BNY Mellon Short Term Municipal Bond Fund Class A (DMBAX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
12.93
-0.01 (-0.08%)
Jul 8, 2026, 4:00 PM EDT

DMBAX Holdings Information

DMBAX is a mutual fund with a total of 119 individual holdings.

Total Holdings
119
Top 10 Percentage
19.71%
Asset Class
Fixed Income
Fund Category
Muni National Short
Assets
129.02M
Forward PE Ratio
n/a

Breakdown by Sector

Top 25 Holdings

No.SymbolName WeightShares
1PA.PASSTD 5 06.01.2029PENNSYLVANIA HIGHER ED ASSISTANCE AGY ED LN REV 5%2.35%2,970,000
2IN.INSMED 10.01.2062INDIANA FIN AUTH HEALTH SYS REV 5%2.32%2,950,000
3SC.PIEPWR 5 01.01.2027PIEDMONT MUN PWR AGY S C ELEC REV 5%2.30%3,000,000
4IA.PEFUTL 09.01.2049PEFA INC IOWA GAS PROJ REV 5%2.07%2,715,000
5AZ.AZSEDU 5 11.01.2028ARIZONA INDL DEV AUTH NATL CHARTER SCH REVOLVING LN FD REV 5%2.02%2,565,000
6FL.FLSTRN 5 10.01.2029FLORIDA ST MID-BAY BRIDGE AUTH REV 5%1.93%2,390,000
7AL.SEEPWR 5 10.01.2030SOUTHEAST ENERGY AUTH COOP DIST ALA ENERGY SUPPLY REV 5%1.82%2,250,000
8NC.NCSMED 5 10.01.2029NORTH CAROLINA MED CARE COMMN RETIREMENT FACS REV 5%1.65%2,085,000
9WI.WISMED 5 08.15.2030WISCONSIN ST HEALTH & EDL FACS AUTH REV 5%1.63%2,000,000
10TN.METHGR 5 07.01.2029MET GOVT NASHVILLE & DAVIDSON CNTY TENN H & E FACS BRD REV 5%1.63%2,025,000
11TX.CLIEDU 5 02.15.2030CLIFTON TEX HIGHER ED FIN CORP ED REV 5%1.62%2,000,000
12CT.CTSHGR 5 07.01.2029CONNECTICUT ST HEALTH & EDL FACS AUTH REV 5%1.61%2,000,000
13FL.MDCTRN 5 10.01.2026MIAMI-DADE CNTY FLA SEAPORT REV 5%1.60%2,100,000
14PR.PRC 5.62 07.01.2027PUERTO RICO COMWLTH 5.625%1.54%2,000,000
15CA.CASHGR 11.01.2049CALIFORNIA ST UNIV REV 0.55%1.50%2,000,000
16n/aUs Dollar1.44%1,897,912
17WA.CEPTRN 5 11.01.2029CENTRAL PUGET SOUND WASH REGL TRAN AUTH SALES TAX & MOTOR VEHICLE EXCISE TA1.34%1,755,000
18NJ.TOBGEN 5 06.01.2029TOBACCO SETTLEMENT FING CORP N J 5%1.31%1,670,000
19FL.LEIMED 5 04.01.2029LEE CNTY FLA INDL DEV AUTH HOSP REV 5%1.28%1,600,000
20IL.CHIFAC 5 01.01.2028CHICAGO ILL PK DIST 5%1.28%1,630,000
21CA.LOSUTL 5 07.01.2028LOS ANGELES CALIF DEPT WTR & PWR REV 5%1.18%1,500,000
22NY.NYTTRN 5 01.01.2028NEW YORK TRANSN DEV CORP SPL FAC REV 5%1.17%1,500,000
23TX.CLIEDU 5 08.15.2029CLIFTON TEX HIGHER ED FIN CORP ED REV 5%1.17%1,450,000
24MD.COMMFH 3.3 01.01.2029COMMUNITY DEV ADMIN MD MULTIFAMILY DEV REV 3.3%1.15%1,500,000
25PA.CHEDEV 5 03.01.2027CHESTER CNTY PA INDL DEV AUTH REV 5%1.14%1,500,000
Showing 25 of 119 holdings
Subscribe to see the full list
As of May 31, 2026