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    BNY Mellon International Equity ETF (BKIE)

    • CUSIP 09661T404
    • NAV  $ 92.15 As of  12/15/25
    • CHG  $ -0.66 (-0.71 %)
    • MKT PRICE  $93.00 As of  12/15/25
    • CHG  $0.53 (0.57 %)
    • TOTAL EXPENSE RATIO 
      0.04% 
      Net
      0.04% 
      Gross

    Why invest in this Fund?

    • The fund seeks to match the performance of the Solactive GBS Developed Markets ex United States Large & Mid Cap Index NTR.
    • Provides investors with broad exposure to international stocks (stocks outside the U.S.).
    • Employs a passively managed, low-cost index approach with a fully transparent portfolio.
    • Is highly liquid so investors can buy or sell any time the stock market is open.
    INCEPTION DATE
    04/22/20
    NET ASSETS
    $1,119,629,806  As of  12/16/25
    NUMBER OF SHARES OUTSTANDING
    12,150,000  As of  12/16/25
    MARKET PRICE 52-WEEK HIGH
    $93.00  As of  12/15/25
    MARKET PRICE 52-WEEK LOW
    $69.01  As of  04/08/25
    TURNOVER RATIO TTM
    6.21 As of  11/30/25
    DISTRIBUTION FREQUENCY
    Quarterly
    Morningstar Category
    Foreign Large Blend
    Morningstar Overall Rating
    Number of Holdings
    984 As of  11/30/25
    PRICE/EARNINGS RATIO
    16.45 As of  11/30/25
    PRICE/BOOK RATIO
    2.13 As of  11/30/25
    WEIGHTED AVERAGE MARKET CAP
    (in millions)
    $97,997 As of  11/30/25
    SUB-ASSET CLASS
    Global/International - Blend
    BLOOMBERG INDEX TICKER
    SXULMCUN
    EXCHANGE
    NYSE-Arca

    Morningstar Rating™ as of November 30, 2025. Overall rating for the Foreign Large Blend category. Fund ratings are out of 5 Stars: Overall 4 Stars (641 funds rated); 3 Yrs. 4 Stars (641 funds rated); 5 Yrs. 4 Stars (611 funds rated).

    Yields and Expense Ratio

    30-DAY SEC YIELD
    as of 12/16/25
     SUBSIDIZED
    UNSUBSIDIZED DIVIDEND YIELD
    (ANNUALIZED)
    as of  11/30/25
    CONTRACTUAL
    FEE WAIVER END DATE
    PROSPECTUS FEE TABLE EXPENSE RATIO (%)
    as of  02/28/25
    NET
    GROSS
    2.42 2.42 2.73 - 0.04 0.04

    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.

    Dividend Yield (Annualized) - The dividend yield is the ratio of the fund’s annual dividend compared to it’s share price.

    Price/Earnings Ratio - Price-to-earnings (P/E) is the ratio of the market price of a firm’s common stock to its current (or predicted) earnings per share.

    Price/Book Ratio - Price-to-book value (P/B) is a ratio used to compare a stock's market value with its book value. It is calculated by dividing the current closing price of the stock by the latest quarter’s book value (assets minus liabilities).

    Weighted Avg Market Cap - Weighted average market cap is the average market capitalization of corporations in a fund or index, weighted by the percentage of the holding in the fund or index.

    Portfolio Managers

    • David  France

      David France, CFA

      Portfolio Manager, Mellon Investments Corporation

      Managing Fund Since 2020

      Joined Firm in 2009

      Joined Industry in 1995

    • Todd Frysinger

      Todd Frysinger, CFA

      Portfolio Manager, Mellon Investments Corporation

      Managing Fund Since 2020

      Joined Firm in 2000

      Joined Industry in 1996

    • Vlasta Sheremeta

      Vlasta Sheremeta, CFA

      Portfolio Manager, Mellon Investments Corporation

      Managing Fund Since 2020

      Joined Firm in 2010

      Joined Industry in 2010

    • Michael  Stoll

      Michael Stoll

      Portfolio Manager, Mellon Investments Corporation

      Managing Fund Since 2020

      Joined Firm in 2005

      Joined Industry in 2005

    • Marlene  Walker Smith

      Marlene Walker Smith

      Portfolio Manager, Mellon Investments Corporation

      Managing Fund Since 2020

      Joined Firm in 1995

      Joined Industry in 1990

    Daily Statistics

    As of  12/15/25 NAME 30-DAY MEDIAN 
    BID/ASK 
    SPREAD
    PREVIOUS DAY
    VOLUME
    20-DAY AVG 
    VOLUME
    PREMIUM/ 
    DISCOUNT
    YTD
    Total Return
    (NAV)
    BNY Mellon International Equity ETF
    0.17% 103,918 50,948 0.20% 30.06%

