Invesco Exchange-Traded Fund Trust (SPVM)

Management Company · ARCX · Series S000032769 · View on SEC EDGAR ↗

Net flows (30d): +$8.6M Estimated from creation/redemption of shares outstanding

Net assets
$120.3M
Holdings
104
As of
April 30, 2026 stale
Top 10 holdings weight
17.68%
Effective number of positions
88.0
Positions above 1%
41
On this page

Fund flows (SEC-reported)

Last month (Apr 2026)
+$16.0M
Quarter ending Apr 2026
+$8.1M
Trailing 12 months
+$51.5M

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 104 holdings

NameCUSIP Value % Balance Category Country
Cardinal Health, Inc. 14149Y108 $1.1M 0.93 5,783 EC US
Universal Health Services, Inc. 913903100 $1.1M 0.90 6,399 EC US
Dell Technologies Inc. 24703L202 $1.1M 0.89 5,120 EC US
Walt Disney Co. (The) 254687106 $1.1M 0.89 10,298 EC US
Aflac Inc. 001055102 $1.1M 0.87 9,260 EC US
Bank of New York Mellon Corp. (The) 064058100 $1.0M 0.86 7,710 EC US
American Electric Power Co., Inc. 025537101 $1.0M 0.85 7,493 EC US
Cencora, Inc. 03073E105 $1.0M 0.85 3,309 EC US
Berkshire Hathaway Inc. 084670702 $1.0M 0.85 2,147 EC US
Evergy, Inc. 30034W106 $1.0M 0.83 12,124 EC US
DTE Energy Co. 233331107 $1000K 0.83 6,590 EC US
Duke Energy Corp. 26441C204 $999K 0.83 7,713 EC US
Wells Fargo & Co. 949746101 $992K 0.82 12,063 EC US
Newmont Corp. 651639106 $978K 0.81 8,800 EC US
Kinder Morgan, Inc. 49456B101 $976K 0.81 29,684 EC US
FirstEnergy Corp. 337932107 $947K 0.79 19,922 EC US
Southwest Airlines Co. 844741108 $935K 0.78 24,663 EC US
EQT Corp. 26884L109 $922K 0.77 15,347 EC US
Dominion Energy, Inc. 25746U109 $919K 0.76 14,250 EC US
Ameren Corp. 023608102 $911K 0.76 8,018 EC US
News Corp. 65249B109 $905K 0.75 34,393 EC US
Fox Corp. 35137L105 $902K 0.75 14,207 EC US
PPL Corp. 69351T106 $893K 0.74 23,853 EC US
Paramount Skydance Corp. 69932A204 $884K 0.73 86,331 EC US
Raymond James Financial, Inc. 754730109 $883K 0.73 5,576 EC US
Goldman Sachs Group, Inc. (The) 38141G104 $850K 0.71 920 EC US
NiSource Inc. 65473P105 $849K 0.71 17,595 EC US
W. R. Berkley Corp. 084423102 $849K 0.71 12,698 EC US
JPMorgan Chase & Co. 46625H100 $833K 0.69 2,659 EC US
Genuine Parts Co. 372460105 $825K 0.69 7,698 EC US
CenterPoint Energy, Inc. 15189T107 $825K 0.69 18,903 EC US
Morgan Stanley 617446448 $818K 0.68 4,293 EC US
Quest Diagnostics Inc. 74834L100 $815K 0.68 4,196 EC US
Snap-on Inc. 833034101 $812K 0.68 2,119 EC US
Realty Income Corp. 756109104 $805K 0.67 12,535 EC US
Atmos Energy Corp. 049560105 $800K 0.67 4,212 EC US
CMS Energy Corp. 125896100 $799K 0.66 10,410 EC US
Alliant Energy Corp. 018802108 $795K 0.66 10,827 EC US
Xcel Energy Inc. 98389B100 $779K 0.65 9,396 EC US
Labcorp Holdings Inc. 504922105 $759K 0.63 2,957 EC US
Uber Technologies, Inc. 90353T100 $752K 0.63 10,079 EC US
Aptiv PLC G3265R107 $738K 0.61 12,255 EC JE
Expand Energy Corp. 165167735 $712K 0.59 6,968 EC US
General Dynamics Corp. 369550108 $708K 0.59 2,057 EC US
Super Micro Computer, Inc. 86800U302 $694K 0.58 25,336 EC US
Warner Bros. Discovery, Inc. 934423104 $667K 0.55 24,662 EC US
Leidos Holdings, Inc. 525327102 $629K 0.52 4,214 EC US
Willis Towers Watson PLC G96629103 $620K 0.52 2,420 EC IE
Capital One Financial Corp. 14040H105 $604K 0.50 3,158 EC US
Cognizant Technology Solutions Corp. 192446102 $570K 0.47 10,774 EC US
Page 2 of 3

