BSCX

Invesco BulletShares 2033 Corporate Bond ETF BSCX

21.61 $ 0.00 %

Market capitalization

$ 715.010 M

Ratio P/E

0.00

Volume

172.319 K

Beta

0.39

EPS

0.00

Dividend

$ 1.04359

Price History

Loading data...

Inside Invesco BulletShares 2033 Corporate Bond ETF

Symbol Name Share number Weight Value
Amgen Inc 16141000 2.282 % 16.710 M $
Comcast Corp 14221000 2.006 % 14.693 M $
T-Mobile USA Inc 12340000 1.75 % 12.815 M $
Banco Santander SA 11133000 1.742 % 12.760 M $
BP Capital Markets America Inc 12086000 1.685 % 12.336 M $
UnitedHealth Group Inc 11188000 1.586 % 11.613 M $
Sumitomo Mitsui Financial Group Inc 10618000 1.571 % 11.501 M $
Philip Morris International Inc 10414000 1.505 % 11.023 M $
Enbridge Inc 10641000 1.451 % 10.626 M $
Energy Transfer LP 9631000 1.432 % 10.488 M $
AT&T Inc 12068000 1.423 % 10.419 M $
Verizon Communications Inc 10030000 1.386 % 10.152 M $
CVS Health Corp 9615000 1.364 % 9.987 M $
Royal Bank of Canada 8343000 1.193 % 8.738 M $
American Tower Corp 7748000 1.136 % 8.316 M $
Lowe's Cos Inc 7228000 1.036 % 7.586 M $
Kinder Morgan Inc 7255000 1.024 % 7.500 M $
Fiserv Inc 7035000 1.016 % 7.443 M $
Merck & Co Inc 6917000 1.008 % 7.381 M $
Intel Corp 7087000 1.001 % 7.328 M $
BAT Capital Corp 6450000 0.94 % 6.886 M $
Pacific Gas and Electric Co 6105000 0.908 % 6.651 M $
Micron Technology Inc 5672000 0.83 % 6.080 M $
MPLX LP 5958000 0.819 % 5.998 M $
Meta Platforms Inc 5594000 0.807 % 5.910 M $
Diageo Capital PLC 5301000 0.783 % 5.738 M $
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 5309000 0.761 % 5.570 M $
Targa Resources Corp 5280000 0.735 % 5.382 M $
Enterprise Products Operating LLC 4798000 0.713 % 5.220 M $
ONEOK Inc 4799000 0.701 % 5.130 M $
L3Harris Technologies Inc 4840000 0.698 % 5.108 M $
Florida Power & Light Co 4835000 0.686 % 5.025 M $
Walmart Inc 4797000 0.666 % 4.875 M $
Oracle Corp 4775000 0.665 % 4.872 M $
Cheniere Energy Partners LP 4476000 0.658 % 4.820 M $
Nomura Holdings Inc 4255000 0.638 % 4.671 M $
Prologis LP 4446000 0.621 % 4.548 M $
Johnson & Johnson 4348000 0.62 % 4.544 M $
Fox Corp 3980000 0.616 % 4.513 M $
Regal Rexnord Corp 3997000 0.604 % 4.420 M $
Ford Motor Credit Co LLC 3995000 0.603 % 4.412 M $
AerCap Ireland Capital DAC / AerCap Global Aviation Trust 4796000 0.601 % 4.398 M $
HCA Inc 4030000 0.585 % 4.281 M $
RTX Corp 4031000 0.576 % 4.215 M $
Blackrock Inc 4030000 0.573 % 4.199 M $
Intuit Inc 3977000 0.571 % 4.183 M $
Republic Services Inc 4336000 0.568 % 4.163 M $
Eaton Corp 4193000 0.566 % 4.148 M $
Duke Energy Carolinas LLC 3961000 0.564 % 4.130 M $
Kenvue Inc 4030000 0.561 % 4.110 M $
Canadian Imperial Bank of Commerce 3544000 0.528 % 3.864 M $
Time Warner Cable Enterprises LLC 3222000 0.527 % 3.859 M $
Diamondback Energy Inc 3544000 0.525 % 3.842 M $
Goldman Sachs Group Inc/The 3332000 0.506 % 3.705 M $
Honeywell International Inc 3555000 0.504 % 3.690 M $
HP Inc 3514000 0.504 % 3.690 M $
Bristol-Myers Squibb Co 3222000 0.49 % 3.587 M $
AutoZone Inc 3314000 0.487 % 3.567 M $
J M Smucker Co/The 3195000 0.486 % 3.559 M $
General Motors Financial Co Inc 3226000 0.481 % 3.520 M $
Ingersoll Rand Inc 3227000 0.473 % 3.463 M $
Gilead Sciences Inc 3223000 0.473 % 3.467 M $
Lockheed Martin Corp 3227000 0.47 % 3.443 M $
MetLife Inc 3199000 0.467 % 3.418 M $
Dell International LLC / EMC Corp 3172000 0.464 % 3.401 M $
Dollar General Corp 3224000 0.463 % 3.392 M $
