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Watchlist
Konto
Invesco Bulletshares 2033 Corporate Bond ETF
BSCX
#1267
ETF Rang
€0.80 Mrd.
Marktkapitalisierung
🇺🇸 US
Markt
18,43 €
Aktienkurs
-0.42%
Veränderung (1 Tag)
-0.80%
Veränderung (1 Jahr)
🏛️ Anleihen-ETFs
🏛️ Unternehmensanleihen-ETFs
Kategorien
Marktkapitalisierung
Preisverlauf
Ausstehende Aktien
Leihgebühren
Gebühren (Kostenquote)
Bestände (Holdings)
Mehr
Leihgebühren
Gebühren (Kostenquote)
Ausschüttungen
Invesco Bulletshares 2033 Corporate Bond ETF - Bestände
ETF-Bestände zum Stand
8. März 2026
Anzahl der Bestände:
262
Vollständige Bestandsliste
Gewichtung %
Name
Ticker
Gehaltene Aktien
1.75%
Amgen Inc
AMGN
15678000
1.28%
AT&T Inc
T
13806000
1.12%
Oracle Corp
ORCL
10500000
1.06%
T-Mobile USA Inc
TMUS
9588000
0.98%
Enbridge Inc
ENBCN
8478000
0.93%
Philip Morris International Inc
PM
8298000
0.91%
Intel Corp
INTC
8301000
0.91%
BP Capital Markets America Inc
BPLN
8295000
0.87%
Banco Santander SA
SANTAN
7402000
0.84%
Broadcom Inc
AVGO
8292000
0.84%
Verizon Communications Inc
VZ
7879000
0.83%
UnitedHealth Group Inc
UNH
7379000
0.80%
Verizon Communications Inc
VZ
7373000
0.74%
Alphabet Inc
GOOGL
6900000
0.74%
Sumitomo Mitsui Financial Group Inc
SUMIBK
6453000
0.72%
Meta Platforms Inc
META
6456000
0.71%
CVS Health Corp
CVS
6450000
0.71%
Banco Santander SA
SANTAN
5699000
0.70%
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings
JBS
6123000
0.69%
Royal Bank of Canada
RY
6274000
0.67%
Comcast Corp
CMCSA
6274000
0.66%
Energy Transfer LP
ET
5534000
0.63%
ONEOK Inc
OKE
5534000
0.63%
Energy Transfer LP
ET
5527000
0.62%
L3Harris Technologies Inc
LHX
5534000
0.62%
Kinder Morgan Inc
KMI
5536000
0.62%
BP Capital Markets America Inc
BPLN
5528000
0.61%
Broadcom Inc
AVGO
6441000
0.61%
Merck & Co Inc
MRK
5534000
0.60%
Walmart Inc
WMT
5534000
0.60%
Amazon.com Inc
AMZN
5534000
0.60%
UnitedHealth Group Inc
UNH
5534000
0.59%
Cheniere Energy Partners LP
CQP
5159000
0.58%
Oracle Corp
ORCL
5534000
0.56%
Ford Motor Credit Co LLC
F
4755000
0.55%
Fox Corp
FOXA
4610000
0.55%
BAT Capital Corp
BATSLN
4611000
0.54%
Regal Rexnord Corp
RRX
4609000
0.54%
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
AER
5534000
0.53%
Williams Cos Inc/The
WMB
4607000
0.53%
Fiserv Inc
FISV
4794000
0.52%
Intuit Inc
INTU
4611000
0.52%
HCA Inc
HCA
4613000
0.52%
Eaton Corp
ETN
4796000
0.52%
Kenvue Inc
KVUE
4611000
0.52%
Lowe's Cos Inc
LOW
4614000
0.51%
CVS Health Corp
CVS
4609000
0.51%
T-Mobile USA Inc
TMUS
4611000
0.51%
RTX Corp
RTX
4611000
0.51%
Duke Energy Carolinas LLC
DUK
4611000
0.51%
Blackrock Inc
BLK
4611000
0.50%
TotalEnergies Capital USA LLC
TTEFP
4610000
0.50%
AT&T Inc
T
4610000
0.50%
Broadcom Inc
AVGO
4611000
0.50%
Pacific Gas and Electric Co
PCG
4246000
0.49%
Amphenol Corp
APH
4611000
0.48%