Sector breakdown

Financials
26.4%
Utilities
14.4%
Financial Services
9.4%
Energy
9.0%
Health Care
6.3%
Consumer Discretionary
5.8%
Industrials
5.3%
Consumer Staples
4.8%
Communication Services
3.7%
Technology
3.2%
Telecommunication
3.0%
Retail
2.9%
Real Estate
1.9%
Materials
1.7%
Other/Unmapped
2.2%

Daily changes (30d)

DateType Ticker Change
Aug. 19, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.0702 → 0.07054 (0.5%)
Aug. 19, 2026 Increased EIX — Edison International
281020107
Units/share: 0.01524 → 0.01525 (0.1%)
Aug. 19, 2026 Exited USD
CASHUSD00
Position exited — was -0.00000001714 units/share
Aug. 19, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.000000565 → 0.0000005618 (-0.6%)
Aug. 18, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.0697 → 0.0702 (0.7%)
Aug. 18, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.0000005714 → 0.000000565 (-1.1%)
Aug. 17, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.05879 → 0.0697 (18.6%)
Aug. 14, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.07057 → 0.05879 (-16.7%)
Aug. 14, 2026 New USD
CASHUSD00
New position — -0.00000001714 units/share
Aug. 13, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06455 → 0.07057 (9.3%)
Aug. 12, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06415 → 0.06455 (0.6%)
Aug. 12, 2026 Increased MTB — M&T Bank Corp
55261F104
Units/share: 0.003956 → 0.003961 (0.1%)
Aug. 12, 2026 Increased RJF — Raymond James Financial Inc
754730109
Units/share: 0.004657 → 0.004662 (0.1%)
Aug. 12, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.0000005848 → 0.0000005714 (-2.3%)
Aug. 11, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06303 → 0.06415 (1.8%)
Aug. 11, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.0000005882 → 0.0000005848 (-0.6%)
Aug. 10, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06296 → 0.06303 (0.1%)
Aug. 10, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.0000005917 → 0.0000005882 (-0.6%)
Aug. 7, 2026 Increased ADM — Archer-Daniels-Midland Co
039483102
Units/share: 0.01226 → 0.01228 (0.2%)
Aug. 7, 2026 Increased AEP — American Electric Power Co Inc
025537101
Units/share: 0.004337 → 0.004344 (0.2%)
Aug. 7, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.1198 → 0.06296 (-47.4%)
Aug. 7, 2026 Increased ATO — Atmos Energy Corp
049560105
Units/share: 0.003136 → 0.003141 (0.2%)
Aug. 7, 2026 Increased BAC — Bank of America Corp
060505104
Units/share: 0.01527 → 0.01529 (0.1%)
Aug. 7, 2026 Increased BEN — Franklin Templeton Inc
354613101
Units/share: 0.02372 → 0.02376 (0.1%)
Aug. 7, 2026 Increased BKR — Baker Hughes Co
05722G100
Units/share: 0.007549 → 0.007566 (0.2%)
Aug. 7, 2026 Increased BMY — Bristol-Myers Squibb Co
110122108
Units/share: 0.008187 → 0.008208 (0.3%)
Aug. 7, 2026 Increased C — Citigroup Inc
172967424
Units/share: 0.006486 → 0.006496 (0.2%)
Aug. 7, 2026 Increased CCL — Carnival Corp Ltd
G2004J103
Units/share: 0.02763 → 0.02767 (0.1%)
Aug. 7, 2026 Increased CF — CF Industries Holdings Inc
125269100
Units/share: 0.006503 → 0.006514 (0.2%)
Aug. 7, 2026 Increased CINF — Cincinnati Financial Corp
