Invesco Exchange-Traded Fund Trust (EQWL)

Management Company · ARCX · Series S000013106 · View on SEC EDGAR ↗

Net flows (30d): +$27.1M Estimated from creation/redemption of shares outstanding

Net assets
$2.5B
Holdings
102
As of
April 30, 2026 stale
Top 10 holdings weight
13.46%
Effective number of positions
98.3
Positions above 1%
39
On this page

Fund flows (SEC-reported)

Last month (Apr 2026)
+$39.6M
Quarter ending Apr 2026
+$225.9M
Trailing 12 months
+$963.9M

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 102 holdings

NameCUSIP Value % Balance Category Country
Intel Corp. 458140100 $47.0M 1.89 497,651 EC US
Advanced Micro Devices, Inc. 007903107 $41.3M 1.67 116,593 EC US
Texas Instruments Inc. 882508104 $33.8M 1.36 120,220 EC US
QUALCOMM Inc. 747525103 $32.0M 1.29 178,030 EC US
UnitedHealth Group Inc. 91324P102 $31.0M 1.25 83,685 EC US
GE Vernova Inc. 36828A101 $30.5M 1.23 28,173 EC US
Caterpillar Inc. 149123101 $30.1M 1.21 33,764 EC US
Amazon.com, Inc. 023135106 $29.8M 1.20 112,313 EC US
Micron Technology, Inc. 595112103 $29.5M 1.19 57,015 EC US
Broadcom Inc. 11135F101 $29.2M 1.18 69,931 EC US
Morgan Stanley 617446448 $28.3M 1.14 148,445 EC US
Lam Research Corp. 512807306 $28.1M 1.13 109,096 EC US
Citigroup Inc. 172967424 $28.0M 1.13 218,671 EC US
Cisco Systems, Inc. 17275R102 $28.0M 1.13 305,718 EC US
Bank of New York Mellon Corp. (The) 064058100 $27.4M 1.10 203,881 EC US
Applied Materials, Inc. 038222105 $26.8M 1.08 68,035 EC US
Goldman Sachs Group, Inc. (The) 38141G104 $26.8M 1.08 28,964 EC US
BlackRock, Inc. 09290D101 $26.7M 1.08 25,076 EC US
FedEx Corp. 31428X106 $26.7M 1.07 66,091 EC US
Mondelez International, Inc. 609207105 $26.5M 1.07 431,356 EC US
Bank of America Corp. 060505104 $26.3M 1.06 492,155 EC US
CVS Health Corp. 126650100 $26.3M 1.06 315,343 EC US
Altria Group, Inc. 02209S103 $26.1M 1.05 359,926 EC US
JPMorgan Chase & Co. 46625H100 $26.0M 1.05 83,041 EC US
U.S. Bancorp 902973304 $25.9M 1.04 457,154 EC US
United Parcel Service, Inc. 911312106 $25.8M 1.04 236,872 EC US
ConocoPhillips 20825C104 $25.7M 1.03 204,033 EC US
Simon Property Group, Inc. 828806109 $25.7M 1.03 125,946 EC US
Union Pacific Corp. 907818108 $25.6M 1.03 95,085 EC US
NVIDIA Corp. 67066G104 $25.6M 1.03 128,384 EC US
Wells Fargo & Co. 949746101 $25.5M 1.03 310,603 EC US
Boeing Co. (The) 097023105 $25.5M 1.03 111,514 EC US
Walmart Inc. 931142103 $25.5M 1.03 193,377 EC US
NextEra Energy, Inc. 65339F101 $25.5M 1.03 260,512 EC US
Visa Inc. 92826C839 $25.5M 1.03 77,268 EC US
American Express Co. 025816109 $25.2M 1.02 78,058 EC US
Capital One Financial Corp. 14040H105 $25.1M 1.01 131,187 EC US
Linde PLC G54950103 $24.9M 1.00 49,614 EC IE
Apple Inc. 037833100 $24.8M 1.00 91,537 EC US
Starbucks Corp. 855244109 $24.8M 1.00 235,420 EC US
Walt Disney Co. (The) 254687106 $24.6M 0.99 236,667 EC US
General Motors Co. 37045V100 $24.5M 0.99 319,268 EC US
Costco Wholesale Corp. 22160K105 $24.4M 0.98 24,070 EC US
Exxon Mobil Corp. 30231G102 $24.3M 0.98 157,528 EC US
Coca-Cola Co. (The) 191216100 $24.2M 0.98 307,574 EC US
Bristol-Myers Squibb Co. 110122108 $24.1M 0.97 398,099 EC US
Chevron Corp. 166764100 $24.1M 0.97 124,524 EC US
Microsoft Corp. 594918104 $24.0M 0.97 58,963 EC US
Emerson Electric Co. 291011104 $24.0M 0.97 171,102 EC US
Southern Co. (The) 842587107 $24.0M 0.97 248,070 EC US
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Sector breakdown

Technology
20.7%
Healthcare
13.9%
Industrials
12.5%
Financial Services
9.4%
Consumer Discretionary
5.5%
Financials
5.3%
Retail
5.0%
Consumer Staples
5.0%
Communication Services
4.9%
Energy
3.0%
Utilities
3.0%
Telecommunication
2.7%
Logistics & Transportation
2.1%
Real Estate
2.0%
Consumer products
