Invesco

Invesco Portfolio holdings

AUM $588B
1-Year Return 25.92%
 

Invesco Ltd., founded in 1978 and headquartered in Atlanta, Georgia, is a global investment management firm managing hundreds of billions in assets across a diverse range of products, including mutual funds, exchange-traded funds (ETFs), and institutional portfolios. Known for its blend of active and passive investment strategies, Invesco serves individual investors, financial advisors, and institutions, with a strong presence in North America, Europe, and Asia, bolstered by acquisitions like OppenheimerFunds in 2019. The firm offers specialized solutions in equities, fixed income, real estate, and alternatives, leveraging its global research capabilities to cater to varying market needs. Invesco’s commitment to innovation and client-focused investing has solidified its reputation as a versatile player in the asset management industry.

This Quarter Return
+1.08%
1 Year Return
+25.92%
3 Year Return
+99.18%
5 Year Return
+189.75%
10 Year Return
+417.35%
AUM
$246B
AUM Growth
-$4.57B
Cap. Flow
-$10.5B
Cap. Flow %
-4.28%
Top 10 Hldgs %
13.17%
Holding
3,882
New
158
Increased
1,640
Reduced
1,710
Closed
196

Sector Composition

1 Technology 15.3%
2 Financials 12.53%
3 Healthcare 11.7%
4 Real Estate 9.6%
5 Communication Services 9.37%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MKSI icon
626
MKS Inc. Common Stock
MKSI
$7.02B
$62.7M 0.03%
1,664,029
+91,064
+6% +$3.43M
GPK icon
627
Graphic Packaging
GPK
$6.38B
$62.6M 0.03%
4,872,067
-948,707
-16% -$12.2M
CNO icon
628
CNO Financial Group
CNO
$3.85B
$62.6M 0.03%
3,493,478
-287,850
-8% -$5.16M
PRGO icon
629
Perrigo
PRGO
$3.12B
$62.6M 0.03%
489,215
-49,855
-9% -$6.38M
TECD
630
DELISTED
Tech Data Corp
TECD
$62.6M 0.03%
815,028
+57,731
+8% +$4.43M
HP icon
631
Helmerich & Payne
HP
$2.01B
$62.5M 0.03%
1,064,277
+64,037
+6% +$3.76M
BGS icon
632
B&G Foods
BGS
$374M
$62.3M 0.03%
1,789,277
+351,982
+24% +$12.3M
AMTD
633
DELISTED
TD Ameritrade Holding Corp
AMTD
$62.2M 0.03%
1,973,940
+938,417
+91% +$29.6M
BALL icon
634
Ball Corp
BALL
$13.9B
$62M 0.03%
1,738,722
-627,012
-27% -$22.3M
MPC icon
635
Marathon Petroleum
MPC
$54.8B
$61.5M 0.03%
1,654,202
-368,529
-18% -$13.7M
RBS.PRT
636
DELISTED
ROYAL BANK OF SCOTLAND GRP PLS (THE) SPONS ADR REPSTG PFD
RBS.PRT
$61.2M 0.02%
2,405,481
+144,139
+6% +$3.67M
TMH
637
DELISTED
Team Health Holdings Inc
TMH
$61.2M 0.02%
1,464,212
+94,538
+7% +$3.95M
LGND icon
638
Ligand Pharmaceuticals
LGND
$3.25B
$61.2M 0.02%
916,129
-270,213
-23% -$18.1M
GLOG
639
DELISTED
GASLOG LTD
GLOG
$61.1M 0.02%
6,273,873
+2,628,415
+72% +$25.6M
FICO icon
640
Fair Isaac
FICO
$36.8B
$61M 0.02%
574,918
-45,951
-7% -$4.87M
PRXL
641
DELISTED
Parexel International Corp
PRXL
$60.9M 0.02%
970,269
-168,616
-15% -$10.6M
WWAV
642
DELISTED
The WhiteWave Foods Company
WWAV
$60.8M 0.02%
1,497,123
+207,484
+16% +$8.43M
NKTR icon
643
Nektar Therapeutics
NKTR
$764M
$60.8M 0.02%
294,827
+3,073
+1% +$634K
SBNY
644
DELISTED
Signature Bank
SBNY
$60.8M 0.02%
446,407
+321,893
+259% +$43.8M
IRM icon
645
Iron Mountain
IRM
$27.2B
$60.8M 0.02%
1,791,796
+1,327,421
+286% +$45M
KMT icon
646
Kennametal
KMT
$1.67B
$60.7M 0.02%
2,698,579
-1,010,060
-27% -$22.7M
IT icon
647
Gartner
IT
$18.6B
$60.5M 0.02%
676,639
+144,267
+27% +$12.9M
MITL
648
DELISTED
Mitel Networks Corporation
MITL
$60.4M 0.02%
7,382,246
-351,015
-5% -$2.87M
SSNC icon
649
SS&C Technologies
SSNC
$21.7B
$60.3M 0.02%
1,900,364
+601,666
+46% +$19.1M
RDS.B
650
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$60.1M 0.02%
1,222,686
+110,764
+10% +$5.45M