BNY Mellon Dynamic Total Return Fund Class C is a diversified mutual fund designed to achieve total return by dynamically allocating assets across multiple global markets. The fund primarily invests in a blend of instruments that provide exposure to global equity, fixed-income, currency, and commodity markets, with an emphasis on developed regions such as the United States, Canada, Japan, Australia, and Western Europe. It also includes selective exposure to emerging markets. The portfolio is actively managed using an alternative global macro strategy, allowing for flexibility in response to changing market conditions. Notable features include a broad range of underlying holdings, with significant allocations to U.S. Treasury Bills, forward currency contracts, commodity funds, and futures on major government bonds and equity indices. The fund’s approach seeks to balance risk and return through diversification across asset classes, sectors, and geographies, aiming to reduce overall portfolio volatility. With over 120 individual holdings and a history dating back to 2006, BNY Mellon Dynamic Total Return Fund Class C serves investors seeking a globally diversified, multi-asset solution that adapts to evolving market dynamics.
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