1.8%
Communications
1.1%
Materials
1.0%
Other/Unmapped
1.0%

Daily changes (30d)

DateType Ticker Change
Aug. 19, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.09094 → 0.09333 (2.6%)
Aug. 18, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.09025 → 0.09094 (0.8%)
Aug. 18, 2026 Exited USD
CASHUSD00
Position exited — was 0.0000007921 units/share
Aug. 17, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.07224 → 0.09025 (24.9%)
Aug. 14, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05872 → 0.07224 (23.0%)
Aug. 14, 2026 Increased AMD — Advanced Micro Devices Inc
007903107
Units/share: 0.00279 → 0.002793 (0.1%)
Aug. 14, 2026 Increased BKNG — Booking Holdings Inc
09857L108
Units/share: 0.007857 → 0.007865 (0.1%)
Aug. 14, 2026 Increased CAT — Caterpillar Inc
149123101
Units/share: 0.001474 → 0.001476 (0.1%)
Aug. 14, 2026 Increased DE — Deere & Co
244199105
Units/share: 0.002254 → 0.002256 (0.1%)
Aug. 14, 2026 Increased FDX — FedEx Corp
31428X106
Units/share: 0.003954 → 0.003958 (0.1%)
Aug. 14, 2026 Increased GE — General Electric Co
369604301
Units/share: 0.00396 → 0.003965 (0.1%)
Aug. 14, 2026 Increased GEV — GE Vernova Inc
36828A101
Units/share: 0.001456 → 0.001458 (0.1%)
Aug. 14, 2026 Increased GOOG — Alphabet Inc
02079K107
Units/share: 0.001587 → 0.001588 (0.1%)
Aug. 14, 2026 Increased GOOGL — Alphabet Inc
02079K305
Units/share: 0.001969 → 0.001971 (0.1%)
Aug. 14, 2026 Increased GS — Goldman Sachs Group Inc/The
38141G104
Units/share: 0.001261 → 0.001262 (0.1%)
Aug. 14, 2026 Increased HD — Home Depot Inc/The
437076102
Units/share: 0.003958 → 0.003962 (0.1%)
Aug. 14, 2026 Increased ISRG — Intuitive Surgical Inc
46120E602
Units/share: 0.003064 → 0.003067 (0.1%)
Aug. 14, 2026 Increased LIN — Linde PLC
G54950103
Units/share: 0.002479 → 0.002482 (0.1%)
Aug. 14, 2026 Increased MA — Mastercard Inc
57636Q104
Units/share: 0.002581 → 0.002583 (0.1%)
Aug. 14, 2026 Increased MSFT — Microsoft Corp
594918104
Units/share: 0.003177 → 0.00318 (0.1%)
Aug. 14, 2026 New USD
CASHUSD00
New position — 0.0000007921 units/share
Aug. 13, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05758 → 0.05872 (2.0%)
Aug. 13, 2026 Increased AMT — American Tower Corp
03027X100
Units/share: 0.006557 → 0.006563 (0.1%)
Aug. 13, 2026 Increased COST — Costco Wholesale Corp
22160K105
Units/share: 0.001284 → 0.001285 (0.1%)
Aug. 13, 2026 Increased ORCL — Oracle Corp
68389X105
Units/share: 0.006271 → 0.006278 (0.1%)
Aug. 12, 2026 Increased ABT — Abbott Laboratories
002824100
Units/share: 0.01415 → 0.01417 (0.1%)
Aug. 12, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05775 → 0.05758 (-0.3%)
Aug. 12, 2026 Increased C — Citigroup Inc
172967424
Units/share: 0.009463 → 0.009473 (0.1%)
Aug. 12, 2026 Increased DHR — Danaher Corp
235851102
Units/share: 0.006874 → 0.00688 (0.1%)
Aug. 12, 2026 Increased MCD — McDonald's Corp
580135101
Units/share: 0.004468 → 0.004472 (0.1%)
Aug. 12, 2026 Increased PG — Procter & Gamble Co/The
742718109
Units/share: 0.008468 → 0.008477 (0.1%)
Aug. 12, 2026 Increased TXN — Texas Instruments Inc
882508104
Units/share: 0.004476 → 0.00448 (0.1%)
Aug. 12, 2026 Exited USD
CASHUSD00
Position exited — was -0.0000000004817 units/share
Aug. 11, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05141 → 0.05775 (12.3%)
Aug. 10, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.04404 → 0.05141 (16.7%)
Aug. 10, 2026 Increased AVGO — Broadcom Inc
11135F101
Units/share: 0.003392 → 0.003395 (0.1%)
Aug. 10, 2026 New USD
CASHUSD00
New position — -0.0000000004817 units/share
Aug. 10, 2026 Increased WMT — Walmart Inc
931142103
Units/share: 0.01047 → 0.01048 (0.1%)
Aug. 7, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.02839 → 0.04404 (55.1%)