Thermo Fisher Scientific Inc 3227000 0.462 % 3.380 M $
John Deere Capital Corp 3197000 0.46 % 3.368 M $
ConocoPhillips Co 3224000 0.456 % 3.342 M $
Georgia Power Co 3200000 0.455 % 3.331 M $
NextEra Energy Capital Holdings Inc 3229000 0.455 % 3.331 M $
Public Service Electric and Gas Co 3228000 0.455 % 3.330 M $
Eli Lilly & Co 3222000 0.452 % 3.311 M $
KeyBank NA/Cleveland OH 3222000 0.449 % 3.287 M $
Apple Inc 3183000 0.449 % 3.289 M $
General Mills Inc 3222000 0.447 % 3.277 M $
Elevance Health Inc 3220000 0.445 % 3.261 M $
PepsiCo Inc 3190000 0.444 % 3.249 M $
Northrop Grumman Corp 3201000 0.443 % 3.246 M $
Medtronic Global Holdings SCA 3185000 0.437 % 3.198 M $
Pilgrim's Pride Corp 2945000 0.437 % 3.200 M $
Texas Instruments Inc 3080000 0.436 % 3.192 M $
Charter Communications Operating LLC / Charter Communication 3200000 0.416 % 3.046 M $
Phillips 66 Co 2899000 0.414 % 3.033 M $
United Parcel Service Inc 2905000 0.411 % 3.007 M $
Union Pacific Corp 2898000 0.403 % 2.950 M $
American Electric Power Co Inc 2738000 0.396 % 2.900 M $
Exelon Corp 2740000 0.39 % 2.859 M $
Bell Telephone Co of Canada or Bell Canada 2745000 0.39 % 2.857 M $
Oncor Electric Delivery Co LLC 2576000 0.383 % 2.808 M $
National Grid PLC 2582000 0.383 % 2.806 M $
Trimble Inc 2561000 0.377 % 2.762 M $
Procter & Gamble Co/The 2720000 0.375 % 2.746 M $
Quest Diagnostics Inc 2417000 0.375 % 2.748 M $
Unilever Capital Corp 2575000 0.372 % 2.722 M $
Cigna Group/The 2583000 0.37 % 2.708 M $
Rio Tinto Alcan Inc 2396000 0.366 % 2.681 M $
Xcel Energy Inc 2560000 0.366 % 2.677 M $
Alexandria Real Estate Equities Inc 3194000 0.361 % 2.644 M $
Eversource Energy 2536000 0.36 % 2.633 M $
Fairfax Financial Holdings Ltd 2413000 0.359 % 2.625 M $
Extra Space Storage LP 2581000 0.358 % 2.623 M $
Atmos Energy Corp 2318000 0.351 % 2.569 M $
Synchrony Financial 2390000 0.351 % 2.572 M $
Humana Inc 2419000 0.351 % 2.570 M $
Williams Cos Inc/The 2423000 0.35 % 2.566 M $
Willis North America Inc 2414000 0.349 % 2.558 M $
Aon Corp / Aon Global Holdings PLC 2422000 0.348 % 2.549 M $
Western Midstream Operating LP 2399000 0.347 % 2.544 M $
Ameriprise Financial Inc 2397000 0.346 % 2.537 M $
Leidos Inc 2382000 0.346 % 2.535 M $
Tractor Supply Co 2399000 0.345 % 2.529 M $
Southern Co/The 2394000 0.343 % 2.511 M $
American International Group Inc 2423000 0.342 % 2.505 M $
Allstate Corp/The 2402000 0.342 % 2.502 M $
Crown Castle Inc 2414000 0.342 % 2.505 M $
S&P Global Inc 2375000 0.342 % 2.502 M $
Constellation Brands Inc 2395000 0.338 % 2.479 M $
Mastercard Inc 2394000 0.338 % 2.476 M $
Virginia Electric and Power Co 2415000 0.337 % 2.470 M $
International Business Machines Corp 2383000 0.334 % 2.447 M $
Waste Connections Inc 2414000 0.327 % 2.396 M $
QUALCOMM Inc 2201000 0.326 % 2.386 M $
Public Storage Operating Co 2259000 0.325 % 2.377 M $
Sempra 2240000 0.323 % 2.363 M $
Trane Technologies Financing Ltd 2254000 0.323 % 2.362 M $
Citigroup Inc 2134000 0.322 % 2.359 M $
Veralto Corp 2242000 0.321 % 2.354 M $
Entergy Louisiana LLC 2414000 0.318 % 2.330 M $
Consumers Energy Co 2240000 0.313 % 2.289 M $
National Rural Utilities Cooperative Finance Corp 2078000 0.309 % 2.262 M $
Boston Properties LP 2740000 0.308 % 2.255 M $
Estee Lauder Cos Inc/The 2194000 0.306 % 2.243 M $
Booz Allen Hamilton Inc 2099000 0.305 % 2.234 M $
Simon Property Group LP 2095000 0.304 % 2.228 M $
