BSCX

Invesco BulletShares 2033 Corporate Bond ETF BSCX

21.43 $ -0.09 %

Market capitalization

$ 822.878 M

Ratio P/E

0.00

Volume

162.053 K

Beta

0.39

EPS

0.00

Dividend

$ 1.03861

Price History

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Inside Invesco BulletShares 2033 Corporate Bond ETF

Symbol Name Share number Weight Value
AMGN Amgen Inc 14871000 1.882 % 15.380 M $
T AT&T Inc 13148000 1.37 % 11.194 M $
TMUS T-Mobile USA Inc 9134000 1.139 % 9.310 M $
ENBCN Enbridge Inc 8045000 1.038 % 8.480 M $
PM Philip Morris International Inc 7873000 1.005 % 8.215 M $
INTC Intel Corp 7867000 0.986 % 8.055 M $
BPLN BP Capital Markets America Inc 7870000 0.977 % 7.980 M $
SANTAN Banco Santander SA 7052000 0.958 % 7.828 M $
AVGO Broadcom Inc 8100000 0.92 % 7.517 M $
VZ Verizon Communications Inc 7475000 0.9 % 7.357 M $
UNH UnitedHealth Group Inc 7023000 0.895 % 7.312 M $
SUMIBK Sumitomo Mitsui Financial Group Inc 6033000 0.788 % 6.436 M $
META Meta Platforms Inc 6119000 0.771 % 6.298 M $
CVS CVS Health Corp 6118000 0.77 % 6.293 M $
RY Royal Bank of Canada 5970000 0.751 % 6.137 M $
SANTAN Banco Santander SA 5321000 0.745 % 6.091 M $
JBSSBZ JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 5729000 0.731 % 5.973 M $
CMCSA Comcast Corp 5920000 0.706 % 5.769 M $
ET Energy Transfer LP 5245000 0.704 % 5.753 M $
OKE ONEOK Inc 5229000 0.681 % 5.561 M $
ET Energy Transfer LP 5249000 0.675 % 5.516 M $
LHX L3Harris Technologies Inc 5270000 0.673 % 5.496 M $
KMI Kinder Morgan Inc 5247000 0.66 % 5.394 M $
BPLN BP Capital Markets America Inc 5267000 0.656 % 5.363 M $
AVGO Broadcom Inc 6037000 0.652 % 5.324 M $
AMZN Amazon.com Inc 5300000 0.648 % 5.292 M $
MRK Merck & Co Inc 5245000 0.647 % 5.290 M $
WMT Walmart Inc 5267000 0.643 % 5.254 M $
UNH UnitedHealth Group Inc 5245000 0.637 % 5.206 M $
CQP Cheniere Energy Partners LP 4876000 0.632 % 5.164 M $
ORCL Oracle Corp 5265000 0.629 % 5.141 M $
FOXA Fox Corp 4370000 0.59 % 4.818 M $
BATSLN BAT Capital Corp 4370000 0.589 % 4.815 M $
AER AerCap Ireland Capital DAC / AerCap Global Aviation Trust 5246000 0.578 % 4.727 M $
RRX Regal Rexnord Corp 4367000 0.574 % 4.690 M $
FISV Fiserv Inc 4545000 0.573 % 4.685 M $
F Ford Motor Credit Co LLC 4305000 0.566 % 4.624 M $
HCA HCA Inc 4390000 0.56 % 4.574 M $
INTU Intuit Inc 4368000 0.558 % 4.562 M $
RTX RTX Corp 4351000 0.552 % 4.510 M $
TMUS T-Mobile USA Inc 4371000 0.552 % 4.511 M $
DUK Duke Energy Carolinas LLC 4371000 0.55 % 4.498 M $
CVS CVS Health Corp 4369000 0.55 % 4.495 M $
ETN Eaton Corp 4566000 0.55 % 4.495 M $
BLK Blackrock Inc 4390000 0.549 % 4.486 M $
LOW Lowe's Cos Inc 4391000 0.549 % 4.487 M $