Aug. 5, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.02109 → 0.02839 (34.6%)
Aug. 5, 2026 Exited USD
CASHUSD00
Position exited — was -0.000000008691 units/share
Aug. 4, 2026 Increased AAPL — Apple Inc
037833100
Units/share: 0.004328 → 0.004333 (0.1%)
Aug. 4, 2026 Increased ABBV — AbbVie Inc
00287Y109
Units/share: 0.005611 → 0.005617 (0.1%)
Aug. 4, 2026 Increased ACN — Accenture PLC
G1151C101
Units/share: 0.007403 → 0.00741 (0.1%)
Aug. 4, 2026 Increased ADBE — Adobe Inc
00724F101
Units/share: 0.005408 → 0.005414 (0.1%)
Aug. 4, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.1473 → 0.02109 (-85.7%)
Aug. 4, 2026 Increased AMAT — Applied Materials Inc
038222105
Units/share: 0.002539 → 0.002542 (0.1%)
Aug. 4, 2026 Increased AMGN — Amgen Inc
031162100
Units/share: 0.003737 → 0.003741 (0.1%)
Aug. 4, 2026 Increased AMZN — Amazon.com Inc
023135106
Units/share: 0.005303 → 0.005309 (0.1%)
Aug. 4, 2026 Increased AXP — American Express Co
025816109
Units/share: 0.004028 → 0.004032 (0.1%)
Aug. 4, 2026 Increased BA — Boeing Co/The
097023105
Units/share: 0.006039 → 0.006045 (0.1%)
Aug. 4, 2026 Increased BAC — Bank of America Corp
060505104
Units/share: 0.02314 → 0.02317 (0.1%)
Aug. 4, 2026 Increased BLK — Blackrock Inc
09290D101
Units/share: 0.001248 → 0.00125 (0.1%)
Aug. 4, 2026 Increased BMY — Bristol-Myers Squibb Co
110122108
Units/share: 0.0227 → 0.02272 (0.1%)
Aug. 4, 2026 Increased BNY — Bank of New York Mellon Corp/The
064058100
Units/share: 0.009031 → 0.009041 (0.1%)
Aug. 4, 2026 Increased BRK/B — Berkshire Hathaway Inc
084670702
Units/share: 0.002609 → 0.002612 (0.1%)
Aug. 4, 2026 Increased CL — Colgate-Palmolive Co
194162103
Units/share: 0.01403 → 0.01405 (0.1%)
Aug. 4, 2026 Increased CMCSA — Comcast Corp
20030N101
Units/share: 0.05266 → 0.05271 (0.1%)
Aug. 4, 2026 Increased COF — Capital One Financial Corp
14040H105
Units/share: 0.007105 → 0.007113 (0.1%)
Aug. 4, 2026 Increased COP — ConocoPhillips
20825C104
Units/share: 0.01052 → 0.01054 (0.1%)
Aug. 4, 2026 Increased CRM — Salesforce Inc
79466L302
Units/share: 0.007385 → 0.007392 (0.1%)
Aug. 4, 2026 Increased CSCO — Cisco Systems Inc
17275R102
Units/share: 0.01062 → 0.01064 (0.1%)
Aug. 4, 2026 Increased CVS — CVS Health Corp
126650100
Units/share: 0.01288 → 0.01289 (0.1%)
Aug. 4, 2026 Increased CVX — Chevron Corp
166764100
Units/share: 0.006649 → 0.006657 (0.1%)
Aug. 4, 2026 Increased DIS — Walt Disney Co/The
254687106
Units/share: 0.0128 → 0.01281 (0.1%)
Aug. 4, 2026 Increased DUK — Duke Energy Corp
26441C204
Units/share: 0.01009 → 0.0101 (0.1%)
Aug. 4, 2026 Increased EMR — Emerson Electric Co
291011104
Units/share: 0.009205 → 0.009215 (0.1%)
Aug. 4, 2026 Increased GD — General Dynamics Corp
369550108
Units/share: 0.003701 → 0.003704 (0.1%)
Aug. 4, 2026 Increased GILD — Gilead Sciences Inc
375558103
Units/share: 0.01039 → 0.0104 (0.1%)
Aug. 4, 2026 Increased GM — General Motors Co
37045V100
Units/share: 0.0159 → 0.01591 (0.1%)
Aug. 4, 2026 Increased HONA — Honeywell Aerospace Inc
43849R105
Units/share: 0.006237 → 0.006243 (0.1%)
Aug. 4, 2026 Increased IBM — International Business Machines Corp
459200101
Units/share: 0.004634 → 0.004639 (0.1%)
Aug. 4, 2026 Increased INTC — Intel Corp
458140100
Units/share: 0.01179 → 0.0118 (0.1%)
Aug. 4, 2026 Increased INTU — Intuit Inc
461202103
Units/share: 0.00444 → 0.004445 (0.1%)
Aug. 4, 2026 Increased JNJ — Johnson & Johnson
478160104
Units/share: 0.005292 → 0.005298 (0.1%)
Aug. 4, 2026 Trimmed JPM — JPMorgan Chase & Co
46625H100
Units/share: 0.004103 → 0.004087 (-0.4%)
Aug. 4, 2026 Increased KO — Coca-Cola Co/The
191216100
Units/share: 0.0151 → 0.01511 (0.1%)
Aug. 4, 2026 Increased LLY — Eli Lilly & Co
532457108
