Companies:
11,075
total market cap:
$150.315 T
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Watchlist
Account
Invesco Bulletshares 2033 Corporate Bond ETF
BSCX
#1284
ETF rank
$1.03 B
Marketcap
๐บ๐ธ US
Market
$20.98
Share price
-0.47%
Change (1 day)
1.52%
Change (1 year)
๐๏ธ Bond ETFs
๐๏ธ Corporate Bond ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
Distributions
Invesco Bulletshares 2033 Corporate Bond ETF - Holdings
Etf holdings as of
July 5, 2026
Number of holdings:
292
Full holdings list
Weight %
Name
Ticker
Shares Held
1.52%
Amgen Inc
AMGN
15248000
1.38%
Amazon.com Inc
AMZN
14350000
1.09%
AT&T Inc
T
13436000
1.03%
Alphabet Inc
GOOGL
10764000
1.03%
Oracle Corp
ORCL
10760000
0.97%
Salesforce Inc
CRM
9860000
0.94%
Abbott Laboratories
ABT
9860000
0.92%
T-Mobile USA Inc
TMUS
9328000
0.84%
Enbridge Inc
ENBCN
8248000
0.82%
Philip Morris International Inc
PM
8068000
0.80%
Intel Corp
INTC
8071000
0.79%
BP Capital Markets America Inc
BPLN
8075000
0.77%
Banco Santander SA
SANTAN
7187000
0.77%
NVIDIA Corp
NVDA
8000000
0.73%
Verizon Communications Inc
VZ
7669000
0.73%
UnitedHealth Group Inc
UNH
7179000
0.71%
Broadcom Inc
AVGO
8062000
0.70%
Verizon Communications Inc
VZ
7173000
0.69%
Novartis Capital Corp
NOVNVX
7170000
0.69%
Meta Platforms Inc
META
7170000
0.66%
Sumitomo Mitsui Financial Group Inc
SUMIBK
6403000
0.65%
AT&T Inc
T
6740000
0.64%
CVS Health Corp
CVS
6400000
0.61%
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings
JBS
6083000
0.61%
Meta Platforms Inc
META
6276000
0.60%
Royal Bank of Canada
RY
6094000
0.60%
Banco Santander SA
SANTAN
5519000
0.57%
Comcast Corp
CMCSA
6094000
0.56%
Energy Transfer LP
ET
5384000
0.55%
ONEOK Inc
OKE
5384000
0.55%
L3Harris Technologies Inc
LHX
5484000
0.55%
Energy Transfer LP
ET
5377000
0.54%
Kinder Morgan Inc
KMI
5486000
0.53%
Broadcom Inc
AVGO
6261000
0.53%
Merck & Co Inc
MRK
5484000
0.52%
BP Capital Markets America Inc
BPLN
5378000
0.52%
UnitedHealth Group Inc
UNH
5493000
0.52%
Amazon.com Inc
AMZN
5484000
0.51%
Oracle Corp
ORCL
5484000
0.51%
Walmart Inc
WMT
5384000
0.51%
Cheniere Energy Partners LP
CQP
5019000
0.49%
BAT Capital Corp
BATSLN
4571000
0.48%
Ford Motor Credit Co LLC
F
4605000
0.48%
Fox Corp
FOXA
4570000
0.48%
Fiserv Inc
FISV
4784000
0.47%
Regal Rexnord Corp
RRX
4559000
0.46%
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
AER
5374000
0.46%
Williams Cos Inc/The
WMB
4585000
0.46%
RTX Corp
RTX
4571000
0.46%
T-Mobile USA Inc
TMUS
4571000
0.45%
Duke Energy Carolinas LLC
DUK
4571000
0.45%
Intuit Inc
INTU
4601000
0.45%
HCA Inc
HCA
4573000
0.45%
Lowe's Cos Inc
LOW
4604000
0.45%
CVS Health Corp
CVS
4579000
0.45%
Kenvue Inc
KVUE
4571000
0.45%
Eaton Corp
ETN
4756000
0.44%
TotalEnergies Capital USA LLC
TTEFP
4600000
0.44%
Toronto-Dominion Bank/The
TD
4600000
0.44%
Blackrock Inc
BLK
4571000
0.44%
Eli Lilly & Co
LLY
4590000
0.44%
Walmart Inc
WMT
4600000
0.44%
Broadcom Inc
AVGO
4571000
0.44%
Royal Caribbean Cruises Ltd
RCL
4600000
0.44%
AbbVie Inc
ABBV
4570000
0.44%
Amphenol Corp
APH
4576000
0.43%
Pacific Gas and Electric Co
PCG
