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BMOP

BNY Mellon Municipal Opportunities ETF
1W: -0.9% 1M: -1.8% YTD: -0.9%
$24.56
-0.19 (-0.75%)
After Hours: $26.84 (+2.27, +9.24%)
ETF NASDAQ · AUM $431.7B
ETF-Level Metrics
AUM$431.7B
Holdings
Top 10 Wt—%
Beta1.01
% Profitable—%
Coverage—%
Portfolio Valuation
P/E
P/B
P/S
EV/EBITDA
P/FCF
PEG
Profitability & Returns
Gross Margin—%
Net Margin—%
ROE—%
ROA—%
ROIC—%
Div Yield—%
Leverage & Liquidity
Debt/Equity
Debt/Assets
Net Debt/EBITDA—x
Interest Cov—x
Current Ratio
Quick Ratio
Growth (YoY)
Revenue—%
Net Income—%
EPS—%
FCF—%
EBITDA—%
Rev CAGR 3Y—%
Quality Scores
Piotroski F
Altman Z
IS Quality
IS Overall
IS Value
Median P/E

Sector Breakdown

1 sectors
Sector # Holdings Total Weight % Avg P/E
Other 677 100.1%

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 677 holdings · Page 1 of 14
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Net Current Assets Private 1.10% $20.1M 20,094,499
2 INTERMOUNTAIN PWR AGY 5 7/1/2042 Private 0.88% $16.0M 15,000,000
3 PUERTO RICO CMWLTH AQ 5 7/1/2030 Private 0.87% $15.9M 15,000,000
4 CA CMNTY CHOICE FIN-F 5 11/1/2033 Private 0.78% $14.2M 13,000,000
5 AUSTIN TX ARPT SYS RE 5 11/15/2046 Private 0.72% $13.2M 13,120,000
6 MA BAY TRANS AUTH-A 5 7/1/2038 Private 0.67% $12.2M 10,715,000
7 NJ EDUCTNL FACS-A FRN 7/1/2064 Private 0.63% $11.5M 10,000,000
8 MD HLTH HGR AUTH-B FRN 8/15/2056 Private 0.62% $11.2M 10,000,000
9 UNIV OF TEXAS SYS BRD 5 7/1/2041 Private 0.62% $11.3M 10,300,000
10 LA DEPT OF WTR-B-REF 5 7/1/2037 Private 0.61% $11.1M 10,000,000
11 WASHINGTON ST-A 5 8/1/2040 Private 0.60% $11.0M 10,000,000
12 BLACK BELT-SER-C FRN 5/1/2055 Private 0.59% $10.8M 10,000,000
13 MAIN STREET NATURAL-C FRN 12/1/2054 Private 0.59% $10.8M 10,000,000
14 IDAHO ST HSG & FIN AS 5 8/15/2043 Private 0.58% $10.5M 9,655,000
15 CA CMNTY CHOICE FIN-C FRN 8/1/2055 Private 0.58% $10.6M 10,000,000
16 TENNERGY CORP -A FRN 10/1/2054 Private 0.58% $10.6M 10,000,000
17 TRIBOROUGH BRIDGE-A-3 5.25 5/15/2064 Private 0.57% $10.4M 10,000,000
18 MA SCH BLDG-B-SUB 5.25 2/15/2048 Private 0.56% $10.3M 10,000,000
19 BLACK BELT ENERGY GAS FRN 10/1/2052 Private 0.55% $10.1M 10,000,000
20 MA SCH BLDG-SUB-A 5.25 2/15/2048 Private 0.53% $9.8M 9,500,000
21 HIGH STAR RANCH FING 6.25 12/1/2055 Private 0.50% $9.0M 9,000,000
22 LA PUB FACS AUTH-AMT 5.5 9/1/2054 Private 0.49% $8.9M 8,700,000
23 PR SALES TAX FING-A1 5 7/1/2058 Private 0.47% $8.5M 8,783,000
24 MATCHING FUND SPL-A 5 10/1/2039 Private 0.46% $8.4M 8,000,000
25 WA MET AREA TRANSIT-A 3 7/15/2040 Private 0.46% $8.3M 9,520,000
26 CAL INFRA & ECO DEV-B FRN 1/1/2065 Private 0.44% $8.0M 15,060,000
27 GOLDEN ST TOBACCO-A1 4.214 6/1/2050 Private 0.43% $7.9M 10,410,000
28 CHICAGO BOE-B-REF 6.75 12/1/2030 Private 0.43% $7.8M 7,500,000
29 CHICAGO-A-REV 5.25 1/1/2041 Private 0.43% $7.8M 7,225,000
30 TX PRIVATE ACTIVITY 5.5 12/31/2058 Private 0.42% $7.7M 7,500,000
31 NY TRNSPRTN DEV CRP-A 5.25 12/31/2054 Private 0.42% $7.7M 7,500,000
32 CHICAGO BRD ED-C-REF 5.5 12/1/2045 Private 0.41% $7.5M 7,500,000
33 MASSACHUSETTS ST 5 11/1/2045 Private 0.41% $7.5M 7,070,000
34 CALIFORNIA ST MUNI FI 5 5/15/2052 Private 0.40% $7.3M 7,500,000
35 BUILD NYC RESOURCE-A 7 12/15/2065 Private 0.40% $7.3M 7,300,000
36 OK CTY WTR UTIL TRUST 5 7/1/2054 Private 0.40% $7.3M 7,000,000
37 CA CMNTY CHOICE-A-1 FRN 4/1/2056 Private 0.40% $7.2M 6,700,000
38 ARKANSAS DEV FIN AUTH 5.7 5/1/2053 Private 0.39% $7.2M 7,000,000
39 VA PORT AUTH 5 7/1/2043 Private 0.39% $7.1M 6,550,000
40 RI HLTH-PROVIDENCE 5 11/1/2045 Private 0.38% $7.0M 7,000,000
41 CHICAGO BRD ED-B-REF 6 12/1/2043 Private 0.38% $6.9M 6,500,000
42 VIRGINIA ST CLG BLDG 5.25 2/1/2042 Private 0.37% $6.7M 6,105,000
43 OK CTY WTR UTIL TRUST 5 7/1/2049 Private 0.37% $6.8M 6,500,000
44 MET TRANSPRTN AUTH-A 5 11/15/2037 Private 0.37% $6.7M 6,000,000
45 PR ELEC PWR AUTH-A 6.75 7/1/2036 Private 0.37% $6.7M 10,000,000
46 SAN FRANCISCO APRT-A 5 5/1/2044 Private 0.37% $6.7M 6,500,000
47 NYC MUNI WTR-BB FRN 6/15/2051 Private 0.36% $6.6M 6,600,000
48 CHICAGO 5 11/1/2039 Private 0.36% $6.5M 6,080,000
49 DT OF COLUMBIA-A-REV 5 7/1/2042 Private 0.35% $6.5M 6,000,000
50 CA CMNTY CHOICE FING FRN 1/1/2054 Private 0.35% $6.4M 6,000,000
1 2 3 ... 14 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms