0001775697-20-000401.txt : 20200320 0001775697-20-000401.hdr.sgml : 20200320 20200320075227 ACCESSION NUMBER: 0001775697-20-000401 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200131 FILED AS OF DATE: 20200320 PERIOD START: 20201031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BNY MELLON MIDCAP INDEX FUND, INC. CENTRAL INDEX KEY: 0000875732 IRS NUMBER: 133618129 STATE OF INCORPORATION: NY FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-06325 FILM NUMBER: 20730268 BUSINESS ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10286 BUSINESS PHONE: 2129226400 MAIL ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10286 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS MIDCAP INDEX FUND, INC. DATE OF NAME CHANGE: 20181030 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS MIDCAP INDEX FUND INC DATE OF NAME CHANGE: 20020514 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS MIDCAP INDEX FUND DATE OF NAME CHANGE: 19951228 0000875732 S000000078 BNY Mellon Midcap Index Fund, Inc. C000000115 Investor Shares PESPX C000172470 Class I DMIDX NPORT-P 1 primary_doc.xml NPORT-P false 0000875732 XXXXXXXX S000000078 C000000115 C000172470 BNY Mellon Midcap Index Fund, Inc. 811-06325 0000875732 549300YR5HQUSPUKYA70 240 Greenwich Street New York 10286 212 495 1784 BNY Mellon Midcap Index Fund, Inc. 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INC 83417M104 70620.00 NS USD 6910873.2 0.2649471617431 Long EC CORP US N 1 N N LAMAR ADVERTISING CO 529900Y8WW4MKVPTB543 LAMAR ADVERTISING CO 512816109 124359.00 NS USD 11541758.79 0.4424847836788 Long EC CORP US N 1 N N N URBAN EDGE PROPERTIES N/A URBAN EDGE PROPERTIES 91704F104 168491.00 NS USD 3098549.49 0.1187913407087 Long EC CORP US N 1 N N N EXELIXIS INC N/A EXELIXIS INC 30161Q104 441597.00 NS USD 7595468.4 0.291192984801 Long EC CORP US N 1 N N N ETSY INC 54930089Q7XT501AEA40 ETSY INC 29786A106 175674.00 NS USD 8574647.94 0.3287325015092 Long EC CORP US N 1 N N N CABLE ONE INC 549300648QS85T0XSH18 CABLE ONE INC 12685J105 7307.00 NS USD 12451347.21 0.4773563351108 Long EC CORP US N 1 N N N TEGNA INC 549300YC5EDBGX85AO10 TEGNA INC 87901J105 316103.00 NS USD 5342140.7 0.2048055253129 Long EC CORP US N 1 N N CHEMOURS CO/THE 549300M1BOLNXL8DOV14 CHEMOURS CO/THE 163851108 235722.00 NS USD 3269464.14 0.1253438196947 Long EC CORP US N 1 N N EDGEWELL PERSONAL CARE CO 549300CY8QZDL4Z3RU59 EDGEWELL PERSONAL CARE CO 28035Q102 79816.00 NS USD 2060849.12 0.0790082684666 Long EC CORP US N 1 N N N LUMENTUM HOLDINGS INC 549300JLWRRC38DWEF52 LUMENTUM HOLDINGS INC 55024U109 112210.00 NS USD 8502151.7 0.325953160539 Long EC CORP US N 1 N N N PENUMBRA INC 549300RGE06P3ECANU72 PENUMBRA INC 70975L107 46643.00 NS USD 8183980.78 0.3137552110522 Long EC CORP US N 1 N N ENERGIZER HOLDINGS INC 5493000D6NN0V57UME20 ENERGIZER HOLDINGS INC 29272W109 92456.00 NS USD 4277014.56 0.1639710114209 Long EC CORP US N 1 N N ARROWHEAD PHARMACEUTICALS INC 549300O3CSB8T7OZ3D66 ARROWHEAD PHARMACEUTICALS INC 04280A100 141524.00 NS USD 5931270.84 0.2273914350776 Long EC CORP US N 1 N N SPIRE INC 549300NXSY15DRY2R511 SPIRE INC 84857L101 74121.00 NS USD 6249882.72 0.239606289968 Long EC CORP US N 1 N N OLLIE'S BARGAIN OUTLET HOLDINGS INC 529900YO5DSQCPEFDZ05 OLLIE'S BARGAIN OUTLET HOLDINGS INC 681116109 78966.00 NS USD 4188356.64 0.1605720683944 Long EC CORP US N 1 N N LIVANOVA PLC 2138001K2FX6SHK2B339 LIVANOVA PLC N/A 70615.00 NS USD 4799701.55 0.18400964192 Long EC CORP GB N 1 N N N INGEVITY CORP 5493009UTFC4B5IMGF87 INGEVITY CORP 45688C107 61104.00 NS USD 3985202.88 0.1527836152494 Long EC CORP US N 1 N N N FIRSTCASH INC 549300V2X3UU7K0DG350 FIRSTCASH INC 33767D105 62022.00 NS USD 5394053.34 0.2067957378705 Long EC CORP US N 1 N N N HUBBELL INC 54930088VDQ6840Y6597 HUBBELL INC 443510607 78730.00 NS USD 11276497.9 0.432315284414 Long EC CORP US N 1 N N N LIFE STORAGE INC W9EE01AFDDF9DQCQZC68 LIFE STORAGE INC 53223X107 67421.00 NS USD 7630708.78 0.2925440208263 Long EC CORP US N 