BNY Mellon Ultra Short Income ETF

Symbol

BKUI

Price

$49.765

Exchange

AMEX

Industry

Asset Management

Dividend Yield

3.03%

Ex-Dividend Date

09-03-2024

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

09.03.2024

$49.82

$0.22665

0.45%

09.03.2024

09.06.2024

08.01.2024

$49.74

$0.23677

0.48%

08.01.2024

08.06.2024

07.01.2024

$49.58

$0.19881

0.40%

07.01.2024

07.05.2024

06.03.2024

$49.59

$0.22055

0.44%

06.03.2024

06.06.2024

05.01.2024

$49.54

$0.20476

0.41%

05.02.2024

05.07.2024

04.01.2024

$49.63

$0.21187

0.43%

04.02.2024

04.05.2024

02.01.2024

$49.69

$0.2055

0.41%

02.02.2024

02.07.2024

12.27.2023

$49.55

$0.14107

0.28%

12.28.2023

01.03.2024

12.01.2023

$49.41

$0.186

0.38%

12.04.2023

12.07.2023

11.01.2023

$49.22

$0.2065

0.42%

11.02.2023

11.07.2023

10.02.2023

$49.21

$0.18607

0.38%

10.03.2023

10.06.2023

09.01.2023

$49.28

$0.1985

0.40%

09.05.2023

09.08.2023

08.01.2023

$49.24

$0.1915

0.39%

08.02.2023

08.07.2023

07.03.2023

$49.16

$0.1885

0.38%

07.05.2023

07.10.2023

06.01.2023

$49.17

$0.19566

0.40%

06.02.2023

06.07.2023

05.01.2023

$49.14

$0.15416

0.31%

05.02.2023

05.05.2023

04.03.2023

$49.03

$0.17183

0.35%

04.04.2023

04.10.2023

03.01.2023

$49.08

$0.15227

0.31%

03.02.2023

03.07.2023

02.01.2023

$49.14

$0.149

0.30%

02.02.2023

02.07.2023

12.28.2022

$48.96

$0.16044

0.33%

12.29.2022

01.04.2023

12.01.2022

$48.93

$0.145

0.30%

12.02.2022

12.07.2022

11.01.2022

$48.76

$0.119

0.24%

11.02.2022

11.07.2022

10.03.2022

$48.85

$0.097

0.20%

10.04.2022

10.07.2022

09.01.2022

$49.03

$0.099

0.20%

09.02.2022

09.08.2022

08.01.2022

$49.01

$0.056

0.11%

08.02.2022

08.05.2022

07.01.2022

$48.97

$0.05

0.10%

07.05.2022

07.08.2022

06.01.2022

$49.15

$0.044

0.09%

06.02.2022

06.07.2022

05.02.2022

$49.13

$0.034

0.07%

05.03.2022

05.06.2022

04.01.2022

$49.25

$0.031

0.06%

04.04.2022

04.07.2022

03.01.2022

$49.5

$0.023

0.05%

03.02.2022

03.07.2022

02.01.2022

$49.66

$0.027

0.05%

02.02.2022

02.07.2022

12.29.2021

$49.79

$0.03132

0.06%

12.30.2021

01.04.2022

12.01.2021

$49.85

$0.026

0.05%

12.02.2021

12.07.2021

11.01.2021

-

$0.018

0.04%

10.04.2021

10.07.2021

Holdings

NameWeight (%)
DREYFUS INSTITUTIONAL PRE4.013%
UNITED OVERSEAS FRN 09/242.777%
MACQUARIE BK L 09/16/20242.772%
MANHATTAN ASSE 12/06/20242.741%
DNB Bank 0% CP 04/252.7%
US TREASURY N/ 3.125 8/252.404%
CHARIOT FUND FRN 01/252.222%
COMMONWEALTH B 10/16/20242.208%
US BANCORP 1.45 5/252.175%
US TREASURY N 4.875 11/252.103%
HSBC FRN 06/252.083%
STANDARD CHART 10/01/20242.075%
WESTPAC BANK CP 0% 03/252.028%
Canadian Imper 04/03/20252.027%
NATIONAL BK CD 04/01/20252.027%
TORONTO-DOMINION 0% 04/252.027%
CREDIT INDUSTR 02/06/20251.767%
OLD LINE FUND FRN 01/251.666%