KVUE Kenvue Inc 4370000 0.545 % 4.455 M $
APH Amphenol Corp 4390000 0.531 % 4.341 M $
PCG Pacific Gas and Electric Co 4023000 0.531 % 4.337 M $
CM Canadian Imperial Bank of Commerce 3834000 0.51 % 4.171 M $
FANG Diamondback Energy Inc 3834000 0.506 % 4.134 M $
CHTR Time Warner Cable Enterprises LLC 3512000 0.498 % 4.070 M $
HPQ HP Inc 3864000 0.488 % 3.985 M $
HON Honeywell International Inc 3829000 0.482 % 3.942 M $
GS Goldman Sachs Group Inc/The 3575000 0.48 % 3.921 M $
MPLX MPLX LP 3864000 0.476 % 3.887 M $
BMY Bristol-Myers Squibb Co 3452000 0.462 % 3.778 M $
GM General Motors Financial Co Inc 3496000 0.461 % 3.769 M $
SJM J M Smucker Co/The 3455000 0.458 % 3.741 M $
PM Philip Morris International Inc 3511000 0.455 % 3.721 M $
IR Ingersoll Rand Inc 3497000 0.454 % 3.709 M $
MET MetLife Inc 3509000 0.452 % 3.689 M $
LMT Lockheed Martin Corp 3507000 0.451 % 3.681 M $
GILD Gilead Sciences Inc 3513000 0.451 % 3.685 M $
DE John Deere Capital Corp 3507000 0.449 % 3.669 M $
DELL Dell International LLC / EMC Corp 3452000 0.445 % 3.636 M $
TMO Thermo Fisher Scientific Inc 3497000 0.444 % 3.625 M $
DG Dollar General Corp 3484000 0.442 % 3.608 M $
EPD Enterprise Products Operating LLC 3459000 0.442 % 3.615 M $
LOW Lowe's Cos Inc 3497000 0.441 % 3.606 M $
COP ConocoPhillips Co 3494000 0.44 % 3.597 M $
VZ Verizon Communications Inc 3495000 0.438 % 3.581 M $
LLY Eli Lilly & Co 3496000 0.437 % 3.571 M $
NEE NextEra Energy Capital Holdings Inc 3489000 0.436 % 3.566 M $
GIS General Mills Inc 3512000 0.436 % 3.560 M $
AAPL Apple Inc 3494000 0.434 % 3.546 M $
CMCSA Comcast Corp 3507000 0.433 % 3.534 M $
KEY KeyBank NA/Cleveland OH 3502000 0.432 % 3.533 M $
PEP PepsiCo Inc 3480000 0.432 % 3.534 M $
NOC Northrop Grumman Corp 3501000 0.432 % 3.530 M $
SO Georgia Power Co 3460000 0.431 % 3.524 M $
MDT Medtronic Global Holdings SCA 3515000 0.43 % 3.516 M $
ELV Elevance Health Inc 3510000 0.43 % 3.515 M $
CMCSA Comcast Corp 3482000 0.426 % 3.482 M $
TXN Texas Instruments Inc 3340000 0.421 % 3.441 M $
PPC Pilgrim's Pride Corp 3215000 0.421 % 3.441 M $
TRGP Targa Resources Corp 3164000 0.414 % 3.382 M $
SUMIBK Sumitomo Mitsui Financial Group Inc 3155000 0.413 % 3.378 M $
DGELN Diageo Capital PLC 3145000 0.409 % 3.345 M $
MU Micron Technology Inc 3109000 0.405 % 3.308 M $
FISV Fiserv Inc 3160000 0.399 % 3.258 M $
UPS United Parcel Service Inc 3145000 0.397 % 3.241 M $
CHTR Charter Communications Operating LLC / Charter Communications Operating Capital 3460000 0.397 % 3.244 M $
PSX Phillips 66 Co 3139000 0.396 % 3.238 M $
RY Royal Bank of Canada 3133000 0.394 % 3.222 M $
UNP Union Pacific Corp 3118000 0.385 % 3.144 M $
