Invesco Actively Managed Exchange-Traded Fund Trust (GTOS)

Management Company · BATS · Series S000078944 · View on SEC EDGAR ↗

Net flows (30d): +$1.2M Estimated from creation/redemption of shares outstanding

Net assets
$121.2M
Holdings
614
As of
April 30, 2026 stale
Top 10 holdings weight
10.82%
Effective number of positions
236.9
Positions above 1%
6
On this page

Fund flows (SEC-reported)

Last month (Apr 2026)
+$1.2M
Quarter ending Apr 2026
+$6.3M
Trailing 12 months
+$111.7M

May 2025 – Apr 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 614 holdings

NameCUSIP Value % Balance Category Country
New York Life Global Funding 64952WFP3 $25K 0.02 25,000 DBT US
Subway Funding LLC 864300AG3 $24K 0.02 24,625 ABS-O US
Goldman Sachs Group, Inc. (The) 38141GC85 $24K 0.02 24,000 DBT US
Goldman Sachs Group, Inc. (The) 38141GC77 $23K 0.02 23,000 DBT US
Thermo Fisher Scientific Inc. 883556DG4 $23K 0.02 23,000 DBT US
Freddie Mac 35564KP37 $23K 0.02 22,337 ABS-MBS US
Carnival Corp. 143658BY7 $22K 0.02 22,000 DBT PA
CVS Health Corp. 126650EH9 $22K 0.02 21,000 DBT US
Broadcom Inc. 11135FCW9 $22K 0.02 22,000 DBT US
Camden Property Trust 133131BA9 $21K 0.02 21,000 DBT US
Public Storage Operating Co. 74464AAA9 $21K 0.02 21,000 DBT US
Charles Schwab Corp. (The) 808513CG8 $20K 0.02 20,000 DBT US
Aviation Capital Group LLC 05369AAV3 $20K 0.02 20,000 DBT US
Mars, Inc. 571676AX3 $19K 0.02 19,000 DBT US
Hyundai Capital America 44891ADU8 $19K 0.02 19,000 DBT US
Niagara Mohawk Power Corp. 653522DT6 $19K 0.02 19,000 DBT US
Bank of America Corp. 06051GMU0 $18K 0.01 18,000 DBT US
Lincoln Financial Global Funding 53359KAB7 $18K 0.01 18,000 DBT US
McKesson Corp. 581557BW4 $17K 0.01 17,000 DBT US
Equitable America Global Funding 29446Q2C6 $17K 0.01 17,000 DBT US
Citigroup Inc. 172967QB0 $16K 0.01 16,000 DBT US
Wells Fargo & Co. 95000U3T8 $16K 0.01 16,000 DBT US
Stryker Corp. 863667BK6 $16K 0.01 16,000 DBT US
American Express Co. 025816ED7 $16K 0.01 16,000 DBT US
Broadcom Inc. 11135FCK5 $16K 0.01 16,000 DBT US
Citigroup Inc. 172967PY1 $16K 0.01 16,000 DBT US
Mars, Inc. 571676AW5 $16K 0.01 16,000 DBT US
Pacific Life Global Funding II 6944PL3C1 $16K 0.01 16,000 DBT US
Zoetis Inc. 98978VAW3 $16K 0.01 16,000 DBT US
Howmet Aerospace Inc. 443201AG3 $16K 0.01 16,000 DBT US
American Express Co. 025816EE5 $15K 0.01 15,000 DBT US
American Express Co. 025816EL9 $15K 0.01 15,000 DBT US
JH North America Holdings Inc. 46593WAA3 $15K 0.01 15,000 DBT US
Athene Global Funding 04685A3V1 $15K 0.01 15,000 DBT US
RGA Global Funding 76209PAH6 $15K 0.01 15,000 DBT US
BX Trust 12433KAC1 $15K 0.01 15,000 ABS-MBS US
Diamondback Energy, Inc. 25278XAY5 $14K 0.01 14,000 DBT US
Pacific Life Global Funding II 6944PL2W8 $14K 0.01 14,000 DBT US
Hilcorp Energy I, L.P. 431318AU8 $14K 0.01 14,000 DBT US
National Rural Utilities Cooperative Finance Corp. 63743HFT4 $14K 0.01 14,000 DBT US
Fannie Mae Connecticut Avenue Securities 20755TAA9 $14K 0.01 13,937 ABS-MBS US
PHINIA Inc. 71880KAA9 $13K 0.01 13,000 DBT US
Solventum Corp. 83444MAP6 $13K 0.01 13,000 DBT US
Delta Air Lines, Inc. 247361A32 $13K 0.01 13,000 DBT US
Northern Trust Corp. 665859AY0 $13K 0.01 13,000 DBT US
RB Global Holdings Inc. 76774LAB3 $12K 0.01 12,000 DBT US
TransDigm, Inc. 893647BR7 $12K 0.01 12,000 DBT US
Hyundai Capital America 44891ADL8 $12K 0.01 12,000 DBT US
Stryker Corp. 863667BJ9 $12K 0.01 12,000 DBT US
South Bow USA Infrastructure Holdings LLC 83007CAB8 $12K 0.01 12,000 DBT US
Page 10 of 13

