PBJ icon

Invesco Food & Beverage ETF

47 hedge funds and large institutions have $43.7M invested in Invesco Food & Beverage ETF in 2025 Q2 according to their latest regulatory filings, with 3 funds opening new positions, 15 increasing their positions, 15 reducing their positions, and 8 closing their positions.

New
Increased
Maintained
Reduced
Closed
Holders
47
Holders Change
-5
Holders Change %
-9.62%
% of All Funds
0.63%
Holding in Top 10
Holding in Top 10 Change
Holding in Top 10 Change %
% of All Funds
New
3
Increased
15
Reduced
15
Closed
8
Calls
Puts
Net Calls
Net Calls Change
Name Holding Trade Value Shares
Change
Shares
Change %
SWA
26
Stratos Wealth Advisors
Ohio
$242K +$242K +5,115 New
KA
27
Kovack Advisors
Florida
$227K -$1.7K -36 -0.7%
CSC
28
Caldwell Sutter Capital
California
$158K
FHA
29
First Horizon Advisors
Tennessee
$138K
Jones Financial Companies
30
Jones Financial Companies
Missouri
$128K +$13.9K +296 +12%
Bank of Montreal
31
Bank of Montreal
Ontario, Canada
$64.7K
WIM
32
Westside Investment Management
California
$61.4K
SPIA
33
Steward Partners Investment Advisory
New York
$60.7K +$284 +6 +0.5%
PNC Financial Services Group
34
PNC Financial Services Group
Pennsylvania
$60.5K +$47 +1 +0.1%
Russell Investments Group
35
Russell Investments Group
United Kingdom
$41.9K -$10.2K -215 -20%
T
36
Transce3nd
Texas
$37.2K
US Bancorp
37
US Bancorp
Minnesota
$36.3K
ACA
38
Aptus Capital Advisors
Alabama
$28.4K
Fidelity Investments
39
Fidelity Investments
Massachusetts
$24.2K +$4.73K +100 +24%
IA
40
IFP Advisors
Florida
$11.8K
Wells Fargo
41
Wells Fargo
California
$9.49K +$9.44K +199 +19,900%
AWM
42
Abound Wealth Management
Tennessee
$9.46K
GRP
43
Global Retirement Partners
California
$8.04K +$8.04K +170 New
PTC
44
Private Trust Company
Ohio
$7.43K
MA
45
MCF Advisors
Kentucky
$4.73K
WT
46
Whittier Trust
California
$662
AG
47
AmeriFlex Group
Nevada
$514
Stifel Financial
48
Stifel Financial
Missouri
-$218K -4,752 Closed
KAS
49
Kestra Advisory Services
Texas
-$132K -2,871 Closed
NMG
50
New Millennium Group
Utah
-$83.3K -1,812 Closed