172062101
Units/share: 0.005993 → 0.006004 (0.2%)
Aug. 7, 2026 Increased CMS — CMS Energy Corp
125896100
Units/share: 0.007242 → 0.007256 (0.2%)
Aug. 7, 2026 Increased CVS — CVS Health Corp
126650100
Units/share: 0.01175 → 0.01177 (0.1%)
Aug. 7, 2026 Increased CVX — Chevron Corp
166764100
Units/share: 0.002825 → 0.00283 (0.2%)
Aug. 7, 2026 Increased DIS — Walt Disney Co/The
254687106
Units/share: 0.007513 → 0.007525 (0.2%)
Aug. 7, 2026 Increased DOW — Dow Inc
260557103
Units/share: 0.01473 → 0.01477 (0.3%)
Aug. 7, 2026 Increased DUK — Duke Energy Corp
26441C204
Units/share: 0.004935 → 0.004943 (0.2%)
Aug. 7, 2026 Increased DVN — Devon Energy Corp
25179M103
Units/share: 0.01751 → 0.01754 (0.2%)
Aug. 7, 2026 Increased EOG — EOG Resources Inc
26875P101
Units/share: 0.004633 → 0.00464 (0.2%)
Aug. 7, 2026 Increased EQT — EQT Corp
26884L109
Units/share: 0.01722 → 0.01725 (0.1%)
Aug. 7, 2026 Increased F — Ford Motor Co
345370860
Units/share: 0.04918 → 0.04927 (0.2%)
Aug. 7, 2026 Increased FITB — Fifth Third Bancorp
316773100
Units/share: 0.01323 → 0.01325 (0.2%)
Aug. 7, 2026 Increased FOXA — Fox Corp
35137L105
Units/share: 0.009193 → 0.009214 (0.2%)
Aug. 7, 2026 Increased GD — General Dynamics Corp
369550108
Units/share: 0.001413 → 0.001415 (0.2%)
Aug. 7, 2026 Increased GL — Globe Life Inc
37959E102
Units/share: 0.005103 → 0.00511 (0.1%)
Aug. 7, 2026 Increased HAL — Halliburton Co
406216101
Units/share: 0.01369 → 0.01373 (0.3%)
Aug. 7, 2026 Increased HBAN — Huntington Bancshares Inc/OH
446150104
Units/share: 0.05515 → 0.05523 (0.1%)
Aug. 7, 2026 Increased HII — Huntington Ingalls Industries Inc
446413106
Units/share: 0.002493 → 0.002498 (0.2%)
Aug. 7, 2026 Increased HST — Host Hotels & Resorts Inc
44107P104
Units/share: 0.02541 → 0.02546 (0.2%)
Aug. 7, 2026 Increased INCY — Incyte Corp
45337C102
Units/share: 0.00511 → 0.005121 (0.2%)
Aug. 7, 2026 Increased KEY — KeyCorp
493267108
Units/share: 0.03794 → 0.03799 (0.1%)
Aug. 7, 2026 Increased L — Loews Corp
540424108
Units/share: 0.009786 → 0.009802 (0.2%)
Aug. 7, 2026 Increased LUV — Southwest Airlines Co
844741108
Units/share: 0.01594 → 0.01596 (0.1%)
Aug. 7, 2026 Increased MCK — McKesson Corp
58155Q103
Units/share: 0.001104 → 0.001107 (0.2%)
Aug. 7, 2026 Increased MPC — Marathon Petroleum Corp
56585A102
Units/share: 0.003315 → 0.003322 (0.2%)
Aug. 7, 2026 Increased NEM — Newmont Corp
651639106
Units/share: 0.005467 → 0.005482 (0.3%)
Aug. 7, 2026 Increased O — Realty Income Corp
756109104
Units/share: 0.007483 → 0.007505 (0.3%)
Aug. 7, 2026 Increased PNC — PNC Financial Services Group Inc/The
693475105
Units/share: 0.003296 → 0.003302 (0.2%)
Aug. 7, 2026 Increased PSX — Phillips 66
718546104
Units/share: 0.005371 → 0.00538 (0.2%)
Aug. 7, 2026 Increased SRE — Sempra
816851109
Units/share: 0.005344 → 0.005355 (0.2%)
Aug. 7, 2026 Increased STT — State Street Corp
857477103
Units/share: 0.004099 → 0.004106 (0.2%)
Aug. 7, 2026 Increased TFC — Truist Financial Corp
89832Q109
Units/share: 0.01947 → 0.01949 (0.1%)
Aug. 7, 2026 Increased TXT — Textron Inc
883203101
Units/share: 0.008391 → 0.008407 (0.2%)