    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

    Click here for NAV Returns 
    MARKET PRICE
    Average Annual
    As of 11/30/25
    Name 3 MO
    11/30/25
    YTD
    11/30/25
    1 YR 3 YRS 5 YRS 10 YRS Since Inception
    BNY Mellon International Equity ETF
    BKIE
    4.46 28.40 24.83 15.85 10.24 - 14.43
    Solactive GBS Developed Markets ex United States Large & Mid Cap USD Index NTR
    4.23 27.87 24.47 16.12 9.69 8.01 -
    MARKET PRICE
    Average Annual
    As of 09/30/25
    Name 3 MO
    09/30/25
    YTD
    09/30/25
    1 YR 3 YRS 5 YRS 10 YRS Since Inception
    BNY Mellon International Equity ETF
    BKIE
    5.05 25.62 16.54 22.25 11.83 - 14.44
    Solactive GBS Developed Markets ex United States Large & Mid Cap USD Index NTR
    5.65 25.28 16.08 21.39 11.52 8.42 -

    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 Solactive GBS Developed Markets ex North America Large & Mid Cap CAD Index (CA NTR) is part of the Solactive Global Benchmark Series which includes benchmark indices for developed and emerging market countries. The index intends to track the performance of the large and mid cap segment covering approximately the largest 85% of the free-float market capitalization in the Developed Markets excluding North America. It is calculated as a net total return index in CAD and weighted by free-float market capitalization.

    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  12/16/25 Calendar Year 2024 Q1 2025 Q2 2025 Q3 2025
      Days Traded at Premium
      208 45 50 58
      Days Traded at Discount
      44 15 12 6

      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 0.04%
      Other Expenses 0.00%
      Total Expenses 0.04%
      Net Expenses 0.04%

      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 (Adviser). The Adviser has engaged its affiliate, Mellon Investments Corporation (Mellon), to serve as the fund's sub-adviser. David France, CFA, Todd Frysinger, CFA, Vlasta Sheremeta, CFA, Michael Stoll, and Marlene Walker Smith are the fund's primary portfolio managers. Messrs. France, Frysinger and Stoll and Mses. Walker Smith and Sheremeta have been primary portfolio managers of the fund since October 2020. Messrs. France, Frysinger and Stoll and Ms. Sheremeta are each a Vice President and Senior Portfolio Manager at Mellon. Ms. Walker Smith is a Director and Co-Head of Equity Index Portfolio Management at Mellon. Each portfolio manager is jointly and primarily responsible for the day-to-day management of the fund's portfolio.

