Investment Management

The Best of Both Worlds

Our investment management model brings to clients the best of both worlds: specialist expertise from seven world-class investment firms offering solutions across major asset classes, backed by the strength, scale and proven stewardship of BNY Mellon.

Investor Driven

Each investment firm has its own individual culture, investment philosophy and proprietary investment processes. They are also among the most highly regarded names in their respective areas of investment. This approach brings our clients clear, independent thinking from some of the world’s sharpest investment minds. Whether we’re working with pension funds, private investors or anyone else, our investment model is designed to put clients first.

Financial Stewardship

Guided by an unshakable commitment to financial stewardship, we care deeply about what we do—and how we do it. We pride ourselves on our transparency, strong governance and investing responsibly using all of BNY Mellon’s 230+ years of experience to help build a better future.

Our Investment Firms

From mainstream equities to alternatives, from private debt markets to the world of fixed income, each of our investment firms has its own specialist investment expertise, its own culture, philosophy and proprietary investment process. 


$7.7 billion

Brazilian equity; macro; corporate bonds and fixed income strategies


$366.3 billion

Leading liquidity solutions provider with a comprehensive array of cash and short duration strategies1

$786.2 billion

Leader in global fixed income and risk management solutions


$402.1 billion

A global leader in index management dedicated to precision and client partnership1

$100.3 billion

Active equities, income, absolute return, multi-asset solutions, thematic and sustainable strategies2

$16.4  billion

Multi-strategy private investments through direct investment and multi-manager funds, all targeting carefully defined areas of market inefficiency

$74.0 billion

Global equity investment management

AUM in USD as of December 31, 2022. Siguler Guff data is estimated as of September 30, 2022.

1Mellon is a division of Mellon Investments Corporation (MIC). Dreyfus is a division of BNY Mellon Investment Adviser, Inc. and MIC.

2“Newton” ” and/or the “Newton Investment Management” is a corporate brand which refers to the following group of affiliated companies: Newton Investment Management Limited (NIM) and Newton Investment Management North America LLC (NIMNA). NIMNA was established in 2021 and is comprised of the equity and multi-asset teams from an affiliate, Mellon Investments Corporation.

  • By the Numbers
  • $1.8
    Trillion AUM(1)
  • 7
    Investment Firms

The value of investments can fall. Investors may not get back the amount invested.
1 BNY Mellon as of December 31, 2022. Total assets under management (AUM) includes AUM attributable to the asset managers outlined in this file (with the exception of Siguler Guff) as well as BNY Mellon Investment Adviser, Inc, BNY Mellon Wealth Management and external data. Please note, AUM as of December 31, 2022 includes $31.8bn AUM attributable to the Alcentra asset management and investment management group which is no longer an affiliate of BNY Mellon as of November 1, 2022.

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