LMA S A / LMA 01/28/20251.634%
LIBERTY STR FD 09/23/20241.385%
CREDIT INDUSTR 10/09/20241.382%
ATLANTIC ASSET 02/19/20251.358%
Societe Genera 04/11/20251.35%
BANK NOVA SCOT 5.35 12/261.066%
BARCLAYS PLC FRN 9/271.059%
WELLS FARGO BAN 5.55 8/251.049%
NATL BANK CANADA FRN 7/271.046%
CATERPILLAR FINL FRN 5/271.043%
TOYOTA MTR CRED FRN 3/271.041%
HOME DEPOT INC 4 9/251.037%
AMAZON.COM INC 3.15 8/271.02%
SWEDBANK CP 3/13/251.016%
GOLDMAN SACHS G FRN 12/261.007%
AMERICAN EXPRES 2.55 3/271.001%
COMCAST CORP 2.35 1/271%
STARBUCKS CORP 2 3/270.99%
CITIGROUP INC FRN 6/270.973%
AT&T INC 4.25 3/270.972%
WESTPAC BANKING FRN 6/260.972%
TRUIST FINANCI 1.125 8/270.952%
SIMON PROP GP 1.375 1/270.941%
TARGET CORP 1.95 1/270.931%
ROCHE HLDGS INC FRN 11/260.908%
ROYAL BK CANADA FRN 1/270.907%
CIGNA GROUP/TH 5.685 3/260.903%
BMW US CAP LLC 4.9 4/270.848%
ING GROEP NV 3.95 3/270.824%
T-MOBILE USA IN 3.75 4/270.822%
MORGAN STANLEY FRN 10/260.703%
NATWEST MARKETS FRN 5/270.695%
Westpac Bankin 11/14/20240.687%
SVENSKA HANDEL 09/18/20240.589%
STANDARD CHART FRN 7/270.564%
CAN IMPERIAL BK FRN 10/260.525%
CHARLES SCHWAB 5.875 8/260.5%
NATL AUSTRALIA 1.887 1/270.495%
GEN MOTORS FIN FRN 5/270.49%
BANK OF MONTREAL FRN 6/250.488%
COM BK AUSTRALIA FRN 3/260.488%
STANDARD CHART FRN 3/260.488%
STATE STREET CRP FRN 8/260.488%
MITSUB UFJ FIN FRN 9/250.487%
TORONTO BK FRN CP 10/240.486%
ABBVIE INC 2.95 11/260.474%
SUMITOMO TR&BK 5.65 9/260.462%
BANK OF MONTR 5.266 12/260.461%
JOHN DEERE CAP 1.7 1/270.461%
JP MORGAN CHAS 5.11 12/260.461%
MERCEDES-BNZ FIN 5.2 8/260.459%
DAIMLER FINANCE 3.45 1/270.444%
PNC FINANCIAL 2.6 7/260.437%
US BANCORP 2.375 7/260.437%
BANK OF AMERIC 5.526 8/260.427%
JOHN DEERE CAP 4.8 1/260.42%
SUMITOMO TR&BK FRN 3/260.42%
JPMORGAN CHASE FRN 4/260.419%
CITIGROUP INC FRN 3/260.418%
ANZ NZ INTL/LDN FRN 2/250.417%
BANK NOVA SCOTIA FRN 1/250.417%
NATL AUSTRALIABK FRN 1/250.417%
ROYAL BK CANADA FRN 1/250.417%
SUMITOMO TR&BK FRN 9/240.417%
TORONTO DOM BANK FRN 9/240.417%
TOYOTA MTR CRED FRN 1/250.417%
WESTPAC BANKING FRN 11/240.417%
KEY BANK NA 4.7 1/260.416%
NATL BANK CANAD 5.25 1/250.416%
CHARLES SCHWAB FRN 5/260.415%
MANUF & TRADERS 4.65 1/260.415%
WALMART INC 3.9 9/250.415%
IBM CORP 4 7/250.414%
PACCAR FINL COR 3.55 8/250.413%
WELLS FARGO CO 3 2/250.413%
BP CAP MKTS AME 3.41 2/260.412%
INTEL CORP 3.7 7/250.411%
CVS HEALTH CORP 3 8/260.405%
ORACLE CORP 2.65 7/260.404%
PRUDENTIAL FIN 1.5 3/260.4%
AMERICAN HONDA F 1.3 9/260.394%
SUMITOMO MITSU 1.402 9/260.392%
CAN IMPERIAL B 3.945 8/250.379%
GEN MOTORS FIN 5.4 4/260.351%
AMERICAN EXPRESS FRN 2/260.349%
PFIZER INVSTMNT 4.45 5/260.349%
OLD LINE 0% CP 10/240.345%
STATE STREET C 5.272 8/260.318%
NATWEST MARKETS 1.6 9/260.295%
TORONTO DOM BA 5.532 7/260.284%
STATE STREET CO 3.55 8/250.135%
HAROT 2021-3 A3 11/250.082%
SHIRE ACQ INV IE 3.2 9/260.01%
Net Current Assets0.009%