Sector breakdown

Financial Services
0.0%
Other/Unmapped
100.0%

Daily changes (30d)

DateType Ticker Change
Aug. 20, 2026 Trimmed AESOP — Avis Budget Rental Car Funding AESOP LLC
05377RGJ7
Units/share: 0.0101 → 0.006734 (-33.3%)
Aug. 20, 2026 Trimmed AOMT — Angel Oak Mortgage Trust 2025-2
03466QAA1
Units/share: 0.1601 → 0.1573 (-1.8%)
Aug. 20, 2026 New AVT — Avnet Inc
053807BA0
New position — 0.05576 units/share
Aug. 20, 2026 Trimmed CROSS — Cross 2025-H5 Mortgage Trust
227920AA3
Units/share: 0.1435 → 0.1396 (-2.7%)
Aug. 20, 2026 Exited DT
26815LAA1
Position exited — was 0.02061 units/share
Aug. 20, 2026 Trimmed EFMT — EFMT 2026-NQM3
26846JAF8
Units/share: 0.05125 → 0.05087 (-0.7%)
Aug. 20, 2026 Trimmed GSMBS — GS Mortgage-Backed Securities Trust 2025-NQM3
36274TAA7
Units/share: 0.01427 → 0.01419 (-0.6%)
Aug. 20, 2026 Trimmed JPMMT — JP Morgan Mortgage Trust Series 2024-VIS1
465970AA9
Units/share: 0.04514 → 0.04453 (-1.4%)
Aug. 20, 2026 Exited QTSODY
74751QAA6
Position exited — was 0.03838 units/share
Aug. 20, 2026 Exited SONIC
83546DAG3
Position exited — was 0.00000000202 units/share
Aug. 20, 2026 Trimmed SPIRE — Aspire Mortgage Trust 2026-2
04538HAA3
Units/share: 0.04075 → 0.04053 (-0.5%)
Aug. 20, 2026 Trimmed T — United States Treasury Note/Bond
91282CRA1
Units/share: 0.4511 → 0.2975 (-34.0%)
Aug. 20, 2026 New TSCO — Tractor Supply Co
892356AC0
New position — 0.09293 units/share
Aug. 20, 2026 Increased USD — CASH & EQUIVALENTS
CASHUSD00
Units/share: -0.0004914 → -0.0002989 (-39.2%)
Aug. 19, 2026 Trimmed CROSS — Cross 2026-NQM4 Mortgage Trust
22758FAE4
Units/share: 0.07917 → 0.07815 (-1.3%)
Aug. 19, 2026 Trimmed CROSS — Cross 2026-NQM3 Mortgage Trust
227925AA2
Units/share: 0.03055 → 0.0301 (-1.5%)
Aug. 19, 2026 New CRVNA — Carvana Auto Receivables Trust 2026-P3
14689HAB7
New position — 0.07677 units/share
Aug. 19, 2026 New CRVNA — Carvana Auto Receivables Trust 2026-P3
14689HAC5
New position — 0.07475 units/share
Aug. 19, 2026 New DT
26815LAA1
New position — 0.02061 units/share
Aug. 19, 2026 Trimmed GSMBS — GS Mortgage-Backed Securities Trust 2025-NQM5
36273GAA6
Units/share: 0.09638 → 0.09413 (-2.3%)
Aug. 19, 2026 Trimmed GSMBS — GS Mortgage-Backed Securities Trust 2026-NQM1
36276EAA8
Units/share: 0.05285 → 0.05205 (-1.5%)
Aug. 19, 2026 Trimmed GSMBS — GS Mortgage-Backed Securities Corp Trust 2025-NQM6
362933AA1
Units/share: 0.1086 → 0.1065 (-2.0%)
Aug. 19, 2026 Trimmed IUGXX — Invesco Premier US Government Money Portfolio
00142W843
Units/share: 0.9541 → 0.9531 (-0.1%)
Aug. 19, 2026 Trimmed JPMMT — JP Morgan Mortgage Trust Series 2025-NQM4
46660HAD8
Units/share: 0.05567 → 0.05462 (-1.9%)
Aug. 19, 2026 Trimmed MFRA — MFA 2026-INVR1 Trust
58003NAE4
Units/share: 0.01933 → 0.01899 (-1.8%)
Aug. 19, 2026 Trimmed MOS — Mosaic Co/The
61945CAJ2
Units/share: 0.04848 → 0.0303 (-37.5%)
Aug. 19, 2026 Trimmed PFMT — Provident Funding Mortgage Trust 2025-4
74387AAA3
Units/share: 0.01618 → 0.01607 (-0.7%)
Aug. 19, 2026 New QTSODY
74751QAA6
New position — 0.03838 units/share
Aug. 19, 2026 New SANTAN — Banco Santander SA
05971KAZ2
New position — 0.0404 units/share
Aug. 19, 2026 Trimmed T — United States Treasury Note/Bond
91282CRG8
Units/share: 0.1232 → 0.07796 (-36.7%)
Aug. 19, 2026 Increased USD — CASH & EQUIVALENTS
CASHUSD00
Units/share: -0.01862 → -0.0004914 (-97.4%)
Aug. 18, 2026 New AGL — AGL CLO 17 Ltd
00120DAJ5
New position — 0.1242 units/share