Units/share: 0.001111 → 0.001112 (0.1%)
Aug. 4, 2026 Increased LMT — Lockheed Martin Corp
539830109
Units/share: 0.002404 → 0.002406 (0.1%)
Aug. 4, 2026 Increased LOW — Lowe's Cos Inc
548661107
Units/share: 0.005838 → 0.005844 (0.1%)
Aug. 4, 2026 Increased LRCX — Lam Research Corp
512807306
Units/share: 0.003922 → 0.003926 (0.1%)
Aug. 4, 2026 Increased MDLZ — Mondelez International Inc
609207105
Units/share: 0.01967 → 0.01969 (0.1%)
Aug. 4, 2026 Increased MDT — Medtronic PLC
G5960L103
Units/share: 0.01573 → 0.01574 (0.1%)
Aug. 4, 2026 Increased META — Meta Platforms Inc
30303M102
Units/share: 0.00221 → 0.002213 (0.1%)
Aug. 4, 2026 Increased MMM — 3M Co
88579Y101
Units/share: 0.008047 → 0.008055 (0.1%)
Aug. 4, 2026 Increased MO — Altria Group Inc
02209S103
Units/share: 0.01726 → 0.01728 (0.1%)
Aug. 4, 2026 Increased MRK — Merck & Co Inc
58933Y105
Units/share: 0.0106 → 0.01061 (0.1%)
Aug. 4, 2026 Increased MS — Morgan Stanley
617446448
Units/share: 0.006107 → 0.006114 (0.1%)
Aug. 4, 2026 Increased MU — Micron Technology Inc
595112103
Units/share: 0.001415 → 0.001417 (0.1%)
Aug. 4, 2026 Increased NEE — NextEra Energy Inc
65339F101
Units/share: 0.01483 → 0.01484 (0.1%)
Aug. 4, 2026 Increased NFLX — Netflix Inc
64110L106
Units/share: 0.01539 → 0.01541 (0.1%)
Aug. 4, 2026 Increased NKE — NIKE Inc
654106103
Units/share: 0.02871 → 0.02874 (0.1%)
Aug. 4, 2026 Increased NOW — ServiceNow Inc
81762P102
Units/share: 0.0119 → 0.01191 (0.1%)
Aug. 4, 2026 Increased NVDA — NVIDIA Corp
67066G104
Units/share: 0.006298 → 0.006304 (0.1%)
Aug. 4, 2026 Increased PEP — PepsiCo Inc
713448108
Units/share: 0.008745 → 0.008754 (0.1%)
Aug. 4, 2026 Increased PFE — Pfizer Inc
717081103
Units/share: 0.0493 → 0.04935 (0.1%)
Aug. 4, 2026 Increased PLTR — Palantir Technologies Inc
69608A108
Units/share: 0.009693 → 0.009703 (0.1%)
Aug. 4, 2026 Increased PM — Philip Morris International Inc
718172109
Units/share: 0.006899 → 0.006906 (0.1%)
Aug. 4, 2026 Increased QCOM — QUALCOMM Inc
747525103
Units/share: 0.006601 → 0.006608 (0.1%)
Aug. 4, 2026 Increased RTX — RTX Corp
75513E101
Units/share: 0.007114 → 0.007122 (0.1%)
Aug. 4, 2026 Increased SBUX — Starbucks Corp
855244109
Units/share: 0.01278 → 0.01279 (0.1%)
Aug. 4, 2026 Increased SCHW — Charles Schwab Corp/The
808513105
Units/share: 0.01414 → 0.01415 (0.1%)
Aug. 4, 2026 Increased SO — Southern Co/The
842587107
Units/share: 0.01342 → 0.01344 (0.1%)
Aug. 4, 2026 Increased SPG — Simon Property Group Inc
828806109
Units/share: 0.00593 → 0.005937 (0.1%)
Aug. 4, 2026 Increased T — AT&T Inc
00206R102
Units/share: 0.05438 → 0.05444 (0.1%)
Aug. 4, 2026 Increased TMO — Thermo Fisher Scientific Inc
883556102
Units/share: 0.002618 → 0.002621 (0.1%)
Aug. 4, 2026 Increased TMUS — T-Mobile US Inc
872590104
Units/share: 0.006802 → 0.006809 (0.1%)
Aug. 4, 2026 Increased TSLA — Tesla Inc
88160R101
Units/share: 0.003308 → 0.003311 (0.1%)
Aug. 4, 2026 Increased UBER — Uber Technologies Inc
90353T100
Units/share: 0.0184 → 0.01841 (0.1%)
Aug. 4, 2026 Increased UNH — UnitedHealth Group Inc
91324P102
Units/share: 0.003098 → 0.003101 (0.1%)
Aug. 4, 2026 Increased UNP — Union Pacific Corp
907818108
Units/share: 0.004726 → 0.004731 (0.1%)
Aug. 4, 2026 Increased UPS — United Parcel Service Inc
911312106
Units/share: 0.01222 → 0.01224 (0.1%)
Aug. 4, 2026 Increased USB — US Bancorp
902973304
Units/share: 0.02222 → 0.02224 (0.1%)
Aug. 4, 2026 Trimmed USD
CASHUSD00
Units/share: 0.0001175 → -0.000000008691 (-100.0%)
Aug. 4, 2026 Increased V — Visa Inc
92826C839
Units/share: 0.003908 → 0.003912 (0.1%)
Aug. 4, 2026 Increased VZ — Verizon Communications Inc
92343V104
Units/share: 0.02688 → 0.02691 (0.1%)
Aug. 4, 2026 Increased WFC — Wells Fargo & Co
949746101