1 N N N ASHLAND GLOBAL HOLDINGS INC 529900E4L9R04SB8HB11 ASHLAND GLOBAL HOLDINGS INC 044186104 87462.00 NS USD 6470438.76 0.2480619069518 Long EC CORP US N 1 N N N ITT INC 549300KDSERHTJOXUS80 ITT INC 45073V108 127287.00 NS USD 8538411.96 0.3273432964441 Long EC CORP US N 1 N N N PARK HOTELS & RESORTS INC 5493005UZ5TQN0H6HS73 PARK HOTELS & RESORTS INC 700517105 346689.00 NS USD 7606356.66 0.2916104159273 Long EC CORP US N 1 N N VALVOLINE INC 549300CMHPBEY6VPOT75 VALVOLINE INC 92047W101 274457.00 NS USD 5785553.56 0.2218049659534 Long EC CORP US N 1 N N N ADIENT PLC 5493002QLDY8O75RTR78 ADIENT PLC N/A 127842.00 NS USD 3286817.82 0.12600912032 Long EC CORP IE N 1 N N N BRIGHTHOUSE FINANCIAL INC 5493003T8SZSHOGGAW52 BRIGHTHOUSE FINANCIAL INC 10922N103 161065.00 NS USD 6265428.5 0.2402022798189 Long EC CORP US N 1 N N N JANUS HENDERSON GROUP PLC 2138009WPYMWJN3RVF44 JANUS HENDERSON GROUP PLC N/A 229833.00 NS USD 5807879.91 0.2226609074377 Long EC CORP JE N 1 N N JBG SMITH PROPERTIES N/A JBG SMITH PROPERTIES 46590V100 170557.00 NS USD 6916086.35 0.2651470220583 Long EC CORP US N 1 N N DELPHI TECHNOLOGIES PLC 549300SEU65CJHRH6V04 DELPHI TECHNOLOGIES PLC N/A 124695.00 NS USD 1912821.3 0.0733332184935 Long EC CORP JE N 1 N N BJ'S WHOLESALE CLUB HOLDINGS INC 549300UCIWH1C93V0J03 BJ'S WHOLESALE CLUB HOLDINGS INC 05550J101 175537.00 NS USD 3602019.24 0.1380932259301 Long EC CORP US N 1 N N PERSPECTA INC 549300XIT2GJKMZC0O65 PERSPECTA INC 715347100 201674.00 NS USD 5660989.18 0.2170294509092 Long EC CORP US N 1 N N N WYNDHAM HOTELS & RESORTS INC 549300FE3MQ4RVXXC673 WYNDHAM HOTELS & RESORTS INC 98311A105 139471.00 NS USD 7973557.07 0.3056880445575 Long EC CORP US N 1 N N N CERIDIAN HCM HOLDING INC 549300T64GVCHFJ8L449 CERIDIAN HCM HOLDING INC 15677J108 146391.00 NS USD 10728996.39 0.4113253216514 Long EC CORP US N 1 N N APERGY CORP 549300EP2909K6DYYP38 APERGY CORP 03755L104 111543.00 NS USD 2884501.98 0.1105852459633 Long EC CORP US N 1 N N N NVENT ELECTRIC PLC 549300KO1OQ4MVFB6X02 NVENT ELECTRIC PLC N/A 227280.00 NS USD 5659272.00 0.2169636181332 Long EC CORP IE N 1 N N N O-I GLASS INC 72450053F5WRDY8CDZ66 O-I GLASS INC 67098H104 223405.00 NS USD 2819371.1 0.1080882761451 Long EC CORP US N 1 N N ASGN INC LZBNYYCBUKY537072438 ASGN INC 00191U102 77185.00 NS USD 5224652.65 0.2003013006679 Long EC CORP US N 1 N N N ANTERO MIDSTREAM CORP N/A ANTERO MIDSTREAM CORP 03676B102 429864.00 NS USD 2166514.56 0.0830592411313 Long EC CORP US N 1 N N RESIDEO TECHNOLOGIES INC 5493006TKFPYISY2DS54 RESIDEO TECHNOLOGIES INC 76118Y104 179891.00 NS USD 1831290.38 0.0702075084388 Long EC CORP US N 1 N N N DIVERSIFIED HEALTHCARE TRUST N/A DIVERSIFIED HEALTHCARE TRUST 25525P107 347165.00 NS USD 2680113.8 0.1027494679628 Long EC CORP US N 1 N N BANCORPSOUTH BANK Q7C315HKI8VX0SSKBS64 BANCORPSOUTH BANK 05971J102 139408.00 NS USD 3982886.56 0.1526948128084 Long EC CORP US N 1 N N N EQUITRANS MIDSTREAM CORP 549300RH0NLJNZ5SXU64 EQUITRANS MIDSTREAM CORP 294600101 293784.00 NS USD 2840891.28 0.108913310905 Long EC CORP US N 1 N N TREASURY BILL 254900HROIFWPRGM1V77 UNITED STATES TREASURY BILL 912796TK5 1147000.00 OU Other Units USD 1145150.42 0.0439024627955 Long STIV UST US N 2 2020-03-12 Fixed N/A N N N N N N FAH0 INDEX N/A S&P MID 400 EMINI MAR20 N/A 133.00 NC USD 26693100.00 1.0233527484088 Long DE US N 1 N/A N/A Long S&P MID 400 EMINI M S&P MID 400 EMINI M 2020-03-20 26693100.00 USD -1250064.03 N N N DREYFUS INSTITUTIONAL PREFERRED GOVERNMENT MONEY MARKET N/A Dreyfus Institutional Preferred Government Plus Money Market Fund N/A 19531485.5 OU Other Units USD 19531485.5 0.7487927354609 Long STIV RF US N 1 2099-12-01 Variable 1.560605 N N N N N N 996130662 N/A DREYFUS INSTL PREFERRED PLUS GOVT MM FUND 996130662 18577930.49 OU Other Units USD 18577930.49 0.7122356049574 Long STIV RF US N 1 N N 2020-03-18 BNY Mellon Advantage Funds, Inc. James Windels James Windels Fund Treasurer XXXX NPORT-EX 2 c10520bnymellon-january20201.htm Untitled Document

