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The Bank Of New York Mellon Corporation  (BK)
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    Sector  Financial    Industry Regional Banks
   Industry Regional Banks
   Sector  Financial
 

The Bank Of New York Mellon 's Suppliers Data

(in $ except Marketcap in Millions of $)



COMPANY NAME TICKER MARKET CAP REV./EMPLOYEE INC./EMPLOYEE
The Bank Of New York Mellon Corporation BK 33,724 346,069 60,591
Federal National Mortgage Association Fannie Mae FNMA 3,632 3,201,053 2,157,895
Cisco Systems Inc CSCO 220,871 684,250 151,417
Federal Home Loan Mortgage Corporation FMCC 1,915 4,137,555 1,479,874
Oracle Corporation ORCL 299,012 673,483 65,559
Visa Inc V 478,421 1,205,358 623,849
Hewlett Packard Enterprise Company HPE 22,859 492,608 17,924
Hp inc HPQ 25,751 942,500 38,724
Salesforce Inc CRM 199,941 383,609 38,264
Mastercard Incorporated MA 375,719 982,917 426,250
International Business Machines Corporation IBM 129,006 196,765 6,580
Ishares Gold Trust IAU 26,788 521,556,011 986,738,338
Dell Technologies Inc DELL 50,527 695,579 38,835
Accenture Plc ACN 196,164 88,142 9,837
Fiserv Inc FI 69,945 - -
Cleartronic Inc CLRI 20 273,947 33,785
Fidelity National Information Services Inc FIS 32,720 224,200 -362,492
News Corporation NWSA 11,496 387,412 7,333
Uipath Inc PATH 9,631 244,424 -93,424
Intercontinental Exchange Inc ICE 61,721 1,113,570 198,013
Tuya Inc TUYA 858 59,992 -42,125
Ishares Silver Trust SLV 10,384 - 818,066,375
Nasdaq Inc NDAQ 24,025 988,132 189,370
Thomson Reuters Corporation TRI 59,514 276,125 55,750
Adobe Inc ADBE 234,044 838,781 227,438
Synchrony Financial SYF 12,946 644,556 133,778
Cme Group Inc CME 71,965 1,505,000 1,843,247
Spdr Gold Trust GLD 60,676 - 7,864,983,000
D r Horton Inc DHI 36,787 2,613,568 371,519
Cloudflare Inc NET 20,948 461,887 -90,579
Datadog Inc DDOG 29,351 867,854 -38,020
Pure Storage Inc PSTG 11,025 521,777 -51,705
Lennar Corp LEN 32,161 3,521,806 414,738
Sprinklr Inc CXM 3,929 168,471 -15,088
Ss and c Technologies Holdings Inc SSNC 13,398 649,765 75,359
Blend Labs Inc BLND 335 105,368 -190,570
Nutanix Inc NTNX 8,146 662,178 -90,494
Pultegroup Inc PHM 16,542 2,730,441 446,904
Netapp Inc NTAP 16,390 516,833 100,750
Clearwater Analytics Holdings Inc CWAN 3,830 242,721 -16,255
Cellebrite Di Ltd CLBT 1,495 270,651 116,111
Transunion TRU 13,870 749,667 315,143
Moody s Corporation MCO 58,207 410,773 106,018
Pitney Bowes Inc PBI 528 316,097 -12,971
Splunk Inc SPLK 24,345 894,381 -338,978
Solarwinds Corp SWI 1,517 314,809 -307,129
Skillsoft Corp SKIL 142 181,117 -223,597
H and r Block Inc HRB 6,793 1,578,266 251,682
Black Knight inc BKI 11,811 237,594 38,234
Zeta Global Holdings Corp ZETA 1,291 458,027 -160,605
Momentive Global Inc MNTV 1,410 301,720 -47,706