AEP American Electric Power Co Inc 2981000 0.384 % 3.137 M $
AMT American Tower Corp 2962000 0.379 % 3.097 M $
EXC Exelon Corp 2970000 0.378 % 3.087 M $
BCECN Bell Telephone Co of Canada or Bell Canada 2985000 0.37 % 3.025 M $
JNJ Johnson & Johnson 2980000 0.37 % 3.023 M $
ENBCN Enbridge Inc 3516000 0.368 % 3.010 M $
TRMB Trimble Inc 2791000 0.367 % 3.000 M $
NGGLN National Grid PLC 2812000 0.366 % 2.994 M $
CMCSA Comcast Corp 2612000 0.365 % 2.980 M $
ONCRTX Oncor Electric Delivery Co LLC 2796000 0.364 % 2.973 M $
PG Procter & Gamble Co/The 2960000 0.361 % 2.953 M $
CI Cigna Group/The 2813000 0.358 % 2.927 M $
AMT American Tower Corp 2783000 0.358 % 2.928 M $
DGX Quest Diagnostics Inc 2637000 0.357 % 2.919 M $
UNANA Unilever Capital Corp 2805000 0.356 % 2.910 M $
XEL Xcel Energy Inc 2800000 0.354 % 2.891 M $
ARE Alexandria Real Estate Equities Inc 3514000 0.351 % 2.866 M $
RIOLN Rio Tinto Alcan Inc 2616000 0.35 % 2.861 M $
EXR Extra Space Storage LP 2811000 0.347 % 2.832 M $
ES Eversource Energy 2806000 0.347 % 2.833 M $
NOMURA Nomura Holdings Inc 2610000 0.346 % 2.831 M $
SYF Synchrony Financial 2635000 0.344 % 2.809 M $
AMT American Tower Corp 2633000 0.344 % 2.809 M $
PCG Pacific Gas and Electric Co 2632000 0.342 % 2.794 M $
TMUS T-Mobile USA Inc 2810000 0.342 % 2.793 M $
MU Micron Technology Inc 2623000 0.341 % 2.788 M $
DGELN Diageo Capital PLC 2621000 0.338 % 2.763 M $
WMB Williams Cos Inc/The 2623000 0.338 % 2.758 M $
LDOS Leidos Inc 2612000 0.338 % 2.761 M $
ATO Atmos Energy Corp 2548000 0.338 % 2.759 M $
HUM Humana Inc 2619000 0.337 % 2.751 M $
WES Western Midstream Operating LP 2599000 0.337 % 2.752 M $
SPGI S&P Global Inc 2615000 0.336 % 2.742 M $
FFHCN Fairfax Financial Holdings Ltd 2593000 0.336 % 2.746 M $
AON Aon Corp / Aon Global Holdings PLC 2632000 0.335 % 2.739 M $
AMP Ameriprise Financial Inc 2637000 0.335 % 2.737 M $
WTW Willis North America Inc 2634000 0.333 % 2.720 M $
ALL Allstate Corp/The 2622000 0.333 % 2.721 M $
MA Mastercard Inc 2636000 0.332 % 2.709 M $
AIG American International Group Inc 2633000 0.331 % 2.706 M $
TSCO Tractor Supply Co 2609000 0.33 % 2.698 M $
SO Southern Co/The 2624000 0.33 % 2.695 M $
NEE Florida Power & Light Co 2595000 0.329 % 2.688 M $
NEE Florida Power & Light Co 2630000 0.328 % 2.683 M $
D Virginia Electric and Power Co 2615000 0.327 % 2.672 M $
IBM International Business Machines Corp 2623000 0.326 % 2.667 M $
PLD Prologis LP 2632000 0.325 % 2.654 M $
MPLX MPLX LP 2634000 0.324 % 2.644 M $
CBG CBRE Services Inc 2632000 0.324 % 2.645 M $
STZ Constellation Brands Inc 2635000 0.324 % 2.644 M $
KMI Kinder Morgan Inc 2638000 0.324 % 2.649 M $
CCI Crown Castle Inc 2594000 0.32 % 2.619 M $