Aug. 18, 2026 Trimmed ECLIPS — ECLIPSE AIRCRAFT 2026-1 LLC
27888VAA9
Units/share: 0.135 → 0.1341 (-0.7%)
Aug. 18, 2026 New GCBSL — Golub Capital Partners CLO 19B-R3 Ltd
38181YAA4
New position — 0.1253 units/share
Aug. 18, 2026 Trimmed IUGXX — Invesco Premier US Government Money Portfolio
00142W843
Units/share: 1.127 → 0.9541 (-15.3%)
Aug. 18, 2026 New OTF — Blue Owl Technology Finance Corp
095924AD8
New position — 0.05111 units/share
Aug. 18, 2026 Trimmed RCKT — RCKT Mortgage Trust 2026-CES1
74939BAA4
Units/share: 0.02724 → 0.02661 (-2.3%)
Aug. 18, 2026 Exited T
91282CQZ7
Position exited — was 0.09372 units/share
Aug. 18, 2026 Increased T — United States Treasury Note/Bond
91282CRG8
Units/share: 0.08081 → 0.1232 (52.5%)
Aug. 18, 2026 Trimmed USD — CASH & EQUIVALENTS
CASHUSD00
Units/share: -0.001218 → -0.01862 (1428.7%)
Aug. 18, 2026 Exited VLTO
92338CAB9
Position exited — was 0.03434 units/share
Aug. 17, 2026 Exited BARPCC
06763AAJ0
Position exited — was 0.08465 units/share
Aug. 17, 2026 Exited C
172967KM2
Position exited — was 0.1202 units/share
Aug. 17, 2026 Exited ET
29273VAN0
Position exited — was 0.3 units/share
Aug. 17, 2026 Increased IUGXX — Invesco Premier US Government Money Portfolio
00142W843
Units/share: 0.6639 → 1.127 (69.7%)
Aug. 17, 2026 New PDM — Piedmont Operating Partnership LP
720198AJ9
New position — 0.01515 units/share
Aug. 17, 2026 Trimmed SONIC
83546DAG3
Units/share: 0.09979 → 0.00000000202 (-100.0%)
Aug. 17, 2026 Trimmed STACR — Freddie Mac STACR REMIC Trust 2026-HQA1
35564UEZ6
Units/share: 0.04205 → 0.04034 (-4.1%)
Aug. 17, 2026 Trimmed T
91282CQZ7
Units/share: 0.1087 → 0.09372 (-13.8%)
Aug. 17, 2026 Increased T — United States Treasury Note/Bond
91282CRA1
Units/share: 0.3711 → 0.4511 (21.6%)
Aug. 17, 2026 Increased USD — CASH & EQUIVALENTS
CASHUSD00
Units/share: -0.1026 → -0.001218 (-98.8%)
Aug. 14, 2026 New AMD — Advanced Micro Devices Inc
007903BK2
New position — 0.06525 units/share
Aug. 14, 2026 New BARPCC
06763AAJ0
New position — 0.08465 units/share
Aug. 14, 2026 Trimmed IUGXX — Invesco Premier US Government Money Portfolio
00142W843
Units/share: 0.6741 → 0.6639 (-1.5%)
Aug. 14, 2026 Trimmed T
91282CQZ7
Units/share: 0.1753 → 0.1087 (-38.0%)
Aug. 14, 2026 Trimmed T — United States Treasury Note/Bond
91282CRA1
Units/share: 0.4506 → 0.3711 (-17.7%)
Aug. 14, 2026 Trimmed USD — CASH & EQUIVALENTS
CASHUSD00
Units/share: -0.002558 → -0.1026 (3911.1%)
Aug. 13, 2026 Trimmed AAL — American Airlines 2025-1 Class B Pass Through Trust
02377PAA3
Units/share: 0.005714 → 0.005657 (-1.0%)
Aug. 13, 2026 Trimmed ABBV — AbbVie Inc
00287YDR7
Units/share: 0.001429 → 0.001414 (-1.0%)
Aug. 13, 2026 Trimmed ABBV — AbbVie Inc
00287YEK1
Units/share: 0.03163 → 0.03131 (-1.0%)
Aug. 13, 2026 Trimmed ABBV — AbbVie Inc
00287YEM7
Units/share: 0.02714 → 0.02687 (-1.0%)
Aug. 13, 2026 Trimmed ABBV — AbbVie Inc
00287YEN5
Units/share: 0.01918 → 0.01899 (-1.0%)
Aug. 13, 2026 Trimmed ABG — Asbury Automotive Group Inc
043436AU8
Units/share: 0.006327 → 0.006263 (-1.0%)
Aug. 13, 2026 Trimmed ABNB — Airbnb Inc
009066AC5
Units/share: 0.00449 → 0.004444 (-1.0%)
Aug. 13, 2026 Trimmed ABNB — Airbnb Inc
009066AD3
Units/share: 0.0008163 → 0.0008081 (-1.0%)
Aug. 13, 2026 Trimmed ACGCAP — Aviation Capital Group LLC
05369AAV3
Units/share: 0.002041 → 0.00202 (-1.0%)
Aug. 13, 2026 Trimmed ADM — Archer-Daniels-Midland Co
039482AF1
Units/share: 0.04531 → 0.04485 (-1.0%)
