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Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA) is an ETF managed by Invesco. Its largest position is INVESCO PREMIER U.S. GOVERNMENT MONEY PORTFOLIO (null), representing 19.03% of fund assets.

Invesco S&P 500 Equal Weight Income Advantage ETF Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
RSPA
Type:
ETF
Manager:
Invesco
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 507 holdings
Holding Weight Market Value Shares
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INVESCO PREMIER U.S. GOVERNMENT MONEY PORTFOLIO
19.03% $144,093,547.02 144,093,547
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APPLIED MATERIALS INC /DE
0.92% $6,952,074.14 6,951,379
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APPLIED MATERIALS INC /DE
0.35% $2,678,644.95 2,678,645
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INTEL CORP
0.28% $2,149,608.96 22,752
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ADVANCED MICRO DEVICES INC
0.25% $1,887,659.25 5,325
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Seagate Technology Holdings plc
0.25% $1,869,351.00 2,775
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ON SEMICONDUCTOR CORP
0.25% $1,857,827.49 18,429
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Sandisk Corp
0.24% $1,793,890.36 1,636
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WESTERN DIGITAL CORP
0.23% $1,728,520.56 3,978
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CIENA CORP
0.22% $1,658,711.52 3,144
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MONOLITHIC POWER SYSTEMS, INC.
0.22% $1,637,011.74 1,014
-
CENTENE CORP
0.22% $1,634,323.60 30,440
-
NXP Semiconductors N.V.
0.21% $1,604,469.35 5,465
-
Dell Technologies Inc.
0.20% $1,548,110.55 7,409
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TEXAS INSTRUMENTS INC
0.20% $1,544,815.68 5,496
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MICROCHIP TECHNOLOGY INC
0.20% $1,537,939.23 16,553
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HUMANA INC
0.20% $1,511,324.48 6,392
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Lumentum Holdings Inc.
0.19% $1,469,879.28 1,629
-
Hewlett Packard Enterprise Co
0.19% $1,465,198.56 50,928
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QUALCOMM INC/DE
0.19% $1,461,781.20 8,140
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JABIL INC
0.19% $1,443,107.24 4,276
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NUCOR CORP
0.19% $1,429,465.05 6,345
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Elevance Health, Inc.
0.19% $1,419,856.24 3,772
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UNITEDHEALTH GROUP INC
0.19% $1,417,826.96 3,827
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COMFORT SYSTEMS USA INC
0.19% $1,402,270.50 762
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CARVANA CO.
0.18% $1,398,361.40 3,533
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COHERENT CORP.
0.18% $1,387,541.40 4,340
-
SKYWORKS SOLUTIONS, INC.
0.18% $1,383,471.72 19,716
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ANALOG DEVICES INC
0.18% $1,373,315.64 3,414
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QUANTA SERVICES, INC.
0.18% $1,371,118.68 1,884
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GE Vernova Inc.
0.18% $1,366,243.06 1,261
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CATERPILLAR INC
0.18% $1,365,428.74 1,534
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Arista Networks, Inc.
0.18% $1,364,063.58 7,898
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WEST PHARMACEUTICAL SERVICES INC
0.18% $1,362,664.61 4,579
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AMAZON COM INC
0.18% $1,358,432.50 5,125
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STEEL DYNAMICS INC
0.18% $1,355,725.14 5,929
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EMCOR Group, Inc.
0.18% $1,346,421.70 1,510
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UNITED RENTALS, INC.
0.18% $1,337,057.12 1,393
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Vertiv Holdings Co
0.18% $1,336,954.30 4,070
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Broadcom Inc.
0.18% $1,331,184.27 3,189
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CORNING INC /NY
0.18% $1,331,165.20 8,105
-
Eaton Corp plc
0.18% $1,330,206.72 3,072
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Apollo Global Management, Inc.
0.17% $1,324,528.80 10,290
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STATE STREET CORP
0.17% $1,323,747.24 8,661
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MICRON TECHNOLOGY INC
0.17% $1,323,412.44 2,559
-
APA Corp
0.17% $1,322,503.10 32,470
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Keysight Technologies, Inc.
0.17% $1,319,860.52 3,772
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CUMMINS INC
0.17% $1,314,508.59 1,959
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FRANKLIN TEMPLETON INC
0.17% $1,309,958.73 43,709
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HUNT J B TRANSPORT SERVICES INC
0.17% $1,306,949.88 5,196
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