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
-6.2%
1 Year Return
+25.92%
3 Year Return
+99.18%
5 Year Return
+189.75%
10 Year Return
+417.35%
AUM
$236B
AUM Growth
-$19.1B
Cap. Flow
-$6.52B
Cap. Flow %
-2.77%
Top 10 Hldgs %
13.82%
Holding
4,385
New
78
Increased
1,886
Reduced
1,621
Closed
759

Sector Composition

1 Technology 15.54%
2 Financials 13.56%
3 Healthcare 13.03%
4 Real Estate 8.86%
5 Communication Services 8.62%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AMSGP
1051
DELISTED
Amsurg Corp. 5.25% Mandatory Convertible Pft Stk Ser A-1
AMSGP
$21.8M 0.01%
148,596
FNV icon
1052
Franco-Nevada
FNV
$38.7B
$21.8M 0.01%
495,377
-59,816
-11% -$2.63M
ALDR
1053
DELISTED
Alder Biopharmaceuticals, Inc.
ALDR
$21.8M 0.01%
665,173
+64,531
+11% +$2.11M
BCS.PRA.CL
1054
DELISTED
Barclays Bank Plc Series 3
BCS.PRA.CL
$21.8M 0.01%
849,789
+5,358
+0.6% +$137K
EVV
1055
Eaton Vance Limited Duration Income Fund
EVV
$1.19B
$21.7M 0.01%
1,714,307
-62,072
-3% -$787K
APTV icon
1056
Aptiv
APTV
$18.1B
$21.7M 0.01%
285,417
-173,240
-38% -$13.2M
HMSY
1057
DELISTED
HMS Holdings Corp.
HMSY
$21.7M 0.01%
2,469,395
+187,156
+8% +$1.64M
TTWO icon
1058
Take-Two Interactive
TTWO
$45.3B
$21.6M 0.01%
752,955
+162,595
+28% +$4.67M
URBN icon
1059
Urban Outfitters
URBN
$6.2B
$21.5M 0.01%
731,511
+22,272
+3% +$654K
UBSI icon
1060
United Bankshares
UBSI
$5.3B
$21.5M 0.01%
565,349
+62,232
+12% +$2.36M
VMC icon
1061
Vulcan Materials
VMC
$39.4B
$21.5M 0.01%
240,629
-13,496
-5% -$1.2M
POT
1062
DELISTED
Potash Corp Of Saskatchewan
POT
$21.3M 0.01%
1,037,962
-16,012
-2% -$329K
THS icon
1063
Treehouse Foods
THS
$884M
$21.3M 0.01%
273,302
-23,670
-8% -$1.84M
TISI icon
1064
Team
TISI
$88.2M
$21.2M 0.01%
65,962
-1,264
-2% -$406K
FCAM
1065
DELISTED
Fiat Chrysler Automobiles N.V.
FCAM
-21,480,000
Closed -$27.1M
MKL icon
1066
Markel Group
MKL
$24.8B
$21M 0.01%
26,145
-466
-2% -$374K
IBP icon
1067
Installed Building Products
IBP
$7.22B
$20.9M 0.01%
828,158
-1,151,757
-58% -$29.1M
SGI
1068
Somnigroup International Inc.
SGI
$17.9B
$20.9M 0.01%
1,171,672
+790,328
+207% +$14.1M
BDJ icon
1069
BlackRock Enhanced Equity Dividend Trust
BDJ
$1.6B
$20.9M 0.01%
2,900,604
+34,168
+1% +$246K
HBM icon
1070
Hudbay
HBM
$5.33B
$20.9M 0.01%
5,670,744
+241,391
+4% +$888K
HAYN
1071
DELISTED
Haynes International, Inc.
HAYN
$20.8M 0.01%
550,811
-46,576
-8% -$1.76M
HLX icon
1072
Helix Energy Solutions
HLX
$923M
$20.8M 0.01%
4,338,447
+2,880,562
+198% +$13.8M
STRZA
1073
DELISTED
Starz - Series A
STRZA
$20.7M 0.01%
554,861
-1,131,214
-67% -$42.2M
SSL icon
1074
Sasol
SSL
$4.51B
$20.7M 0.01%
743,566
-178,947
-19% -$4.98M
STJ
1075
DELISTED
St Jude Medical
STJ
$20.7M 0.01%
327,592
+23,332
+8% +$1.47M