Units/share: 0.0154 → 0.01541 (0.1%)
Aug. 4, 2026 Increased XOM — ExxonMobil Holdings Corp
30233Q108
Units/share: 0.00838 → 0.008388 (0.1%)
Aug. 3, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.09005 → 0.1473 (63.5%)
Aug. 3, 2026 New USD
CASHUSD00
New position — 0.0001175 units/share
July 31, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.0811 → 0.09005 (11.0%)
July 29, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.08153 → 0.0811 (-0.5%)
July 27, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.0767 → 0.08153 (6.3%)
July 23, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05229 → 0.0767 (46.7%)
July 23, 2026 Increased JPM — JPMorgan Chase & Co
46625H100
Units/share: 0.004083 → 0.004103 (0.5%)
July 21, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05207 → 0.05229 (0.4%)
July 20, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.04205 → 0.05207 (23.8%)
July 17, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.02554 → 0.04205 (64.6%)
July 15, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.03447 → 0.02554 (-25.9%)
July 15, 2026 Exited USD
CASHUSD00
Position exited — was 0.00001909 units/share
July 14, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.02407 → 0.03447 (43.2%)
July 14, 2026 Increased USD
CASHUSD00
Units/share: -0.00000528 → 0.00001909 (-461.6%)
July 13, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.01268 → 0.02407 (89.9%)
July 10, 2026 New AAPL — Apple Inc
037833100
New position — 0.004328 units/share
July 10, 2026 New ABBV — AbbVie Inc
00287Y109
New position — 0.005611 units/share
July 10, 2026 New ABT — Abbott Laboratories
002824100
New position — 0.01415 units/share
July 10, 2026 New ACN — Accenture PLC
G1151C101
New position — 0.007403 units/share
July 10, 2026 New ADBE — Adobe Inc
00724F101
New position — 0.005408 units/share
July 10, 2026 New AGPXX — Invesco Government & Agency Portfolio
825252885
New position — 0.01268 units/share
July 10, 2026 New AMAT — Applied Materials Inc
038222105
New position — 0.002539 units/share
July 10, 2026 New AMD — Advanced Micro Devices Inc
007903107
New position — 0.00279 units/share
July 10, 2026 New AMGN — Amgen Inc
031162100
New position — 0.003737 units/share
July 10, 2026 New AMT — American Tower Corp
03027X100
New position — 0.006557 units/share
July 10, 2026 New AMZN — Amazon.com Inc
023135106
New position — 0.005303 units/share
July 10, 2026 New AVGO — Broadcom Inc
11135F101
New position — 0.003392 units/share
July 10, 2026 New AXP — American Express Co
025816109
New position — 0.004028 units/share
July 10, 2026 New BA — Boeing Co/The
097023105
New position — 0.006039 units/share
July 10, 2026 New BAC — Bank of America Corp
060505104
New position — 0.02314 units/share
July 10, 2026 New BKNG — Booking Holdings Inc
09857L108
New position — 0.007857 units/share
July 10, 2026 New BLK — Blackrock Inc
09290D101
New position — 0.001248 units/share
July 10, 2026 New BMY — Bristol-Myers Squibb Co
110122108
New position — 0.0227 units/share
July 10, 2026 New BNY — Bank of New York Mellon Corp/The
064058100
New position — 0.009031 units/share
July 10, 2026 New BRK/B — Berkshire Hathaway Inc
084670702
New position — 0.002609 units/share
July 10, 2026 New C — Citigroup Inc
172967424
New position — 0.009463 units/share
July 10, 2026 New CAT — Caterpillar Inc
149123101
New position — 0.001474 units/share
July 10, 2026 New CL — Colgate-Palmolive Co
194162103
New position — 0.01403 units/share
July 10, 2026 New CMCSA — Comcast Corp
20030N101
New position — 0.05266 units/share
July 10, 2026 New COF — Capital One Financial Corp
14040H105
New position — 0.007105 units/share
July 10, 2026 New COP — ConocoPhillips
20825C104
New position — 0.01052 units/share
