BSCW

Invesco Bulletshares 2032 Corporate Bond ETF BSCW

21.01 $ 0.00 %

Market capitalization

$ 1.056 B

Ratio P/E

0.00

Volume

1.291 M

Beta

1.25

EPS

0.00

Dividend

$ 1.00801

Price History

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Inside Invesco Bulletshares 2032 Corporate Bond ETF

Symbol Name Share number Weight Value
Broadcom Inc 23411000 2.269 % 24.092 M $
Amazon.com Inc 19479000 1.863 % 19.778 M $
Toronto-Dominion Bank/The 19773000 1.829 % 19.416 M $
Ford Motor Co 17402500 1.55 % 16.453 M $
Verizon Communications Inc 18124000 1.504 % 15.966 M $
Oracle Corp 14331000 1.469 % 15.597 M $
AerCap Ireland Capital DAC / AerCap Global Aviation Trust 16371000 1.433 % 15.219 M $
UnitedHealth Group Inc 12280000 1.181 % 12.541 M $
Meta Platforms Inc 12194000 1.127 % 11.961 M $
International Business Machines Corp 11026000 1.063 % 11.285 M $
HCA Inc 11262000 1.031 % 10.949 M $
BAT Capital Corp 10205000 1.029 % 10.928 M $
NextEra Energy Capital Holdings Inc 10977000 1.022 % 10.847 M $
Apple Inc 10239000 0.958 % 10.171 M $
Home Depot Inc/The 10235000 0.952 % 10.105 M $
Sprint Capital Corp 8185000 0.945 % 10.037 M $
T-Mobile USA Inc 9214000 0.854 % 9.069 M $
AT&T Inc 10235000 0.852 % 9.043 M $
Block Inc 8145000 0.815 % 8.648 M $
PepsiCo Inc 8608000 0.814 % 8.642 M $
Eli Lilly & Co 8196000 0.795 % 8.442 M $
Elevance Health Inc 8107000 0.781 % 8.295 M $
Chevron USA Inc 7784000 0.756 % 8.024 M $
Intel Corp 8191000 0.751 % 7.973 M $
General Motors Financial Co Inc 8192000 0.749 % 7.955 M $
GE HealthCare Technologies Inc 7140000 0.74 % 7.854 M $
Haleon US Capital LLC 8135000 0.729 % 7.738 M $
Rogers Communications Inc 7978000 0.713 % 7.569 M $
BP Capital Markets America Inc 8192000 0.706 % 7.500 M $
Amgen Inc 8089000 0.694 % 7.373 M $
Waste Management Inc 7171000 0.688 % 7.300 M $
Comcast Corp 6749000 0.68 % 7.216 M $
Mastercard Inc 6731000 0.649 % 6.887 M $
Philip Morris International Inc 6120000 0.629 % 6.679 M $
Bristol-Myers Squibb Co 7163000 0.623 % 6.617 M $
Paychex Inc 6140000 0.616 % 6.544 M $
ONEOK Inc 6107000 0.606 % 6.436 M $
QUALCOMM Inc 7087000 0.603 % 6.398 M $
Altria Group Inc 7170000 0.598 % 6.352 M $
VICI Properties LP 6110000 0.594 % 6.303 M $
Synopsys Inc 6139000 0.593 % 6.298 M $
General Electric Co 5364000 0.578 % 6.135 M $
Marriott International Inc/MD 6160000 0.571 % 6.064 M $
Corebridge Financial Inc 6139000 0.565 % 6.001 M $
Realty Income Corp 5908000 0.557 % 5.918 M $
Micron Technology Inc 6137000 0.556 % 5.908 M $
Lowe's Cos Inc 6140000 0.555 % 5.887 M $
S&P Global Inc 6106000 0.53 % 5.631 M $
Baxter International Inc 6309000 0.526 % 5.582 M $
Florida Power & Light Co 6140000 0.523 % 5.558 M $
General Motors Co 5117000 0.515 % 5.470 M $
Johnson & Johnson 5118000 0.503 % 5.345 M $
EOG Resources Inc 5118000 0.501 % 5.319 M $
Southern California Edison Co 5158000 0.488 % 5.180 M $
Walmart Inc 5117000 0.486 % 5.159 M $
Simon Property Group LP 5719000 0.482 % 5.119 M $
Mondelez International Inc 5599000 0.472 % 5.012 M $
Workday Inc 5118000 0.462 % 4.901 M $
Kinder Morgan Inc 4107000 0.457 % 4.857 M $