      Top Holdings

      As of 12/17/25
      Holdings % Portfolio Weight
      ASML HOLDING NV 1.73
      ROCHE HOLDING AG-GENUSSCHEIN 1.20
      ASTRAZENECA PLC 1.16
      HSBC HOLDINGS PLC 1.10
      NOVARTIS AG-REG 1.10
      NESTLE SA-REG 1.08
      SAP SE 1.06
      ROYAL BANK OF CANADA 1.00
      TOYOTA MOTOR CORP 0.97
      SIEMENS AG-REG 0.88
      SHELL PLC 0.87
      LVMH MOET HENNESSY LOUIS VUI 0.82
      SHOPIFY INC - CLASS A 0.82
      MITSUBISHI UFJ FINANCIAL GRO 0.78
      ALLIANZ SE-REG 0.74
      COMMONWEALTH BANK OF AUSTRAL 0.73
      BANCO SANTANDER SA 0.72
      SONY GROUP CORP 0.67
      TORONTO-DOMINION BANK 0.67
      SCHNEIDER ELECTRIC SE 0.65
      NOVO NORDISK A/S-B 0.65
      UBS GROUP AG-REG 0.60
      UNILEVER PLC 0.59
      BHP GROUP LTD 0.59
      HITACHI LTD 0.58
      AIRBUS SE 0.57
      TOTALENERGIES SE 0.55
      BANCO BILBAO VIZCAYA ARGENTA 0.55
      IBERDROLA SA 0.55
      ROLLS-ROYCE HOLDINGS PLC 0.53
      SAFRAN SA 0.52
      SUMITOMO MITSUI FINANCIAL GR 0.51
      BRITISH AMERICAN TOBACCO PLC 0.51
      ABB LTD-REG 0.50
      UNICREDIT SPA 0.49
      CIE FINANCIERE RICHEMO-A REG 0.48
      DEUTSCHE TELEKOM AG-REG 0.47
      ZURICH INSURANCE GROUP AG 0.46
      AIA GROUP LTD 0.46
      AIR LIQUIDE SA 0.45
      Softbank Group Corp 0.45
      SANOFI 0.45
      SIEMENS ENERGY AG 0.44
      BROOKFIELD CORP 0.43
      ENBRIDGE INC 0.43
      INTESA SANPAOLO 0.42
      GSK PLC 0.42
      L'OREAL 0.42
      ESSILORLUXOTTICA 0.41
      BANK OF MONTREAL 0.40
      BNP PARIBAS 0.39
      TOKYO ELECTRON LTD 0.39
      BANK OF NOVA SCOTIA 0.39
      ADVANTEST CORP 0.39
      MIZUHO FINANCIAL GROUP INC 0.38
      WESTPAC BANKING CORP 0.37
      CAN IMPERIAL BK OF COMMERCE 0.37
      DBS GROUP HOLDINGS LTD 0.37
      MUENCHENER RUECKVER AG-REG 0.37
      NATIONAL AUSTRALIA BANK LTD 0.36
      BARCLAYS PLC 0.36
      NINTENDO CO LTD 0.36
      AGNICO EAGLE MINES LTD 0.36
      HERMES INTERNATIONAL 0.35
      RIO TINTO PLC 0.35
      BP PLC 0.35
      AXA SA 0.35
      RHEINMETALL AG 0.34
      ENEL SPA 0.34
      RECRUIT HOLDINGS CO LTD 0.34
      MITSUBISHI HEAVY INDUSTRIES 0.34
      ING GROEP NV 0.34
      PROSUS NV 0.34
      MITSUBISHI CORP 0.34
      ITOCHU CORP 0.32
      LLOYDS BANKING GROUP PLC 0.32
      NATIONAL GRID PLC 0.32
      RELX PLC 0.31
      BARRICK MINING CORP 0.31
      ANZ GROUP HOLDINGS LTD 0.30
      INDUSTRIA DE DISENO TEXTIL 0.30
      MITSUI & CO LTD 0.30
      DEUTSCHE BANK AG-REGISTERED 0.29
      VINCI SA 0.29
      CANADIAN PACIFIC KANSAS CITY 0.29
      BAE SYSTEMS PLC 0.28
      NATWEST GROUP PLC 0.28
      DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT MONEY M 0.28
      KEYENCE CORP 0.28
      TOKIO MARINE HOLDINGS INC 0.27
      CANADIAN NATURAL RESOURCES 0.27
      FAST RETAILING CO LTD 0.27
      MANULIFE FINANCIAL CORP 0.26
      ANHEUSER-BUSCH INBEV SA/NV 0.26
      INVESTOR AB-B SHS 0.26
      HONG KONG EXCHANGES & CLEAR 0.26
      WESFARMERS LTD 0.26
      MITSUBISHI ELECTRIC CORP 0.25
