BNYM VIF:Appreciation Portfolio (Unaudited) As of Date: 06/30/2020 Common Stocks
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BNYM VIF:Appreciation Portfolio (Unaudited) As of date: 06/30/2020 Common Stocks Identifier Security Description Shares Market Value ($) 002824100 Abbott Laboratories 84,700 7,744,121 00287Y109 AbbVie 62,550 6,141,159 00724F101 Adobe Systems 8,900 3,874,259 009158106 Air Products & Chemicals 43,225 10,437,109 02079K107 Alphabet, Cl. C 12,294 17,378,921 02209S103 Altria Group 118,575 4,654,069 023135106 Amazon.com 8,000 22,070,560 037833100 Apple 74,250 27,086,400 B908F01 ASML Holding 28,150 10,360,045 053015103 Automatic Data Processing 15,415 2,295,139 09247X101 BlackRock 17,375 9,453,564 11133T103 Broadridge Financial Solutions 15,950 2,012,731 13645T100 Canadian Pacific Railway 23,375 5,968,573 166764100 Chevron 69,200 6,174,716 B3BQMF6 Chubb 36,400 4,608,968 191216100 Coca-Cola 171,075 7,643,631 20030N101 Comcast, Cl. A 199,490 7,776,120 518439104 Estee Lauder, Cl. A 59,700 11,264,196 30231G102 Exxon Mobil 1 45 30303M102 Facebook, Cl. A 90,185 20,478,308 5253973 Hermes International 2,677 2,234,286 45866F104 Intercontinental Exchange 72,975 6,684,510 461202103 Intuit 13,350 3,954,137 46120E602 Intuitive Surgical 7,400 4,216,742 46625H100 JPMorgan Chase & Co. 89,475 8,416,019 4061412 LVMH Moet Hennessy Louis Vuitton 15,150 6,635,683 574795100 Masimo 8,625 1,966,414 57636Q104 Mastercard, Cl. A 14,000 4,139,800 580135101 McDonald's 33,200 6,124,404 594918104 Microsoft 163,885 33,352,236 641069406 Nestle, ADR 65,600 7,244,864 654106103 NIKE, Cl. B 51,340 5,033,887 670100205 Novo Nordisk, ADR 114,275 7,482,727 68902V107 Otis Worldwide 22,625 1,286,458 713448108 PepsiCo 53,250 7,042,845 718172109 Philip Morris International 106,650 7,471,899 743315103 Progressive 93,825 7,516,321 75513E101 Raytheon Technologies 45,250 2,788,305 771195104 Roche Holding, ADR 137,325 5,957,159 78409V104 S&P Global 32,625 10,749,285 824348106 Sherwin-Williams 8,400 4,853,940 882508104 Texas Instruments 98,650 12,525,591 907818108 Union Pacific 41,150 6,957,231 91324P102 UnitedHealth Group 30,275 8,929,611 92345Y106 Verisk Analytics, Cl. A 23,015 3,917,153 92826C839 Visa, Cl. A 84,150 16,255,256 254687106 Walt Disney 25,730 2,869,152 Other Investments Identifier Security Description Shares Market Value ($) 26200T208 Dreyfus Institutional Preferred Government Plus 3,473,054 3,473,054 Money Market Fund The fund holdings listing provides information on a fund's investments as of the date indicated and is subject to change at any time. The fund holdings listing provided here is not part of a fund's annual/semi- annual report or Form N-Q and has not been audited. The most recent annual/semiannual report can be viewed at www.bnymellonim.com/us . Forms N-Q are available on the SEC's website at www.sec.gov. Investors should consider the investment objectives, risks, charges and expenses of a fund carefully before investing. Call 1-800-373-9387 or visit www.bnymellonim.com/us to receive a prospectus that contains this and other information about a fund, and read it carefully before investing. 3QT8023_09_K01_(09/20).