ETF Components for IUS - Invesco Strategic US ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
GOOGL A 1.27 4.03
META B 2.98 3.64
AAPL F 0.64 3.62
MSFT D 1.65 3.13
XOM A 0.39 2.42
AMZN B 1.30 2.25
CVX A 0.57 1.50
MPC B 0.71 1.23
UNH D -1.03 1.18
VZ D 2.85 1.10
T C 1.16 1.10
WMT B -1.75 1.05
AVGO D 2.02 0.98
CVS D -1.62 0.96
CMCSA D -0.52 0.92
COP B 0.39 0.87
CI A -0.15 0.87
NVDA B 3.65 0.86
JNJ F 0.30 0.78
HD C 0.86 0.78
INTC F -0.38 0.77
PG A 0.60 0.75
COST C 1.01 0.75
GM A 4.37 0.75
VLO B 0.99 0.73
PSX B 1.14 0.72
MCK A 0.89 0.71
BRK.A C -0.34 0.66
DELL A 4.41 0.66
V C 0.65 0.66
ABBV C 0.98 0.64
MU B 3.06 0.60
PFE F 0.23 0.59
MRK A -0.05 0.55
CSCO D 0.37 0.55
LOW C 1.49 0.55
DIS B 1.54 0.54
AXP A 2.56 0.54
ELV A 0.13 0.54
IBM D 0.16 0.52
CAT A 1.58 0.52
CB C -0.64 0.50
F B 0.47 0.50
QCOM B 0.73 0.49
RTX A -0.18 0.48
LIN D -0.43 0.47
CNC C 0.34 0.43
GE A 8.28 0.43
CAH D 0.53 0.43
LLY D 1.96 0.40
MA C 1.33 0.40
PXD A 0.63 0.40
ACN F -0.19 0.39
TGT B -0.36 0.39
AMGN C 0.60 0.39
CRM D 1.05 0.39
UNP C 0.78 0.38
AMAT D 2.00 0.38
UPS D 2.41 0.38
ABT D 0.49 0.37
BMY F -0.31 0.37
NUE B -8.87 0.37
LMT A -0.27 0.37
FDX A 0.59 0.37
KR B -2.28 0.37
PEP A -2.97 0.36
KO B 0.15 0.35
AMD D 2.44 0.35
OXY B 0.58 0.34
ALL A -0.07 0.34
EOG A 0.67 0.33
TMO B 4.78 0.33
DOW B -0.44 0.32
ADBE F 1.29 0.32
MDT C 0.89 0.31
PGR A 0.48 0.31
DE B -0.60 0.30
ORCL D 0.49 0.29
GD A 0.48 0.28
TRV D 0.02 0.27
PM A 3.83 0.27
TSLA F 1.85 0.26
TXN D 1.25 0.26
CHTR F 0.46 0.25
DHR B 7.21 0.25
HCA C 2.94 0.25
HON C 0.30 0.25
ADI D 1.94 0.24
PYPL A 1.96 0.24
FCX B -1.96 0.24
TMUS B 0.55 0.24
SO A 0.37 0.23
TJX C 0.45 0.23
MO A 0.70 0.23
ADM B -1.14 0.23
GILD F 0.12 0.23
LRCX D 2.23 0.23
NKE D -0.18 0.22
LEN C 3.06 0.22
ETN A 1.54 0.22
REGN C 0.80 0.22
MMM A 0.41 0.22
KHC A -0.21 0.22
CSX D 0.29 0.21
TSN A 0.61 0.21
LYB B -0.04 0.21
MCD D 0.47 0.21
FANG A 0.88 0.21
BKNG C 2.05 0.21
INTU C 3.46 0.21
KLAC D 2.30 0.20
KMI A -0.32 0.20
HPQ D -0.11 0.20
MDLZ B 1.93 0.20
VST A 2.59 0.20
NFLX D 4.17 0.20
HIG A 0.21 0.20
BLDR C 5.07 0.19
NSC C 0.17 0.19
PCAR D 0.66 0.19
HPE B 0.00 0.19
X D -2.32 0.19
EBAY A 0.61 0.18
URI C 5.09 0.17
WMB A 0.31 0.17
NRG B 1.56 0.17
HUM D 0.82 0.17
NOC B 0.79 0.17
SLB F 0.08 0.16
AEP B 0.78 0.16
EMR B 1.05 0.16
WRK B -2.02 0.16
SYY C -0.47 0.16
MMC C 0.14 0.16
MRO B 0.61 0.16
BNTX F 0.55 0.16
LHX C -0.22 0.16
WBA F -0.93 0.16
WM B 0.60 0.16
DVN B 0.84 0.16
STLD B -2.29 0.16
PH A 1.98 0.15
CMI B 0.79 0.15
TT A 1.35 0.15
ADP B 0.22 0.15
DD B -0.15 0.15
PBF B 1.49 0.15
LNG B -0.97 0.15
DHI C 3.47 0.15
WTW C -0.56 0.14
CTRA A 0.68 0.14
AZO D -0.02 0.14
JCI A 0.82 0.14
BDX F 0.21 0.14
OKE A 0.55 0.14
SRE B 0.55 0.14