STATEMENT OF INVESTMENTS
BNY Mellon Midcap Index Fund, Inc.

January 31, 2020 (Unaudited)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2%

     

Automobiles & Components - 1.7%

     

Adient

   

127,842

a

3,286,818

 

Dana

   

207,464

b

3,197,020

 

Delphi Technologies

   

124,695

a,b

1,912,821

 

Gentex

   

368,628

 

10,974,056

 

Lear

   

78,107

 

9,621,220

 

The Goodyear Tire & Rubber Company

   

339,468

 

4,457,215

 

Thor Industries

   

79,506

b

6,401,823

 

Visteon

   

40,854

a,b

3,260,558

 
    

43,111,531

 

Banks - 7.7%

     

Associated Banc-Corp

   

237,056

 

4,724,526

 

BancorpSouth Bank

   

139,408

 

3,982,887

 

Bank of Hawaii

   

59,293

b

5,312,653

 

Bank OZK

   

176,393

 

4,794,362

 

Cathay General Bancorp

   

110,749

 

3,993,609

 

CIT Group

   

134,566

b

6,151,012

 

Commerce Bancshares

   

150,025

b

10,150,691

 

Cullen/Frost Bankers

   

82,436

b

7,349,994

 

East West Bancorp

   

210,547

 

9,651,474

 

F.N.B.

   

474,016

 

5,531,767

 

First Financial Bankshares

   

198,232

b

6,644,737

 

First Horizon National

   

451,721

 

7,227,536

 

Fulton Financial

   

242,956

b

4,001,485

 

Hancock Whitney

   

127,469

b

5,065,618

 

Home BancShares

   

224,679

 

4,295,862

 

International Bancshares

   

83,273

a

3,280,956

 

LendingTree

   

11,194

a,b

3,483,573

 

New York Community Bancorp

   

675,727

 

7,473,541

 

PacWest Bancorp

   

174,082

 

6,101,574

 

Pinnacle Financial Partners

   

105,603

 

6,236,913

 

Prosperity Bancshares

   

137,197

 

9,631,229

 

Signature Bank

   

79,210

 

11,239,107

 

Sterling Bancorp

   

296,548

b

5,930,960

 

Synovus Financial

   

211,892

 

7,420,458

 

TCF Financial

   

222,038

 

9,387,767

 

Texas Capital Bancshares

   

73,399

a

4,034,009

 

Trustmark

   

94,043

b

3,007,495

 

UMB Financial

   

63,085

 

4,192,629

 

Umpqua Holdings

   

317,990

 

5,374,031

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Banks - 7.7% (continued)

     

United Bankshares

   

148,758

b

5,102,399

 

Valley National Bancorp

   

566,160

b

5,961,665

 

Washington Federal

   

115,988

 

3,943,592

 

Webster Financial

   

134,421

 

6,030,126

 

Wintrust Financial

   

82,741

 

5,235,850

 
    

201,946,087

 

Capital Goods - 10.8%

     

Acuity Brands

   

57,685

 

6,799,331

 

AECOM

   

228,175

a

11,004,880

 

AGCO

   

91,472

 

6,415,846

 

Axon Enterprise

   

86,441

a

6,639,533

 

Carlisle

   

82,390

b

12,871,790

 

Colfax

   

120,495

a,b

4,236,604

 

Crane

   

74,342

 

6,353,267

 

Curtiss-Wright

   

61,797

 

8,987,138

 

Donaldson

   

184,526

 

9,567,673

 

Dycom Industries

   

46,107

a,b

1,863,645

 

EMCOR Group

   

81,859

 

6,726,354

 

EnerSys

   

62,052

b

4,465,262

 

Fluor

   

201,587

 

3,606,391

 

GATX

   

52,138

b

3,969,266

 

Graco

   

241,398

 

12,830,304

 

Hubbell

   

78,730

 

11,276,498

 

ITT

   

127,287

 

8,538,412

 

Kennametal

   

118,954

b

3,722,071

 

Lennox International

   

51,010

b

11,884,310

 

Lincoln Electric Holdings

   

89,353

b

7,968,501

 

MasTec

   

87,037

a,b

5,026,387

 

Mercury Systems

   

80,103

a

6,147,905

 

MSC Industrial Direct, Cl. A

   

64,953

 

4,421,351

 

Nordson

   

74,042

 

12,502,732

 

NOW

   

157,927

a,b

1,580,849

 

nVent Electric

   

227,280

 

5,659,272

 

Oshkosh

   

98,926

 

8,511,593

 

Owens Corning

   

157,383

 

9,520,098

 

Regal Beloit

   

61,350

 

4,813,521

 

Resideo Technologies

   

179,891

a

1,831,290

 

Teledyne Technologies

   

53,036

a

19,361,322

 

Terex

   

94,233

 

2,388,807

 

The Timken Company

   

99,945

 

5,250,111

 

The Toro Company

   

154,276

 

12,345,166

 

Trex

   

85,219

a,b

8,371,915

 

Trinity Industries

   

147,474

b

2,998,146

 

Valmont Industries

   

31,617

 

4,491,511

 


        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Capital Goods - 10.8% (continued)

     

Watsco

   

47,159

 

8,201,893

 

Woodward

   

81,971

 

9,534,047

 
    

282,684,992

 

Commercial & Professional Services - 2.8%

     

ASGN

   

77,185

a

5,224,653

 

Clean Harbors

   

74,954

a

6,162,718

 

Deluxe

   

62,719

 

3,023,056

 

FTI Consulting

   

54,226

a

6,510,374

 

Healthcare Services Group

   

109,205

b

2,795,648

 

Herman Miller

   

86,193

 

3,331,359

 

HNI

   

61,837

 

2,224,277

 

Insperity

   

55,898

 

4,883,808

 

KAR Auction Services

   

194,203

b

4,082,147

 

Manpowergroup

   

86,554

 

7,918,825

 