QCOM QUALCOMM Inc 2461000 0.319 % 2.606 M $
BATSLN BAT Capital Corp 2630000 0.319 % 2.610 M $
WCNCN Waste Connections Inc 2634000 0.316 % 2.581 M $
MRK Merck & Co Inc 2272000 0.315 % 2.574 M $
SRE Sempra 2460000 0.314 % 2.569 M $
AMGN Amgen Inc 2630000 0.314 % 2.569 M $
VLTO Veralto Corp 2446000 0.312 % 2.550 M $
PSA Public Storage Operating Co 2459000 0.312 % 2.548 M $
TT Trane Technologies Financing Ltd 2444000 0.311 % 2.539 M $
ETR Entergy Louisiana LLC 2634000 0.31 % 2.536 M $
TRGP Targa Resources Corp 2633000 0.308 % 2.513 M $
EL Estee Lauder Cos Inc/The 2454000 0.302 % 2.466 M $
C Citigroup Inc 2294000 0.302 % 2.470 M $
CMS Consumers Energy Co 2440000 0.3 % 2.449 M $
BXP Boston Properties LP 2970000 0.299 % 2.446 M $
SUMIBK Sumitomo Mitsui Financial Group Inc 2270000 0.297 % 2.424 M $
NRUC National Rural Utilities Cooperative Finance Corp 2248000 0.295 % 2.411 M $
SPG Simon Property Group LP 2285000 0.294 % 2.405 M $
BAH Booz Allen Hamilton Inc 2269000 0.29 % 2.373 M $
RSG Republic Services Inc 2278000 0.289 % 2.357 M $
R Ryder System Inc 2096000 0.287 % 2.343 M $
BFB Brown-Forman Corp 2286000 0.284 % 2.319 M $
AGPXX Invesco Government & Agency Portfolio 2314284.75 0.283 % 2.314 M $
NOMURA Nomura Holdings Inc 2111000 0.279 % 2.279 M $
KIM Kimco Realty OP LLC 2278000 0.278 % 2.271 M $
PLD Prologis LP 2238000 0.276 % 2.259 M $
DUK Duke Energy Florida LLC 2087000 0.276 % 2.256 M $
DOW Dow Chemical Co/The 2108000 0.275 % 2.244 M $
LKQ LKQ Corp 2105000 0.275 % 2.248 M $
FBINUS Fortune Brands Innovations Inc 2111000 0.273 % 2.233 M $
DUK Duke Energy Corp 2098000 0.272 % 2.225 M $
OVV Ovintiv Inc 2086000 0.272 % 2.219 M $
CEG Constellation Energy Generation LLC 2087000 0.272 % 2.226 M $
MMC Marsh & McLennan Cos Inc 2107000 0.271 % 2.215 M $
HEI HEICO Corp 2108000 0.269 % 2.195 M $
HES Hess Corp 1891000 0.269 % 2.198 M $
CSX CSX Corp 2106000 0.268 % 2.192 M $
OHI Omega Healthcare Investors Inc 2457000 0.266 % 2.176 M $
MCD McDonald's Corp 2106000 0.266 % 2.171 M $
DTE DTE Electric Co 2091000 0.266 % 2.174 M $
MCK McKesson Corp 2098000 0.265 % 2.168 M $
PPL PPL Electric Utilities Corp 2095000 0.263 % 2.149 M $
RSG Republic Services Inc 2461000 0.263 % 2.147 M $
CNP CenterPoint Energy Houston Electric LLC 2109000 0.263 % 2.147 M $
MAR Marriott International Inc/MD 2454000 0.262 % 2.143 M $
APD Air Products and Chemicals Inc 2096000 0.261 % 2.130 M $
O Realty Income Corp 2104000 0.261 % 2.131 M $
PSJHOG Providence St Joseph Health Obligated Group 2052000 0.259 % 2.117 M $
INVH Invitation Homes Operating Partnership LP 2100000 0.259 % 2.113 M $
GLPI GLP Capital LP / GLP Financing II Inc 2100000 0.257 % 2.099 M $