BBY D -0.11 0.14
VTRS C 0.98 0.14
DINO D 0.51 0.13
CTSH D -0.63 0.13
SYK D 2.21 0.13
TEL A -0.38 0.13
SHW D -2.23 0.13
ED A 0.12 0.13
JBL F 1.48 0.13
SBUX F -0.35 0.13
NEM B 0.67 0.13
WDC B 4.28 0.13
CLF B -11.03 0.13
TRGP A 1.93 0.13
BKR B 1.66 0.13
UBER D 2.64 0.13
MRNA A 3.28 0.13
AON D 0.27 0.12
STZ A 0.74 0.12
IP D -1.01 0.12
ITW D 0.27 0.12
ACGL A -0.07 0.12
CL A 0.28 0.12
CTVA B -0.04 0.12
ORLY C 0.08 0.12
OVV B 1.13 0.12
CARR C 2.83 0.12
WSM A 1.73 0.12
VRTX C 1.25 0.11
TROW D 0.39 0.11
M D 1.44 0.11
APH A 2.15 0.11
CF D -0.33 0.11
ABNB B 2.77 0.11
CBRE D 1.24 0.11
PHM B 4.57 0.11
BG A -0.12 0.10
EIX A 0.27 0.10
PEG A -0.33 0.10
XEL C 0.56 0.10
RS D -1.75 0.10
TXT A 1.61 0.10
TX B -0.12 0.10
MOS F -1.07 0.10
SNEX B 2.84 0.10
GLW C -0.06 0.10
PSA D 0.30 0.10
GIS A -0.49 0.10
BSX A 1.43 0.10
EXPE B 2.61 0.10
MAR D 0.96 0.10
PFGC D 0.38 0.10
ISRG D 2.21 0.10
MRVL D 1.56 0.10
ECL D 0.16 0.09
DKS A 3.73 0.09
ARW A 1.41 0.09
CDW D 1.19 0.09
APD D -0.28 0.09
WAB A 1.92 0.09
STX C 1.58 0.09
MCHP C 3.18 0.09
PPL B -0.47 0.09
KDP A 0.00 0.09
LH D 2.41 0.09
ACI F 0.44 0.09
IQV C 3.15 0.09
DG D -0.08 0.09
MKL C 0.56 0.09
ROST D -0.51 0.09
ETR A -0.25 0.09
IFF A 0.64 0.09
WY D 0.76 0.09
HAL B -0.34 0.09
WBD D -0.35 0.09
SWK C 1.56 0.09
MOH D 0.37 0.09
FOXA A 0.99 0.09
JLL C 1.85 0.08
R A 11.94 0.08
LUMN D 0.00 0.08
EL B 1.06 0.08
WEC A -0.01 0.08
LDOS B 2.10 0.08
DVA B 1.05 0.08
DGX A 5.08 0.08
RSG A -0.60 0.08
KMB A 5.51 0.08
EME B 1.65 0.08
EXPD D -0.89 0.08
CTAS B 0.20 0.08
CINF A -0.11 0.08
SNPS D 2.33 0.08
USFD D 0.61 0.08
CE D 0.72 0.08
FLEX B 3.26 0.08
MGM D 0.99 0.08
PARA D 2.91 0.08
TOL B 5.02 0.08
NVR A 0.36 0.08
NOW D 2.63 0.08
APA D -1.26 0.08
EMN B -0.27 0.08
FE B -0.24 0.08
CHK A 0.14 0.08
HES A 0.45 0.08
SQ C 5.04 0.08
DTE B 0.00 0.08
OC A 1.93 0.08
OMC A 0.48 0.07
BAX C 1.53 0.07
CNP B -0.17 0.07
KMX F 2.67 0.07
ZTS F 2.76 0.07
AR A 2.14 0.07
PKG D -4.69 0.07
AN A 2.39 0.07
GPS D 0.77 0.07
MCO C 0.77 0.07
ODFL B 3.63 0.07
ROP C 0.09 0.07
BALL A 0.11 0.07
DLTR F 0.71 0.07
EQIX D 0.95 0.07
SNX A 0.93 0.07
EA D 0.02 0.07
WCN C -0.06 0.07
TDS C 0.90 0.07
OMF B 2.56 0.07
NTAP B 1.54 0.07
WRB D -5.21 0.07
PANW C 4.19 0.07
LAD D 1.39 0.07
PWR A 2.60 0.07
IR D 2.19 0.07
NWSA C 0.74 0.07
CAR F 0.52 0.07
KSS C 2.83 0.07
EQT B 0.03 0.07
ES A 0.08 0.07
TAP B -0.53 0.07
GWW D 1.46 0.07
MUSA A -0.33 0.07
UHS C 2.35 0.07
MHK C 3.17 0.06
VRSK D -0.41 0.06
QRVO D 0.80 0.06
CSL A 2.44 0.06
BBWI C 2.71 0.06
KD C 2.70 0.06
DOV A 1.18 0.06
DRI C 0.87 0.06
LEA D -0.44 0.06
HLT D 0.97 0.06
MAS C 1.37 0.06
ADSK F 0.37 0.06
AEE B -0.48 0.06
BA F -0.76 0.06
LKQ F -14.88 0.06
MSI A 0.09 0.06
SWKS D 1.21 0.06