MSA Safety

   

51,469

 

6,979,196

 

Stericycle

   

131,761

a,b

8,258,779

 

Tetra Tech

   

78,976

 

6,760,346

 

The Brink's Company

   

72,943

 

6,141,071

 
    

74,296,257

 

Consumer Durables & Apparel - 3.0%

     

Brunswick

   

119,437

 

7,506,615

 

Carter's

   

64,665

b

6,859,017

 

Columbia Sportswear

   

40,069

 

3,763,280

 

Deckers Outdoor

   

40,845

a

7,797,719

 

Helen of Troy

   

36,638

a,b

6,926,414

 

KB Home

   

123,350

b

4,631,792

 

Mattel

   

504,331

a,b

7,378,363

 

Polaris

   

83,075

 

7,629,608

 

Skechers USA, Cl. A

   

193,375

a

7,230,291

 

Tempur Sealy International

   

67,193

a

6,156,223

 

Toll Brothers

   

186,751

b

8,284,274

 

TRI Pointe Group

   

204,942

a

3,332,357

 
    

77,495,953

 

Consumer Services - 5.5%

     

Adtalem Global Education

   

80,330

a

2,772,188

 

Boyd Gaming

   

115,274

 

3,440,929

 

Brinker International

   

53,853

b

2,298,985

 

Caesars Entertainment

   

811,265

a

11,089,993

 

Choice Hotels International

   

46,139

b

4,623,128

 

Churchill Downs

   

51,986

b

7,505,739

 

Cracker Barrel Old Country Store

   

35,065

b

5,362,490

 

Domino's Pizza

   

59,787

b

16,844,987

 

Dunkin' Brands Group

   

120,429

 

9,404,301

 

Eldorado Resorts

   

94,307

a,b

5,637,672

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Consumer Services - 5.5% (continued)

     

Graham Holdings, Cl. B

   

6,274

 

3,445,806

 

Grand Canyon Education

   

67,352

a

5,272,315

 

Jack in the Box

   

34,006

b

2,779,990

 

Marriott Vacations Worldwide

   

54,654

 

6,571,597

 

Papa John's International

   

31,430

b

2,036,035

 

Penn National Gaming

   

158,793

a

4,736,795

 

Scientific Games

   

77,534

a,b

1,925,945

 

Service Corp. International

   

265,708

 

12,740,699

 

Six Flags Entertainment

   

113,249

b

4,318,184

 

Texas Roadhouse

   

94,434

b

5,902,125

 

The Cheesecake Factory

   

58,981

b

2,264,870

 

The Wendy's Company

   

266,467

 

5,774,340

 

WW International

   

66,747

a,b

2,201,316

 

Wyndham Destinations

   

133,311

 

6,469,583

 

Wyndham Hotels & Resorts

   

139,471

 

7,973,557

 
    

143,393,569

 

Diversified Financials - 3.8%

     

Affiliated Managers Group

   

71,651

 

5,721,332

 

Eaton Vance

   

163,419

 

7,476,419

 

Evercore, Cl. A

   

58,358

 

4,471,390

 

FactSet Research Systems

   

55,390

b

15,847,633

 

Federated Hermes, Cl. B

   

140,347

 

5,084,772

 

FirstCash

   

62,022

 

5,394,053

 

Green Dot, Cl. A

   

68,294

a

2,054,284

 

Interactive Brokers Group, Cl. A

   

111,564

b

5,243,508

 

Janus Henderson Group

   

229,833

b

5,807,880

 

Jefferies Financial Group

   

364,328

 

7,884,058

 

Legg Mason

   

117,607

 

4,604,314

 

Navient

   

285,028

 

4,098,703

 

SEI Investments

   

183,603

 

11,981,932

 

SLM

   

623,083

 

6,804,066

 

Stifel Financial

   

100,562

 

6,505,356

 
    

98,979,700

 

Energy - 1.7%

     

Antero Midstream

   

429,864

b

2,166,515

 

Apergy

   

111,543

a

2,884,502

 

Chesapeake Energy

   

1,700,692

a

870,414

 

CNX Resources

   

274,199

a,b

1,982,459

 

Core Laboratories

   

63,900

 

2,244,807

 

EQT

   

373,003

b

2,256,668

 

Equitrans Midstream

   

293,784

b

2,840,891

 

Matador Resources

   

157,555

a,b

2,311,332

 

Murphy Oil

   

218,433

b

4,578,356

 

Patterson-UTI Energy

   

296,437

b

2,353,710

 


        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Energy - 1.7% (continued)

     

PBF Energy, Cl. A

   

147,015

 

4,013,509

 

Transocean

   

830,160

a,b

3,785,530

 

World Fuel Services

   

95,669

 

3,742,571

 

WPX Energy

   

610,536

a,b

7,295,905

 
    

43,327,169

 

Food & Staples Retailing - .6%

     

BJ's Wholesale Club Holdings

   

175,537

a,b

3,602,019

 

Casey's General Stores

   

53,606

b

8,623,061

 

Sprouts Farmers Market

   

170,121

a

2,658,991

 
    

14,884,071

 

Food, Beverage & Tobacco - 1.8%

     

Flowers Foods

   

278,027

b

5,985,921

 

Ingredion

   

96,491

 

8,491,208

 

Lancaster Colony

   

28,556

 

4,416,185

 

Pilgrim's Pride

   

76,371

a

1,989,465

 

Post Holdings

   

97,071

a

10,150,714

 

Sanderson Farms

   

28,726

b

3,955,283

 

The Boston Beer Company, Cl. A

   

13,257

a,b

4,724,530

 

The Hain Celestial Group

   

118,172

a,b

2,860,944

 

Tootsie Roll Industries

   

24,898

b

849,271

 

TreeHouse Foods

   

82,004

a,b

3,657,378

 
    

47,080,899

 