July 10, 2026 New COST — Costco Wholesale Corp
22160K105
New position — 0.001284 units/share
July 10, 2026 New CRM — Salesforce Inc
79466L302
New position — 0.007385 units/share
July 10, 2026 New CSCO — Cisco Systems Inc
17275R102
New position — 0.01062 units/share
July 10, 2026 New CVS — CVS Health Corp
126650100
New position — 0.01288 units/share
July 10, 2026 New CVX — Chevron Corp
166764100
New position — 0.006649 units/share
July 10, 2026 New DE — Deere & Co
244199105
New position — 0.002254 units/share
July 10, 2026 New DHR — Danaher Corp
235851102
New position — 0.006874 units/share
July 10, 2026 New DIS — Walt Disney Co/The
254687106
New position — 0.0128 units/share
July 10, 2026 New DUK — Duke Energy Corp
26441C204
New position — 0.01009 units/share
July 10, 2026 New EMR — Emerson Electric Co
291011104
New position — 0.009205 units/share
July 10, 2026 New FDX — FedEx Corp
31428X106
New position — 0.003954 units/share
July 10, 2026 New GD — General Dynamics Corp
369550108
New position — 0.003701 units/share
July 10, 2026 New GE — General Electric Co
369604301
New position — 0.00396 units/share
July 10, 2026 New GEV — GE Vernova Inc
36828A101
New position — 0.001456 units/share
July 10, 2026 New GILD — Gilead Sciences Inc
375558103
New position — 0.01039 units/share
July 10, 2026 New GM — General Motors Co
37045V100
New position — 0.0159 units/share
July 10, 2026 New GOOG — Alphabet Inc
02079K107
New position — 0.001587 units/share
July 10, 2026 New GOOGL — Alphabet Inc
02079K305
New position — 0.001969 units/share
July 10, 2026 New GS — Goldman Sachs Group Inc/The
38141G104
New position — 0.001261 units/share
July 10, 2026 New HD — Home Depot Inc/The
437076102
New position — 0.003958 units/share
July 10, 2026 New HONA — Honeywell Aerospace Inc
43849R105
New position — 0.006237 units/share
July 10, 2026 New IBM — International Business Machines Corp
459200101
New position — 0.004634 units/share
July 10, 2026 New INTC — Intel Corp
458140100
New position — 0.01179 units/share
July 10, 2026 New INTU — Intuit Inc
461202103
New position — 0.00444 units/share
July 10, 2026 New ISRG — Intuitive Surgical Inc
46120E602
New position — 0.003064 units/share
July 10, 2026 New JNJ — Johnson & Johnson
478160104
New position — 0.005292 units/share
July 10, 2026 New JPM — JPMorgan Chase & Co
46625H100
New position — 0.004083 units/share
July 10, 2026 New KO — Coca-Cola Co/The
191216100
New position — 0.0151 units/share
July 10, 2026 New LIN — Linde PLC
G54950103
New position — 0.002479 units/share
July 10, 2026 New LLY — Eli Lilly & Co
532457108
New position — 0.001111 units/share
July 10, 2026 New LMT — Lockheed Martin Corp
539830109
New position — 0.002404 units/share
July 10, 2026 New LOW — Lowe's Cos Inc
548661107
New position — 0.005838 units/share
July 10, 2026 New LRCX — Lam Research Corp
512807306
New position — 0.003922 units/share
July 10, 2026 New MA — Mastercard Inc
57636Q104
New position — 0.002581 units/share
July 10, 2026 New MCD — McDonald's Corp
580135101
New position — 0.004468 units/share
July 10, 2026 New MDLZ — Mondelez International Inc
609207105
New position — 0.01967 units/share
July 10, 2026 New MDT — Medtronic PLC
G5960L103
New position — 0.01573 units/share
July 10, 2026 New META — Meta Platforms Inc
30303M102
New position — 0.00221 units/share
July 10, 2026 New MMM — 3M Co
88579Y101
New position — 0.008047 units/share
July 10, 2026 New MO — Altria Group Inc
02209S103
New position — 0.01726 units/share
July 10, 2026 New MRK — Merck & Co Inc
58933Y105
New position — 0.0106 units/share

Showing latest 200 of 237 changes

Institutional owners (13F) 207 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
