BNY Mellon US Large Cap Core ETF Returns Calculator
Calculate historical returns and project future compounding for BNY Mellon US Large Cap (BKLC). Test different monthly amounts, tenures, and step-up scenarios using real historical NAV performance.
Category
Large Blend (US)
AUM
$5.75 Billion
Expense Ratio
0.00%
Fund Manager
BNY Mellon Investment Adviser
BNY Mellon US Large Cap (BKLC) Historical SIP Performance & Returns Table
Historical value of standard monthly SIP investments based on actual fund CAGRs.
| Monthly SIP | 3 Years @ 23.5% CAGR | 5 Years @ 14.0% CAGR | 10 Years @ 2020.0% CAGR |
|---|---|---|---|
| $100/mo | $5,258 Invested: $3,600 | $8,723 Invested: $6,000 | $440,006,994,298,294,900,000,000,000,000,000,000,000,000,000,000,000,000 Invested: $12,000 |
| $250/mo | $13,145 Invested: $9,000 | $21,806 Invested: $15,000 | $1,100,017,485,745,737,300,000,000,000,000,000,000,000,000,000,000,000,000 Invested: $30,000 |
| $500/mo | $26,290 Invested: $18,000 | $43,613 Invested: $30,000 | $2,200,034,971,491,474,700,000,000,000,000,000,000,000,000,000,000,000,000 Invested: $60,000 |
| $1,000/mo | $52,581 Invested: $36,000 | $87,225 Invested: $60,000 | $4,400,069,942,982,949,000,000,000,000,000,000,000,000,000,000,000,000,000 Invested: $120,000 |
| $2,500/mo | $131,452 Invested: $90,000 | $218,063 Invested: $150,000 | $11,000,174,857,457,373,000,000,000,000,000,000,000,000,000,000,000,000,000 Invested: $300,000 |
* Projections calculated using actual historical 3-year (23.49%), 5-year (14.01%), and 10-year (2020%) performance data. Actual mutual fund returns fluctuate with market NAV.
About BNY Mellon US Large Cap Core ETF
BNY Mellon US Large Cap Core ETF (BKLC) is the industry's first zero-expense-ratio (0.00% ER) large-cap core equity ETF. It tracks the Solactive GBS United States 500 Index without charging any management fee, allowing investors to capture 100% of large-cap US market performance.
Investment Strategy
Passive Zero-Fee Indexing â Tracks the Solactive GBS United States 500 Index using full replication, investing in the 500 largest market-cap US companies with zero management or administrative fee drag.
Key Facts
- Zero management fee and zero net expense ratio (0.00% ER)
- Tracks the Solactive GBS United States 500 Index
- Over $5.7 Billion in assets under management
- Launched in April 2020 as part of BNY Mellon's disruptive zero-fee suite
Historical Returns
3-Year CAGR
23.49%
5-Year CAGR
14.01%
10-Year CAGR
N/A (Inception 2020)
Benchmark
Solactive GBS United States 500 Index TR
Historical annualized returns as of August 2026. Past performance is no guarantee of future results.
Top Holdings & Sector Allocation
As of September 2026, BNY Mellon US Large Cap (BKLC)'s portfolio includes:
Top 5 Holdings
- Microsoft Corp. (MSFT)
- Apple Inc. (AAPL)
- NVIDIA Corp. (NVDA)
- Amazon.com Inc. (AMZN)
- Meta Platforms Inc. (META)
Sector Allocation
Information Technology 32.5%, Financials 12.8%, Healthcare 11.5%, Consumer Discretionary 10.1%, Communication Services 9.0%, Industrials 8.4%, Others 15.7%
Risk & Drawdowns
Standard deviation is ~15.0% over 3 years, closely tracking large-cap US equities.
Experienced -23.8% drawdown during 2022, closely mirroring S&P 500 performance.
Tax Treatment
Tax-efficient ETF structure. Distributions are primarily qualified dividends.
Who Should NOT Invest in BNY Mellon US Large Cap (BKLC)?
High-frequency traders requiring multi-million-dollar instant block liquidity.
About the Fund Manager
Managed by BNY Mellon Investment Adviser passive equity team.
Who Is This Fund Suitable For?
Ideal for ultra-cost-conscious investors and fee-sensitive index purists seeking zero-cost exposure to America's 500 largest corporations in an ETF format.
More Funds from BNY & Similar Schemes
Similar Funds to Consider
- Fidelity ZERO Large Cap Index Fund (FNILX)
- SPDR Portfolio S&P 500 ETF (SPYM)
- Vanguard S&P 500 ETF (VOO)
Or compare side by side using our main SIP calculator â you can test different funds with the same investment amount and dates to see which performed better.
Other Tools for BNY Mellon US Large Cap (BKLC) Investors
- FIRE Calculator â Plan your retirement corpus with BNY Mellon US Large Cap (BKLC) as part of your portfolio
- Cost of Delay Calculator â See how much delaying your SIP in BNY Mellon US Large Cap (BKLC) could cost you
- SIP vs EMI Calculator â Compare investing in BNY Mellon US Large Cap (BKLC) vs paying off loans
Frequently Asked Questions About BNY Mellon US Large Cap (BKLC)
What is the historical SIP return of BNY Mellon US Large Cap (BKLC)?
Based on the latest data, BNY Mellon US Large Cap (BKLC) has delivered an annualized return (CAGR) of 23.49% over 3 years, 14.01% over 5 years, and N/A (Inception 2020) over 10 years. Experienced -23.8% drawdown during 2022, closely mirroring S&P 500 performance.
How is BNY Mellon US Large Cap (BKLC) SIP return calculated?
SIP returns are calculated using the XIRR (Extended Internal Rate of Return) method. Each monthly installment buys units at the fund's Net Asset Value (NAV) on that specific day. When markets are down, your SIP buys more units, and when markets are up, it buys fewer units (rupee cost averaging). Our calculator replays this exact process using historical NAV data to compute the precise current value of your accumulated units.
How much return would $500 monthly SIP in BNY Mellon US Large Cap (BKLC) generate over 5 years?
At an estimated annual return rate of 14.01%, a monthly $500 investment ($30,000 total invested) would grow to approximately $43,613 in 5 years, yielding an estimated wealth gain of $13,613. Use our interactive calculator above to test custom amounts with actual historical NAV data.
What are the top holdings in BNY Mellon US Large Cap (BKLC)?
BNY Mellon US Large Cap (BKLC)'s top holdings include Microsoft Corp. (MSFT), Apple Inc. (AAPL), NVIDIA Corp. (NVDA), and Amazon.com Inc. (AMZN). The fund's sector allocation is Information Technology 32.5%, Financials 12.8%, Healthcare 11.5%, Consumer Discretionary 10.1%, Communication Services 9.0%, Industrials 8.4%, Others 15.7%.
What is the risk profile of BNY Mellon US Large Cap (BKLC)?
Standard deviation is ~15.0% over 3 years, closely tracking large-cap US equities. This fund may not be suitable for high-frequency traders requiring multi-million-dollar instant block liquidity..
What are the tax implications of investing in BNY Mellon US Large Cap (BKLC)?
Tax-efficient ETF structure. Distributions are primarily qualified dividends.
Data last updated: September 2026 | Fund data sourced from SEC filings and public exchanges
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