Diamondback Energy Inc
FANG
4056000
0.48%
Canadian Imperial Bank of Commerce
CM
4054000
0.46%
Time Warner Cable Enterprises LLC
CHTR
3689000
0.46%
Honeywell International Inc
HON
4060000
0.45%
HP Inc
HPQ
4054000
0.45%
Goldman Sachs Group Inc/The
GS
3811000
0.44%
MPLX LP
MPLX
4054000
0.44%
J M Smucker Co/The
SJM
3689000
0.43%
Philip Morris International Inc
PM
3692000
0.43%
General Motors Financial Co Inc
GM
3691000
0.42%
John Deere Capital Corp
DE
3687000
0.42%
MetLife Inc
MET
3749000
0.42%
Gilead Sciences Inc
GILD
3684000
0.42%
Lockheed Martin Corp
LMT
3689000
0.42%
Ingersoll Rand Inc
IR
3689000
0.42%
Dell International LLC / EMC Corp
DELL
3689000
0.42%
ConocoPhillips Co
COP
3687000
0.42%
Enterprise Products Operating LLC
EPD
3689000
0.41%
Dollar General Corp
DG
3689000
0.41%
Verizon Communications Inc
VZ
3685000
0.41%
Ford Motor Credit Co LLC
F
3800000
0.41%
Thermo Fisher Scientific Inc
TMO
3689000
0.41%
Georgia Power Co
SO
3689000
0.41%
Lowe's Cos Inc
LOW
3687000
0.41%
Keybank National Association
KEY
3789000
0.41%
Northrop Grumman Corp
NOC
3692000
0.41%
General Mills Inc
GIS
3689000
0.41%
Comcast Corp
CMCSA
3689000
0.41%
Apple Inc
AAPL
3689000
0.40%
Eli Lilly & Co
LLY
3689000
0.40%
NextEra Energy Capital Holdings Inc
NEE
3689000
0.40%
Medtronic Global Holdings SCA
MDT
3690000
0.40%
PepsiCo Inc
PEP
3690000
0.40%
Sumitomo Mitsui Financial Group Inc
SUMIBK
3424000
0.40%
Comcast Corp
CMCSA
3689000
0.40%
Elevance Health Inc
ELV
3689000
0.40%
Diageo Capital PLC
DGELN
3410000
0.39%
Pilgrim's Pride Corp
PPC
3406000
0.39%
Texas Instruments Inc
TXN
3499000
0.39%
Targa Resources Corp
TRGP
3324000
0.39%
Micron Technology Inc
MU
3324000
0.39%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
3751000
0.37%
Royal Bank of Canada
RY
3324000
0.37%
Phillips 66 Co
PSX
3324000
0.37%
United Parcel Service Inc
UPS
3324000
0.37%
Fiserv Inc
FISV
3324000
0.36%
Union Pacific Corp
UNP
3324000
0.36%
Comcast Corp
CMCSA
2837000
0.36%
Exelon Corp
EXC
3132000
0.35%
American Tower Corp
AMT
3132000
0.35%
American Electric Power Co Inc
AEP
3132000
0.35%
Bell Telephone Co of Canada or Bell Canada
BCECN
3142000
0.35%
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
AER
3230000
0.34%
Trimble Inc
TRMB
2949000
0.34%
Johnson & Johnson
JNJ
3132000
0.34%
Enbridge Inc
ENBCN
3686000
0.34%
Oncor Electric Delivery Co LLC
ONCRTX
2949000
0.34%
American Tower Corp
AMT
2949000
0.34%
Unilever Capital Corp
UNANA
3029000
0.34%
National Grid PLC
NGGLN
2949000
0.34%
Cigna Group/The
CI
2949000
0.34%
Procter & Gamble Co/The
PG
3131000
0.33%
Quest Diagnostics Inc
DGX
2767000
0.33%
Xcel Energy Inc
XEL
2970000
0.33%
Nomura Holdings Inc
NOMURA
2837000
0.33%
Bristol-Myers Squibb Co
BMY
2772000
0.33%
Rio Tinto Alcan Inc
RIOLN
2767000
0.33%
Pacific Gas and Electric Co
PCG
2837000
