate Bond ETF - Presentation | Download | Share | ||
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