13F Filings for Bank of New York Mellon Corp (CIK: 1390777)

View the most recent portfolio holdings disclosed by Bank of New York Mellon Corp in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
MSFT - MICROSOFT CORP(Class: COM)56.16M $27.93B 5.28%Decreased 3.75M (6.0%, $5.45B)
NVDA - NVIDIA CORP(Class: COM)156.93M $24.79B 4.68%Decreased 10.91M (6.0%, $6.60B)
AAPL - APPLE INC(Class: COM)98.24M* $20.16B* 3.81%Decreased 7.73M (7.0%, $3.38B)
AMZN - AMAZON.COM INC(Class: COM)65.60M* $14.39B* 2.72%Increased 747.90K (1.0%, $2.05B)
META - META PLATFORMS INC-CLASS A(Class: CL A)13.14M $9.70B 1.83%Decreased 759.51K (5.0%, $1.69B)
IVV - ISHARES CORE SP 500 ETF(Class: CORE)13.35M $8.29B 1.57%Decreased 136.38K (1.0%, $711.04M)
AVGO - BROADCOM INC(Class: COM)29.15M $8.04B 1.52%Decreased 1.94M (6.0%, $2.83B)
GOOGL - ALPHABET INC-CL A(Class: CAP)41.81M* $7.37B* 1.39%Decreased 3.50M (7.0%, $361.58M)
JPM - JPMORGAN CHASE CO(Class: COM)23.42M $6.79B 1.28%Decreased 1.38M (5.0%, $706.25M)
GOOG - ALPHABET INC-CL C(Class: CAP)31.16M* $5.53B* 1.04%Decreased 11.10M (26.0%, $1.07B)
BRK.B - BERKSHIRE HATHAWAY INC-CL B(Class: CL B)11.29M $5.48B 1.04%Decreased 897.68K (7.0%, $1.01B)
XOM - EXXON MOBIL CORP(Class: COM)46.60M $5.02B 0.95%Increased 1.27M (2.0%, $367.02M)
TSLA - TESLA INC(Class: COM)15.56M $4.94B 0.93%Decreased 1.05M (6.0%, $637.42M)
MA - MASTERCARD INC - A(Class: CL A)8.49M* $4.77B* 0.90%Decreased 237.50K (2.0%, $12.83M)
V - VISA INC-CLASS A SHARES(Class: COM)13.18M* $4.68B* 0.88%Decreased 656.36K (4.0%, $169.52M)
LLY - ELI LILLY CO(Class: COM)5.21M* $4.06B* 0.77%Decreased 384.46K (6.0%, $559.20M)
NFLX - NETFLIX INC(Class: COM)2.92M* $3.91B* 0.74%Decreased 169.91K (5.0%, $1.03B)
TSM - TAIWAN SEMICONDUCTOR-SP ADR(Class: SPON)17.01M $3.85B 0.73%Decreased 601.14K (3.0%, $929.06M)
IJH - ISHARES CORE SP MIDCAP ETF(Class: CORE)59.97M $3.72B 0.70%Increased 571.85K (0.0%, $253.47M)
JNJ - JOHNSON JOHNSON(Class: COM)23.80M $3.64B 0.69%Increased 620.04K (2.0%, $208.75M)
COST - COSTCO WHOLESALE CORP(Class: COM)3.44M $3.40B 0.64%Decreased 735.15K (17.0%, $543.57M)
CSCO - CISCO SYSTEMS INC(Class: COM)44.40M* $3.08B* 0.58%Decreased 1.01M (2.0%, $278.40M)
WMT - WALMART INC(Class: COM)29.54M $2.89B 0.55%Decreased 1.06M (3.0%, $201.68M)
HD - HOME DEPOT INC(Class: COM)7.79M $2.85B 0.54%Decreased 373.25K (4.0%, $135.63M)
PG - PROCTER GAMBLE CO/THE(Class: COM)17.73M $2.82B 0.53%Decreased 1.13M (6.0%, $389.82M)