Health Care Equipment & Services - 5.9%

     

Acadia Healthcare

   

129,274

a,b

4,153,574

 

Allscripts Healthcare Solutions

   

246,122

a,b

2,111,727

 

Amedisys

   

46,885

a

8,274,734

 

Avanos Medical

   

68,489

a

1,886,187

 

Cantel Medical

   

53,630

b

3,489,168

 

Chemed

   

23,268

 

10,867,087

 

Encompass Health

   

142,701

 

10,992,258

 

Globus Medical, Cl. A

   

111,869

a

5,848,511

 

Haemonetics

   

73,419

a

7,884,466

 

HealthEquity

   

103,024

a

6,805,765

 

Hill-Rom Holdings

   

96,667

 

10,294,069

 

ICU Medical

   

27,741

a

5,061,900

 

Integra LifeSciences Holdings

   

103,617

a

5,703,080

 

LivaNova

   

70,615

a

4,799,702

 

Masimo

   

70,985

a

12,110,041

 

MEDNAX

   

123,093

a

2,839,756

 

Molina Healthcare

   

90,748

a

11,159,282

 

NuVasive

   

75,929

a

5,855,644

 

Patterson

   

124,485

b

2,739,915

 

Penumbra

   

46,643

a,b

8,183,981

 

Tenet Healthcare

   

150,999

a,b

4,777,608

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Health Care Equipment & Services - 5.9% (continued)

     

West Pharmaceutical Services

   

107,557

 

16,773,514

 
    

152,611,969

 

Household & Personal Products - .3%

     

Edgewell Personal Care

   

79,816

a

2,060,849

 

Energizer Holdings

   

92,456

b

4,277,015

 

Nu Skin Enterprises, Cl. A

   

81,101

 

2,643,082

 
    

8,980,946

 

Insurance - 5.2%

     

Alleghany

   

20,921

a

16,687,845

 

American Financial Group

   

108,801

 

11,836,461

 

Brighthouse Financial

   

161,065

a

6,265,428

 

Brown & Brown

   

340,065

 

15,268,918

 

CNO Financial Group

   

228,192

 

4,013,897

 

First American Financial

   

163,299

 

10,121,272

 

Genworth Financial, Cl. A

   

735,003

a

3,013,512

 

Kemper

   

91,390

 

6,801,244

 

Mercury General

   

39,933

 

1,960,311

 

Old Republic International

   

412,210

 

9,295,335

 

Primerica

   

60,573

 

7,181,535

 

Reinsurance Group of America

   

90,993

 

13,107,542

 

RenaissanceRe Holdings

   

63,912

 

12,107,489

 

RLI

   

58,016

 

5,396,068

 

Selective Insurance Group

   

85,739

 

5,680,209

 

The Hanover Insurance Group

   

57,188

 

7,925,113

 
    

136,662,179

 

Materials - 5.8%

     

Allegheny Technologies

   

181,804

a,b

3,136,119

 

AptarGroup

   

92,656

 

10,702,695

 

Ashland Global Holdings

   

87,462

 

6,470,439

 

Cabot

   

84,367

 

3,362,025

 

Carpenter Technology

   

69,561

 

2,764,354

 

Commercial Metals

   

169,953

 

3,492,534

 

Compass Minerals International

   

49,487

b

2,864,802

 

Domtar

   

82,465

b

2,871,431

 

Eagle Materials

   

60,693

 

5,533,381

 

Greif, Cl. A

   

37,912

b

1,532,403

 

Ingevity

   

61,104

a

3,985,203

 

Louisiana-Pacific

   

171,975

 

5,276,193

 

Minerals Technologies

   

50,453

 

2,731,021

 

NewMarket

   

10,660

 

4,686,349

 

O-I Glass

   

223,405

b

2,819,371

 

Olin

   

239,889

 

3,567,149

 

PolyOne

   

127,358

 

4,225,738

 

Reliance Steel & Aluminum

   

96,451

 

11,072,575

 


        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Materials - 5.8% (continued)

     

Royal Gold

   

94,856

 

10,938,794

 

RPM International

   

188,538

 

13,455,957

 

Sensient Technologies

   

61,755

b

3,689,861

 

Silgan Holdings

   

113,638

 

3,506,869

 

Sonoco Products

   

144,730

 

8,269,872

 

Steel Dynamics

   

313,997

 

9,382,230

 

The Chemours Company

   

235,722

b

3,269,464

 

The Scotts Miracle-Gro Company

   

57,508

b

7,058,532

 

United States Steel

   

249,285

b

2,261,015

 

Valvoline

   

274,457

 

5,785,554

 

Worthington Industries

   

54,225

 

1,994,395

 
    

150,706,325

 

Media & Entertainment - 1.8%

     

AMC Networks, Cl. A

   

64,516

a,b

2,360,640

 

Cable One

   

7,307

 

12,451,347

 

Cinemark Holdings

   

155,615

b

4,903,429

 

John Wiley & Sons, Cl. A

   

64,318

 

2,805,551

 

Meredith

   

59,375

b

1,784,219

 

TEGNA

   

316,103

b

5,342,141

 

The New York Times Company, Cl. A

   

207,705

b

6,648,637

 

TripAdvisor

   

152,794

 

4,174,332

 

World Wrestling Entertainment, Cl. A

   

68,607

b

3,353,510

 

Yelp

   

94,376

a

3,076,658

 
    

46,900,464

 

Pharmaceuticals Biotechnology & Life Sciences - 3.8%

     

Arrowhead Pharmaceuticals

   

141,524

a,b

5,931,271

 

Bio-Rad Laboratories, Cl. A

   

31,405

a

11,334,693

 

Bio-Techne

   

55,406

 

11,633,598

 

Catalent

   

212,689

a

12,995,298

 

Charles River Laboratories International

   

70,608

a

10,914,585

 

Exelixis

   

441,597

a

7,595,468

 