Aug. 13, 2026 Trimmed AEP — American Electric Power Co Inc
02557TAE9
Units/share: 0.006327 → 0.006263 (-1.0%)
Aug. 13, 2026 Trimmed AER — AerCap Ireland Capital DAC / AerCap Global Aviation Trust
00774MBD6
Units/share: 0.03061 → 0.0303 (-1.0%)
Aug. 13, 2026 Trimmed AER — AerCap Ireland Capital DAC / AerCap Global Aviation Trust
00774MBR5
Units/share: 0.03143 → 0.03111 (-1.0%)
Aug. 13, 2026 Trimmed AES — AES Corp/The
00130HCN3
Units/share: 0.004082 → 0.00404 (-1.0%)
Aug. 13, 2026 Trimmed AESOP — Avis Budget Rental Car Funding AESOP LLC
05377RGJ7
Units/share: 0.0102 → 0.0101 (-1.0%)
Aug. 13, 2026 Trimmed AESOP — Avis Budget Rental Car Funding AESOP LLC
05377RGY4
Units/share: 0.02041 → 0.0202 (-1.0%)
Aug. 13, 2026 Trimmed AESOP — Avis Budget Rental Car Funding AESOP LLC
05377RKW3
Units/share: 0.02041 → 0.0202 (-1.0%)
Aug. 13, 2026 Trimmed AGCO — AGCO Corp
001084AR3
Units/share: 0.0004082 → 0.000404 (-1.0%)
Aug. 13, 2026 Trimmed AJG — Arthur J Gallagher & Co
04316JAK5
Units/share: 0.001837 → 0.001818 (-1.0%)
Aug. 13, 2026 Trimmed ALA — ALA Trust 2025-OANA
009920AA7
Units/share: 0.0602 → 0.0596 (-1.0%)
Aug. 13, 2026 Trimmed ALA — ALA Trust 2025-OANA
009920AC3
Units/share: 0.0102 → 0.0101 (-1.0%)
Aug. 13, 2026 Trimmed ALSN — Allison Transmission Inc
019736AE7
Units/share: 0.1594 → 0.1578 (-1.0%)
Aug. 13, 2026 Trimmed AMZN — Amazon.com Inc
023135EB8
Units/share: 0.06469 → 0.06404 (-1.0%)
Aug. 13, 2026 Trimmed ANGINC — American National Global Funding
02771D2G8
Units/share: 0.04245 → 0.04202 (-1.0%)
Aug. 13, 2026 Trimmed ANZNZ — ANZ New Zealand Int'l Ltd/London
00182EBV0
Units/share: 0.04796 → 0.04747 (-1.0%)
Aug. 13, 2026 Trimmed AOMT — Angel Oak Mortgage Trust 2025-2
03466QAA1
Units/share: 0.1618 → 0.1601 (-1.0%)
Aug. 13, 2026 Trimmed AOMT — Angel Oak Mortgage Trust 2024-10
034933AA9
Units/share: 0.05462 → 0.05407 (-1.0%)
Aug. 13, 2026 Trimmed AOMT — Angel Oak Mortgage Trust 2024-2
034942AA0
Units/share: 0.006197 → 0.006135 (-1.0%)
Aug. 13, 2026 Trimmed APH — Amphenol Corp
032095AV3
Units/share: 0.06265 → 0.06202 (-1.0%)
Aug. 13, 2026 Trimmed APH — Amphenol Corp
032095AW1
Units/share: 0.01837 → 0.01818 (-1.0%)
Aug. 13, 2026 Trimmed APH — Amphenol Corp
032095AX9
Units/share: 0.02878 → 0.02848 (-1.0%)
Aug. 13, 2026 Trimmed APH — Amphenol Corp
032095AY7
Units/share: 0.003673 → 0.003636 (-1.0%)
Aug. 13, 2026 Trimmed APLD — APLD ComputeCo LLC
00202DAA5
Units/share: 0.03735 → 0.03697 (-1.0%)
Aug. 13, 2026 Trimmed APO — Apollo Global Management Inc
03769M205
Units/share: 0.0002245 → 0.0002222 (-1.0%)
Aug. 13, 2026 Trimmed ARAMCO — Saudi Arabian Oil Co
80415RAB7
Units/share: 0.08265 → 0.08182 (-1.0%)
Aug. 13, 2026 Trimmed ARESSI — Ares Strategic Income Fund
04020EAQ0
Units/share: 0.00449 → 0.004444 (-1.0%)
Aug. 13, 2026 Trimmed ASBBNK — ASB Bank Ltd
00216LAH6
Units/share: 0.04633 → 0.04586 (-1.0%)
Aug. 13, 2026 Trimmed ASCHEA — Ascension Health
04351LAC4
Units/share: 0.02163 → 0.02141 (-1.0%)
Aug. 13, 2026 Trimmed ATH — Athene Global Funding
04685A3T6
Units/share: 0.001837 → 0.001818 (-1.0%)
Aug. 13, 2026 Trimmed ATH — Athene Global Funding
04685A4A6
Units/share: 0.02367 → 0.02343 (-1.0%)
Aug. 13, 2026 Trimmed AVGO — Broadcom Inc
11135FCK5
Units/share: 0.0006122 → 0.0006061 (-1.0%)
Aug. 13, 2026 Trimmed AVGO — Broadcom Inc
11135FCW9
Units/share: 0.0008163 → 0.0008081 (-1.0%)
Aug. 13, 2026 Trimmed AVGO — Broadcom Inc
11135FCZ2