CTVA EIDP Inc 2073000 0.254 % 2.073 M $
BNCN Brookfield Capital Finance LLC 1928000 0.252 % 2.057 M $
EXC PECO Energy Co 2017000 0.252 % 2.062 M $
KMI Kinder Morgan Energy Partners LP 1754000 0.246 % 2.012 M $
EPD Enterprise Products Operating LLC 1759000 0.244 % 1.997 M $
TRV Travelers Property Casualty Corp 1742000 0.24 % 1.959 M $
MO Altria Group Inc 1728000 0.239 % 1.956 M $
AZO AutoZone Inc 1755000 0.239 % 1.951 M $
AZO AutoZone Inc 1928000 0.236 % 1.930 M $
APO Apollo Global Management Inc 1738000 0.234 % 1.913 M $
DRI Darden Restaurants Inc 1757000 0.233 % 1.901 M $
CNXC Concentrix Corp 1907000 0.233 % 1.901 M $
SW WRKCo Inc 2106000 0.23 % 1.878 M $
NDSN Nordson Corp 1758000 0.229 % 1.870 M $
SO Southern Co Gas Capital Corp 1759000 0.228 % 1.865 M $
VRSK Verisk Analytics Inc 1753000 0.227 % 1.855 M $
JNJ Johnson & Johnson 1758000 0.227 % 1.854 M $
MRVL Marvell Technology Inc 1726000 0.226 % 1.843 M $
D Dominion Energy Inc 1795000 0.226 % 1.844 M $
NNN NNN REIT Inc 1757000 0.225 % 1.837 M $
PNW Arizona Public Service Co 1760000 0.225 % 1.840 M $
MGCN Magna International Inc 1756000 0.224 % 1.828 M $
ALLY Ally Financial Inc 1753000 0.224 % 1.828 M $
J Jacobs Engineering Group Inc 1743000 0.224 % 1.828 M $
ED Consolidated Edison Co of New York Inc 1758000 0.224 % 1.829 M $
EQH Equitable Holdings Inc 1753000 0.224 % 1.831 M $
NVT nVent Finance Sarl 1758000 0.224 % 1.827 M $
PEG Public Service Electric and Gas Co 1760000 0.224 % 1.829 M $
DUK Duke Energy Progress LLC 1754000 0.224 % 1.829 M $
TOYOTA Toyota Motor Corp 1752000 0.223 % 1.821 M $
AZN Astrazeneca Finance LLC 1753000 0.222 % 1.810 M $
EMN Eastman Chemical Co 1728000 0.221 % 1.808 M $
PGR Progressive Corp/The 1758000 0.221 % 1.805 M $
AMCR Amcor Finance USA Inc 1730000 0.221 % 1.802 M $
AEE Ameren Illinois Co 1758000 0.22 % 1.799 M $
CL Colgate-Palmolive Co 1753000 0.219 % 1.793 M $
SRE Southern California Gas Co 1732000 0.219 % 1.786 M $
MKC McCormick & Co Inc/MD 1758000 0.218 % 1.779 M $
WM Waste Management Inc 1759000 0.218 % 1.784 M $
SBUX Starbucks Corp 1758000 0.218 % 1.778 M $
TOYOTA Toyota Motor Credit Corp 1759000 0.218 % 1.783 M $
LYB LYB International Finance III LLC 1755000 0.218 % 1.784 M $
MOS Mosaic Co/The 1729000 0.218 % 1.782 M $
PEG Public Service Electric and Gas Co 1758000 0.217 % 1.771 M $
UPMCHS UPMC 1730000 0.216 % 1.767 M $
DOC Healthpeak OP LLC 1760000 0.215 % 1.755 M $
ADM Archer-Daniels-Midland Co 1758000 0.215 % 1.759 M $
TGT Target Corp 1758000 0.214 % 1.752 M $
NSC Norfolk Southern Corp 1748000 0.214 % 1.745 M $
FMC FMC Corp 1760000 0.193 % 1.579 M $
USD CASH & EQUIVALENTS 2587.66 0 % 2.588 K $