0.33%
Fairfax Financial Holdings Ltd
FFHCN
2835000
0.33%
Alexandria Real Estate Equities Inc
ARE
3689000
0.32%
Eversource Energy
ES
2949000
0.32%
Atmos Energy Corp
ATO
2746000
0.32%
American Tower Corp
AMT
2767000
0.32%
Allstate Corp/The
ALL
2837000
0.32%
T-Mobile USA Inc
TMUS
2949000
0.32%
Western Midstream Operating LP
WES
2763000
0.32%
Diageo Capital PLC
DGELN
2837000
0.32%
Extra Space Storage LP
EXR
2949000
0.32%
Leidos Inc
LDOS
2767000
0.32%
Micron Technology Inc
MU
2767000
0.32%
Willis North America Inc
WTW
2837000
0.32%
S&P Global Inc
SPGI
2751000
0.31%
Florida Power & Light Co
NEE
2767000
0.31%
Crown Castle Inc
CCI
2837000
0.31%
Mastercard Inc
MA
2767000
0.31%
Ameriprise Financial Inc
AMP
2767000
0.31%
American International Group Inc
AIG
2767000
0.31%
Tractor Supply Co
TSCO
2767000
0.31%
CBRE Services Inc
CBG
2842000
0.31%
International Business Machines Corp
IBM
2847000
0.31%
Synchrony Financial
SYF
2771000
0.31%
Aon Corp / Aon Global Holdings PLC
AON
2767000
0.31%
Virginia Electric and Power Co
D
2767000
0.31%
MPLX LP
MPLX
2837000
0.31%
Southern Co/The
SO
2767000
0.31%
Humana Inc
HUM
2763000
0.31%
Florida Power & Light Co
NEE
2767000
0.30%
Constellation Brands Inc
STZ
2767000
0.30%
QUALCOMM Inc
QCOM
2644000
0.30%
Merck & Co Inc
MRK
2468000
0.30%
Veralto Corp
VLTO
2654000
0.30%
Prologis LP
PLD
2767000
0.30%
BAT Capital Corp
BATSLN
2767000
0.30%
Kinder Morgan Inc
KMI
2767000
0.30%
Waste Connections Inc
WCNCN
2837000
0.30%
Sempra
SRE
2650000
0.30%
Public Storage Operating Co
PSA
2654000
0.30%
Trane Technologies Financing Ltd
TT
2644000
0.29%
Entergy Louisiana LLC
ETR
2767000
0.29%
Amgen Inc
AMGN
2767000
0.29%
Estee Lauder Cos Inc/The
EL
2654000
0.29%
Consumers Energy Co
CMS
2654000
0.29%
Citigroup Inc
C
2474000
0.29%
Targa Resources Corp
TRGP
2767000
0.28%
Simon Property Group LP
SPG
2462000
0.28%
National Rural Utilities Cooperative Finance Corp
NRUC
2462000
0.28%
Sumitomo Mitsui Financial Group Inc
SUMIBK
2460000
0.28%
Boston Properties LP
BXP
3135000
0.28%
Visa Inc
V
2580000
0.28%
Republic Services Inc
RSG
2462000
0.28%
Ryder System Inc
R
2269000
0.27%
Brown-Forman Corp
BFB
2472000
0.27%
Booz Allen Hamilton Inc
BAH
2463000
0.27%
Prologis LP
PLD
2462000
0.27%
Duke Energy Florida LLC
DUK
2269000
0.27%
Kimco Realty OP LLC
KIM
2462000
0.26%
Dow Chemical Co/The
DOW
2279000
0.26%
Duke Energy Corp
DUK
2272000
0.26%
Ovintiv Inc
OVV
2276000
0.26%
Nomura Holdings Inc
NOMURA
2269000
0.26%
Marsh & McLennan Cos Inc
MRSH
2279000
0.26%
Hess Corp
HES
2040000
0.26%
Constellation Energy Generation LLC
CEG
2279000
0.26%
Fortune Brands Innovations Inc
FBINUS
2269000
0.26%
LKQ Corp
LKQ
2279000
0.26%
CSX Corp
CSX
2279000
0.26%
DTE Electric Co
DTE
2269000
0.26%
Omega Healthcare Investors Inc
OHI
2654000
0.25%
McKesson Corp
MCK
2279000
0.25%
