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Invesco S&P MidCap Low Volatility ETF

Name Holding Trade Value Shares
Change
Change in
Stake
Morgan Stanley
1
Morgan Stanley
New York
$36.4M +$833K +13,560 +2%
Cambridge Investment Research Advisors
2
Cambridge Investment Research Advisors
Iowa
$28M +$191K +3,103 +0.7%
LPL Financial
3
LPL Financial
California
$25.3M +$976K +15,888 +4%
BCM
4
Brookstone Capital Management
Illinois
$21.2M +$103K +1,682 +0.5%
Envestnet Asset Management
5
Envestnet Asset Management
Illinois
$18.7M -$124K -2,012 -0.7%
UBS Group
6
UBS Group
Switzerland
$18.5M +$32.7K +533 +0.2%
Commonwealth Equity Services
7
Commonwealth Equity Services
Massachusetts
$15.9M -$1.7M -27,744 -10%
PNC Financial Services Group
8
PNC Financial Services Group
Pennsylvania
$14.4M -$308K -5,014 -2%
Ameriprise
9
Ameriprise
Minnesota
$13.7M +$620K +10,103 +5%
Raymond James Financial
10
Raymond James Financial
Florida
$10.9M -$43.3K -705 -0.4%
Baird Financial Group
11
Baird Financial Group
Wisconsin
$8.82M -$44.4K -723 -0.5%
SWM
12
Sculati Wealth Management
Michigan
$8.79M +$664K +10,818 +8%
Mercer Global Advisors
13
Mercer Global Advisors
Colorado
$8.22M -$555K -9,044 -6%
PP
14
PFS Partners
New Jersey
$7.93M +$131K +2,136 +2%
OPPS
15
Obsidian Personal Planning Solutions
Maryland
$7.33M -$143K -2,332 -2%
AWP
16
Avid Wealth Partners
Texas
$6.95M +$6.91M +112,586 New
JP Morgan Chase
17
JP Morgan Chase
New York
$6.9M +$6.56M +106,810 +2,171%
Bank of America
18
Bank of America
North Carolina
$6.76M -$56.3K -917 -0.8%
Wells Fargo
19
Wells Fargo
California
$6.46M +$269K +4,382 +4%
Royal Bank of Canada
20
Royal Bank of Canada
Ontario, Canada
$5.64M +$625K +10,181 +13%
Jones Financial Companies
21
Jones Financial Companies
Missouri
$5.52M +$1.99M +32,454 +56%
Osaic Holdings
22
Osaic Holdings
Arizona
$5.51M +$672K +10,935 +14%
RWP
23
RWA Wealth Partners
Massachusetts
$5.1M +$5.07M +82,565 New
Northwestern Mutual Wealth Management
24
Northwestern Mutual Wealth Management
Wisconsin
$4.74M -$496K -8,076 -10%
Cetera Investment Advisers
25
Cetera Investment Advisers
Illinois
$3.96M +$3.94M +64,107 New