THC A 3.17 0.06
AME B 1.12 0.06
A C 3.95 0.06
OLN D -0.52 0.06
AMCR D -0.55 0.06
GPC A 0.18 0.06
EG D -1.12 0.06
SWN A -0.14 0.06
J C 0.36 0.06
PPG D -0.56 0.06
MLM B 1.72 0.06
ORI A 0.33 0.06
FTV D 0.42 0.06
XPO D 4.08 0.06
AIZ C 0.98 0.06
WHR F -0.05 0.06
TSCO B 1.02 0.06
CMG B 1.07 0.06
ZIM B 4.16 0.06
AFG B 0.67 0.06
HOLX A 1.27 0.05
BJ B 1.22 0.05
FTNT D 1.74 0.05
IRM B 0.99 0.05
DAL A 0.43 0.05
CHRD B 0.56 0.05
TMHC C 3.72 0.05
DASH B 1.64 0.05
HSY D 0.40 0.05
MATX D 0.57 0.05
CCK B -1.04 0.05
HII C -0.01 0.05
NDAQ A -0.18 0.05
MELI F 1.96 0.05
AVY D -0.21 0.05
ULTA F 0.31 0.05
MAN B 1.04 0.05
BAH B 2.06 0.05
GRMN A 1.06 0.05
WDAY D 1.30 0.05
PVH C 2.80 0.05
LPLA B 0.99 0.05
ACM A 1.57 0.05
TPR D -2.16 0.05
GPI B 4.13 0.05
ELAN D 4.10 0.05
OTIS A 1.23 0.05
LPX D 0.90 0.05
TDG A 3.45 0.05
LBRDK F 0.30 0.05
DXC C 3.62 0.05
AA A -0.80 0.05
CMS B -0.08 0.05
RL C 3.77 0.05
HRL A 0.00 0.05
AKAM F 0.87 0.05
OSK A 0.74 0.05
SM B 1.97 0.05
IT D 1.63 0.05
THO D 2.04 0.05
DK B 0.51 0.05
BCC B 4.60 0.05
BIIB F -0.48 0.05
FAST D 0.09 0.05
CASY A -0.05 0.05
CHRW D -0.58 0.05
CDNS D -1.14 0.05
BERY F -0.79 0.05
AVT A 2.30 0.05
CAG A 0.55 0.05
ANET D 2.33 0.05
K A 0.28 0.05
VMC C 1.91 0.05
ZBH D 0.61 0.05
EW D 0.91 0.05
GDDY A 1.64 0.05
HUBB A 1.90 0.04
SCI C 2.06 0.04
STE D 2.53 0.04
TDY D 0.74 0.04
XRX F -10.11 0.04
ANDE A 2.48 0.04
ZM F 3.49 0.04
TER D 2.14 0.04
TWLO D 2.93 0.04
EFX D 2.53 0.04
AVTR A 5.08 0.04
RRC A 1.30 0.04
AMG B -0.10 0.04
YUM A 0.75 0.04
CPRI F -3.82 0.04
AMKR D 1.73 0.04
IPG D -0.13 0.04
HSIC D 1.00 0.04
SOLV C 2.30 0.04
CHD A 0.72 0.04
H D 2.20 0.04
HRB B 0.78 0.04
UGI B 0.20 0.04
CPNG A 1.16 0.04
FLR A 2.28 0.04
CIVI B 0.47 0.04
KNX F 2.24 0.04
JNPR D -0.64 0.04
CMC B -1.18 0.04
SJM D 0.20 0.04
MTDR B 0.71 0.04
UFPI C 1.28 0.04
DDS B 6.45 0.04
MSCI F -13.43 0.04
CNX A -0.12 0.04
ON F 1.70 0.04
SNA D 1.04 0.04
WCC B 2.03 0.04
QRTEA D 3.60 0.04
PAYX C 0.32 0.04
ABG A 2.46 0.04
ALV B 0.61 0.04
CVI D 1.78 0.04
BEN D -0.98 0.04
BWA B 0.76 0.04
NXST C 1.30 0.04
RRX C 1.87 0.04
GT F 1.35 0.04
FYBR D 4.91 0.04
ROK F 1.05 0.04
FAF B 1.89 0.04
AES A 2.57 0.04
KEYS D 1.42 0.04
SSNC C -0.41 0.04
SIG B 0.97 0.04
APTV F 0.21 0.04
JBHT F 0.10 0.04
NI A 0.07 0.04
HUN F -0.46 0.04
MUR B 0.24 0.04
HWM C 2.91 0.04
THG B 0.17 0.03
PAG D 2.13 0.03
DBX D 0.69 0.03
CLX C 1.41 0.03
OGE A -0.35 0.03
TTWO F 1.26 0.03
SANM C 3.80 0.03
INGR C 0.02 0.03
CC D 1.14 0.03
NWL D 2.74 0.03
DXCM B 1.89 0.03
MTD C 3.49 0.03
POOL C 2.49 0.03
CSGP D -0.81 0.03
MNST D 0.24 0.03
BRO C 0.52 0.03
ANSS D 0.36 0.03
ZBRA D 1.81 0.03
BC C 1.70 0.03
HST D 1.53 0.03
BURL D 1.75 0.03
LNT A 0.16 0.03
ODP B 4.85 0.03
RHI D 0.04 0.03
ASO C 3.19 0.03