      NORDEA BANK ABP 0.25
      DANONE 0.25
      NXP SEMICONDUCTORS NV 0.24
      CSL LTD 0.24
      TC ENERGY CORP 0.24
      INFINEON TECHNOLOGIES AG 0.23
      HOYA CORP 0.23
      LONDON STOCK EXCHANGE GROUP 0.23
      RECKITT BENCKISER GROUP PLC 0.23
      DHL GROUP 0.23
      KDDI CORP 0.23
      COMPASS GROUP PLC 0.23
      NTT INC 0.23
      SOCIETE GENERALE SA 0.23
      CANADIAN NATL RAILWAY CO 0.23
      ARGENX SE 0.22
      SUNCOR ENERGY INC 0.22
      WHEATON PRECIOUS METALS CORP 0.22
      SHIN-ETSU CHEMICAL CO LTD 0.22
      DIAGEO PLC 0.22
      FUJITSU LIMITED 0.21
      NATIONAL BANK OF CANADA 0.21
      MERCEDES-BENZ GROUP AG 0.21
      OVERSEA-CHINESE BANKING CORP 0.21
      MACQUARIE GROUP LTD 0.20
      HONDA MOTOR CO LTD 0.20
      SWISS RE AG 0.20
      COMPAGNIE DE SAINT GOBAIN 0.20
      CONSTELLATION SOFTWARE INC 0.20
      DSV A/S 0.20
      GLENCORE PLC 0.20
      HOLCIM LTD 0.20
      BASF SE 0.20
      VOLVO AB-B SHS 0.20
      LONZA GROUP AG-REG 0.20
      DEUTSCHE BOERSE AG 0.20
      FERRARI NV 0.19
      WASTE CONNECTIONS INC 0.19
      ATLAS COPCO AB-A SHS 0.19
      TAKEDA PHARMACEUTICAL CO LTD 0.19
      ENGIE 0.19
      STANDARD CHARTERED PLC 0.19
      ADYEN NV 0.19
      NEC CORP 0.18
      HALEON PLC 0.18
      Net Current Assets 0.18
      MARUBENI CORP 0.18
      3I GROUP PLC 0.18
      JAPAN TOBACCO INC 0.18
      CAIXABANK SA 0.18
      EXPERIAN PLC 0.18
      BAYER AG-REG 0.17
      E.ON SE 0.17
      FRANCO-NEVADA CORP 0.17
      SOFTBANK CORP 0.17
      GOODMAN GROUP 0.17
      FAIRFAX FINANCIAL HLDGS LTD 0.17
      ALCON INC 0.17
      TESCO PLC 0.17
      DOLLARAMA INC 0.16
      PRUDENTIAL PLC 0.16
      ASSA ABLOY AB-B 0.16
      DAIICHI SANKYO CO LTD 0.16
      ENI SPA 0.16
      CAMECO CORP 0.16
      ANGLO AMERICAN PLC 0.16
      ALIMENTATION COUCHE-TARD INC 0.16
      LEGRAND SA 0.16
      SEA LTD-ADR 0.16
      KONINKLIJKE AHOLD DELHAIZE N 0.16
      SUMITOMO CORP 0.16
      DAIKIN INDUSTRIES LTD 0.16
      GENERALI 0.16
      TELSTRA GROUP LTD 0.15
      AEON CO LTD 0.15
      INTACT FINANCIAL CORP 0.15
      GIVAUDAN-REG 0.15
      RYANAIR HOLDINGS PLC 0.15
      UNITED OVERSEAS BANK LTD 0.15
      RIO TINTO LTD 0.15
      ERSTE GROUP BANK AG 0.15
      SUN LIFE FINANCIAL INC 0.15
      RWE AG 0.15
      KINROSS GOLD CORP 0.15
      CHUGAI PHARMACEUTICAL CO LTD 0.15
      UCB SA 0.15
      MURATA MANUFACTURING CO LTD 0.14
      TEVA PHARMACEUTICAL IND LTD 0.14
      FANUC CORP 0.14
      BANK LEUMI LE-ISRAEL 0.14
      HEIDELBERG MATERIALS AG 0.14
      SANDVIK AB 0.14
      AMADEUS IT GROUP SA 0.14
      CELESTICA INC 0.14
      FERROVIAL SE 0.14
      SWISS LIFE HOLDING AG-REG 0.14
      ADIDAS AG 0.14
      KBC GROUP NV 0.14
      SSE PLC 0.14
      IMPERIAL BRANDS PLC 0.14
      ORIX CORP 0.14
      SEVEN & I HOLDINGS CO LTD 0.14
      MS&AD INSURANCE GROUP HOLDIN 0.13
      MITSUI FUDOSAN CO LTD 0.13
      NOKIA OYJ 0.13
      SKANDINAVISKA ENSKILDA BAN-A 0.13
      DANSKE BANK A/S 0.13
