Invesco S&P 500 Enhanced Value ETF

Symbol

SPVU

Price

$49.9199

Exchange

AMEX

Industry

Asset Management

Dividend Yield

2.04%

Ex-Dividend Date

09-23-2024

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

09.23.2024

$49.7

$0.35417

0.71%

09.23.2024

09.27.2024

06.24.2024

$47.7

$0.30653

0.64%

06.24.2024

06.28.2024

03.18.2024

$47.6

$0.32551

0.68%

03.19.2024

03.22.2024

12.18.2023

$44.25

$0.35715

0.81%

12.19.2023

12.22.2023

09.18.2023

$41.82

$0.3586

0.86%

09.19.2023

09.22.2023

06.20.2023

$40.68

$0.25821

0.63%

06.21.2023

06.23.2023

03.20.2023

$38.32

$0.37244

0.97%

03.21.2023

03.24.2023

12.19.2022

$40.75

$0.247

0.61%

12.20.2022

12.23.2022

09.19.2022

$39.86

$0.272

0.68%

09.20.2022

09.23.2022

06.21.2022

$38.97

$0.266

0.68%

06.22.2022

06.30.2022

03.21.2022

$45.28

$0.234

0.52%

03.22.2022

03.31.2022

12.20.2021

-

$0.313

0.63%

12.21.2021

12.31.2021

06.21.2021

-

$0.201

0.40%

06.22.2021

06.30.2021

03.22.2021

-

$0.247

0.49%

03.23.2021

03.31.2021

12.21.2020

-

$0.214

0.43%

12.22.2020

12.31.2020

06.22.2020

-

$0.219

0.44%

06.23.2020

06.30.2020

03.23.2020

-

$0.246

0.49%

03.24.2020

03.31.2020

12.23.2019

-

$0.236

0.47%

12.24.2019

12.31.2019

09.23.2019

-

$0.245

0.49%

09.24.2019

09.30.2019

06.24.2019

-

$0.192

0.38%

06.25.2019

06.28.2019

03.18.2019

-

$0.189

0.38%

03.19.2019

03.29.2019

12.24.2018

-

$0.23

0.46%

12.26.2018

12.31.2018

09.24.2018

-

$0.214

0.43%

09.25.2018

09.28.2018

06.18.2018

-

$0.164

0.33%

06.19.2018

06.29.2018

03.19.2018

-

$0.153

0.31%

03.20.2018

03.29.2018

12.18.2017

-

$0.575

1.15%

12.19.2017

12.29.2017

09.18.2017

-

$0.149

0.30%

09.19.2017

09.29.2017

06.16.2017

-

$0.054

0.11%

06.20.2017

06.30.2017

03.17.2017

-

$0.045

0.09%

03.21.2017

03.31.2017

12.16.2016

-

$0.11962

0.24%

12.20.2016

12.30.2016

06.17.2016

-

$0.16

0.32%

06.21.2016

06.30.2016

12.18.2015

-

$0.139

0.28%

12.22.2015

12.31.2015

Holdings

NameWeight (%)
Berkshire Hathaway Inc5.328%
Exxon Mobil Corp5.307%
JPMorgan Chase & Co5.201%
Bank of America Corp4.8%
Chevron Corp4.417%
AT&T Inc4.033%
Wells Fargo & Co4.031%
Comcast Corp3.355%
Verizon Communications Inc3.218%
CVS Health Corp3.019%
Citigroup Inc2.53%
Cigna Group/The2%
General Motors Co1.981%
Marathon Petroleum Corp1.848%
Phillips 661.765%
Valero Energy Corp1.687%
Ford Motor Co1.424%
Capital One Financial Corp1.408%
US Bancorp1.323%
PNC Financial Services Group Inc/The1.305%
American International Group Inc1.295%
Centene Corp1.264%
FedEx Corp1.173%
McKesson Corp1.148%
Emerson Electric Co1.147%
DR Horton Inc1.106%
Archer-Daniels-Midland Co1.101%
Bank of New York Mellon Corp/The1.002%
Kroger Co/The0.948%
Lennar Corp0.93%
Prudential Financial Inc0.919%
Arch Capital Group Ltd0.873%
Delta Air Lines Inc0.85%
Nucor Corp0.83%
M&T Bank Corp0.735%
Charter Communications Inc0.706%
Cencora Inc0.689%
Hartford Financial Services Group Inc/The0.675%
United Airlines Holdings Inc0.674%
Humana Inc0.672%
VICI Properties Inc0.651%
Kraft Heinz Co/The0.642%
Hewlett Packard Enterprise Co0.592%
State Street Corp0.585%
PulteGroup Inc0.573%
Consolidated Edison Inc0.563%
Diamondback Energy Inc0.546%
Entergy Corp0.541%
Cincinnati Financial Corp0.54%
Synchrony Financial0.524%
Fifth Third Bancorp0.522%
Bunge Global SA0.52%
HP Inc0.514%
Everest Group Ltd0.509%
Aptiv PLC0.501%
Devon Energy Corp0.496%
Regions Financial Corp0.476%
Huntington Bancshares Inc/OH0.461%
LyondellBasell Industries NV0.457%
Steel Dynamics Inc0.441%
Baxter International Inc0.43%
Ball Corp0.426%
Citizens Financial Group Inc0.426%
NRG Energy Inc0.411%
Best Buy Co Inc0.399%
Tyson Foods Inc0.382%
Loews Corp0.375%
Molina Healthcare Inc0.374%
Jabil Inc0.354%
Warner Bros Discovery Inc0.347%
Principal Financial Group Inc0.344%
Southwest Airlines Co0.332%
Marathon Oil Corp0.316%
Molson Coors Beverage Co0.299%
KeyCorp0.296%
Celanese Corp0.287%
CarMax Inc0.277%
Conagra Brands Inc0.273%
Mosaic Co/The0.259%
Viatris Inc0.247%
Smurfit WestRock PLC0.239%
Universal Health Services Inc0.239%
Evergy Inc0.238%
Globe Life Inc0.224%
Caesars Entertainment Inc0.223%
Assurant Inc0.222%
Fox Corp0.22%
LKQ Corp0.216%
BorgWarner Inc0.215%
Solventum Corp0.21%
Eastman Chemical Co0.209%
APA Corp0.207%
Huntington Ingalls Industries Inc0.19%
FMC Corp0.187%
Pinnacle West Capital Corp0.167%
Walgreens Boots Alliance Inc0.149%
Franklin Resources Inc0.144%
Paramount Global0.142%
Mohawk Industries Inc0.133%
Invesco Government & Agency Portfolio0.008%
Cash/Receivables/Payables0%