Units/share: 0.007959 → 0.007879 (-1.0%)
Aug. 13, 2026 Trimmed AVILES — Avilease Capital Ltd
05369MAA3
Units/share: 0.04082 → 0.0404 (-1.0%)
Aug. 13, 2026 Trimmed AVOL — Avolon Holdings Funding Ltd
05401ABD2
Units/share: 0.00898 → 0.008889 (-1.0%)
Aug. 13, 2026 Trimmed AVOL — Avolon Holdings Funding Ltd
05401ABE0
Units/share: 0.0302 → 0.0299 (-1.0%)
Aug. 13, 2026 Trimmed AXP — American Express Co
025816ED7
Units/share: 0.002041 → 0.00202 (-1.0%)
Aug. 13, 2026 Trimmed AXP — American Express Co
025816EE5
Units/share: 0.002245 → 0.002222 (-1.0%)
Aug. 13, 2026 Trimmed AXP — American Express Co
025816EJ4
Units/share: 0.00102 → 0.00101 (-1.0%)
Aug. 13, 2026 Trimmed AXP — American Express Co
025816EL9
Units/share: 0.002245 → 0.002222 (-1.0%)
Aug. 13, 2026 Trimmed AXP — American Express Co
025816ET2
Units/share: 0.01837 → 0.01818 (-1.0%)
Aug. 13, 2026 Trimmed AYR — Aircastle Ltd / Aircastle Ireland DAC
00929JAD8
Units/share: 0.01388 → 0.01374 (-1.0%)
Aug. 13, 2026 Trimmed AZN — Astrazeneca Finance LLC
04636NAK9
Units/share: 0.001224 → 0.001212 (-1.0%)
Aug. 13, 2026 Trimmed AZN — Astrazeneca Finance LLC
04636NAL7
Units/share: 0.001224 → 0.001212 (-1.0%)
Aug. 13, 2026 Trimmed B — United States Treasury Bill
912797UG0
Units/share: 0.1155 → 0.1143 (-1.0%)
Aug. 13, 2026 Trimmed B — United States Treasury Bill
912797VT1
Units/share: 0.006735 → 0.006667 (-1.0%)
Aug. 13, 2026 Trimmed BA — Boeing Co/The
097023DP7
Units/share: 0.001837 → 0.001818 (-1.0%)
Aug. 13, 2026 Trimmed BA — Boeing Co/The
097023DQ5
Units/share: 0.001633 → 0.001616 (-1.0%)
Aug. 13, 2026 Trimmed BABSN — Barings CLO Ltd 2021-II
06762JAL7
Units/share: 0.102 → 0.101 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
060505GB4
Units/share: 0.02633 → 0.02606 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
060505GP3
Units/share: 0.007755 → 0.007677 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
06051GLS6
Units/share: 0.02082 → 0.02061 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
06051GMT3
Units/share: 0.001633 → 0.001616 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
06051GMU0
Units/share: 0.002041 → 0.00202 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
06051GMY2
Units/share: 0.01122 → 0.01111 (-1.0%)
Aug. 13, 2026 Trimmed BAC — Bank of America Corp
06051GMZ9
Units/share: 0.0549 → 0.05434 (-1.0%)
Aug. 13, 2026 Trimmed BACR — Barclays PLC
06738EDG7
Units/share: 0.121 → 0.1198 (-1.0%)
Aug. 13, 2026 Trimmed BACR — Barclays PLC
06738EDH5
Units/share: 0.04367 → 0.04323 (-1.0%)
Aug. 13, 2026 Trimmed BACR — Barclays PLC
06738EDL6
Units/share: 0.02327 → 0.02303 (-1.0%)
Aug. 13, 2026 Trimmed BATSLN — BAT Capital Corp
05526DBP9
Units/share: 0.0449 → 0.04444 (-1.0%)
Aug. 13, 2026 Trimmed BBVASM — Banco Bilbao Vizcaya Argentaria SA
05946KAT8
Units/share: 0.08163 → 0.08081 (-1.0%)
Aug. 13, 2026 Trimmed BBVASM — Banco Bilbao Vizcaya Argentaria SA
05946KAV3
Units/share: 0.08163 → 0.08081 (-1.0%)
Aug. 13, 2026 Trimmed BBVASM — Banco Bilbao Vizcaya Argentaria SA
05946KAX9
Units/share: 0.04082 → 0.0404 (-1.0%)
Aug. 13, 2026 Trimmed BCHPK — Beechwood Park CLO Ltd
07355TBL5
Units/share: 0.06122 → 0.06061 (-1.0%)
Aug. 13, 2026 Trimmed BCO — Brink's Co/The
109696AA2
Units/share: 0.1224 → 0.1212 (-1.0%)
Aug. 13, 2026 Trimmed BELL — Taco Bell Funding LLC
87342RAK0
Units/share: 0.03469 → 0.03434 (-1.0%)
Aug. 13, 2026 Trimmed BFCM — Banque Federative du Credit Mutuel SA
06675DCV2