LPL Financial LLC $258,209,184 20.69% 2,001,311 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $138,033,105 11.06% 1,069,858 Shares June 30, 2026
Cetera Investment Advisers $82,439,034 6.60% 638,963 Shares June 30, 2026
JONES FINANCIAL COMPANIES LLLP $50,750,718 4.07% 395,132 Shares June 30, 2026
REICON WEALTH ADVISORS, LLC $45,109,310 3.61% 349,630 Shares June 30, 2026
Bond & Devick Financial Network, Inc. $41,242,920 3.30% 319,663 Shares June 30, 2026
Altus Wealth Management, LLC $40,474,864 3.24% 313,710 Shares June 30, 2026
Private Advisor Group, LLC $29,958,281 2.40% 232,199 Shares June 30, 2026
NewEdge Advisors, LLC $24,440,194 1.96% 189,430 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $21,861,381 1.75% 169,442 Shares June 30, 2026
CM WEALTH ADVISORS LLC $20,347,744 1.63% 157,710 Shares June 30, 2026
EP Wealth Advisors, LLC $20,336,548 1.63% 157,623 Shares June 30, 2026
STIFEL FINANCIAL CORP $19,659,712 1.57% 152,334 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $18,837,823 1.51% 146,007 Shares June 30, 2026
H D Vest Advisory Services $18,689,280 1.50% 169,949 Shares June 30, 2025
Prentice Wealth Management LLC $18,404,058 1.47% 142,645 Shares June 30, 2026
Schorn Wealth LLC $17,904,090 1.43% 138,770 Shares June 30, 2026
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO $17,273,479 1.38% 133,882 Shares June 30, 2026
OSAIC HOLDINGS, INC. $17,156,916 1.37% 132,939 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $16,259,570 1.30% 126,024 Shares June 30, 2026
PRINCIPAL SECURITIES, INC. $15,063,878 1.21% 116,756 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $12,746,339 1.02% 98,794 Shares June 30, 2026
Argent Advisors, Inc. $12,434,943 1.00% 96,380 Shares June 30, 2026
YHB Investment Advisors, Inc. $11,614,509 0.93% 90,021 Shares June 30, 2026
TRUIST FINANCIAL CORP $10,955,636 0.88% 84,914 Shares June 30, 2026
Forza Wealth Management, LLC $10,874,709 0.87% 84,287 Shares June 30, 2026
SAXON INTERESTS, INC. $10,242,500 0.82% 79,387 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $9,020,006 0.72% 69,209 Shares June 30, 2026
UBS Group AG $8,275,730 0.66% 64,143 Shares June 30, 2026
Advisory Services Network, LLC $7,400,641 0.59% 57,360 Shares June 30, 2026
Merit Financial Group, LLC $7,291,823 0.58% 56,517 Shares June 30, 2026
&PARTNERS $7,251,212 0.58% 55,957 Shares June 30, 2026
Integrated Wealth Concepts LLC $7,206,624 0.58% 55,857 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $7,144,104 0.57% 55,372 Shares June 30, 2026
KPP Advisory Services LLC $7,019,337 0.56% 54,405 Shares June 30, 2026
Fifth Third Securities, Inc. $6,884,120 0.55% 53,357 Shares June 30, 2026
Rothschild Wealth LLC $6,577,002 0.53% 50,977 Shares June 30, 2026
Equitable Holdings, Inc. $6,483,774 0.52% 50,254 Shares June 30, 2026
Highview Capital Management LLC/DE/ $6,191,799 0.50% 47,991 Shares June 30, 2026
PCG Wealth Advisors, LLC $6,158,821 0.49% 47,736 Shares June 30, 2026
SYKON CAPITAL LLC $5,799,508 0.46% 44,950 Shares June 30, 2026
Able Wealth Management LLC $5,569,672 0.45% 43,169 Shares June 30, 2026
Kestra Advisory Services, LLC $5,195,574 0.42% 40,270 Shares June 30, 2026
Stratos Wealth Partners, LTD. $4,573,981 0.37% 35,451 Shares June 30, 2026
BECK CAPITAL MANAGEMENT, LLC $4,545,061 0.36% 35,228 Shares June 30, 2026
SIGNATURE ESTATE & INVESTMENT ADVISORS LLC $4,032,399 0.32% 31,254 Shares June 30, 2026
JANE STREET GROUP, LLC $3,883,502 0.31% 30,100 Put option June 30, 2026
JPMORGAN CHASE & CO $3,798,452 0.30% 29,399 Shares June 30, 2026
CONSCIOUS WEALTH INVESTMENTS, LLC $3,782,821 0.30% 29,272 Shares June 30, 2026
First National Trust Co $3,613,205 0.29% 28,005 Shares June 30, 2026