ALGN C 3.68 0.03
WU B 0.75 0.03
ARMK A -0.47 0.03
LYV D 1.85 0.03
DOX D 0.30 0.03
IDXX D 2.97 0.03
CZR F 1.82 0.03
UAL A 0.17 0.03
GPK B -1.13 0.03
AOS A 1.17 0.03
MKC A 0.44 0.03
WSO A 1.74 0.03
ATKR A 3.71 0.03
AAP B 1.01 0.03
VLTO A 2.73 0.03
CACI A 1.69 0.03
BR D 0.86 0.03
XYL A 1.35 0.03
CBOE C -0.65 0.03
SBAC F 0.76 0.03
CPRT B 1.89 0.03

Recent News for Invesco Strategic US ETF & its Holdings

Date Stock Title
Apr 24 TSLA Tesla could start selling Optimus robots by the end of next year, Musk says
Apr 24 TSLA Dow Jones Futures: Market Rallies, But Big Tests Loom; Tesla Soars On 'Affordable' EV, Elon Musk
Apr 24 V Visa Inc. (V) Q2 2024 Earnings Call Transcript
Apr 23 GOOGL Google Delays Phase-Out of Browser Trackers to Next Year
Apr 23 TSLA Tesla’s Q1 revenue falls 9% amid mass layoffs in California, Texas
Apr 23 SHW Sherwin-Williams: Like Watching Paint Dry
Apr 23 TSLA Asia Stocks to Rise as Tesla Buoys US Tech Giants: Markets Wrap
Apr 23 AMZN Amazon Web Services Expands Bedrock GenAI Service
Apr 23 DAL Delta Air Lines Inc President Glen Hauenstein Sells 100,000 Shares
Apr 23 TSLA Tesla to speed up rollout of cheaper electric cars
Apr 23 TSLA Tesla Investor Relations Head Leaving Company
Apr 23 TXN Texas Instruments Incorporated (TXN) Q1 2024 Earnings Call Transcript
Apr 23 TSLA Tesla Earnings Fall To Lowest Since 2021. Tesla Stock Surges Late On 'Affordable' EV.
Apr 23 CSGP CoStar Group Reports Mixed Q1 2024 Earnings, Misses EPS Estimates But Sees Revenue Growth
Apr 23 BKR Baker Hughes Co (BKR) Q1 2024 Earnings: Surpasses Revenue Forecasts with Strong Year-Over-Year ...
Apr 23 TSLA Tesla's Q1: Disaster Quarter Or Not?
Apr 23 TSLA Elon Musk Underscores Tesla's Self-Driving Push, Hints at 'Cybercab'
Apr 23 TSLA Musk Says Sales Will Grow This Year
Apr 23 ORCL Oracle Is Moving to Nashville, Founder Larry Ellison Says
Apr 23 GOOGL Karol G, Peso Pluma Propel US Latin Music Revenue To New Heights, Reaches $1.4B
The investment seeks to track the investment results (before fees and expenses) of the Invesco Strategic US Index (the "underlying index"). The fund generally will invest at least 80% of its total assets in securities that comprise the underlying index. It generally invests in all of the securities comprising its underlying index in proportion to their weightings in the underlying index. The underlying index is designed to measure the performance of equity securities issued by higher quality, large-business-sized companies designated as U.S. companies. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund Structured Finance Invesco
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