Units/share: 0.1135 → 0.1123 (-1.0%)
Aug. 13, 2026 Trimmed BHI — Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc
05724BAL3
Units/share: 0.004082 → 0.00404 (-1.0%)
Aug. 13, 2026 Trimmed BHI — Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc
05724BAM1
Units/share: 0.004286 → 0.004242 (-1.0%)
Aug. 13, 2026 Trimmed BHP — BHP Billiton Finance USA Ltd
055451BB3
Units/share: 0.001633 → 0.001616 (-1.0%)
Aug. 13, 2026 Trimmed BLKMM — BlackRock DLF X 2025-C CLO LP
09264MAA1
Units/share: 0.05209 → 0.05157 (-1.0%)
Aug. 13, 2026 Trimmed BMO — Bank of Montreal
06368MK78
Units/share: 0.007959 → 0.007879 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDA0
Units/share: 0.001837 → 0.001818 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDE2
Units/share: 0.002041 → 0.00202 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDF9
Units/share: 0.05347 → 0.05293 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDG7
Units/share: 0.02939 → 0.02909 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDH5
Units/share: 0.008367 → 0.008283 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDP7
Units/share: 0.09102 → 0.0901 (-1.0%)
Aug. 13, 2026 Trimmed BMW — BMW US Capital LLC
05565EDR3
Units/share: 0.04755 → 0.04707 (-1.0%)
Aug. 13, 2026 Trimmed BNP — BNP Paribas SA
09659W3G7
Units/share: 0.06837 → 0.06768 (-1.0%)
Aug. 13, 2026 Trimmed BNS — Bank of Nova Scotia/The
0641598S8
Units/share: 0.0602 → 0.0596 (-1.0%)
Aug. 13, 2026 Trimmed BNS — Bank of Nova Scotia/The
06418GAY3
Units/share: 0.02612 → 0.02586 (-1.0%)
Aug. 13, 2026 Trimmed BNS — Bank of Nova Scotia/The
06418GBD8
Units/share: 0.03898 → 0.03859 (-1.0%)
Aug. 13, 2026 Trimmed BNS — Bank of Nova Scotia/The
06418GBF3
Units/share: 0.01408 → 0.01394 (-1.0%)
Aug. 13, 2026 Trimmed BNY — Bank of New York Mellon Corp/The
06406RCD7
Units/share: 0.001633 → 0.001616 (-1.0%)
Aug. 13, 2026 Trimmed BNY — Bank of New York Mellon Corp/The
06406RCG0
Units/share: 0.01551 → 0.01535 (-1.0%)
Aug. 13, 2026 Trimmed BNY — Bank of New York Mellon Corp/The
06406RCH8
Units/share: 0.001224 → 0.001212 (-1.0%)
Aug. 13, 2026 Trimmed BNY — Bank of New York Mellon Corp/The
06406RCN5
Units/share: 0.05204 → 0.05152 (-1.0%)
Aug. 13, 2026 Trimmed BNY — Bank of New York Mellon Corp/The
06406RCP0
Units/share: 0.1104 → 0.1093 (-1.0%)
Aug. 13, 2026 Trimmed BRKHEC — PacifiCorp
695114DB1
Units/share: 0.001633 → 0.001616 (-1.0%)
Aug. 13, 2026 Trimmed BWLPK — Bowling Green Park CLO LLC
102875AA9
Units/share: 0.1143 → 0.1131 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VOLT
05619PAA4
Units/share: 0.1327 → 0.1313 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VOLT
05619PAC0
Units/share: 0.1224 → 0.1212 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VOLT
05619PAE6
Units/share: 0.1061 → 0.1051 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VOLT
05619PAG1
Units/share: 0.03469 → 0.03434 (-1.0%)
Aug. 13, 2026 Trimmed BX — Blackstone Reg Finance Co LLC
092914AB6
Units/share: 0.002653 → 0.002626 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VLT7
123913AA3
Units/share: 0.03469 → 0.03434 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VLT6
12433KAA5
Units/share: 0.008163 → 0.008081 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Trust 2025-VLT6
12433KAC1
Units/share: 0.003061 → 0.00303 (-1.0%)
Aug. 13, 2026 Trimmed BX — BX Commercial Mortgage Trust 2026-CSMO
12433LAA3
Units/share: 0.2306 → 0.2283 (-1.0%)