4206000
0.42%
Canadian Imperial Bank of Commerce
CM
4054000
0.42%
Diamondback Energy Inc
FANG
4029000
0.41%
Time Warner Cable Enterprises LLC
CHTR
3682000
0.41%
HP Inc
HPQ
4054000
0.40%
Goldman Sachs Group Inc/The
GS
3801000
0.39%
MPLX LP
MPLX
4024000
0.39%
General Motors Financial Co Inc
GM
3681000
0.38%
J M Smucker Co/The
SJM
3659000
0.38%
Dell International LLC / EMC Corp
DELL
3679000
0.37%
Ingersoll Rand Inc
IR
3659000
0.37%
Philip Morris International Inc
PM
3662000
0.37%
Lockheed Martin Corp
LMT
3659000
0.37%
MetLife Inc
MET
3659000
0.37%
Enterprise Products Operating LLC
EPD
3664000
0.37%
Dollar General Corp
DG
3679000
0.37%
Gilead Sciences Inc
GILD
3664000
0.37%
John Deere Capital Corp
DE
3657000
0.37%
ConocoPhillips Co
COP
3687000
0.36%
Thermo Fisher Scientific Inc
TMO
3659000
0.36%
NextEra Energy Capital Holdings Inc
NEE
3659000
0.36%
Verizon Communications Inc
VZ
3685000
0.36%
Eli Lilly & Co
LLY
3659000
0.36%
Lowe's Cos Inc
LOW
3687000
0.36%
Georgia Power Co
SO
3659000
0.36%
PepsiCo Inc
PEP
3650000
0.36%
General Mills Inc
GIS
3659000
0.36%
Intel Corp
INTC
3680000
0.36%
Northrop Grumman Corp
NOC
3662000
0.35%
Ford Motor Credit Co LLC
F
3650000
0.35%
Elevance Health Inc
ELV
3659000
0.35%
Apple Inc
AAPL
3679000
0.35%
Medtronic Global Holdings SCA
MDT
3660000
0.35%
Comcast Corp
CMCSA
3659000
0.35%
Comcast Corp
CMCSA
3679000
0.35%
Keybank National Association
KEY
3539000
0.35%
Texas Instruments Inc
TXN
3479000
0.34%
Eaton Corp
ETN
3590000
0.34%
Targa Resources Corp
TRGP
3314000
0.33%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
3681000
0.33%
Sumitomo Mitsui Financial Group Inc
SUMIBK
3214000
0.33%
Fiserv Inc
FISV
3314000
0.33%
Diageo Capital PLC
DGELN
3215000
0.33%
United Parcel Service Inc
UPS
3294000
0.33%
Royal Bank of Canada
RY
3314000
0.32%
Phillips 66 Co
PSX
3314000
0.32%
Union Pacific Corp
UNP
3289000
0.32%
American Tower Corp
AMT
3132000
0.32%
American Electric Power Co Inc
AEP
3112000
0.32%
Toyota Motor Credit Corp
TOYOTA
3290000
0.31%
Exelon Corp
EXC
3112000
0.31%
Enbridge Inc
ENBCN
3686000
0.30%
Bell Telephone Co of Canada or Bell Canada
BCECN
3132000
0.30%
Trimble Inc
TRMB
2949000
0.30%
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
AER
3130000
0.30%
Comcast Corp
CMCSA
2757000
0.30%
Procter & Gamble Co/The
PG
3111000
0.30%
Johnson & Johnson
JNJ
3112000
0.30%
American Tower Corp
AMT
2949000
0.30%
Nomura Holdings Inc
NOMURA
2848000
0.30%
Oncor Electric Delivery Co LLC
ONCRTX
2929000
0.30%
National Grid PLC
NGGLN
2929000
0.29%
Cigna Group/The
CI
2929000
0.29%
Xcel Energy Inc
XEL
2930000
0.29%
Alexandria Real Estate Equities Inc
ARE
3659000
0.29%
PacifiCorp
BRKHEC
2930000
0.29%
Diageo Capital PLC
DGELN
2845000
0.29%
Unilever Capital Corp
UNANA
2929000
0.29%
Quest Diagnostics Inc
DGX
2747000
0.29%
T-Mobile USA Inc
TMUS
2949000
0.29%
Extra Space Storage LP
EXR
2929000
0.29%
Synchrony Financial
SYF
2761000
0.28%
Eversource Energy
ES
2929000
0.28%
Pacific Gas and Electric Co
PCG
2747000
0.28%
Rio Tinto Alcan Inc
RIOLN
2747000
0.28%
Bristol-Myers Squibb Co
BMY
2742000