Aug. 7, 2026 Increased USB — US Bancorp
902973304
Units/share: 0.01495 → 0.01498 (0.2%)
Aug. 7, 2026 Increased VZ — Verizon Communications Inc
92343V104
Units/share: 0.01803 → 0.01805 (0.1%)
Aug. 7, 2026 Increased WFC — Wells Fargo & Co
949746101
Units/share: 0.01019 → 0.0102 (0.2%)
Aug. 7, 2026 Increased XEL — Xcel Energy Inc
98389B100
Units/share: 0.006601 → 0.006617 (0.3%)
Aug. 5, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.1134 → 0.1198 (5.6%)
Aug. 5, 2026 Exited USD
CASHUSD00
Position exited — was -0.00000002367 units/share
Aug. 4, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.1132 → 0.1134 (0.2%)
Aug. 4, 2026 Trimmed USD
CASHUSD00
Units/share: 0.000214 → -0.00000002367 (-100.0%)
Aug. 3, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.08901 → 0.1132 (27.2%)
Aug. 3, 2026 New USD
CASHUSD00
New position — 0.000214 units/share
July 31, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06816 → 0.08901 (30.6%)
July 30, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06586 → 0.06816 (3.5%)
July 29, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.06818 → 0.06586 (-3.4%)
July 28, 2026 Increased HCA — HCA Healthcare Inc
40412C101
Units/share: 0.00138 → 0.001382 (0.1%)
July 28, 2026 Increased SYF — Synchrony Financial
87165B103
Units/share: 0.01424 → 0.01426 (0.1%)
July 28, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.0000005988 → 0.0000005917 (-1.2%)
July 27, 2026 Increased AFL — Aflac Inc
001055102
Units/share: 0.006037 → 0.006044 (0.1%)
July 27, 2026 Trimmed AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.1081 → 0.06818 (-37.0%)
July 27, 2026 Increased AIZ — Assurant Inc
04621X108
Units/share: 0.003441 → 0.003445 (0.1%)
July 27, 2026 Increased ALL — Allstate Corp/The
020002101
Units/share: 0.005319 → 0.005325 (0.1%)
July 27, 2026 Increased APA — APA Corp
03743Q108
Units/share: 0.02574 → 0.02577 (0.1%)
July 27, 2026 Increased BG — Bunge Global SA
H11356104
Units/share: 0.009201 → 0.009211 (0.1%)
July 27, 2026 Increased BNY — Bank of New York Mellon Corp/The
064058100
Units/share: 0.0037 → 0.003708 (0.2%)
July 27, 2026 Increased CB — Chubb Ltd
H1467J104
Units/share: 0.002633 → 0.002636 (0.1%)
July 27, 2026 Increased CFG — Citizens Financial Group Inc
174610105
Units/share: 0.01352 → 0.01354 (0.1%)
July 27, 2026 Increased DAL — Delta Air Lines Inc
247361702
Units/share: 0.01172 → 0.01174 (0.1%)
July 27, 2026 Increased DD — DuPont de Nemours Inc
26614N201
Units/share: 0.003547 → 0.003553 (0.2%)
July 27, 2026 Increased DG — Dollar General Corp
256677105
Units/share: 0.008426 → 0.008434 (0.1%)
July 27, 2026 Increased ES — Eversource Energy
30040W108
Units/share: 0.01153 → 0.01154 (0.1%)
July 27, 2026 Increased GM — General Motors Co
37045V100
Units/share: 0.01549 → 0.0155 (0.1%)
July 27, 2026 Increased HIG — Hartford Insurance Group Inc/The
416515104
Units/share: 0.00784 → 0.00785 (0.1%)
July 27, 2026 Increased MET — MetLife Inc
59156R108
Units/share: 0.01081 → 0.01082 (0.1%)
July 27, 2026 Increased NTRS — Northern Trust Corp
665859104
Units/share: 0.003144 → 0.003148 (0.1%)
July 27, 2026 Increased PFG — Principal Financial Group Inc