HEICO Corp
HEI
2268000
0.25%
CenterPoint Energy Houston Electric LLC
CNP
2269000
0.25%
Marriott International Inc/MD
MAR
2654000
0.25%
McDonald's Corp
MCD
2279000
0.25%
PPL Electric Utilities Corp
PPL
2276000
0.25%
Providence St Joseph Health Obligated Group
PSJHOG
2215000
0.25%
Realty Income Corp
O
2274000
0.25%
Air Products and Chemicals Inc
APD
2269000
0.25%
EIDP Inc
CTVA
2279000
0.25%
Republic Services Inc
RSG
2584000
0.24%
GLP Capital LP / GLP Financing II Inc
GLPI
2269000
0.24%
Invitation Homes Operating Partnership LP
INVH
2269000
0.24%
PECO Energy Co
EXC
2178000
0.24%
Brookfield Capital Finance LLC
BNCN
2087000
0.24%
Kinder Morgan Energy Partners LP
KMI
1905000
0.23%
Travelers Property Casualty Corp
TRV
1895000
0.23%
Altria Group Inc
MO
1875000
0.23%
Enterprise Products Operating LLC
EPD
1895000
0.23%
AutoZone Inc
AZO
1895000
0.23%
Darden Restaurants Inc
DRI
1895000
0.23%
AutoZone Inc
AZO
2088000
0.22%
Apollo Global Management Inc
APO
1895000
0.22%
Marvell Technology Inc
MRVL
1895000
0.22%
Southern Co Gas Capital Corp
SO
1905000
0.22%
Nordson Corp
NDSN
1895000
0.22%
WRKCo Inc
SW
2279000
0.22%
Verisk Analytics Inc
VRSK
1905000
0.22%
Eastman Chemical Co
EMN
1895000
0.22%
Duke Energy Progress LLC
DUK
1905000
0.22%
Johnson & Johnson
JNJ
1905000
0.22%
Amcor Finance USA Inc
AMCR
1905000
0.22%
Magna International Inc
MGCN
1895000
0.22%
NNN REIT Inc
NNN
1895000
0.22%
Concentrix Corp
CNXC
2087000
0.22%
Thermo Fisher Scientific Inc
TMO
2000000
0.22%
nVent Finance Sarl
NVT
1895000
0.22%
Jacobs Engineering Group Inc
J
1905000
0.21%
Dominion Energy Inc
D
1941000
0.21%
Mosaic Co/The
MOS
1905000
0.21%
Public Service Electric and Gas Co
PEG
1905000
0.21%
Toyota Motor Corp
TOYOTA
1895000
0.21%
Southern California Gas Co
SRE
1895000
0.21%
Arizona Public Service Co
PNW
1895000
0.21%
Consolidated Edison Co of New York Inc
ED
1905000
0.21%
Equitable Holdings Inc
EQH
1905000
0.21%
McCormick & Co Inc/MD
MKC
1905000
0.21%
LYB International Finance III LLC
LYB
1905000
0.21%
Progressive Corp/The
PGR
1905000
0.21%
Ameren Illinois Co
AEE
1895000
0.21%
Ally Financial Inc
ALLY
1895000
0.21%
UPMC
UPMCHS
1890000
0.21%
Astrazeneca Finance LLC
AZN
1895000
0.21%
Public Service Electric and Gas Co
PEG
1895000
0.21%
Colgate-Palmolive Co
CL
1895000
0.21%
Waste Management Inc
WM
1905000
0.21%
Starbucks Corp
SBUX
1905000
0.21%
Toyota Motor Credit Corp
TOYOTA
1895000
0.21%
Target Corp
TGT
1905000
0.21%
Archer-Daniels-Midland Co
ADM
1905000
0.20%
Vornado Realty LP
VNO
1890000
0.20%
Healthpeak OP LLC
DOC
1895000
0.20%
Norfolk Southern Corp
NSC
1895000
0.18%
Jabil Inc
JBL
1700000
0.12%
Invesco Government & Agency Portfolio
AGPXX
1127755.63
0.11%
Cencora Inc
COR
1000000
0.11%
International Business Machines Corp
IBM
1000000
0.00%
CASH & EQUIVALENTS
USD
2962.5