      BANK HAPOALIM BM 0.13
      ORANGE 0.13
      SIKA AG-REG 0.13
      TRANSURBAN GROUP 0.13
      WOODSIDE ENERGY GROUP LTD 0.13
      BAYERISCHE MOTOREN WERKE AG 0.13
      SOMPO HOLDINGS INC 0.13
      ASHTEAD GROUP PLC 0.13
      PANASONIC HOLDINGS CORP 0.13
      NUTRIEN LTD 0.13
      SAMPO OYJ-A SHS 0.12
      DAI-ICHI LIFE HOLDINGS INC 0.12
      KOMATSU LTD 0.12
      COMMERZBANK AG 0.12
      SWEDBANK AB - A SHARES 0.12
      SUMITOMO ELECTRIC INDUSTRIES 0.12
      POWER CORP OF CANADA 0.12
      ERICSSON LM-B SHS 0.12
      CANON INC 0.12
      ASM INTERNATIONAL NV 0.12
      MITSUBISHI ESTATE CO LTD 0.12
      PRYSMIAN SPA 0.12
      TDK CORP 0.12
      CAPGEMINI SE 0.12
      VESTAS WIND SYSTEMS A/S 0.12
      CENTRAL JAPAN RAILWAY CO 0.12
      AVIVA PLC 0.11
      VOLKSWAGEN AG-PREF 0.11
      EAST JAPAN RAILWAY CO 0.11
      KERING 0.11
      FORTIS INC 0.11
      OTSUKA HOLDINGS CO LTD 0.11
      AMRIZE LTD 0.11
      DISCO CORP 0.11
      FUJIFILM HOLDINGS CORP 0.11
      BRIDGESTONE CORP 0.11
      PARTNERS GROUP HOLDING AG 0.11
      GEBERIT AG-REG 0.11
      SINGAPORE TELECOMMUNICATIONS 0.11
      VODAFONE GROUP PLC 0.11
      FUJIKURA LTD 0.11
      WOLTERS KLUWER 0.11
      NOMURA HOLDINGS INC 0.11
      AERCAP HOLDINGS NV 0.10
      LOBLAW COMPANIES LTD 0.10
      SUZUKI MOTOR CORP 0.10
      WOOLWORTHS GROUP LTD 0.10
      ATLAS COPCO AB-B SHS 0.10
      NORTHERN STAR RESOURCES LTD 0.10
      THALES SA 0.10
      UNIVERSAL MUSIC GROUP NV 0.10
      WSP GLOBAL INC 0.10
      ASTELLAS PHARMA INC 0.10
      STELLANTIS NV 0.10
      FRESENIUS SE & CO KGAA 0.10
      HEXAGON AB-B SHS 0.10
      KONE OYJ-B 0.10
      PUBLICIS GROUPE 0.10
      FORTESCUE LTD 0.10
      HEINEKEN NV 0.10
      NOVONESIS (NOVOZYMES) B 0.10
      TOYOTA TSUSHO CORP 0.10
      DENSO CORP 0.10
      MTU AERO ENGINES AG 0.10
      RESONA HOLDINGS INC 0.10
      CYBERARK SOFTWARE LTD/ISRAEL 0.09
      GALDERMA GROUP AG 0.09
      KONINKLIJKE PHILIPS NV 0.09
      PEMBINA PIPELINE CORP 0.09
      AIB GROUP PLC 0.09
      DNB BANK ASA 0.09
      DAIMLER TRUCK HOLDING AG 0.09
      Renesas Electronics Corp 0.09
      ARISTOCRAT LEISURE LTD 0.09
      LEONARDO SPA 0.09
      MICHELIN (CGDE) 0.09
      SUMITOMO REALTY & DEVELOPMEN 0.09
      CENOVUS ENERGY INC 0.09
      BCE INC 0.09
      BROOKFIELD ASSET MGMT-A 0.09
      RESTAURANT BRANDS INTERN 0.09
      PAN AMERICAN SILVER CORP 0.09
      BRAMBLES LTD 0.09
      NEXT PLC 0.09
      REPSOL SA 0.09
      VONOVIA SE 0.09
      AENA SME SA 0.09
      ORIENTAL LAND CO LTD 0.09
      TERUMO CORP 0.09
      CREDIT AGRICOLE SA 0.09
      INTERCONTINENTAL HOTELS GROU 0.08
      RB GLOBAL INC 0.08
      TELUS CORP 0.08
      ABN AMRO BANK NV-CVA 0.08
      INTL CONSOLIDATED AIRLINE-DI 0.08
      PKO BANK POLSKI SA 0.08
      ARCELORMITTAL 0.08
      DSM-FIRMENICH AG 0.08
      QBE INSURANCE GROUP LTD 0.08
      Genmab A/S 0.08
      KYOCERA CORP 0.08
      DAIWA HOUSE INDUSTRY CO LTD 0.08
      AJINOMOTO CO INC 0.08
      SGS SA-REG 0.08
      NIPPON STEEL CORP 0.08
      IHI CORP 0.08
      BANCA MONTE DEI PASCHI SIENA 0.08
      COCA-COLA EUROPACIFIC PARTNE 0.08
      SUMITOMO MITSUI TRUST GROUP 0.08
      TOYOTA INDUSTRIES CORP 0.08
      KAO CORP 0.08
      MERCK KGAA 0.08
      SVENSKA HANDELSBANKEN-A SHS 0.08
      COLES GROUP LTD 0.08
      ENEOS HOLDINGS INC 0.08
      EQT AB 0.08
      LEGAL & GENERAL GROUP PLC 0.08
      HANNOVER RUECK SE 0.08
      TECK RESOURCES LTD-CLS B 0.08
      HALMA PLC 0.08
      CK HUTCHISON HOLDINGS LTD 0.08
      BANK OF IRELAND GROUP PLC 0.08
      BPER BANCA SPA 0.08
      JAPAN POST BANK CO LTD 0.08
      SWISSCOM AG-REG 0.08
      INVESTOR AB-A SHS 0.08
      DASSAULT SYSTEMES SE 0.08
      ACS ACTIVIDADES CONS Y SERV 0.08
      CELLNEX TELECOM SA 0.08
      SMC CORP 0.08
      JAPAN POST HOLDINGS CO LTD 0.08
      PERNOD RICARD SA 0.08
      WARTSILA OYJ ABP 0.07
      THOMSON REUTERS CORP 0.07
      INPEX CORP 0.07
      SUN HUNG KAI PROPERTIES 0.07
      TECHTRONIC INDUSTRIES CO LTD 0.07
      CGI INC 0.07
      STMICROELECTRONICS NV 0.07
      CLP HOLDINGS LTD 0.07
      FIRST QUANTUM MINERALS LTD 0.07
      NEBIUS GROUP NV 0.07
      CASH 0.07
      NITTO DENKO CORP 0.07
      ESSITY AKTIEBOLAG-B 0.07
      CHECK POINT SOFTWARE TECH 0.07
      NOMURA RESEARCH INSTITUTE LT 0.07
      KAJIMA CORP 0.07
      TELEFONICA SA 0.07
      ASAHI GROUP HOLDINGS LTD 0.07
      FINECOBANK SPA 0.07
      EVOLUTION MINING LTD 0.07
      METRO INC/CN 0.07
      BANCO BPM SPA 0.07
      TOURMALINE OIL CORP 0.07
      SECOM CO LTD 0.07
      SAAB AB-B 0.07
      KONINKLIJKE KPN NV 0.07
      ALAMOS GOLD INC-CLASS A 0.07
      SIEMENS HEALTHINEERS AG 0.07
      INFORMA PLC 0.07
      ASICS CORP 0.06
      EMERA INC 0.06
      SCHINDLER HOLDING-PART CERT 0.06
      BANDAI NAMCO HOLDINGS INC 0.06
      ORLEN SA 0.06
      SCENTRE GROUP 0.06
      LUNDIN MINING CORP 0.06
      TERNA-RETE ELETTRICA NAZIONA 0.06
      MONCLER SPA 0.06
      ICON PLC 0.06
      BOLIDEN AB 0.06
      RENTOKIL INITIAL PLC 0.06
      ANTOFAGASTA PLC 0.06
      KANSAI ELECTRIC POWER CO INC 0.06
      EPIROC AB-A 0.06
      LASERTEC CORP 0.06
      BT GROUP PLC 0.06
      SHIONOGI & CO LTD 0.06
      OLYMPUS CORP 0.06
      ALFA LAVAL AB 0.06
      GREAT-WEST LIFECO INC 0.06
      BOMBARDIER INC-B 0.06
      TAISEI CORP 0.06
      SMITH & NEPHEW PLC 0.06
      UPM-KYMMENE OYJ 0.06
      EDP SA 0.06
      HANG SENG BANK LTD 0.06
      ELBIT SYSTEMS LTD 0.06
      ISRAEL DISCOUNT BANK-A 0.06
      SAGE GROUP PLC/THE 0.06
      NIPPON YUSEN KK 0.06
      SEKISUI HOUSE LTD 0.06
      CHOCOLADEFABRIKEN LINDT-PC 0.06
      ROGERS COMMUNICATIONS INC-B 0.06
      HENKEL AG & CO KGAA VOR-PREF 0.06
      TOKYO GAS CO LTD 0.06
      KINGSPAN GROUP PLC 0.06
      KUBOTA CORP 0.06
      SNAM SPA 0.06
      SANTOS LTD 0.06
      TOWER SEMICONDUCTOR LTD 0.06
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      EVRAZ PLC 0.00
      S&P/TSX 60 IX FUT MAR26 -0.00
      MSCI EAFE Mar26 -0.00