74251V102
Units/share: 0.006949 → 0.006957 (0.1%)
July 27, 2026 Increased PNW — Pinnacle West Capital Corp
723484101
Units/share: 0.00644 → 0.006449 (0.1%)
July 27, 2026 Increased RF — Regions Financial Corp
7591EP100
Units/share: 0.03014 → 0.03017 (0.1%)
July 27, 2026 Increased SWK — Stanley Black & Decker Inc
854502101
Units/share: 0.01113 → 0.01114 (0.1%)
July 27, 2026 Increased TROW — T Rowe Price Group Inc
74144T108
Units/share: 0.006946 → 0.006953 (0.1%)
July 27, 2026 Increased TRV — Travelers Cos Inc/The
89417E109
Units/share: 0.003313 → 0.003317 (0.1%)
July 27, 2026 Increased UAL — United Airlines Holdings Inc
910047109
Units/share: 0.01078 → 0.01079 (0.1%)
July 27, 2026 Increased VLO — Valero Energy Corp
91913Y100
Units/share: 0.003246 → 0.00325 (0.1%)
July 23, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.09981 → 0.1081 (8.3%)
July 23, 2026 Increased FDX — FedEx Corp
31428X106
Units/share: 0.00187 → 0.001872 (0.1%)
July 23, 2026 Increased NUE — Nucor Corp
670346105
Units/share: 0.002068 → 0.00207 (0.1%)
July 23, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.0000006135 → 0.0000005988 (-2.4%)
July 21, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.09512 → 0.09981 (4.9%)
July 20, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.09196 → 0.09512 (3.4%)
July 17, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.0898 → 0.09196 (2.4%)
July 17, 2026 Exited USD
CASHUSD00
Position exited — was -0.00000003846 units/share
July 17, 2026 Trimmed — SECURITIES LENDING - BNYM
BNYMLEND
Units/share: 0.000000641 → 0.0000006135 (-4.3%)
July 15, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.04725 → 0.0898 (90.1%)
July 15, 2026 Trimmed USD
CASHUSD00
Units/share: 0.0002665 → -0.00000003846 (-100.0%)
July 14, 2026 New USD
CASHUSD00
New position — 0.0002665 units/share
July 13, 2026 Increased AGPXX — Invesco Government & Agency Portfolio
825252885
Units/share: 0.04385 → 0.04725 (7.7%)
July 13, 2026 Exited USD
CASHUSD00
Position exited — was 0.00007569 units/share
July 10, 2026 New ADM — Archer-Daniels-Midland Co
039483102
New position — 0.01226 units/share
July 10, 2026 New AEE — Ameren Corp
023608102
New position — 0.0049 units/share
July 10, 2026 New AEP — American Electric Power Co Inc
025537101
New position — 0.004337 units/share
July 10, 2026 New AFL — Aflac Inc
001055102
New position — 0.006037 units/share
July 10, 2026 New AGPXX — Invesco Government & Agency Portfolio
825252885
New position — 0.04385 units/share
July 10, 2026 New AIZ — Assurant Inc
04621X108
New position — 0.003441 units/share
July 10, 2026 New ALL — Allstate Corp/The
020002101
New position — 0.005319 units/share
July 10, 2026 New APA — APA Corp
03743Q108
New position — 0.02574 units/share
July 10, 2026 New APTV — Aptiv PLC
G3265R107
New position — 0.01261 units/share
July 10, 2026 New ATO — Atmos Energy Corp
049560105
New position — 0.003136 units/share
July 10, 2026 New BAC — Bank of America Corp
060505104
New position — 0.01527 units/share
July 10, 2026 New BEN — Franklin Templeton Inc
354613101
New position — 0.02372 units/share