Zscaler Inc ZS 22,487 512,566 -64,172
Ncr Corporation NCR 3,827 260,199 2,616
Covanta Holding Corporation CVA 2,793 - -
Extreme Networks Inc EXTR 3,259 496,300 29,540
Enfusion inc ENFN 1,165 182,906 10,177
Equifax Inc EFX 22,678 398,575 41,646
Sumo Logic Inc SUMO 1,434 265,988 -95,870
Amplitude Inc AMPL 1,344 426,366 -164,480
Ncino Inc NCNO 3,574 256,569 -52,302
Toll Brothers Inc TOL 8,219 2,740,237 401,813
Taylor Morrison Home Corp TMHC 4,724 73,112,496 8,944,823
Virtu Financial inc VIRT 1,901 16,893,074 4,175,182
Voya Financial Inc VOYA 7,258 - -
Aci Worldwide Inc ACIW 2,447 344,659 18,680
Cboe Global Markets inc CBOE 16,574 3,309,783 544,398
Jfrog Ltd FROG 2,568 296,164 -91,289
Tri Pointe Homes Inc TPH 2,752 4,679,694 476,641
Bf Garden Tax Credit Fund Iv l p BCTC4 0 221,712 4,356,122
Quantum Corp QMCO 57 449,294 -42,319
Alkami Technology Inc ALKT 1,683 329,049 -93,189
Kb Home KBH 3,902 4,361,355 479,045
Meridianlink inc MLNK 1,380 623,646 -40,790
American Equity Investment Life Holding Co AEL 4,234 5,429,580 1,007,669
Grid Dynamics Holdings Inc GDYN 936 97,472 -5,713
M d c Holdings Inc MDC 3,090 - -
New Relic Inc NEWR 5,955 741,273 -121,416
Cognyte Software Ltd CGNT 327 148,601 -52,358
Unisys Corp UIS 234 86,698 -10,565
Assured Guaranty ltd AGO 3,844 2,883,333 1,173,333
Lesaka Technologies Inc LSAK 244 - -
Q2 Holdings Inc QTWO 1,881 709,517 -99,929
Skyline Champion Corporation SKY 3,650 1,839,269 206,703
Super Micro Computer Inc SMCI 15,354 - -
Blackbaud Inc BLKB 3,772 335,905 -13,882
Green Dot Corp GDOT 730 1,451,024 46,611
Ishares S and p Gsci Commodity indexed Trust GSG 1,163 43,101,935 -249,229,838
Citizens Inc CIA 145 383,668 14,905
Hubspot Inc HUBS 24,479 934,346 -98,162
Green Brick Partners Inc GRBK 1,899 - -
Deluxe Corporation DLX 836 419,687 9,935
Morningstar inc MORN 10,025 497,634 5,064
Bottomline Technologies Inc EPAY 2,438 316,473 -22,725
Horace Mann Educators Corporation HMN 1,237 1,003,630 87,407
United States Oil Fund Lp USO 3,370 1,721,714,182 1,699,704,739
Marketaxess Holdings Inc MKTX 8,030 1,085,954 372,811
Meritage Homes Corp MTH 4,552 1,152,524 598,290
Thryv Holdings Inc THRY 692 357,697 -4,018
Domo Inc DOMO 352 291,173 -87,846
Upland Software Inc UPLD 150 825,960 -491,683
Century Communities Inc CCS 2,145 8,318,737 815,571
Cowen inc COWN 1,229 1,999,640 85,637
Beazer Homes Usa Inc BZH 769 2,244,090 178,437
China United Insurance Service Inc CUII 46 60,179 7,104
Vanjia Corporation VNJA 166 23,002 39,635
Mi Homes Inc MHO 2,406 4,210,785 479,218
American National Group Inc ANAT 5,109 907,793 135,112
United Fire Group Inc UFCS 499 1,074,583 6,636
Alpine 4 Holdings Inc ALPP 18 - -
Fbl Financial Group Inc FFG 1,494 481,630 62,855
Lgi Homes Inc LGIH 2,349 5,558,879 524,618