Ligand Pharmaceuticals

   

25,257

a,b

2,217,817

 

Nektar Therapeutics

   

253,059

a,b

5,033,343

 

PRA Health Sciences

   

91,917

a

9,312,111

 

Prestige Consumer Healthcare

   

73,486

a,b

2,980,592

 

Repligen

   

68,075

a,b

6,834,049

 

Syneos Health

   

89,621

a,b

5,499,145

 

United Therapeutics

   

64,009

a

6,251,759

 
    

98,533,729

 

Real Estate - 11.2%

     

Alexander & Baldwin

   

97,408

c

2,129,339

 

American Campus Communities

   

198,723

c

9,115,424

 

Brixmor Property Group

   

430,756

c

8,597,890

 

Camden Property Trust

   

140,375

c

15,782,361

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Real Estate - 11.2% (continued)

     

CoreCivic

   

175,338

c

2,796,641

 

CoreSite Realty

   

54,756

c

6,431,092

 

Corporate Office Properties Trust

   

163,430

c

4,865,311

 

Cousins Properties

   

212,218

c

8,686,083

 

CyrusOne

   

163,743

c

9,963,762

 

Diversified Healthcare Trust

   

347,165

b,c

2,680,114

 

Douglas Emmett

   

238,307

c

9,889,740

 

EastGroup Properties

   

55,776

c

7,589,440

 

EPR Properties

   

113,994

b,c

8,135,752

 

First Industrial Realty Trust

   

184,510

c

7,878,577

 

Healthcare Realty Trust

   

194,182

c

7,002,203

 

Highwoods Properties

   

149,901

c

7,511,539

 

JBG SMITH Properties

   

170,557

b,c

6,916,086

 

Jones Lang LaSalle

   

74,924

 

12,723,594

 

Kilroy Realty

   

141,452

c

11,679,692

 

Lamar Advertising, Cl. A

   

124,359

c

11,541,759

 

Liberty Property Trust

   

229,380

c

14,370,657

 

Life Storage

   

67,421

c

7,630,709

 

Mack-Cali Realty

   

130,221

c

2,859,653

 

Medical Properties Trust

   

750,731

b,c

16,628,692

 

National Retail Properties

   

248,409

c

13,910,904

 

Omega Healthcare Investors

   

317,528

c

13,320,300

 

Park Hotels & Resorts

   

346,689

b,c

7,606,357

 

Pebblebrook Hotel Trust

   

190,705

b,c

4,523,523

 

Potlatchdeltic

   

98,151

c

4,220,493

 

PS Business Parks

   

29,233

c

4,898,281

 

Rayonier

   

189,157

c

5,746,590

 

Sabra Health Care REIT

   

281,422

c

6,050,573

 

Service Properties Trust

   

239,835

b,c

5,175,639

 

Spirit Realty Capital

   

144,142

c

7,607,815

 

Taubman Centers

   

89,364

b,c

2,360,997

 

The GEO Group

   

174,296

a,c

2,753,877

 

The Macerich Company

   

160,234

b,c

3,574,821

 

Urban Edge Properties

   

168,491

c

3,098,549

 

Weingarten Realty Investors

   

174,631

c

5,081,762

 
    

293,336,591

 

Retailing - 3.5%

     

Aaron's

   

98,588

 

5,852,184

 

American Eagle Outfitters

   

232,207

b

3,343,781

 

AutoNation

   

84,791

a

3,598,530

 

Bed Bath & Beyond

   

186,907

b

2,663,425

 

Dick's Sporting Goods

   

93,066

b

4,116,309

 

Dillard's, Cl. A

   

14,500

b

880,440

 

Etsy

   

175,674

a

8,574,648

 


        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Retailing - 3.5% (continued)

     

Five Below

   

80,527

a,b

9,117,267

 

Foot Locker

   

158,530

b

6,019,384

 

Grubhub

   

133,279

a,b

7,217,058

 

Murphy USA

   

42,252

a

4,316,887

 

Ollie's Bargain Outlet Holdings

   

78,966

a,b

4,188,357

 

Pool

   

58,201

 

12,763,479

 

RH

   

23,709

a

4,949,254

 

Sally Beauty Holdings

   

173,668

a,b

2,665,804

 

Urban Outfitters

   

101,398

a,b

2,595,789

 

Williams-Sonoma

   

113,077

b

7,924,436

 
    

90,787,032

 

Semiconductors & Semiconductor Equipment - 4.0%

     

Cabot Microelectronics

   

42,258

 

6,148,962

 

Cirrus Logic

   

84,890

a

6,520,401

 

Cree

   

156,530

a,b

7,277,080

 

Cypress Semiconductor

   

534,480

 

12,469,418

 

First Solar

   

110,711

a,b

5,489,051

 

MKS Instruments

   

78,790

 

8,258,768

 

Monolithic Power Systems

   

58,718

 

10,050,760

 

Semtech

   

97,157

a

4,681,996

 

Silicon Laboratories

   

63,239

a

6,217,026

 

SolarEdge Technologies

   

70,620

a,b

6,910,873

 

Synaptics

   

48,256

a,b

3,218,193

 

Teradyne

   

244,058

 

16,105,387

 

Universal Display

   

61,351

 

10,808,206

 
    

104,156,121

 

Software & Services - 6.6%

     

ACI Worldwide

   

168,639

a

5,809,614

 

Blackbaud

   

71,781

b

5,622,606

 

CACI International, Cl. A

   

36,394

a

9,733,211

 

CDK Global

   

176,476

 

9,473,232

 

Ceridian HCM Holding

   

146,391

a,b

10,728,996

 

Commvault Systems

   

61,086

a

2,750,092

 

CoreLogic

   

116,943

 

5,437,849

 

Fair Isaac

   

42,102

a

16,941,003

 

j2 Global

   

67,144

a,b

6,436,424

 