Equinix Inc 4917000 0.454 % 4.819 M $
Motorola Solutions Inc 4478000 0.449 % 4.765 M $
Duke Energy Corp 4716000 0.445 % 4.726 M $
Union Pacific Corp 5118000 0.444 % 4.718 M $
ArcelorMittal SA 4096000 0.441 % 4.678 M $
Expand Energy Corp 4717000 0.441 % 4.683 M $
Morgan Stanley 4024000 0.44 % 4.670 M $
Citigroup Inc 4097000 0.437 % 4.639 M $
Northern Trust Corp 4086000 0.432 % 4.584 M $
Unilever Capital Corp 4076000 0.431 % 4.574 M $
Brown & Brown Inc 4501000 0.426 % 4.518 M $
John Deere Capital Corp 4517000 0.425 % 4.517 M $
Cheniere Energy Partners LP 4909000 0.425 % 4.513 M $
National Rural Utilities Cooperative Finance Corp 4479000 0.404 % 4.287 M $
Automatic Data Processing Inc 4077000 0.402 % 4.265 M $
Cisco Systems Inc 4096000 0.402 % 4.269 M $
Blackstone Private Credit Fund 4086000 0.402 % 4.268 M $
Waste Connections Inc 4676000 0.401 % 4.260 M $
Dell International LLC / EMC Corp 4097000 0.4 % 4.244 M $
Occidental Petroleum Corp 4097000 0.399 % 4.240 M $
KLA Corp 4077000 0.395 % 4.189 M $
PayPal Holdings Inc 4097000 0.393 % 4.171 M $
Ares Capital Corp 4077000 0.393 % 4.173 M $
Target Corp 4096000 0.39 % 4.143 M $
Williams Cos Inc/The 4096000 0.389 % 4.128 M $
ORIX Corp 4056000 0.388 % 4.121 M $
MPLX LP 4076000 0.388 % 4.121 M $
Welltower OP LLC 4276000 0.381 % 4.045 M $
Royal Bank of Canada 4086000 0.38 % 4.040 M $
Canadian Imperial Bank of Commerce 4077000 0.372 % 3.954 M $
Targa Resources Partners LP / Targa Resources Partners Finan 4096000 0.37 % 3.933 M $
CSX Corp 3896000 0.367 % 3.901 M $
Paramount Global 4076000 0.365 % 3.872 M $
Berkshire Hathaway Finance Corp 4076000 0.36 % 3.819 M $
Starbucks Corp 4076000 0.356 % 3.777 M $
Charles Schwab Corp/The 4087000 0.353 % 3.748 M $
Dominion Energy Inc 3486000 0.349 % 3.705 M $
RTX Corp 4086000 0.342 % 3.632 M $
Blackrock Inc 4103000 0.341 % 3.617 M $
Costco Wholesale Corp 4076000 0.337 % 3.574 M $
O'Reilly Automotive Inc 3485000 0.336 % 3.568 M $
Valero Energy Corp 2969000 0.333 % 3.538 M $
Credit Suisse USA LLC 3023000 0.332 % 3.529 M $
Charter Communications Operating LLC / Charter Communication 4077000 0.331 % 3.515 M $
Capital One Financial Corp 3057000 0.325 % 3.449 M $
TELUS Corp 3665000 0.324 % 3.440 M $
Keurig Dr Pepper Inc 3466000 0.319 % 3.392 M $
AES Corp/The 3270000 0.317 % 3.363 M $
Pilgrim's Pride Corp 3644000 0.317 % 3.364 M $
Zoetis Inc 3074000 0.315 % 3.349 M $
American Water Capital Corp 3274000 0.314 % 3.331 M $
Cintas Corp No 2 3254000 0.306 % 3.247 M $
Ford Motor Credit Co LLC 3094000 0.306 % 3.247 M $
Lockheed Martin Corp 3254000 0.304 % 3.227 M $
American Honda Finance Corp 3094000 0.303 % 3.215 M $
Procter & Gamble Co/The 3490000 0.301 % 3.199 M $
Kenvue Inc 3074000 0.3 % 3.185 M $
Ares Strategic Income Fund 3065000 0.299 % 3.175 M $
Fairfax Financial Holdings Ltd 3020000 0.299 % 3.172 M $
Fidelity National Information Services Inc 3054000 0.299 % 3.173 M $
Canadian National Railway Co 3255000 0.298 % 3.166 M $
Global Payments Inc 3055000 0.297 % 3.156 M $
CVS Health Corp 3080000 0.297 % 3.152 M $
Alexandria Real Estate Equities Inc 3665000 0.295 % 3.133 M $