Steele Capital Management, Inc. $3,457,349 0.28% 26,797 Shares June 30, 2026
Foundations Investment Advisors, LLC $3,441,476 0.28% 26,674 Shares June 30, 2026
REDW Wealth LLC $3,259,176 0.26% 25,261 Shares June 30, 2026
RFP Financial Group LLC $3,173,122 0.25% 24,594 Shares June 30, 2026
National Wealth Management Group, LLC $2,894,704 0.23% 22,436 Shares June 30, 2026
Belpointe Asset Management LLC $2,709,138 0.22% 20,997 Shares June 30, 2026
CREATIVE FINANCIAL DESIGNS INC /ADV $2,513,171 0.20% 19,479 Shares June 30, 2026
Wealth Enhancement Trust Services, Inc. $2,432,285 0.19% 18,852 Shares June 30, 2026
PATTEN & PATTEN INC/TN $2,407,513 0.19% 18,660 Shares June 30, 2026
GREAT VALLEY ADVISOR GROUP, INC. $2,246,311 0.18% 17,411 Shares June 30, 2026
Vestmark Advisory Solutions, Inc. $2,172,051 0.17% 16,835 Shares June 30, 2026
Kovack Advisors, Inc. $2,139,103 0.17% 16,545 Shares June 30, 2026
Aptus Capital Advisors, LLC $2,101,091 0.17% 16,285 Shares June 30, 2026
Private Capital Management, LLC $2,038,608 0.16% 15,801 Shares June 30, 2026
Paradigm, Strategies in Wealth Management, LLC $2,014,002 0.16% 15,610 Shares June 30, 2026
CoreFirst Bank & Trust $1,965,233 0.16% 15,232 Shares June 30, 2026
BLAIR WILLIAM & CO/IL $1,867,952 0.15% 14,478 Shares June 30, 2026
Bank of New York Mellon Corp $1,842,401 0.15% 14,280 Shares June 30, 2026
Atria Wealth Solutions, Inc. $1,802,936 0.14% 16,125 Shares June 30, 2025
Beacon Pointe Advisors, LLC $1,602,723 0.13% 12,422 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $1,589,784 0.13% 12,322 Shares June 30, 2026
Prospera Financial Services Inc $1,567,806 0.13% 12,141 Shares June 30, 2026
Rockefeller Capital Management L.P. $1,530,758 0.12% 11,864 Shares June 30, 2026
Sovereign Financial Group, Inc. $1,507,599 0.12% 11,685 Shares June 30, 2026
Regal Investment Advisors LLC $1,471,645 0.12% 11,406 Shares June 30, 2026
PSI Advisors, LLC $1,426,224 0.11% 11,054 Shares June 30, 2026
WCG Wealth Advisors LLC $1,423,867 0.11% 11,036 Shares June 30, 2026
Goodwin Investment Advisory $1,397,206 0.11% 10,829 Shares June 30, 2026
JANE STREET GROUP, LLC $1,356,387 0.11% 10,513 Shares June 30, 2026
PERRYMAN FINANCIAL ADVISORY INC /AD $1,344,567 0.11% 10,421 Shares June 30, 2026
FIFTH THIRD BANCORP $1,314,069 0.11% 10,185 Shares June 30, 2026
COMERICA BANK $1,306,141 0.10% 11,054 Shares Dec. 31, 2025
HighTower Advisors, LLC $1,200,613 0.10% 9,306 Shares June 30, 2026
SeaCrest Wealth Management, LLC $1,166,204 0.09% 9,039 Shares June 30, 2026
Kingsview Wealth Management, LLC $1,158,766 0.09% 8,981 Shares June 30, 2026
Steward Partners Investment Advisory, LLC $1,155,246 0.09% 8,954 Shares June 30, 2026
SMITH, MOORE & CO. $1,151,504 0.09% 8,925 Shares June 30, 2026
Carnegie Investment Counsel $1,120,714 0.09% 8,686 Shares June 30, 2026
KINGSWOOD WEALTH ADVISORS, LLC $1,118,289 0.09% 8,668 Shares June 30, 2026
Chicago Partners Investment Group LLC $1,089,801 0.09% 8,489 Shares June 30, 2026
JFS WEALTH ADVISORS, LLC $1,060,208 0.08% 9,200 Shares March 31, 2026
J.W. COLE ADVISORS, INC. $1,006,035 0.08% 7,798 Shares June 30, 2026
Gotham Asset Management, LLC $998,873 0.08% 7,742 Shares June 30, 2026
NATIONS FINANCIAL GROUP INC, /IA/ /ADV $980,967 0.08% 7,603 Shares June 30, 2026
StoneX Group Inc. $958,300 0.08% 7,431 Shares June 30, 2026
Allegheny Financial Group $954,983 0.08% 7,401 Shares June 30, 2026
Ameritas Advisory Services, LLC $905,644 0.07% 7,019 Shares June 30, 2026
Wealthspire Advisors, LLC $874,498 0.07% 6,778 Shares June 30, 2026
Qube Research & Technologies Ltd $820,954 0.07% 6,363 Shares June 30, 2026
Michels Family Financial, LLC $796,214 0.06% 6,171 Shares June 30, 2026

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