BMOP

BNY Mellon Municipal Opportunities ETFBNY Mellon
$24.72-0.09 (-0.36%)Close
AUM$1.84B
Expense Ratio0.54%
NAV$24.91
Holdings686
InceptionOct 15, 2008

Price Chart

Key Statistics

Previous Close

$24.81

Day Range

$24.70$24.89

52-Week Range

$24.81$25.23

Avg Volume

115.5K

Dividend Yield

0.51%

Expense Ratio

0.54%

AUM

$1.84B

Shares Outstanding

17.6B

Country Allocation

CountryWeight %
Other100.00%

Fund Information

Subcategory
Corporate Bond
Inception Date
Oct 15, 2008
Exchange
NASDAQ
Description
The fund seeks to maximize current income exempt from federal income tax and capital appreciation. To pursue its goal, the fund normally invests at least 80% of its net assets, plus any borrowings for investment purposes, in municipal bonds that provide income exempt from U.S. federal income tax. The fund invests at least 50% of its net assets in bonds that are rated investment grade (i.e., Baa3/BBB- or higher) at the time of purchase or, if unrated, deemed of comparable quality by the fund's sub-adviser. For additional yield, the fund may invest up to 50% of its net assets in bonds that are rated below investment grade ("high yield" or "junk" bonds) or, if unrated, deemed of comparable quality by the fund's sub-adviser, Insight North America LLC. The fund may invest in individual municipal and taxable bonds of any maturity or duration and does not expect to target any specific range of maturity or duration. Duration is an indication of an investment's "interest rate risk," or how sensitive a bond or the fund's portfolio may be to changes in interest rates. Generally, the longer a bond's duration, the more likely it is to react to interest rate fluctuations and the greater its long-term risk/return potential. The fund’s liquid ETF structure allows investors to buy or sell any time the market is open.

The BNY Mellon Municipal Opportunities ETF (BMOP) is an exchange-traded fund issued by BNY Mellon that launched on Oct 15, 2008. It currently manages $1.84B in assets under management. The fund charges an expense ratio of 0.54%. The fund holds 686 securities in its portfolio.

Top 10 holdings represent 7.4% of the fund

RankSymbolNameWeight %SharesMarket Value
1Net Current Assets1.03%18,929,393$18.9M
2INTERMOUNTAIN PWR AGY 5 7/1/20420.88%15,000,000$16.1M
3PUERTO RICO CMWLTH AQ 5 7/1/20300.87%15,000,000$15.9M
4CA CMNTY CHOICE FIN-F 5 11/1/20330.77%13,000,000$14.2M
5AUSTIN TX ARPT SYS RE 5 11/15/20460.72%13,120,000$13.2M
6MA BAY TRANS AUTH-A 5 7/1/20380.67%10,715,000$12.3M
7NJ EDUCTNL FACS-A FRN 7/1/20640.63%10,000,000$11.5M
8MD HLTH HGR AUTH-B FRN 8/15/20560.62%10,000,000$11.4M
9UNIV OF TEXAS SYS BRD 5 7/1/20410.62%10,300,000$11.3M
10LA DEPT OF WTR-B-REF 5 7/1/20370.61%10,000,000$11.2M
11WASHINGTON ST-A 5 8/1/20400.60%10,000,000$11.0M
12MAIN STREET NATURAL-C FRN 12/1/20540.59%10,000,000$10.8M
13BLACK BELT-SER-C FRN 5/1/20550.58%10,000,000$10.8M
14CA CMNTY CHOICE FIN-C FRN 8/1/20550.58%10,000,000$10.7M
15TENNERGY CORP -A FRN 10/1/20540.58%10,000,000$10.7M
Page 1 of 14

Detailed Returns

PeriodReturnETFCat. Avgvs Avg
1D
-0.36%
1W
-0.61%
1M
-0.84%
3M
-0.42%
6M
-0.42%
YTD
-0.42%
1Y
-0.42%
3Y
-0.42%
5Y
-0.42%

Moving Averages

20-Day MA

$25.02

Below 20-Day MA
50-Day MA

$24.98

Below 50-Day MA
200-Day MA

$24.98

Below 200-Day MA

Price with Moving Averages

Support & Resistance

52-Week High

$25.23

Current Price

$24.72

52-Week Low

$24.81

$24.81$25.23

Current Yield

0.51%

Annual Dividend

$0.1259

Frequency

12x/year

Last Ex-Date

Mar 2, 2026

Dividend History

Ex-DateAmountPay Date
Mar 2, 2026$0.0755Mar 5, 2026
Feb 2, 2026$0.0504Feb 5, 2026

Dividend Payments Over Time

Category Comparison

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