July 10, 2026 New BG — Bunge Global SA
H11356104
New position — 0.009201 units/share
July 10, 2026 New BIIB — Biogen Inc
09062X103
New position — 0.003297 units/share
July 10, 2026 New BKR — Baker Hughes Co
05722G100
New position — 0.007549 units/share
July 10, 2026 New BMY — Bristol-Myers Squibb Co
110122108
New position — 0.008187 units/share
July 10, 2026 New BNY — Bank of New York Mellon Corp/The
064058100
New position — 0.0037 units/share
July 10, 2026 New C — Citigroup Inc
172967424
New position — 0.006486 units/share
July 10, 2026 New CAH — Cardinal Health Inc
14149Y108
New position — 0.003529 units/share
July 10, 2026 New CB — Chubb Ltd
H1467J104
New position — 0.002633 units/share
July 10, 2026 New CCL — Carnival Corp Ltd
G2004J103
New position — 0.02763 units/share
July 10, 2026 New CF — CF Industries Holdings Inc
125269100
New position — 0.006503 units/share
July 10, 2026 New CFG — Citizens Financial Group Inc
174610105
New position — 0.01352 units/share
July 10, 2026 New CINF — Cincinnati Financial Corp
172062101
New position — 0.005993 units/share
July 10, 2026 New CMS — CMS Energy Corp
125896100
New position — 0.007242 units/share
July 10, 2026 New CNP — CenterPoint Energy Inc
15189T107
New position — 0.0108 units/share
July 10, 2026 New COP — ConocoPhillips
20825C104
New position — 0.004801 units/share
July 10, 2026 New CRH — CRH PLC
G25508105
New position — 0.005084 units/share
July 10, 2026 New CVS — CVS Health Corp
126650100
New position — 0.01175 units/share
July 10, 2026 New CVX — Chevron Corp
166764100
New position — 0.002825 units/share
July 10, 2026 New D — Dominion Energy Inc
25746U109
New position — 0.008185 units/share
July 10, 2026 New DAL — Delta Air Lines Inc
247361702
New position — 0.01172 units/share
July 10, 2026 New DD — DuPont de Nemours Inc
26614N201
New position — 0.003547 units/share
July 10, 2026 New DG — Dollar General Corp
256677105
New position — 0.008426 units/share
July 10, 2026 New DGX — Quest Diagnostics Inc
74834L100
New position — 0.002485 units/share
July 10, 2026 New DIS — Walt Disney Co/The
254687106
New position — 0.007513 units/share
July 10, 2026 New DLTR — Dollar Tree Inc
256746108
New position — 0.004564 units/share
July 10, 2026 New DOW — Dow Inc
260557103
New position — 0.01473 units/share
July 10, 2026 New DTE — DTE Energy Co
233331107
New position — 0.003703 units/share
July 10, 2026 New DUK — Duke Energy Corp
26441C204
New position — 0.004935 units/share
July 10, 2026 New DVN — Devon Energy Corp
25179M103
New position — 0.01751 units/share
July 10, 2026 New EIX — Edison International
281020107
New position — 0.01524 units/share
July 10, 2026 New EOG — EOG Resources Inc
26875P101
New position — 0.004633 units/share
July 10, 2026 New EQT — EQT Corp
26884L109
New position — 0.01722 units/share
July 10, 2026 New ES — Eversource Energy
30040W108
New position — 0.01153 units/share
July 10, 2026 New EVRG — Evergy Inc
30034W106
New position — 0.006786 units/share
July 10, 2026 New F — Ford Motor Co
345370860
New position — 0.04918 units/share
July 10, 2026 New FDX — FedEx Corp
31428X106