KBR

   

206,632

 

5,620,390

 

Liveramp Holdings

   

98,875

a

3,978,730

 

LogMeIn

   

72,154

 

6,203,079

 

Manhattan Associates

   

93,880

a

8,022,985

 

MAXIMUS

   

93,105

 

6,680,284

 

Perspecta

   

201,674

 

5,660,989

 

PTC

   

151,098

a

12,559,266

 

Sabre

   

395,787

 

8,525,252

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Software & Services - 6.6% (continued)

     

Science Applications International

   

70,845

b

6,218,066

 

Teradata

   

166,894

a,b

4,062,200

 

Tyler Technologies

   

56,693

a

18,350,390

 

WEX

   

62,936

a

13,652,077

 
    

172,466,735

 

Technology Hardware & Equipment - 5.0%

     

Arrow Electronics

   

120,325

a

9,137,480

 

Avnet

   

149,787

 

5,465,728

 

Belden

   

56,429

b

2,780,257

 

Ciena

   

224,360

a

9,124,721

 

Cognex

   

248,444

 

12,663,191

 

Coherent

   

35,022

a,b

4,953,161

 

II-VI

   

126,122

a,b

4,244,005

 

InterDigital

   

44,722

 

2,470,890

 

Jabil

   

201,215

 

7,825,251

 

Littelfuse

   

35,882

 

6,347,885

 

Lumentum Holdings

   

112,210

a

8,502,152

 

National Instruments

   

171,590

 

7,658,062

 

NCR

   

184,030

a

6,205,492

 

NETSCOUT Systems

   

97,684

a,b

2,511,456

 

SYNNEX

   

59,066

 

8,136,932

 

Tech Data

   

51,467

a

7,408,160

 

Trimble

   

364,571

a

15,501,559

 

Viasat

   

84,020

a,b

5,347,873

 

Vishay Intertechnology

   

193,264

 

3,921,327

 
    

130,205,582

 

Telecommunication Services - .1%

     

Telephone & Data Systems

   

140,536

 

3,187,356

 

Transportation - 1.9%

     

Avis Budget Group

   

86,114

a

2,824,539

 

JetBlue Airways

   

421,133

a

8,351,067

 

Kirby

   

86,576

a,b

6,345,155

 

Knight-Swift Transportation Holdings

   

177,398

b

6,577,918

 

Landstar System

   

57,264

 

6,341,988

 

Ryder System

   

77,828

 

3,713,952

 

Werner Enterprises

   

65,056

b

2,397,964

 

XPO Logistics

   

134,180

a,b

11,931,286

 
    

48,483,869

 

Utilities - 4.7%

     

ALLETE

   

75,366

 

6,291,554

 

Aqua America

   

313,801

b

16,298,824

 

Black Hills

   

89,311

 

7,415,492

 

Hawaiian Electric Industries

   

158,989

 

7,776,152

 

IDACORP

   

73,498

 

8,245,741

 


        
 

Description

   

Shares

 

Value ($)

 

Common Stocks - 99.2% (continued)

     

Utilities - 4.7% (continued)

     

MDU Resources Group

   

291,219

 

8,622,995

 

National Fuel Gas

   

125,997

b

5,441,810

 

New Jersey Resources

   

137,674

 

5,688,690

 

NorthWestern

   

72,817

 

5,604,724

 

OGE Energy

   

289,700

 

13,282,745

 

ONE Gas

   

76,971

 

7,273,759

 

PNM Resources

   

116,175

 

6,300,170

 

Southwest Gas Holdings

   

79,302

b

5,988,094

 

Spire

   

74,121

b

6,249,883

 

UGI

   

303,870

 

12,637,953

 
    

123,118,586

 

Total Common Stocks (cost $1,736,088,865)

   

2,587,337,712

 
    

Principal Amount ($)

   

Short-Term Investments - .0%

     

U.S. Treasury Bills - .0%

     

1.54%, 3/12/20
(cost $1,145,065)

   

1,147,000

d,e

1,145,150

 
  

1-Day
Yield (%)

     

Investment Companies - .8%

     

Registered Investment Companies - .8%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund
(cost $19,531,485)

 

1.56

 

19,531,485

f

19,531,485

 
        

Investment of Cash Collateral for Securities Loaned - .7%

     

Registered Investment Companies - .7%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund
(cost $18,577,998)

 

1.56

 

18,577,998

f

18,577,998

 

Total Investments (cost $1,775,343,413)

 

100.7%

 

2,626,592,345

 

Liabilities, Less Cash and Receivables

 

(.7%)

 

(18,195,578)

 

Net Assets

 

100.0%

 

2,608,396,767

 

REIT—Real Estate Investment Trust

a Non-income producing security.

b Security, or portion thereof, on loan. At January 31, 2020, the value of the fund’s securities on loan was $478,669,653 and the value of the collateral was $500,725,961, consisting of cash collateral of $18,577,998 and U.S. Government & Agency securities valued at $482,147,963.

c Investment in real estate investment trust within the United States.

d Held by a counterparty for open exchange traded derivative contracts.

e Security is a discount security. Income is recognized through the accretion of discount.

f Investment in affiliated issuer. The investment objective of this investment company is publicly available and can be found within the investment company’s prospectus.


STATEMENT OF INVESTMENTS
BNY Mellon Midcap Index Fund, Inc.

January 31, 2020 (Unaudited)

The following is a summary of the inputs used as of January 31, 2020 in valuing the fund’s investments:

     
 

Level 1 - Unadjusted Quoted Prices

Level 2 - Other Significant Observable Inputs

Level 3 -Significant Unobservable Inputs

Total

Assets ($)

    

Investments in Securities:

  

Equity Securities—Common Stocks

2,587,337,712

-

-

2,587,337,712

Investment Companies

38,109,483

-

-

38,109,483

U.S. Treasury Securities

-

1,145,150

-

1,145,150

Liabilities ($)

    

Other Financial Instruments:

    

Futures††

(1,013,956)

-

-

(1,013,956)

See Statement of Investments for additional detailed categorizations, if any.