Ryder System Inc 1936000 0.303 % 2.216 M $
Brown-Forman Corp 2096000 0.297 % 2.175 M $
Duke Energy Florida LLC 1937000 0.293 % 2.143 M $
Kimco Realty OP LLC 2098000 0.288 % 2.109 M $
LKQ Corp 1935000 0.288 % 2.108 M $
Dow Chemical Co/The 1938000 0.286 % 2.097 M $
Constellation Energy Generation LLC 1937000 0.285 % 2.087 M $
Fortune Brands Innovations Inc 1921000 0.284 % 2.081 M $
Ovintiv Inc 1936000 0.283 % 2.073 M $
Duke Energy Corp 1935000 0.282 % 2.065 M $
CSX Corp 1936000 0.282 % 2.069 M $
HEICO Corp 1958000 0.28 % 2.053 M $
Marsh & McLennan Cos Inc 1937000 0.279 % 2.045 M $
McKesson Corp 1938000 0.278 % 2.034 M $
Omega Healthcare Investors Inc 2252000 0.277 % 2.028 M $
DTE Electric Co 1931000 0.275 % 2.013 M $
McDonald's Corp 1936000 0.275 % 2.015 M $
PPL Electric Utilities Corp 1905000 0.274 % 2.005 M $
Air Products and Chemicals Inc 1936000 0.272 % 1.991 M $
Marriott International Inc/MD 2254000 0.272 % 1.992 M $
Realty Income Corp 1934000 0.271 % 1.988 M $
EIDP Inc 1933000 0.27 % 1.974 M $
Invitation Homes Operating Partnership LP 1930000 0.267 % 1.956 M $
CenterPoint Energy Houston Electric LLC 1919000 0.267 % 1.957 M $
Hess Corp 1671000 0.266 % 1.950 M $
GLP Capital LP / GLP Financing II Inc 1930000 0.266 % 1.950 M $
Providence St Joseph Health Obligated Group 1872000 0.264 % 1.937 M $
PECO Energy Co 1857000 0.263 % 1.929 M $
Altria Group Inc 1608000 0.256 % 1.872 M $
Brookfield Capital Finance LLC 1698000 0.255 % 1.867 M $
Concentrix Corp 1737000 0.25 % 1.832 M $
Travelers Property Casualty Corp 1612000 0.249 % 1.821 M $
Apollo Global Management Inc 1603000 0.248 % 1.813 M $
Darden Restaurants Inc 1617000 0.247 % 1.807 M $
Kinder Morgan Energy Partners LP 1554000 0.246 % 1.802 M $
Equitable Holdings Inc 1643000 0.24 % 1.757 M $
NNN REIT Inc 1617000 0.238 % 1.740 M $
Nordson Corp 1608000 0.236 % 1.727 M $
Jacobs Engineering Group Inc 1613000 0.235 % 1.721 M $
Marvell Technology Inc 1596000 0.235 % 1.723 M $
nVent Finance Sarl 1608000 0.235 % 1.721 M $
Amcor Finance USA Inc 1610000 0.235 % 1.718 M $
Arizona Public Service Co 1610000 0.233 % 1.707 M $
Toyota Motor Corp 1617000 0.233 % 1.707 M $
LYB International Finance III LLC 1615000 0.233 % 1.703 M $
Dominion Energy Inc 1645000 0.233 % 1.709 M $
Southern Co Gas Capital Corp 1599000 0.233 % 1.706 M $
Southern California Gas Co 1612000 0.232 % 1.700 M $
Duke Energy Progress LLC 1603000 0.229 % 1.676 M $
WRKCo Inc 1856000 0.229 % 1.676 M $
Astrazeneca Finance LLC 1613000 0.229 % 1.674 M $
Verisk Analytics Inc 1578000 0.229 % 1.680 M $
Ameren Illinois Co 1608000 0.229 % 1.678 M $
Ally Financial Inc 1603000 0.229 % 1.676 M $
UPMC 1600000 0.228 % 1.668 M $
Eastman Chemical Co 1578000 0.228 % 1.671 M $
McCormick & Co Inc/MD 1598000 0.228 % 1.666 M $
Consolidated Edison Co of New York Inc 1578000 0.226 % 1.653 M $
Progressive Corp/The 1578000 0.226 % 1.652 M $
Starbucks Corp 1608000 0.225 % 1.645 M $
Waste Management Inc 1613000 0.225 % 1.648 M $
Colgate-Palmolive Co 1603000 0.225 % 1.648 M $
FMC Corp 1600000 0.224 % 1.639 M $
Toyota Motor Credit Corp 1599000 0.224 % 1.638 M $
Mosaic Co/The 1548000 0.224 % 1.637 M $
Target Corp 1608000 0.222 % 1.626 M $
Healthpeak OP LLC 1610000 0.221 % 1.615 M $
Magna International Inc 1546000 0.221 % 1.615 M $
Archer-Daniels-Midland Co 1598000 0.22 % 1.608 M $
Norfolk Southern Corp 1548000 0.212 % 1.551 M $