New position — 0.00187 units/share
July 10, 2026 New FE — FirstEnergy Corp
337932107
New position — 0.01216 units/share
July 10, 2026 New FITB — Fifth Third Bancorp
316773100
New position — 0.01323 units/share
July 10, 2026 New FOXA — Fox Corp
35137L105
New position — 0.009193 units/share
July 10, 2026 New GD — General Dynamics Corp
369550108
New position — 0.001413 units/share
July 10, 2026 New GL — Globe Life Inc
37959E102
New position — 0.005103 units/share
July 10, 2026 New GM — General Motors Co
37045V100
New position — 0.01549 units/share
July 10, 2026 New HAL — Halliburton Co
406216101
New position — 0.01369 units/share
July 10, 2026 New HBAN — Huntington Bancshares Inc/OH
446150104
New position — 0.05515 units/share
July 10, 2026 New HCA — HCA Healthcare Inc
40412C101
New position — 0.00138 units/share
July 10, 2026 New HIG — Hartford Insurance Group Inc/The
416515104
New position — 0.00784 units/share
July 10, 2026 New HII — Huntington Ingalls Industries Inc
446413106
New position — 0.002493 units/share
July 10, 2026 New HST — Host Hotels & Resorts Inc
44107P104
New position — 0.02541 units/share
July 10, 2026 New INCY — Incyte Corp
45337C102
New position — 0.00511 units/share
July 10, 2026 New JPM — JPMorgan Chase & Co
46625H100
New position — 0.00189 units/share
July 10, 2026 New KEY — KeyCorp
493267108
New position — 0.03794 units/share
July 10, 2026 New KIM — Kimco Realty Corp
49446R109
New position — 0.02063 units/share
July 10, 2026 New KMI — Kinder Morgan Inc
49456B101
New position — 0.01583 units/share
July 10, 2026 New L — Loews Corp
540424108
New position — 0.009786 units/share
July 10, 2026 New LUV — Southwest Airlines Co
844741108
New position — 0.01594 units/share
July 10, 2026 New MCK — McKesson Corp
58155Q103
New position — 0.001104 units/share
July 10, 2026 New MET — MetLife Inc
59156R108
New position — 0.01081 units/share
July 10, 2026 New MPC — Marathon Petroleum Corp
56585A102
New position — 0.003315 units/share
July 10, 2026 New MTB — M&T Bank Corp
55261F104
New position — 0.003956 units/share
July 10, 2026 New NEM — Newmont Corp
651639106
New position — 0.005467 units/share
July 10, 2026 New NI — NiSource Inc
65473P105
New position — 0.01052 units/share
July 10, 2026 New NTRS — Northern Trust Corp
665859104
New position — 0.003144 units/share
July 10, 2026 New NUE — Nucor Corp
670346105
New position — 0.002068 units/share
July 10, 2026 New O — Realty Income Corp
756109104
New position — 0.007483 units/share
July 10, 2026 New PCAR — PACCAR Inc
693718108
New position — 0.004167 units/share
July 10, 2026 New PFG — Principal Financial Group Inc
74251V102
New position — 0.006949 units/share
July 10, 2026 New PNC — PNC Financial Services Group Inc/The
693475105
New position — 0.003296 units/share
July 10, 2026 New PNW — Pinnacle West Capital Corp
723484101
New position — 0.00644 units/share
July 10, 2026 New PPL — PPL Corp
69351T106
New position — 0.01657 units/share
July 10, 2026 New PSX — Phillips 66
718546104
New position — 0.005371 units/share
July 10, 2026 New RF — Regions Financial Corp
7591EP100
New position — 0.03014 units/share

