Invesco Bulletshares 2033 Corporate Bond ETF
BSCX
#1253
ETF rank
ยฃ0.70 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
ยฃ15.92
Share price
0.49%
Change (1 day)
1.77%
Change (1 year)

Invesco Bulletshares 2033 Corporate Bond ETF - Holdings

Etf holdings as of March 26, 2026Number of holdings: 262

Full holdings list

Weight %NameTickerShares Held
1.75%
Amgen IncAMGN15868000
1.28%
AT&T IncT13976000
1.19%
Alphabet IncGOOGL11194000
1.17%
Oracle CorpORCL11150000
1.06%
T-Mobile USA IncTMUS9708000
0.95%
Enbridge IncENBCN8588000
0.93%
Philip Morris International IncPM8398000
0.91%
Intel CorpINTC8401000
0.91%
BP Capital Markets America IncBPLN8395000
0.87%
Banco Santander SASANTAN7462000
0.84%
Broadcom IncAVGO8392000
0.83%
Verizon Communications IncVZ7979000
0.83%
UnitedHealth Group IncUNH7469000
0.80%
Verizon Communications IncVZ7463000
0.74%
Sumitomo Mitsui Financial Group IncSUMIBK6533000
0.72%
Meta Platforms IncMETA6536000
0.71%
CVS Health CorpCVS6530000
0.70%
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co HoldingsJBS6203000
0.70%
Banco Santander SASANTAN5699000
0.69%
Royal Bank of CanadaRY6344000
0.66%
Comcast CorpCMCSA6344000
0.66%
Energy Transfer LPET5604000
0.63%
ONEOK IncOKE5604000
0.63%
Energy Transfer LPET5597000
0.62%
L3Harris Technologies IncLHX5604000
0.62%
Kinder Morgan IncKMI5596000
0.61%
Broadcom IncAVGO6521000
0.61%
Merck & Co IncMRK5604000
0.60%
BP Capital Markets America IncBPLN5598000
0.60%
Walmart IncWMT5604000
0.60%
UnitedHealth Group IncUNH5604000
0.60%
Cheniere Energy Partners LPCQP5229000
0.59%
Amazon.com IncAMZN5604000
0.57%
Oracle CorpORCL5574000
0.55%
Fox CorpFOXA4670000
0.55%
Ford Motor Credit Co LLCF4755000
0.55%
BAT Capital CorpBATSLN4661000
0.54%
Regal Rexnord CorpRRX4659000
0.53%
AerCap Ireland Capital DAC / AerCap Global Aviation TrustAER5534000
0.53%
Fiserv IncFISV4854000
0.52%
HCA IncHCA4663000
0.52%
Williams Cos Inc/TheWMB4667000
0.51%
CVS Health CorpCVS4669000
0.51%
Lowe's Cos IncLOW4664000
0.51%
T-Mobile USA IncTMUS4661000
0.51%
RTX CorpRTX4661000
0.51%
Duke Energy Carolinas LLCDUK4661000
0.51%
Blackrock IncBLK4661000
0.51%
Intuit IncINTU4661000
0.51%
Eaton CorpETN4856000
0.50%
Kenvue IncKVUE4661000
0.50%
Invesco Government & Agency PortfolioAGPXX4632625.9
0.50%
TotalEnergies Capital USA LLCTTEFP4670000
0.50%
Pacific Gas and Electric CoPCG4296000
0.50%
AT&T IncT4670000
0.50%
Broadcom IncAVGO4661000
0.49%
Amphenol CorpAPH4636000
0.48%
Canadian Imperial Bank of CommerceCM4104000
0.47%
Diamondback Energy IncFANG4106000
0.46%
Time Warner Cable Enterprises LLCCHTR3692000
0.46%
Honeywell International IncHON4110000
0.45%
HP IncHPQ4104000
0.44%
Goldman Sachs Group Inc/TheGS3811000
0.43%
J M Smucker Co/TheSJM3729000
0.43%
MPLX LPMPLX4054000
0.43%
General Motors Financial Co IncGM3731000
0.42%
Gilead Sciences IncGILD3734000
0.42%
Lockheed Martin CorpLMT3729000
0.42%
MetLife IncMET3749000
0.42%
Dell International LLC / EMC CorpDELL3729000
0.42%
Philip Morris International IncPM3732000
0.42%
Ingersoll Rand IncIR3729000
0.42%
Enterprise Products Operating LLCEPD3729000
0.41%
John Deere Capital CorpDE3737000
0.41%
Verizon Communications IncVZ3735000
0.41%
Lowe's Cos IncLOW3737000
0.41%
Georgia Power CoSO3729000
0.41%
Dollar General CorpDG3729000
0.41%
Thermo Fisher Scientific IncTMO3729000
0.41%
ConocoPhillips CoCOP3737000
0.41%
Apple IncAAPL3729000
0.40%
NextEra Energy Capital Holdings IncNEE3729000
0.40%
Ford Motor Credit Co LLCF3800000
0.40%