AutoZone Inc 3055000 0.293 % 3.115 M $
Weyerhaeuser Co 2697000 0.293 % 3.108 M $
McDonald's Corp 3054000 0.293 % 3.114 M $
Bank of Nova Scotia/The 3460000 0.292 % 3.097 M $
KeyBank NA/Cleveland OH 3065000 0.29 % 3.083 M $
Bio-Rad Laboratories Inc 3244000 0.287 % 3.051 M $
Boston Properties LP 3486000 0.285 % 3.027 M $
GLP Capital LP / GLP Financing II Inc 3270000 0.28 % 2.973 M $
Dollar General Corp 2874000 0.28 % 2.972 M $
Georgia Power Co 2874000 0.28 % 2.974 M $
Newmont Corp 3236000 0.278 % 2.951 M $
Constellation Brands Inc 2875000 0.278 % 2.954 M $
Manulife Financial Corp 3055000 0.277 % 2.939 M $
Toyota Motor Credit Corp 2850000 0.272 % 2.889 M $
Oncor Electric Delivery Co LLC 2850000 0.27 % 2.862 M $
Xcel Energy Inc 2839000 0.27 % 2.871 M $
Eaton Corp 2864000 0.27 % 2.865 M $
MetLife Inc 2443000 0.266 % 2.820 M $
Dick's Sporting Goods Inc 3048000 0.266 % 2.824 M $
Archer-Daniels-Midland Co 3054000 0.265 % 2.811 M $
McKesson Corp 2684000 0.264 % 2.802 M $
Honda Motor Co Ltd 3034000 0.262 % 2.778 M $
Nomura Holdings Inc 3054000 0.262 % 2.781 M $
CME Group Inc 3055000 0.262 % 2.786 M $
Air Lease Corp 3055000 0.26 % 2.758 M $
ConocoPhillips Co 2664000 0.26 % 2.760 M $
HP Inc 2779000 0.26 % 2.757 M $
Honeywell International Inc 2643000 0.256 % 2.721 M $
AutoNation Inc 2854000 0.254 % 2.694 M $
Diageo Capital PLC 3055000 0.253 % 2.682 M $
NetApp Inc 2544000 0.25 % 2.659 M $
Humana Inc 3075000 0.249 % 2.644 M $
Alabama Power Co 2854000 0.249 % 2.647 M $
Republic Services Inc 3055000 0.249 % 2.640 M $
Merck & Co Inc 2600000 0.248 % 2.638 M $
Deutsche Telekom International Finance BV 2033000 0.246 % 2.617 M $
Pacific Gas and Electric Co 2440000 0.245 % 2.604 M $
American Tower Corp 2663000 0.244 % 2.594 M $
Sumitomo Mitsui Financial Group Inc 2444000 0.244 % 2.593 M $
Allegion US Holding Co Inc 2434000 0.243 % 2.585 M $
Thermo Fisher Scientific Inc 2443000 0.242 % 2.573 M $
Nutrien Ltd 2464000 0.241 % 2.560 M $
AvalonBay Communities Inc 2875000 0.239 % 2.533 M $
Clorox Co/The 2444000 0.238 % 2.529 M $
Albemarle Corp 2444000 0.234 % 2.480 M $
Eversource Energy 2664000 0.234 % 2.483 M $
Sun Communities Operating LP 2464000 0.23 % 2.445 M $
Invitation Homes Operating Partnership LP 2444000 0.228 % 2.419 M $
Wisconsin Power and Light Co 2467000 0.224 % 2.381 M $
Essex Portfolio LP 2644000 0.223 % 2.368 M $
Southwest Gas Corp 2445000 0.223 % 2.365 M $
TWDC Enterprises 18 Corp 2033000 0.221 % 2.342 M $
ConocoPhillips 2091000 0.221 % 2.344 M $
American Homes 4 Rent LP 2444000 0.22 % 2.338 M $
Ecolab Inc 2646000 0.22 % 2.335 M $
Suncor Energy Inc 2034000 0.218 % 2.312 M $
Marsh & McLennan Cos Inc 2053000 0.213 % 2.263 M $
Norfolk Southern Corp 2444000 0.213 % 2.263 M $
Edison International 2264000 0.212 % 2.255 M $
American Electric Power Co Inc 2034000 0.211 % 2.240 M $
Southern Co/The 2054000 0.211 % 2.241 M $
Kimco Realty OP LLC 2417000 0.211 % 2.239 M $
Exelon Corp 2345000 0.208 % 2.203 M $
Church & Dwight Co Inc 2034000 0.208 % 2.208 M $
Tyco Electronics Group SA 2423000 0.206 % 2.185 M $
Citizens Financial Group Inc 2546000 0.206 % 2.183 M $
EIDP Inc 2074000 0.205 % 2.173 M $