Aug. 13, 2026 Trimmed C
172967KM2
Units/share: 0.1214 → 0.1202 (-1.0%)
Aug. 13, 2026 Trimmed C — Citigroup Inc
172967PY1
Units/share: 0.002245 → 0.002222 (-1.0%)
Aug. 13, 2026 Trimmed C — Citigroup Inc
172967PZ8
Units/share: 0.003061 → 0.00303 (-1.0%)
Aug. 13, 2026 Trimmed C — Citigroup Inc
172967QB0
Units/share: 0.002245 → 0.002222 (-1.0%)
Aug. 13, 2026 Trimmed C — Citigroup Inc
172967QG9
Units/share: 0.00102 → 0.00101 (-1.0%)
Aug. 13, 2026 Trimmed C — Citigroup Inc
17327CAT0
Units/share: 0.0008163 → 0.0008081 (-1.0%)
Aug. 13, 2026 Trimmed C — Citigroup Inc
17327CAW3
Units/share: 0.003061 → 0.00303 (-1.0%)
Aug. 13, 2026 Trimmed CAG — Conagra Brands Inc
205887CM2
Units/share: 0.004898 → 0.004848 (-1.0%)
Aug. 13, 2026 Trimmed CAH — Cardinal Health Inc
14149YBU1
Units/share: 0.0001224 → 0.0001212 (-1.0%)
Aug. 13, 2026 Trimmed CARGIL — Cargill Inc
141781CF9
Units/share: 0.005714 → 0.005657 (-1.0%)
Aug. 13, 2026 Trimmed CAS — Connecticut Avenue Securities Trust 2025-R04
20755TAA9
Units/share: 0.002507 → 0.002481 (-1.0%)
Aug. 13, 2026 Trimmed CAT — Caterpillar Financial Services Corp
14913UBE9
Units/share: 0.02449 → 0.02424 (-1.0%)
Aug. 13, 2026 Trimmed CAT — Caterpillar Financial Services Corp
14913UBJ8
Units/share: 0.02449 → 0.02424 (-1.0%)
Aug. 13, 2026 Trimmed CAT — Caterpillar Financial Services Corp
14913UBK5
Units/share: 0.03531 → 0.03495 (-1.0%)
Aug. 13, 2026 Trimmed CAT — Caterpillar Financial Services Corp
14913V2E7
Units/share: 0.1104 → 0.1093 (-1.0%)
Aug. 13, 2026 Trimmed CAT — Caterpillar Financial Services Corp
14913V2F4
Units/share: 0.1104 → 0.1093 (-1.0%)
Aug. 13, 2026 Trimmed CATMED — CommonSpirit Health
20268JAY9
Units/share: 0.002449 → 0.002424 (-1.0%)
Aug. 13, 2026 Trimmed CCL — Carnival Corp Ltd
143658BY7
Units/share: 0.001837 → 0.001818 (-1.0%)
Aug. 13, 2026 Trimmed CCL — Carnival Corp Ltd
143658CB6
Units/share: 0.0549 → 0.05434 (-1.0%)
Aug. 13, 2026 Trimmed CDP — COPT Defense Properties LP
12713UAA4
Units/share: 0.0002041 → 0.000202 (-1.0%)
Aug. 13, 2026 Trimmed CEDF — Cedar Funding VI CLO Ltd
15032DAZ4
Units/share: 0.05102 → 0.05051 (-1.0%)
Aug. 13, 2026 Trimmed CEG — Constellation Energy Generation LLC
210385AP5
Units/share: 0.0251 → 0.02485 (-1.0%)
Aug. 13, 2026 Trimmed CEG — Constellation Energy Generation LLC
210385AS9
Units/share: 0.03429 → 0.03394 (-1.0%)
Aug. 13, 2026 Trimmed CEG — Constellation Energy Generation LLC
210385AT7
Units/share: 0.01 → 0.009899 (-1.0%)
Aug. 13, 2026 Trimmed CERB — Cerberus Loan Funding XL LLC
15675AAL3
Units/share: 0.05102 → 0.05051 (-1.0%)
Aug. 13, 2026 Trimmed CGMS — Carlyle US CLO 2020-2 Ltd
14315GAW5
Units/share: 0.05102 → 0.05051 (-1.0%)
Aug. 13, 2026 Trimmed CGMS — Carlyle US CLO 2022-1 Ltd
14318JAL0
Units/share: 0.05102 → 0.05051 (-1.0%)
Aug. 13, 2026 Trimmed CHPELL — Chpe LLC
12602LAA8
Units/share: 0.005918 → 0.005859 (-1.0%)
Aug. 13, 2026 Trimmed CHTR — Charter Communications Operating LLC / Charter Communications Operating Capital
161175CY8
Units/share: 0.01367 → 0.01354 (-1.0%)
Aug. 13, 2026 Trimmed CI — Cigna Group/The
125523CX6
Units/share: 0.00008163 → 0.00008081 (-1.0%)
Aug. 13, 2026 Trimmed CIFC — CIFC Funding 2021-VII Ltd
12567HAQ5
Units/share: 0.05102 → 0.05051 (-1.0%)
Aug. 13, 2026 Trimmed CIFC — CIFC Funding 2022-II Ltd
12567MAN1
Units/share: 0.102 → 0.101 (-1.0%)
Aug. 13, 2026 Trimmed CIFR — Cipher Compute LLC
17253NAA5
Units/share: 0.02061 → 0.0204 (-1.0%)