†† Amount shown represents unrealized (depreciation) at period end.


STATEMENT OF FUTURES
BNY Mellon Midcap Index Fund, Inc.

January 31, 2020 (Unaudited)

       

Description

Number of
Contracts

Expiration

Notional
Value ($)

Value ($)

Unrealized (Depreciation) ($)

 

Futures Long

  

Standard & Poor's Midcap 400 E-mini

108

3/20/2020

22,689,556

21,675,600

(1,013,956)

 

Gross Unrealized Depreciation

 

(1,013,956)

 

See notes to financial statements.


NOTES

The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission (“SEC”) under authority of federal laws are also sources of authoritative GAAP for SEC registrants. The fund is an investment company and applies the accounting and reporting guidance of the FASB ASC Topic 946 Financial Services-Investment Companies. The fund’s financial statements are prepared in accordance with GAAP, which may require the use of management estimates and assumptions. Actual results could differ from those estimates.

The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price). GAAP establishes a fair value hierarchy that prioritizes the inputs of valuation techniques used to measure fair value. This hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements).

Additionally, GAAP provides guidance on determining whether the volume and activity in a market has decreased significantly and whether such a decrease in activity results in transactions that are not orderly. GAAP requires enhanced disclosures around valuation inputs and techniques used during annual and interim periods.

Various inputs are used in determining the value of the fund’s investments relating to fair value measurements. These inputs are summarized in the three broad levels listed below:

Level 1—unadjusted quoted prices in active markets for identical investments.

Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).

Level 3—significant unobservable inputs (including the fund’s own assumptions in determining the fair value of investments).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the fund’s investments are as follows:

Investments in equity securities are valued at the last sales price on the securities exchange or national securities market on which such securities are primarily traded. Securities listed on the National Market System for which market quotations are available are valued at the official closing price or, if there is no official closing price that day, at the last sales price. For open short positions, asked prices are used for valuation


NOTES

purposes. Bid price is used when no asked price is available. Registered investment companies that are not traded on an exchange are valued at their net asset value. All of the preceding securities are generally categorized within Level 1 of the fair value hierarchy.

Securities not listed on an exchange or the national securities market, or securities for which there were no transactions, are valued at the average of the most recent bid and asked prices. U.S. Treasury Bills are valued at the mean price between quoted bid prices and asked prices by an independent pricing service (the “Service”) approved by the Board Members (“Board”).These securities are generally categorized within Level 2 of the fair value hierarchy.

The Service’s procedures are reviewed by BNY Mellon under the general supervision of the Board.

Fair valuing of securities may be determined with the assistance of a pricing service using calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant American Depository Receipts and futures. Utilizing these techniques may result in transfers between Level 1 and Level 2 of the fair value hierarchy.

When market quotations or official closing prices are not readily available, or are determined not to accurately reflect fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded (for example, a foreign exchange or market), but before the fund calculates its net asset value, the fund may value these investments at fair value as determined in accordance with the procedures approved by the Board. Certain factors may be considered when fair valuing investments such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. These securities are either categorized within Level 2 or 3 of the fair value hierarchy depending on the relevant inputs used.

For securities where observable inputs are limited, assumptions about market activity and risk are used and such securities are generally categorized within Level 3 of the fair value hierarchy.

Pursuant to a securities lending agreement with The Bank of New York Mellon, a subsidiary of BNY Mellon and an affiliate of BNY Mellon Investment Adviser, Inc., the fund may lend securities to qualified institutions. It is the fund’s policy that, at origination, all loans are secured by collateral of at least 102% of the value of U.S. securities loaned and 105% of the value of foreign securities loaned. Collateral equivalent to at least 100% of the market value of securities on loan is maintained at all times. Collateral is either in the form of cash, which can be invested in certain money market mutual funds managed by BNY Mellon Investment Adviser Inc., or U.S. Government and Agency securities. The fund is entitled to receive all dividends, interest and distributions on securities loaned, in addition to income earned as a


NOTES

result of the lending transaction. Should a borrower fail to return the securities in a timely manner, The Bank of New York Mellon is required to replace the securities for the benefit of the fund or credit the fund with the market value of the unreturned securities and is subrogated to the fund’s rights against the borrower and the collateral. Additionally, the contractual maturity of security lending transactions are on an overnight and continuous basis.

Derivatives: A derivative is a financial instrument whose performance is derived from the performance of another asset. Each type of derivative instrument that was held by the fund at January 31, 2020 is discussed below.

Futures: In the normal course of pursuing its investment objective, the fund is exposed to market risk, including interest rate risk as a result of changes in value of underlying financial instruments. The fund invests in futures in order to manage its exposure to or protect against changes in the market. A futures contract represents a commitment for the future purchase or a sale of an asset at a specified date. Upon entering into such contracts, these investments require initial margin deposits with a counterparty, which consist of cash or cash equivalents. The amount of these deposits is determined by the exchange or Board of Trade on which the contract is traded and is subject to change. Accordingly, variation margin payments are received or made to reflect daily unrealized gains or losses which are recorded in the Statement of Operations. When the contracts are closed, the fund recognizes a realized gain or loss which is reflected in the Statement of Operations. There is minimal counterparty credit risk to the fund with futures since they are exchange traded, and the exchange guarantees the futures against default.

At January 31, 2020, accumulated net unrealized appreciation on investments was $851,248,932, consisting of $1,023,348,412 gross unrealized appreciation and $172,099,480 gross unrealized depreciation.

At January 31, 2020, the cost of investments for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).

Additional investment related disclosures are hereby incorporated by reference to the annual and semi-annual reports previously filed with the SEC on Form N-CSR.