0.28%
Western Midstream Operating LP
WES
2763000
0.28%
Realty Income Corp
O
2930000
0.28%
Equinix Europe 2 Financing Corp LLC
EQIX
2944000
0.28%
American Tower Corp
AMT
2757000
0.28%
Leidos Inc
LDOS
2766000
0.28%
Humana Inc
HUM
2743000
0.28%
Fairfax Financial Holdings Ltd
FFHCN
2745000
0.28%
Aon Corp / Aon Global Holdings PLC
AON
2747000
0.27%
S&P Global Inc
SPGI
2741000
0.27%
Allstate Corp/The
ALL
2747000
0.27%
Atmos Energy Corp
ATO
2646000
0.27%
Florida Power & Light Co
NEE
2747000
0.27%
Mastercard Inc
MA
2757000
0.27%
CBRE Services Inc
CBG
2762000
0.27%
MPLX LP
MPLX
2766000
0.27%
Tractor Supply Co
TSCO
2763000
0.27%
Willis North America Inc
WTW
2747000
0.27%
American International Group Inc
AIG
2747000
0.27%
Ameriprise Financial Inc
AMP
2747000
0.27%
Virginia Electric and Power Co
D
2747000
0.27%
International Business Machines Corp
IBM
2747000
0.27%
Kinder Morgan Inc
KMI
2747000
0.27%
Southern Co/The
SO
2747000
0.27%
Augusta SpinCo Corp
WAT
2740000
0.27%
Florida Power & Light Co
NEE
2747000
0.27%
HCA Inc
HCA
2760000
0.27%
Crown Castle Inc
CCI
2757000
0.26%
Constellation Brands Inc
STZ
2747000
0.26%
BAT Capital Corp
BATSLN
2747000
0.26%
Prologis LP
PLD
2744000
0.26%
Thermo Fisher Scientific Inc
TMO
2740000
0.26%
Waste Connections Inc
WCNCN
2747000
0.26%
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc
BHI
2740000
0.26%
Sempra
SRE
2553000
0.26%
Amgen Inc
AMGN
2747000
0.26%
Targa Resources Corp
TRGP
2757000
0.26%
Veralto Corp
VLTO
2554000
0.26%
National Rural Utilities Cooperative Finance Corp
NRUC
2462000
0.26%
Trane Technologies Financing Ltd
TT
2554000
0.26%
Public Storage Operating Co
PSA
2554000
0.25%
Entergy Louisiana LLC
ETR
2747000
0.25%
Sumitomo Mitsui Financial Group Inc
SUMIBK
2470000
0.25%
QUALCOMM Inc
QCOM
2514000
0.25%
Merck & Co Inc
MRK
2338000
0.25%
Boston Properties LP
BXP
3115000
0.25%
Visa Inc
V
2580000
0.25%
Pilgrim's Pride Corp
PPC
2455000
0.25%
Omnicom Group Inc
OMC
2580000
0.24%
Consumers Energy Co
CMS
2553000
0.24%
Estee Lauder Cos Inc/The
EL
2554000
0.24%
Citigroup Inc
C
2384000
0.24%
Kimco Realty OP LLC
KIM
2462000
0.24%
Nomura Holdings Inc
NOMURA
2279000
0.24%
Ovintiv Inc
OVV
2276000
0.24%
Simon Property Group LP
SPG
2332000
0.24%
Booz Allen Hamilton Inc
BAH
2363000
0.23%
ServiceNow Inc
NOW
2395000
0.23%
Duke Energy Corp
DUK
2272000
0.23%
Ryder System Inc
R
2189000
0.23%
Fortune Brands Innovations Inc
FBINUS
2279000
0.23%
Marsh & McLennan Cos Inc
MRSH
2279000
0.23%
Republic Services Inc
RSG
2332000
0.23%
DTE Electric Co
DTE
2279000
0.23%
Prologis LP
PLD
2332000
0.23%
Hess Corp
HES
2045000
0.23%
Brown-Forman Corp
BFB
2332000
0.22%
Air Products and Chemicals Inc
APD
2279000
0.22%
Hewlett Packard Enterprise Co
HPE
2280000
0.22%
CenterPoint Energy Houston Electric LLC
CNP
2279000
0.22%
Constellation Energy Generation LLC
CEG
2180000
0.22%
Realty Income Corp
O
2274000
0.22%
PPL Electric Utilities Corp
PPL
2276000
0.22%
Mid-America Apartments LP
MAA
2279000
0.22%
Dow Chemical Co/The
DOW
2149000
0.22%
Providence St Joseph Health Obligated Group
PSJHOG
2215000