Comcast CorpCMCSA3729000
0.40%
General Mills IncGIS3729000
0.40%
Eli Lilly & CoLLY3729000
0.40%
Keybank National AssociationKEY3789000
0.40%
Medtronic Global Holdings SCAMDT3730000
0.40%
PepsiCo IncPEP3730000
0.40%
Northrop Grumman CorpNOC3732000
0.40%
Comcast CorpCMCSA3729000
0.40%
Elevance Health IncELV3729000
0.39%
Diageo Capital PLCDGELN3410000
0.39%
Pilgrim's Pride CorpPPC3425000
0.39%
Texas Instruments IncTXN3549000
0.39%
Micron Technology IncMU3364000
0.38%
Sumitomo Mitsui Financial Group IncSUMIBK3424000
0.38%
Charter Communications Operating LLC / Charter Communications Operating CapitalCHTR3751000
0.38%
Targa Resources CorpTRGP3364000
0.37%
Royal Bank of CanadaRY3364000
0.37%
Phillips 66 CoPSX3364000
0.37%
United Parcel Service IncUPS3364000
0.37%
Fiserv IncFISV3364000
0.36%
Union Pacific CorpUNP3364000
0.35%
American Tower CorpAMT3172000
0.35%
American Electric Power Co IncAEP3172000
0.35%
Bell Telephone Co of Canada or Bell CanadaBCECN3172000
0.34%
Johnson & JohnsonJNJ3172000
0.34%
Exelon CorpEXC3132000
0.34%
AerCap Ireland Capital DAC / AerCap Global Aviation TrustAER3230000
0.34%
National Grid PLCNGGLN2989000
0.34%
Oncor Electric Delivery Co LLCONCRTX2949000
0.34%
Trimble IncTRMB2989000
0.34%
Enbridge IncENBCN3686000
0.34%
Unilever Capital CorpUNANA3029000
0.34%
Procter & Gamble Co/ThePG3171000
0.33%
Comcast CorpCMCSA2777000
0.33%
Quest Diagnostics IncDGX2797000
0.33%
American Tower CorpAMT2989000
0.33%
Cigna Group/TheCI2989000
0.33%
Xcel Energy IncXEL2990000
0.33%
Bristol-Myers Squibb CoBMY2802000
0.33%
Rio Tinto Alcan IncRIOLN2797000
0.33%
Nomura Holdings IncNOMURA2837000
0.32%
Alexandria Real Estate Equities IncARE3729000
0.32%
Western Midstream Operating LPWES2803000
0.32%
Micron Technology IncMU2797000
0.32%
Eversource EnergyES2949000
0.32%
American Tower CorpAMT2797000
0.32%
T-Mobile USA IncTMUS2989000
0.32%
Extra Space Storage LPEXR2989000
0.32%
Diageo Capital PLCDGELN2837000
0.32%
Fairfax Financial Holdings LtdFFHCN2775000
0.32%
Atmos Energy CorpATO2706000
0.32%
Pacific Gas and Electric CoPCG2777000
0.31%
Allstate Corp/TheALL2797000
0.31%
Florida Power & Light CoNEE2797000
0.31%
Leidos IncLDOS2797000
0.31%
Ameriprise Financial IncAMP2797000
0.31%
American International Group IncAIG2797000
0.31%
Tractor Supply CoTSCO2797000
0.31%
Willis North America IncWTW2797000
0.31%
Virginia Electric and Power CoD2797000
0.31%
Southern Co/TheSO2797000
0.31%
Synchrony FinancialSYF2771000
0.31%
S&P Global IncSPGI2781000
0.31%
Aon Corp / Aon Global Holdings PLCAON2767000
0.30%
International Business Machines CorpIBM2847000
0.30%
Florida Power & Light CoNEE2797000
0.30%
Mastercard IncMA2797000
0.30%
Humana IncHUM2763000
0.30%
Crown Castle IncCCI2797000
0.30%
Constellation Brands IncSTZ2797000
0.30%
Prologis LPPLD2797000
0.30%
CBRE Services IncCBG2802000
0.30%
QUALCOMM IncQCOM2644000
0.30%
Kinder Morgan IncKMI2797000
0.30%
Thermo Fisher Scientific IncTMO2800000
0.30%
MPLX LPMPLX2777000
0.29%
BAT Capital CorpBATSLN2797000
0.29%
Waste Connections IncWCNCN2797000
0.29%
Merck & Co IncMRK2408000
0.29%
Trane Technologies Financing LtdTT2644000
0.29%
Amgen IncAMGN2797000
0.29%
SempraSRE2590000
0.29%
Veralto CorpVLTO2614000
0.29%
Entergy Louisiana LLCETR2797000
0.29%
Targa Resources CorpTRGP2797000
0.29%
Public Storage Operating CoPSA2594000
0.28%
Citigroup IncC2474000
0.28%
Consumers Energy CoCMS2614000
0.28%
Estee Lauder Cos Inc/TheEL2594000
0.28%
Sumitomo Mitsui Financial Group IncSUMIBK2460000