Showing latest 200 of 220 changes

Institutional owners (13F) 40 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 $14,382,793 24.00% 193,280 Shares June 30, 2026
Beta Wealth Group, Inc. $12,909,671 21.54% 173,484 Shares June 30, 2026
CAPSTONE WEALTH MANAGEMENT GROUP, LLC $12,486,300 20.84% 167,795 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $3,569,166 5.96% 47,964 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $2,695,870 4.50% 36,228 Shares June 30, 2026
JONES FINANCIAL COMPANIES LLLP $2,369,585 3.95% 31,544 Shares June 30, 2026
Perennial Investment Advisors, LLC $2,130,816 3.56% 28,634 Shares June 30, 2026
HARBOUR INVESTMENTS, INC. $1,635,279 2.73% 21,969 Shares June 30, 2026
AMERIPRISE FINANCIAL INC $1,451,694 2.42% 19,508 Shares June 30, 2026
IFG Advisory, LLC $1,132,285 1.89% 15,216 Shares June 30, 2026
MORGAN STANLEY $945,804 1.58% 12,710 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $419,324 0.70% 5,635 Shares June 30, 2026
OSAIC HOLDINGS, INC. $399,052 0.67% 5,363 Shares June 30, 2026
CITADEL ADVISORS LLC $377,280 0.63% 5,070 Shares June 30, 2026
Bay Colony Advisory Group, Inc d/b/a Bay Colony Advisors $374,452 0.62% 5,032 Shares June 30, 2026
PRIVATE TRUST CO NA $343,794 0.57% 4,620 Shares June 30, 2026
NewEdge Advisors, LLC $339,865 0.57% 4,567 Shares June 30, 2026
Nvest Financial, LLC $310,386 0.52% 4,171 Shares June 30, 2026
Cooper Financial Group $310,073 0.52% 4,167 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $276,481 0.46% 3,715 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $247,187 0.41% 3,270 Shares June 30, 2026
MERCER GLOBAL ADVISORS INC /ADV $230,461 0.38% 3,097 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $207,962 0.35% 2,795 Shares June 30, 2026
Accent Capital Management, LLC $74,414 0.12% 1,000 Shares June 30, 2026
Tower Research Capital LLC (TRC) $65,038 0.11% 874 Shares June 30, 2026
ROYAL BANK OF CANADA $48,000 0.08% 649 Shares June 30, 2026
ABOUND FINANCIAL, LLC $41,999 0.07% 564 Shares June 30, 2026
IFP Advisors, Inc $31,180 0.05% 419 Shares June 30, 2026
Clearstead Advisors, LLC $29,766 0.05% 400 Shares June 30, 2026
Cape Investment Advisory, Inc. $26,833 0.04% 361 Shares June 30, 2026
FMR LLC $19,124 0.03% 257 Shares June 30, 2026
WELLS FARGO & COMPANY/MN $15,180 0.03% 204 Shares June 30, 2026
ASSETMARK, INC $14,883 0.02% 200 Shares June 30, 2026
CWM, LLC $7,855 0.01% 114 Shares March 31, 2026
Key Financial Inc $4,390 0.01% 59 Shares June 30, 2026
Steward Partners Investment Advisory, LLC $2,307 0.00% 31 Shares June 30, 2026
THOROUGHBRED FINANCIAL SERVICES, LLC $1,055 0.00% 14,177 Shares June 30, 2026
Sunbelt Securities, Inc. $827 0.00% 12 Shares March 31, 2026
Thrivent Financial for Lutherans $632 0.00% 8,498 Shares June 30, 2026
Larson Financial Group LLC $58 0.00% 1 Shares June 30, 2026

Peer funds

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QQQM Invesco Exchange-Traded Fund Tr… $97.2B
RSP Invesco Exchange-Traded Fund Tr… $87.9B
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SPHQ Invesco Exchange-Traded Fund Tr… $17.3B
PBUS Invesco Exchange-Traded Fund Tr… $11.5B
XLG Invesco Exchange-Traded Fund Tr… $10.7B
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RWL Invesco Exchange-Traded Fund Tr… $9.1B
PPA Invesco Exchange-Traded Fund Tr… $8.0B

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