0.22%
Omega Healthcare Investors Inc
OHI
2554000
0.22%
Duke Energy Florida LLC
DUK
2149000
0.22%
GLP Capital LP / GLP Financing II Inc
GLPI
2279000
0.22%
Southern California Edison Co
EIX
2280000
0.22%
LKQ Corp
LKQ
2189000
0.22%
Astrazeneca Finance LLC
AZN
2280000
0.22%
Marriott International Inc/MD
MAR
2554000
0.22%
HEICO Corp
HEI
2148000
0.22%
Republic Services Inc
RSG
2554000
0.22%
McKesson Corp
MCK
2149000
0.21%
McDonald's Corp
MCD
2149000
0.21%
CSX Corp
CSX
2149000
0.21%
PECO Energy Co
EXC
2178000
0.21%
Brookfield Capital Finance LLC
BNCN
2087000
0.21%
Kinder Morgan Energy Partners LP
KMI
1895000
0.21%
Invitation Homes Operating Partnership LP
INVH
2149000
0.21%
Enterprise Products Operating LLC
EPD
1900000
0.21%
EIDP Inc
CTVA
2149000
0.20%
Altria Group Inc
MO
1895000
0.20%
Marriott International Inc/MD
MAR
2150000
0.20%
Travelers Property Casualty Corp
TRV
1895000
0.20%
AutoZone Inc
AZO
2088000
0.20%
AutoZone Inc
AZO
1895000
0.20%
Darden Restaurants Inc
DRI
1895000
0.20%
Apollo Global Management Inc
APO
1900000
0.20%
Marvell Technology Inc
MRVL
1895000
0.19%
Southern Co Gas Capital Corp
SO
1895000
0.19%
Nordson Corp
NDSN
1895000
0.19%
Dominion Energy Inc
D
1931000
0.19%
Verisk Analytics Inc
VRSK
1895000
0.19%
Eastman Chemical Co
EMN
1895000
0.19%
Jacobs Engineering Group Inc
J
1895000
0.19%
Arizona Public Service Co
PNW
1895000
0.19%
Equitable Holdings Inc
EQH
1895000
0.19%
Toyota Motor Corp
TOYOTA
1895000
0.19%
Public Service Electric and Gas Co
PEG
1895000
0.19%
NNN REIT Inc
NNN
1895000
0.19%
Magna International Inc
MGCN
1895000
0.19%
nVent Finance Sarl
NVT
1895000
0.19%
Johnson & Johnson
JNJ
1895000
0.19%
Vornado Realty LP
VNO
1900000
0.19%
Consolidated Edison Co of New York Inc
ED
1895000
0.19%
Duke Energy Progress LLC
DUK
1895000
0.19%
Amcor Finance USA Inc
AMCR
1895000
0.19%
Ally Financial Inc
ALLY
1845000
0.19%
Astrazeneca Finance LLC
AZN
1895000
0.19%
Colgate-Palmolive Co
CL
1895000
0.19%
WRKCo Inc
SW
2189000
0.19%
Toyota Motor Credit Corp
TOYOTA
1895000
0.19%
Mosaic Co/The
MOS
1895000
0.19%
Southern California Gas Co
SRE
1895000
0.19%
LYB International Finance III LLC
LYB
1895000
0.19%
Waste Management Inc
WM
1896000
0.18%
Progressive Corp/The
PGR
1895000
0.18%
McCormick & Co Inc/MD
MKC
1895000
0.18%
Target Corp
TGT
1895000
0.18%
Ameren Illinois Co
AEE
1895000
0.18%
Public Service Electric and Gas Co
PEG
1895000
0.18%
Bunge Ltd Finance Corp
BG
1900000
0.18%
Global Payments Inc
GPN
1900000
0.18%
Healthpeak OP LLC
DOC
1895000
0.18%
Archer-Daniels-Midland Co
ADM
1895000
0.18%
UPMC
UPMCHS
1900000
0.18%
Jabil Inc
JBL
1900000
0.18%
Cencora Inc
COR
1900000
0.18%
Norfolk Southern Corp
NSC
1899000
0.18%
Cousins Properties LP
CUZ
1901000
0.18%
International Business Machines Corp
IBM
1880000
0.18%
Schlumberger Investment SA
SLB
1840000
0.18%
Concentrix Corp
CNXC
2027000
0.17%
Starbucks Corp
SBUX
1775000
0.17%
Honeywell International Inc
HON
1740000
0.12%
Las Vegas Sands Corp
LVS
1200000
0.05%
Invesco Government & Agency Portfolio
AGPXX
561107.39
0.00%
CASH & EQUIVALENTS
USD
3194.39