0.28%
National Rural Utilities Cooperative Finance CorpNRUC2422000
0.28%
Visa IncV2610000
0.28%
Boston Properties LPBXP3135000
0.27%
Ryder System IncR2269000
0.27%
Simon Property Group LPSPG2422000
0.27%
Republic Services IncRSG2422000
0.27%
Booz Allen Hamilton IncBAH2423000
0.26%
Brown-Forman CorpBFB2422000
0.26%
Duke Energy Florida LLCDUK2269000
0.26%
Ovintiv IncOVV2276000
0.26%
Nomura Holdings IncNOMURA2269000
0.26%
Prologis LPPLD2422000
0.26%
Fortune Brands Innovations IncFBINUS2269000
0.26%
DTE Electric CoDTE2269000
0.25%
Duke Energy CorpDUK2272000
0.25%
Kimco Realty OP LLCKIM2402000
0.25%
Dow Chemical Co/TheDOW2239000
0.25%
Constellation Energy Generation LLCCEG2239000
0.25%
PPL Electric Utilities CorpPPL2276000
0.25%
Omega Healthcare Investors IncOHI2614000
0.25%
CenterPoint Energy Houston Electric LLCCNP2269000
0.25%
Hess CorpHES2040000
0.25%
HEICO CorpHEI2268000
0.25%
Providence St Joseph Health Obligated GroupPSJHOG2215000
0.25%
LKQ CorpLKQ2219000
0.25%
CSX CorpCSX2219000
0.25%
McKesson CorpMCK2239000
0.25%
Realty Income CorpO2274000
0.25%
Air Products and Chemicals IncAPD2269000
0.24%
McDonald's CorpMCD2239000
0.24%
Marsh & McLennan Cos IncMRSH2219000
0.24%
Marriott International Inc/MDMAR2594000
0.24%
EIDP IncCTVA2239000
0.24%
GLP Capital LP / GLP Financing II IncGLPI2269000
0.24%
Invitation Homes Operating Partnership LPINVH2269000
0.24%
Republic Services IncRSG2584000
0.24%
PECO Energy CoEXC2178000
0.24%
Brookfield Capital Finance LLCBNCN2087000
0.23%
Kinder Morgan Energy Partners LPKMI1905000
0.23%
Enterprise Products Operating LLCEPD1895000
0.23%
Altria Group IncMO1875000
0.23%
AutoZone IncAZO1895000
0.23%
Travelers Property Casualty CorpTRV1895000
0.22%
Darden Restaurants IncDRI1895000
0.22%
AutoZone IncAZO2088000
0.22%
Apollo Global Management IncAPO1895000
0.22%
Verisk Analytics IncVRSK1905000
0.22%
Johnson & JohnsonJNJ1905000
0.21%
NNN REIT IncNNN1895000
0.21%
Marvell Technology IncMRVL1895000
0.21%
Amcor Finance USA IncAMCR1905000
0.21%
WRKCo IncSW2239000
0.21%
nVent Finance SarlNVT1895000
0.21%
Jacobs Engineering Group IncJ1905000
0.21%
Southern Co Gas Capital CorpSO1905000
0.21%
Nordson CorpNDSN1895000
0.21%
Dominion Energy IncD1941000
0.21%
Eastman Chemical CoEMN1895000
0.21%
Duke Energy Progress LLCDUK1905000
0.21%
Mosaic Co/TheMOS1905000
0.21%
Equitable Holdings IncEQH1905000
0.21%
Southern California Gas CoSRE1895000
0.21%
Public Service Electric and Gas CoPEG1905000
0.21%
Consolidated Edison Co of New York IncED1905000
0.21%
Toyota Motor CorpTOYOTA1895000
0.21%
Arizona Public Service CoPNW1895000
0.21%
Progressive Corp/ThePGR1905000
0.21%
LYB International Finance III LLCLYB1905000
0.21%
UPMCUPMCHS1890000
0.21%
Magna International IncMGCN1895000
0.21%
McCormick & Co Inc/MDMKC1905000
0.21%
Ameren Illinois CoAEE1895000
0.21%
Concentrix CorpCNXC2087000
0.21%
Astrazeneca Finance LLCAZN1895000
0.21%
Ally Financial IncALLY1895000
0.21%
Colgate-Palmolive CoCL1895000
0.21%
Starbucks CorpSBUX1905000
0.20%
Waste Management IncWM1905000
0.20%
Target CorpTGT1905000
0.20%
Toyota Motor Credit CorpTOYOTA1895000
0.20%
Archer-Daniels-Midland CoADM1905000
0.20%
Vornado Realty LPVNO1890000
0.20%
Public Service Electric and Gas CoPEG1895000
0.20%
Healthpeak OP LLCDOC1895000
0.20%
Norfolk Southern CorpNSC1895000
0.20%
International Business Machines CorpIBM1870000
0.20%
Cencora IncCOR1870000
0.20%
Jabil IncJBL1870000
0.00%
CASH & EQUIVALENTSUSD2962.52