      % Portfolio Weight is calculated using the closing market price of each security from the prior business day.

      Holdings are subject to change. The holdings listed should not be considered recommendations to buy or sell a security.

      Asset Allocation

          Performance Metrics

          Overall Morningstar Rating


          MORNINGSTAR CATEGORY Foreign Large Blend


          Morningstar Rating™ as of 11/30/25. Overall rating for the Foreign Large Blend. Fund ratings are out of 5 Stars: Overall 4 Stars (641 funds rated); 3 Yrs. 4 Stars (641 funds rated); 5 Yrs. 4 Stars (611 funds rated).
          The Morningstar Rating™ for funds, or "star rating", is calculated for managed products with at least a 3-year history. It is calculated based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a managed product's monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. Managed products; including open-end mutual funds, closed-end funds and exchange-traded funds; are considered a single population for comparative purposes. The top 10% of products in each product category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. The Overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its 3-, 5-,and 10-year (if applicable) Morningstar Rating metrics. © Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

          Lipper Rankings

          • 1 Year
            150 out of 323
          • 3 Year
            83 out of 304
          • 5 Year
            57 out of 295

          LIPPER CLASSIFICATION International Large-Cap Core


          Lipper Category returns and rankings as of 11/30/25, are calculated by Lipper Inc., a Reuters Company, which is a nationally recognized organization that compares the performance of mutual funds with similar investment objectives. The Category returns represent the average performance of included funds, while rankings compare an individual fund's returns to those of the other funds in its category. Both are based on total return performance, with capital gains and dividends reinvested, with annual operating expenses deducted, but without including front or back-end sales charges. Rankings begin with the actual share class inception. Rankings are relative to a peer group and do not necessarily mean that the fund had high total returns. Rankings do not reflect sales loads

          Main Risks

          ETFs trade like stocks, are subject to investment risk, including possible loss of principal.
          Equities are subject to market, market sector, market liquidity, issuer, and investment style risks, among other factors, to varying degrees. The risks of investing in this ETF typically reflect the risks associated with the types of instruments in which the ETF invests. Diversification cannot assure a profit or protect against loss.
          The fund’s performance will be influenced by political, social and economic factors affecting investments in foreign issuers. These special risks include exposure to currency fluctuations, less liquidity, less developed or less efficient trading markets, lack of comprehensive company information, political and economic instability and differing auditing and legal standards. The securities of issuers located in emerging markets tend to be more volatile and less liquid than those of issuers in more mature economies.
          The fund may, but is not required to, use derivative instruments, such as options, futures, options on futures, forward contracts, swap agreements and other credit derivatives. A small investment in derivatives could have a potentially large impact on the fund's performance. The use of derivatives involves risks different from, or possibly greater than, the risks associated with investing directly in the underlying assets.
          Please refer to the prospectus for a more complete discussion of the fund's main risks.
          The BNY Mellon ETFs are not sponsored, promoted, sold or supported in any other manner by Solactive AG nor does Solactive AG offer any express or implicit guarantee or assurance either with regard to the results of using the Index and/or Index trade mark or the Index Price at any time or in any other respect. The Index is calculated and published by Solactive AG. Solactive AG uses its best efforts to ensure that the Index is calculated correctly. Irrespective of its obligations towards BNY Mellon, Solactive AG has no obligation to point out errors in the Index to third parties including but not limited to investors and/or financial intermediaries of the BNY Mellon ETFs. Neither publication of the Index by Solactive AG nor the licensing of the Index or Index trade mark for the purpose of use in connection with the BNY Mellon ETFs constitutes a recommendation by Solactive AG to invest capital in said financial instrument nor does it in any way represent an assurance or opinion of Solactive AG with regard to any investment in the BNY Mellon ETFs.
          The BNY Mellon ETFs are not sponsored, endorsed, sold or promoted by Morningstar, Inc. or Bloomberg Index Services Limited (together, the index provider) and have been licensed for use for certain purposes by BNY Mellon. The index provider makes no representation regarding the advisability of investing in BNY Mellon ETFs. The index provider determines the composition of the index and relative weightings of the securities in the index, which is subject to change by the index provider.

          Risk Metrics

          As of  11/30/25  3-Year Trailing Standard Deviation Alpha Beta R-Squared Sharpe Ratio
          BKIE
          12.00 0.66 0.99 94.08 0.93

          All risk metrics are provided by Morningstar. The index used in the calculations are determined by Morningstar which may not be the funds primary benchmark. The index Morningstar used for this analysis is MSCI ACWI ex USA Index.


          Standard Deviation - Standard deviation is a statistical measure of the degree to which an individual portfolio return tends to vary from the mean, based on the entire population. The greater the degree of dispersion, the greater the degree of risk. In mutual funds, the standard deviation tells us how much the return on the fund is deviating from the expected normal returns.

          Alpha - Alpha is a measure of a security's or portfolio's excess return.

          Beta - Beta is a measure of a security’s or portfolio’s volatility, or systematic risk.

          R-Squared - R-squared is a statistical measure that represents the percentage of a fund’s or security’s movements that are explained by movements in a benchmark index.

          Sharpe Ratio - Sharpe ratio is a risk-adjusted measure that measures reward per unit of risk. The higher the Sharpe ratio, the better.

          Dividend Schedule

          Declared
          Quarterly
          Distributed
          Quarterly
          Paid
          Quarterly
          Fiscal Year End
          Oct 31

