Invesco Bloomberg MVP Multi-factor ETFBMVP
BMVP
0
Funds holding %
of 7,433 funds
–
Analysts bullish %
Fund manager confidence
Based on 2025 Q2 regulatory disclosures by fund managers ($100M+ AUM)
40% more first-time investments, than exits
New positions opened: 7 | Existing positions closed: 5
1.39% less ownership
Funds ownership: 22.52% [Q1] → 21.14% (-1.39%) [Q2]
2% less funds holding
Funds holding: 43 [Q1] → 42 (-1) [Q2]
6% less capital invested
Capital invested by funds: $25.1M [Q1] → $23.6M (-$1.53M) [Q2]
22% less repeat investments, than reductions
Existing positions increased: 7 | Existing positions reduced: 9
100% less funds holding in top 10
Funds holding in top 10: 1 [Q1] → 0 (-1) [Q2]
Research analyst outlook
We haven’t received any recent analyst ratings for BMVP.
Financial journalist opinion
Neutral
Seeking Alpha
3 months ago
Don't Over Invest In The U.S.
The Bloomberg MVP index combines momentum, volatility, valuation, and profitability factors to identify outperforming stocks and offers a robust quantitative screening tool for investors. Large-cap tech stocks command premium valuations due to sustained profitability and growth, driven by innovation and investments in private markets, unlike the rest of the S&P 500.

Positive
Seeking Alpha
8 months ago
Tech IPOs Poised For Return To Pre-Pandemic Normalcy In 2025
The new year is poised for a resurgence in tech IPOs, as lower interest rates and an investor shift to small- and mid-cap companies combine to create a more welcoming market for debuts. The current environment presents the most favorable conditions for the recovery of IPOs in the past three years. The S&P 400 Midcap Index and the S&P 600 Index have outperformed the S&P 500 Index since the US election Nov. 5.

Neutral
Seeking Alpha
9 months ago
BMVP: Multifactor ETF With Little To Show
Invesco Bloomberg MVP Multi-factor ETF uses an equal-weight strategy based on momentum, value, volatility, and profitability. BMVP is well-diversified across sectors and holdings, with a focus on industrials and financials, and has quite good valuation metrics. The Fund has underperformed the S&P 500 and other multifactor ETFs over the past 7 years.

Charts implemented using Lightweight Charts™