Showing latest 200 of 1997 changes

Institutional owners (13F) 8 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
Invesco Ltd. $83,484,156 95.65% 3,347,400 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $1,855,736 2.13% 74,408 Shares June 30, 2026
CITADEL ADVISORS LLC $1,144,372 1.31% 45,885 Shares June 30, 2026
Mowery & Schoenfeld Wealth Management, LLC $408,468 0.47% 16,378 Shares June 30, 2026
Claro Advisors Inc. $207,938 0.24% 8,338 Shares June 30, 2026
Wagner Wealth Management, LLC $166,306 0.19% 6,668 Shares June 30, 2026
Sunrise Financial Services, LLC $9,976 0.01% 400 Shares June 30, 2026
UBS Group AG $7,607 0.01% 305 Shares June 30, 2026

Peer funds

More from this issuer

Fund AUM
QQQ Invesco QQQ Trust, Series 1 $489.1B
QQQM Invesco Exchange-Traded Fund Tr… $97.2B
RSP Invesco Exchange-Traded Fund Tr… $87.9B
SPMO Invesco Exchange-Traded Fund Tr… $19.9B
SPHQ Invesco Exchange-Traded Fund Tr… $17.3B
PBUS Invesco Exchange-Traded Fund Tr… $11.5B
XLG Invesco Exchange-Traded Fund Tr… $10.7B
PRF Invesco Exchange-Traded Fund Tr… $9.5B
RWL Invesco Exchange-Traded Fund Tr… $9.1B
PPA Invesco Exchange-Traded Fund Tr… $8.0B

Similar by size

Fund AUM
FLCC Federated Hermes ETF Trust $121.2M
RZG Invesco Exchange-Traded Fund Tr… $121.8M
QCAP First Trust Exchange-Traded Fun… $122.3M
IBIG iShares Trust $123.0M
XSEP First Trust Exchange-Traded Fun… $123.9M
DECT AIM ETF Products Trust $121.1M
AVEE AMERICAN CENTURY ETF TRUST $121.1M
PTH Invesco Exchange-Traded Fund Tr… $120.9M
SPVM Invesco Exchange-Traded Fund Tr… $120.3M
CVY Invesco Exchange-Traded Fund Tr… $120.3M