          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
          10/01/25 10/01/25 10/06/25 0.5238 0.0000 0.0000 0.0000 0.5238
          (Values Listed In $)EX DATE RECORD DATE PAYABLE DATE DIVIDEND INCOME SHORT-TERM 
          CAPITAL GAIN
          LONG-TERM 
          CAPITAL GAIN
          RETURN OF CAPITAL TOTAL DISTRIBUTION
          07/01/25 07/01/25 07/07/25 0.9208 0.0000 0.0000 0.0000 0.9208
          04/01/25 04/01/25 04/04/25 0.4029 0.0000 0.0000 0.0000 0.4029
          12/27/24 12/27/24 01/02/25 0.5783 0.0000 0.0000 0.0000 0.5783
          10/01/24 10/01/24 10/04/24 0.4668 0.0000 0.0000 0.0000 0.4668
          07/01/24 07/01/24 07/05/24 0.7868 0.0000 0.0000 0.0000 0.7868
          04/01/24 04/02/24 04/05/24 0.5666 0.0000 0.0000 0.0000 0.5666
          12/27/23 12/28/23 01/03/24 0.3090 0.0000 0.0000 0.0000 0.3090
          10/02/23 10/03/23 10/06/23 0.4447 0.0000 0.0000 0.0000 0.4447
          07/03/23 07/05/23 07/10/23 0.7686 0.0000 0.0000 0.0000 0.7686
          04/03/23 04/04/23 04/10/23 0.5377 0.0000 0.0000 0.0000 0.5377
          12/28/22 12/29/22 01/04/23 0.1275 0.0000 0.0000 0.0000 0.1275
          10/03/22 10/04/22 10/07/22 0.4310 0.0000 0.0000 0.0000 0.4310
          07/01/22 07/05/22 07/08/22 0.7863 0.0000 0.0000 0.0000 0.7863
          04/01/22 04/04/22 04/07/22 0.5084 0.0000 0.0000 0.0000 0.5084
          12/29/21 12/30/21 01/04/22 0.4048 0.0000 0.0000 0.0000 0.4048
          10/01/21 10/04/21 10/07/21 0.5661 0.0000 0.0000 0.0000 0.5661
          07/01/21 07/02/21 07/08/21 0.4336 0.0000 0.0000 0.0000 0.4336
          04/01/21 04/05/21 04/08/21 0.5108 0.0000 0.0000 0.0000 0.5108
          12/29/20 12/30/20 01/05/21 0.3028 0.0000 0.0000 0.0000 0.3028
          10/01/20 10/02/20 10/07/20 0.3702 0.0000 0.0000 0.0000 0.3702
          07/01/20 07/02/20 07/08/20 0.3285 0.0000 0.0000 0.0000 0.3285
          See all rows...

          Literature

          PRODUCT INFORMATION

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          BNY MELLON EXCHANGE-TRADED FUNDS PRESENTATION Download
          ETF Profile Sheet Download
          BNY Mellon High Yield ETF - Performance Update Download

          Prospectus and Reports

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          Factsheet Download
          Prospectus Download
          Summary Prospectus Download
          SAI Download
          Annual Report Download
          Semi Annual Report Download
          Annual Financials and Other Information Download
          Semi Annual Financials and Other Information Download
          1Q Fiscal Holdings Download
          3Q Fiscal Holdings Download

          INDEX FACTSHEET

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          SOLACTIVE GBS DEVELOPED MARKETS EX UNITED STATES LARGE & MID CAP INDEX NTR  

          Investors should consider the investment objectives, risks, charges, and expenses of the fund carefully before investing. Download a prospectus, or summary prospectus, if available, that contains that and other information about the fund, and read it carefully before investing.

          ETF shares are listed on an exchange, and shares are generally purchased and sold in the secondary market at market price. At times, the market price may be a premium or discount to the ETF's per share NAV. In addition, ETFs are subject to the risk that an active trading market for an ETF's shares may not develop or be maintained. Buying or selling ETF shares on an exchange may require the payment of brokerage commissions. Any applicable brokerage commissions will reduce returns.

          ETFs trade like stocks, are subject to investment risk, including possible loss of principal. Equities are subject to market, market sector, market liquidity, issuer, and investment style risks, among other factors, to varying degrees. The risks of investing in this ETF typically reflect the risks associated with the types of instruments in which the ETF invests. Diversification cannot assure a profit or protect against loss.

          The fund will issue (or redeem) fund shares to certain institutional investors known as “Authorized Participants” (typically market makers or other broker-dealers) only in large blocks of fund shares known as “Creation Units.” BNY Mellon Securities Corporation (“BNYSC”), a subsidiary of BNY, serves as distributor of the fund. BNYSC does not distribute fund shares in less than Creation Units, nor does it maintain a secondary market in fund shares. BNYSC may enter into selected agreements with Authorized Participants for the sale of Creation Units of Creation Units of fund shares.

          Index returns are for illustrative purposes only. Index performance returns do not reflect any management fees, transaction costs or expenses. Indexes are unmanaged and one cannot invest directly in an index. Past performance does not guarantee future results.

          This material has been distributed for informational purposes only and should not be considered as investment advice or a recommendation of any particular investment, strategy, investment manager or account arrangement and should not serve as a primary basis for investment decisions.

          Please consult a legal, tax or investment professional in order to determine whether an investment product or service is appropriate for a particular situation.