Invesco US High Yield Fallen Angels UCITS ETF Acc
HYFC.L
#3681
ETF rank
S$7.16 M
Marketcap
๐Ÿ‡ฌ๐Ÿ‡ง UK
Market
S$40.12
Share price
0.53%
Change (1 day)
0.29%
Change (1 year)

Invesco US High Yield Fallen Angels UCITS ETF Acc - Holdings

Etf holdings as of October 8, 2026Number of holdings: 71

Full holdings list

Weight %NameISIN
3.94%
Six Flags Entertainment Corp /Six 6.625% 01/05/32US83002YAA73
3.80%
CVS Health Corp VAR 10/03/55US126650EH94
3.70%
GFL Environmental Inc 6.75% 15/01/31US36168QAQ73
3.28%
VF Corp 2.95% 23/04/30US918204BC10
2.76%
Nissan Motor Co Ltd 4.81% 17/09/30US654744AD34
2.60%
Alcoa Nederland Holding BV 4.125% 31/03/29US013822AG68
2.52%
Huntsman International LLC 4.5% 01/05/29US44701QBE17
2.37%
Electronic Arts Inc 1.85% 15/02/31US285512AE93
2.33%
Electronic Arts Inc 2.95% 15/02/51US285512AF68
2.12%
Advance Auto Parts Inc 3.9% 15/04/30US00751YAE68
2.11%
Coty Inc/HFC Prestige Products Inc 5.6% 15/01/31US22207AAC62
2.04%
Flowers Foods Inc 5.75% 15/03/35US343498AD32
1.98%
Brandywine Operating Partnership L 3.95% 15/11/27US105340AQ63
1.90%
Flowers Foods Inc 2.4% 15/03/31US343498AC58
1.90%
Leggett & Platt Inc 3.5% 15/11/27US524660AY34
1.87%
Coty Inc/HFC Prestige Products Inc 6.625% 15/07/30US22207AAA07
1.84%
Leggett & Platt Inc 4.4% 15/03/29US524660AZ09
1.80%
Fluor Corp 4.25% 15/09/28US343412AF90
1.75%
Newell Brands Inc 7.5% 01/04/46US651229AY21
1.61%
Brandywine Operating Partnership L 8.8% 15/03/28US105340AR47
1.58%
Newell Brands Inc 6.625% 15/09/29US651229BD74
1.54%
Advance Auto Parts Inc 1.75% 01/10/27US00751YAF34
1.53%
Discovery Global Holdings Inc 4.279% 15/03/32US55903VBC63
1.48%
Hudson Pacific Properties LP 4.65% 01/04/29US44409MAB28
1.47%
Whirlpool Corp 4.75% 26/02/29US963320AW61
1.45%
Brandywine Operating Partnership L 4.55% 01/10/29US105340AP80
1.41%
FMC Corp 5.65% 18/05/33US302491AX31
1.38%
Crane NXT Co 4.2% 15/03/48US224399AT28
1.37%
Hudson Pacific Properties LP 3.95% 01/11/27US44409MAA45
1.36%
FMC Corp 3.45% 01/10/29US302491AU91
1.34%
Advance Auto Parts Inc 3.5% 15/03/32US00751YAG17
1.33%
Kohl's Corp 5.55% 17/07/45US500255AV61
1.31%
Centene Corp 4.625% 15/12/29US15135BAT89
1.29%
CVS Health Corp VAR 10/12/54US126650EG12
1.24%
Leggett & Platt Inc 3.5% 15/11/51US524660BA49
1.24%
Huntsman International LLC 2.95% 15/06/31US44701QBF81
1.24%
FS KKR Capital Corp 6.125% 15/01/30US302635AP20
1.23%
FS KKR Capital Corp 3.125% 12/10/28US302635AK33
1.20%
FMC Corp 6.375% 18/05/53US302491AY14
1.20%
Newell Brands Inc 7.375% 01/04/36US651229AX48
1.15%
Coty Inc/HFC Prestige Products Inc 4.75% 15/01/29US222070AG98
1.15%
Huntsman International LLC 5.7% 15/10/34US44701QBG64
1.14%
Celanese US Holdings LLC 7.55% 15/11/30US15089QAX25
1.13%
Kohl's Corp 5.125% 01/05/31US500255AX28
1.11%
Celanese US Holdings LLC 7.7% 15/11/33US15089QAY08
1.11%
Celanese US Holdings LLC 7.379% 15/07/32US15089QAP90
1.10%
Hudson Pacific Properties LP 3.25% 15/01/30US44409MAC01
1.04%
FS KKR Capital Corp 6.875% 15/08/29US302635AN71
0.99%
Hudson Pacific Properties LP 5.95% 15/02/28US44409MAD83
0.96%
FMC Corp 4.5% 01/10/49US302491AV74
0.96%
Centene Corp 2.45% 15/07/28US15135BAY74
0.91%
Nissan Motor Acceptance Co LLC 7.05% 15/09/28US65480CAF23
0.88%
Flowers Foods Inc 6.2% 15/03/55US343498AE15
0.82%
Celanese US Holdings LLC 7.33% 15/07/29US15089QAN43
0.81%
FS KKR Capital Corp 7.875% 15/01/29US302635AM98
0.80%
Celanese US Holdings LLC 7.35% 15/11/28US15089QAW42
0.77%
Nissan Motor Acceptance Co LLC 2.75% 09/03/28US654740BT54
0.77%
Centene Corp 2.5% 01/03/31US15135BAX91
0.76%
Centene Corp 3% 15/10/30US15135BAW19
0.73%
Centene Corp 3.375% 15/02/30US15135BAV36
0.70%
FS KKR Capital Corp 6.125% 15/01/31US302635AQ03
0.64%
Whirlpool Corp 4.6% 15/05/50US963320AX45
0.58%
Whirlpool Corp 5.75% 01/03/34US963320BC98
0.57%
Whirlpool Corp 4.7% 14/05/32US963320AZ92
0.55%
Whirlpool Corp 2.4% 15/05/31US963320AY28
0.53%
Whirlpool Corp 4.5% 01/06/46US963320AV88
0.48%
Whirlpool Corp 5.5% 01/03/33US963320BA33
0.48%
Centene Corp 2.625% 01/08/31US15135BAZ40
0.43%
Cash and/or Derivatives
0.38%
Nissan Motor Acceptance Co LLC 5.55% 13/09/29US65480CAH88
0.21%
Nissan Motor Acceptance Co LLC 2.45% 15/09/28US65480CAD74