Virginia Electric and Power Co 2444000 0.204 % 2.169 M $
Ventas Realty LP 2074000 0.204 % 2.163 M $
Brookfield Finance I UK Plc / Brookfield Finance Inc 2443000 0.203 % 2.152 M $
Host Hotels & Resorts LP 2038000 0.203 % 2.156 M $
Extra Space Storage LP 2452000 0.202 % 2.143 M $
Flex Ltd 2056000 0.201 % 2.137 M $
ERP Operating LP 2036000 0.201 % 2.133 M $
VeriSign Inc 2034000 0.201 % 2.135 M $
Sutter Health 2046000 0.201 % 2.138 M $
Leidos Inc 2034000 0.2 % 2.127 M $
Ralph Lauren Corp 2034000 0.2 % 2.123 M $
Hyatt Hotels Corp 2034000 0.2 % 2.128 M $
Kraft Heinz Foods Co 2053000 0.2 % 2.120 M $
Air Products and Chemicals Inc 2034000 0.2 % 2.126 M $
Hershey Co/The 2037000 0.199 % 2.116 M $
RELX Capital Inc 2034000 0.199 % 2.112 M $
Aon Corp / Aon Global Holdings PLC 2033000 0.198 % 2.104 M $
Southern Co Gas Capital Corp 2023000 0.197 % 2.089 M $
Wisconsin Electric Power Co 2034000 0.197 % 2.092 M $
Arthur J Gallagher & Co 2034000 0.197 % 2.097 M $
HF Sinclair Corp 2040000 0.197 % 2.091 M $
Nucor Corp 2244000 0.196 % 2.082 M $
Ameriprise Financial Inc 2033000 0.196 % 2.082 M $
AEP Texas Inc 2034000 0.196 % 2.078 M $
Roper Technologies Inc 2034000 0.195 % 2.074 M $
Appalachian Power Co 2054000 0.194 % 2.055 M $
CenterPoint Energy Resources Corp 2034000 0.192 % 2.038 M $
Advanced Micro Devices Inc 2054000 0.192 % 2.041 M $
Becton Dickinson & Co 2054000 0.192 % 2.038 M $
Laboratory Corp of America Holdings 2034000 0.191 % 2.030 M $
Moody's Corp 2034000 0.191 % 2.028 M $
CenterPoint Energy Houston Electric LLC 2034000 0.191 % 2.029 M $
WRKCo Inc 2023000 0.189 % 2.005 M $
GE Capital Funding LLC 1932000 0.188 % 1.991 M $
Take-Two Interactive Software Inc 2033000 0.188 % 2.001 M $
Carlisle Cos Inc 2254000 0.185 % 1.959 M $
Ameren Illinois Co 2034000 0.185 % 1.964 M $
Colgate-Palmolive Co 2037000 0.181 % 1.925 M $
Duke Energy Progress LLC 2034000 0.181 % 1.925 M $
DTE Electric Co 2053000 0.18 % 1.907 M $
FactSet Research Systems Inc 2033000 0.178 % 1.889 M $
Public Service Electric and Gas Co 2033000 0.178 % 1.890 M $
San Diego Gas & Electric Co 2054000 0.178 % 1.891 M $
Duke Energy Carolinas LLC 2057000 0.177 % 1.882 M $
Western Digital Corp 2056000 0.177 % 1.881 M $
Union Electric Co 2143000 0.177 % 1.880 M $
Progressive Corp/The 2034000 0.177 % 1.884 M $
Boardwalk Pipelines LP 2023000 0.177 % 1.884 M $
Arrow Electronics Inc 2056000 0.175 % 1.853 M $
Stanley Black & Decker Inc 2032000 0.175 % 1.861 M $
Tapestry Inc 2024000 0.174 % 1.846 M $
Sonoco Products Co 2024000 0.173 % 1.841 M $
CubeSmart LP 2056000 0.172 % 1.826 M $
Entergy Louisiana LLC 2054000 0.172 % 1.824 M $
Genuine Parts Co 2037000 0.172 % 1.823 M $
Flowserve Corp 2034000 0.171 % 1.818 M $
Cenovus Energy Inc 2033000 0.171 % 1.818 M $
Quanta Services Inc 2036000 0.17 % 1.805 M $
Jefferies Financial Group Inc 2033000 0.169 % 1.798 M $
Sherwin-Williams Co/The 2034000 0.168 % 1.783 M $
Avery Dennison Corp 2033000 0.167 % 1.770 M $
Prologis LP 1984000 0.166 % 1.758 M $
Bell Telephone Co of Canada or Bell Canada 1731000 0.141 % 1.496 M $
Cigna Group/The 750000 0.072 % 762.845 K $