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Holdings (Monthly) Guide ↗

BNY Mellon Worldwide Growth Fund, Inc.

Monthly Holdings $989M AUM 43 positions Period Jan 2026 Filed Mar 25, 2026 EDGAR ↗ ← All Funds
# Name Ticker Since Shares Value % Port Cat
1 Alphabet Inc GOOG Jan 2026 223,165 $75.5M 7.65% EC
2 Microsoft Corp MSFT Jan 2026 160,450 $69.0M 6.99% EC
3 NVIDIA Corp NVDA Jan 2026 345,435 $66.0M 6.68% EC
4 Amazon.com Inc AMZN Jan 2026 230,385 $55.1M 5.58% EC
5 Apple Inc AAPL Jan 2026 208,680 $54.1M 5.48% EC
6 ASML Holding NV ASML Jan 2026 28,780 $41.0M 4.15% EC
7 TSMC TSM Jan 2026 112,920 $37.3M 3.78% EC
8 Meta Platforms Inc META Jan 2026 43,650 $31.3M 3.17% EC
9 BAE Systems PLC BA/ Jan 2026 1,067,130 $28.8M 2.91% EC
10 JPMorgan Chase & Co JPM Jan 2026 92,295 $28.2M 2.86% EC
11 Visa Inc V Jan 2026 87,120 $28.0M 2.84% EC
12 Chevron Corp CVX Jan 2026 157,000 $27.8M 2.81% EC
13 LVMH Moet Hennessy Louis Vuitt MC Jan 2026 41,810 $27.0M 2.73% EC
14 Intuitive Surgical Inc ISRG Jan 2026 45,335 $22.9M 2.31% EC
15 Assa Abloy AB ASSAB Jan 2026 564,045 $22.8M 2.31% EC
16 AstraZeneca PLC AZN Jan 2026 116,615 $21.7M 2.19% EC
17 Blackrock Inc BLK Jan 2026 18,585 $20.8M 2.10% EC
18 Intuit Inc INTU Jan 2026 37,890 $18.9M 1.91% EC
19 Mastercard Inc MA Jan 2026 33,885 $18.3M 1.85% EC
20 EssilorLuxottica SA EL Jan 2026 59,515 $18.2M 1.84% EC
21 S&P Global Inc SPGI Jan 2026 34,422 $18.2M 1.84% EC
22 L'Oreal SA LRLCY Jan 2026 185,885 $17.0M 1.72% EC
23 Canadian Pacific Kansas City L CP Jan 2026 228,455 $17.0M 1.72% EC
24 McDonald's Corp MCD Jan 2026 53,005 $16.7M 1.69% EC
25 UnitedHealth Group Inc UNH Jan 2026 54,755 $15.7M 1.59% EC
26 Philip Morris International In PM Jan 2026 85,860 $15.4M 1.56% EC
27 Eaton Corp PLC ETN Jan 2026 42,400 $14.9M 1.51% EC
28 Marriott International Inc/MD MAR Jan 2026 45,355 $14.3M 1.45% EC
29 Progressive Corp/The PGR Jan 2026 67,550 $14.1M 1.42% EC
30 Air Liquide SA AIQUY Jan 2026 356,255 $13.3M 1.35% EC
31 Texas Instruments Inc TXN Jan 2026 61,480 $13.3M 1.34% EC
32 Abbott Laboratories ABT Jan 2026 118,375 $12.9M 1.31% EC
33 Nintendo Co Ltd 7974 Jan 2026 187,770 $11.7M 1.19% EC
34 Hermes International SCA RMS Jan 2026 4,760 $11.4M 1.15% EC
35 Deere & Co DE Jan 2026 21,058 $11.1M 1.13% EC
36 Coca-Cola Co/The KO Jan 2026 136,110 $10.2M 1.03% EC
37 Schneider Electric SE SU Jan 2026 35,245 $10.1M 1.02% EC
38 AbbVie Inc ABBV Jan 2026 44,065 $9.8M 0.99% EC
39 London Stock Exchange Group PL LSEG Jan 2026 85,725 $9.6M 0.97% EC
40 ServiceNow Inc NOW Jan 2026 75,255 $8.8M 0.89% EC
41 Ferrari NV RACE Jan 2026 24,040 $8.0M 0.81% EC
42 DREYFUS INSTITUTIONAL PREFERRE 000000000 Jan 2026 1,309,108 $1.3M 0.13% STIV
43 DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT PLUS MONEY MARKET FUND DRF03 Jan 2026 104,500 $104K 0.01% STIV