Intrusion Inc INTZ 7 106,883 -266,217
Stonex Group Inc SNEX 2,002 134,670,000 533,556
Atlantic American Corp AAME 40 1,272,320 4,490
Mcx Technologies Corporation MCCX 0 25,944 -70,415
New Home Co Inc NWHM 166 2,124,359 22,338
Dillard s inc DDS 5,452 173,672 20,253
Microstrategy Incorporated MSTR 5,284 225,735 93,271
Franklin Covey Co FC 613 299,333 17,603
Sharpspring Inc SHSP 220 124,239 -27,233
Cpi Card Group Inc PMTS 220 258,531 30,146
Bridgeline Digital Inc BLIN 9 239,254 -27,582
First Trinity Financial Corp FTFC 0 7,747,569 703,440
Value Line Inc VALU 412 231,062 103,764
Cavco Industries Inc CVCO 2,462 439,772 53,444
Hovnanian Enterprises Inc HOV 682 1,326,166 79,047
United States Brent Oil Fund Lp BNO 160 234,660 -5,033,724
Midwest Holding Inc MDWT 99 - -
United States Commodity Index Funds Trust USCI 217 - -21,163,796
National Western Life Group Inc NWLI 1,547 2,298,165 361,931
Achari Ventures Holdings Corp I AVHI 38 3,996,243 -3,841
Nvr Inc NVR 20,675 1,516,013 244,627
Nobility Homes Inc NOBH 96 502,490 87,717
Invesco Currencyshares Japanese Yen Trust FXY 203 - -1,122,986
Utg Inc UTGN 96 1,162,567 454,294
Invesco Currencyshares Euro Trust FXE 284 - -632,425
National Security Group Inc. NSEC 41 66,131,000 823,000
Invesco Currencyshares Swiss Franc Trust FXF 209 - -1,764,312
United States 12 month Oil Fund Lp USL 76 - -18,778,389
American Church Mortgage Company ACMC 0 - -768,324
Invesco Currencyshares Canadian Dollar Trust FXC 118 1,354,301 146,701
Invesco Currencyshares Australian Dollar Trust FXA 74 661,987 53,582
United States 12 month Natural Gas Fund Lp UNL 13 - -6,800,625
Invesco Currencyshares British Pound Sterling Trus FXB 114 1,441,109 1,013,462
Amerinst Insurance Group Ltd AIGT 0 98,048 -103,067
Futures Portfolio Fund L p FPF 1 14,250,380 19,104,963
Federal Home Loan Bank Of Atlanta FHLBAT 0 1,378,981 308,917
Federal Home Loan Bank Of Pittsburgh FHLBPI 0 938,343 433,986
Bf Garden Tax Credit Fund V L p BCTC5 0 50,506 1,020,984
Invesco Db Us Dollar Index Bearish Fund UDN 0 1,534,426 3,089,073
Invesco Db Us Dollar Index Bullish fund UUP 0 204,581,533 237,376,656
Invesco Db Commodity Index Tracking Fund DBC 0 2,338,018,197 -307,949,996
United States Gasoline Fund Lp UGA 0 - 4,126,305
Invesco Db Agriculture Fund DBA 0 28,889,442 -179,362,900
Invesco Db Base Metals Fund DBB 0 64,860,068 -21,903,245
Invesco Db Energy Fund DBE 0 165,775,171 -15,560,515
Invesco Db Oil Fund DBO 0 161,751,064 65,716,011
Invesco Db Precious Metals Fund DBP 0 - -9,017,508
Invesco Db Silver Fund DBS 0 - -2,840,426
Walkme Ltd WKME 0 - -
Invesco Db Gold Fund DGL 0 - -6,752,683
Invesco Db G10 Currency Harvest fund DBV 0 1,804,831 1,001,570
AVERAGE SUBTOTAL 3,282,297 478,249 59,958






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