BCPLBNY Mellon Core Plus ETF
The fund seeks high total return consistent with preservation of capital.
By BNY Mellon · Launched 2012
Annual Cost
0.40%
#2,058 of 5,562 · average
Fund Size
$301M
#1,949 of 5,562 · mid-size
Return (1Y)Goal
N/A
Track Record
14 years
#991 of 5,562 · established
Performance
Total-return NAV · USDGrowth of $10,000
$10,088+0.9%
Total-return NAV, USD. Net of fund fees, before tax.
Classification
How Beacon categorizes this fundWhat it actually holds
By weightConcentration
Top 1 holdings = 1.6% of fund✓ well diversified
Euro OAT Future June 26FOATM26
1.6%
Asset allocation
Bonds
99.3%
Preferred
0.6%
Cash
0.2%
Risk profile
Last 12 months · Sharpe & Sortino need 3+ yearsVolatility (1Y)
N/A
Max drawdown
-2.9%Mild
Worst peak-to-trough loss
Sharpe (3Y)
Unavailable
Needs 3+ years of history
Sortino (3Y)
Not yet
Needs 3+ years of history
Bond profile
Duration
4.8 years
Credit ratings
US Government
31.8%
AAA
43.3%
AA
2.4%
A
9.1%
BBB
33.1%
BB
8.8%
B
2.5%
Below B
0.5%
Other
0.5%
Where to buy
Listing
- Exchange
- NYSE Arca
Full fund details
- Objective
- The fund seeks high total return consistent with preservation of capital.
- Strategy
- Invests primarily in bonds, including government, corporate, mortgage-backed, and asset-backed securities. The sub-adviser uses credit research to identify investment opportunities and may invest up to 25% in high yield bonds. Average effective duration typically ranges from 3 to 8 years.
- Inception date
- March 2, 2012
- Fund family
- BNY Mellon
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Data updated on 2026-06-19