Below, a list of constituents for IVLC (Invesco US Large Cap Core ESG ETF) is shown. In total, IVLC consists of 62 securities.
Note: The data shown here is as of date 01/31/2022 (the latest that can be sourced directly from the fund provider).
Click here to go back to the full list of ETFs.
Security Identifier | Holding Ticker | Shares/Par Value | MarketValue | Weight | Name |
594918104 | MSFT | 1504 | 421526.08 | 6.482 | Microsoft Corp |
037833100 | AAPL | 2477 | 396493.39 | 6.097 | Apple Inc |
023135106 | AMZN | 111 | 321515.94 | 4.944 | Amazon.com Inc |
02079K305 | GOOGL | 125 | 318970.0 | 4.905 | Alphabet Inc |
91324P102 | UNH | 482 | 221536.84 | 3.407 | UnitedHealth Group Inc |
911312106 | UPS | 744 | 152133.12 | 2.339 | United Parcel Service Inc |
747525103 | QCOM | 913 | 147559.06 | 2.269 | QUALCOMM Inc |
74340W103 | PLD | 1035 | 145686.6 | 2.24 | Prologis Inc |
40412C101 | HCA | 584 | 141199.52 | 2.171 | HCA Healthcare Inc |
46625H100 | JPM | 941 | 139917.29 | 2.152 | JPMorgan Chase & Co |
05722G100 | BKR | 4377 | 127151.85 | 1.955 | Baker Hughes Co |
038222105 | AMAT | 968 | 123768.48 | 1.903 | Applied Materials Inc |
742718109 | PG | 785 | 122428.6 | 1.883 | Procter & Gamble Co/The |
G1151C101 | ACN | 377 | 118061.32 | 1.815 | Accenture PLC |
437076102 | HD | 382 | 117827.9 | 1.812 | Home Depot Inc/The |
30212P303 | EXPE | 587 | 116595.81 | 1.793 | Expedia Group Inc |
45866F104 | ICE | 923 | 114165.87 | 1.756 | Intercontinental Exchange Inc |
79466L302 | CRM | 576 | 109751.04 | 1.688 | salesforce.com Inc |
532457108 | LLY | 456 | 108669.36 | 1.671 | Eli Lilly & Co |
046353108 | AZN | 1768 | 107034.72 | 1.646 | AstraZeneca PLC ADR |
92826C839 | V | 494 | 106679.3 | 1.64 | Visa Inc |
907818108 | UNP | 413 | 101110.66 | 1.555 | Union Pacific Corp |
92343V104 | VZ | 1887 | 100784.67 | 1.55 | Verizon Communications Inc |
871829107 | SYY | 1184 | 99562.56 | 1.531 | Sysco Corp |
713448108 | PEP | 589 | 98180.41 | 1.51 | PepsiCo Inc |
882508104 | TXN | 586 | 97065.04 | 1.493 | Texas Instruments Inc |
609207105 | MDLZ | 1453 | 96304.84 | 1.481 | Mondelez International Inc |
025816109 | AXP | 505 | 95419.75 | 1.467 | American Express Co |
235851102 | DHR | 362 | 94985.18 | 1.461 | Danaher Corp |
007903107 | AMD | 820 | 90003.2 | 1.384 | Advanced Micro Devices Inc |
67103H107 | ORLY | 135 | 85286.25 | 1.311 | O'Reilly Automotive Inc |
337738108 | FISV | 921 | 85284.6 | 1.311 | Fiserv Inc |
216648402 | COO | 215 | 85021.75 | 1.307 | Cooper Cos Inc/The |
65339F101 | NEE | 1168 | 84469.76 | 1.299 | NextEra Energy Inc |
928563402 | VMW | 706 | 83364.48 | 1.282 | VMware Inc |
571748102 | MMC | 490 | 72882.6 | 1.121 | Marsh & McLennan Cos Inc |
29452E101 | EQH | 2216 | 70889.84 | 1.09 | Equitable Holdings Inc |
244199105 | DE | 209 | 70541.68 | 1.085 | Deere & Co |
68902V107 | OTIS | 923 | 68938.87 | 1.06 | Otis Worldwide Corp |
009158106 | APD | 286 | 67115.62 | 1.032 | Air Products and Chemicals Inc |
285512109 | EA | 519 | 65767.68 | 1.011 | Electronic Arts Inc |
23331A109 | DHI | 831 | 64942.65 | 0.999 | DR Horton Inc |
H84989104 | TEL | 465 | 64309.5 | 0.989 | TE Connectivity Ltd |
020002101 | ALL | 516 | 63612.48 | 0.978 | Allstate Corp/The |
94106B101 | WCN | 512 | 60759.04 | 0.934 | Waste Connections Inc |
773903109 | ROK | 236 | 60699.2 | 0.933 | Rockwell Automation Inc |
98138H101 | WDAY | 284 | 60494.84 | 0.93 | Workday Inc |
87612E106 | TGT | 313 | 59438.7 | 0.914 | Target Corp |
443510607 | HUBB | 339 | 59243.64 | 0.911 | Hubbell Inc |
78409V104 | SPGI | 157 | 58619.09 | 0.901 | S&P Global Inc |
64110L106 | NFLX | 154 | 56588.84 | 0.87 | Netflix Inc |
20030N101 | CMCSA | 1250 | 56412.5 | 0.867 | Comcast Corp |
78486Q101 | SIVB | 93 | 54431.04 | 0.837 | SVB Financial Group |
81181C104 | SGEN | 444 | 53106.84 | 0.817 | Seagen Inc |
778296103 | ROST | 566 | 49819.32 | 0.766 | Ross Stores Inc |
256677105 | DG | 243 | 45766.62 | 0.704 | Dollar General Corp |
03027X100 | AMT | 195 | 44352.75 | 0.682 | American Tower Corp |
83304A106 | SNAP | 1198 | 44302.04 | 0.681 | Snap Inc |
854502101 | SWK | 275 | 42798.25 | 0.658 | Stanley Black & Decker Inc |
70450Y103 | PYPL | 414 | 41698.08 | 0.641 | PayPal Holdings Inc |
015271109 | ARE | 193 | 35849.75 | 0.551 | Alexandria Real Estate Equities Inc |
05351W103 | AGR | 785 | 34226.0 | 0.526 | Avangrid Inc |