Invesco Bulletshares 2032 Corporate Bond ETF
BSCW
#1074
ETF rank
C$2.03 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
C$28.71
Share price
0.59%
Change (1 day)
5.47%
Change (1 year)

Invesco Bulletshares 2032 Corporate Bond ETF - Holdings

Etf holdings as of June 8, 2026Number of holdings: 318

Full holdings list

Weight %NameTickerShares Held
1.42%
Meta Platforms IncMETA20890000
1.38%
Verizon Communications IncVZ22854000
1.33%
AerCap Ireland Capital DAC / AerCap Global Aviation TrustAER20891000
1.04%
Oracle CorpORCL15667000
1.03%
Meta Platforms IncMETA15564000
0.86%
Sprint Capital CorpS10436000
0.85%
Amazon.com IncAMZN13036000
0.84%
Oracle CorpORCL11754000
0.81%
Amazon.com IncAMZN11753000
0.80%
Ford Motor CoF13054500
0.79%
AT&T IncT13055000
0.74%
Block IncXYZ10445000
0.71%
Toronto-Dominion Bank/TheTD10452000
0.70%
Broadcom IncAVGO10443000
0.68%
Haleon US Capital LLCHLNLN10437000
0.67%
HCA IncHCA10451000
0.66%
GE HealthCare Technologies IncGEHC9110000
0.66%
Rogers Communications IncRCICN10178000
0.66%
BP Capital Markets America IncBPLN10444000
0.65%
Ford Motor CoF9138000
0.64%
Broadcom IncAVGO9142000
0.58%
Bristol-Myers Squibb CoBMY9143000
0.57%
Philip Morris International IncPM7839000
0.56%
Altria Group IncMO9142000
0.55%
UnitedHealth Group IncUNH7831000
0.55%
Paychex IncPAYX7840000
0.55%
Synopsys IncSNPS7835000
0.54%
VICI Properties LPVICI7837000
0.53%
General Electric CoGE6918000
0.53%
UnitedHealth Group IncUNH7840000
0.52%
Apple IncAAPL7835000
0.51%
Lowe's Cos IncLOW7832000
0.51%
Corebridge Financial IncCRBG7836000
0.50%
Toronto-Dominion Bank/TheTD7834000
0.49%
S&P Global IncSPGI7741000
0.48%
Florida Power & Light CoNEE7831000
0.47%
Baxter International IncBAX7939000
0.47%
Johnson & JohnsonJNJ6531000
0.46%
EOG Resources IncEOG6534000
0.46%
General Motors CoGM6527000
0.46%
Lowe's Cos IncLOW6790000
0.46%
T-Mobile USA IncTMUS6528000
0.45%
Cigna Group/TheCI6530000
0.45%
Oracle CorpORCL6527000
0.45%
Chevron USA IncCVX6530000
0.45%
Home Depot Inc/TheHD6528000
0.45%
Walmart IncWMT6529000
0.45%
Dell International LLC / EMC CorpDELL6526000
0.44%
Alphabet IncGOOGL6525000
0.44%
Pfizer IncPFE6529000
0.44%
PepsiCo IncPEP6528000
0.43%
Intel CorpINTC6438000
0.43%
Invesco Government & Agency PortfolioAGPXX6166264.01
0.42%
Sanofi SASANFP6270000
0.42%
Kinder Morgan IncKMI5247000
0.42%
Workday IncWDAY6533000
0.42%
Home Depot Inc/TheHD6527000
0.41%
Mastercard IncMA6007000
0.41%
Duke Energy CorpDUK6007000
0.41%
General Motors Financial Co IncGM6528000
0.41%
Expand Energy CorpEXE6009000
0.41%
Union Pacific CorpUNP6491000
0.41%
AT&T IncT6011000
0.41%
Equinix IncEQIX6187000
0.40%
Citigroup IncC5219000
0.40%
Broadcom IncAVGO5674000
0.40%
Morgan StanleyMS5074000
0.40%
ArcelorMittal SAMTNA5227000
0.39%
Cheniere Energy Partners LPCQP6163000
0.39%
Northern Trust CorpNTRS5222000
0.38%
Unilever Capital CorpUNANA5156000
0.38%
QUALCOMM IncQCOM6444000
0.37%
Comcast CorpCMCSA5226000
0.37%
Eli Lilly & CoLLY5228000
0.37%
Cisco Systems IncCSCO5226000
0.37%
Dell International LLC / EMC CorpDELL5220000
0.37%
BAT Capital CorpBATSLN5157000
0.37%
NextEra Energy Capital Holdings IncNEE5208000
0.37%
KLA CorpKLAC5227000
0.36%
MPLX LPMPLX5224000
0.36%
Target CorpTGT5226000
0.36%
Automatic Data Processing IncADP5219000
0.36%
Merck & Co IncMRK5220000
0.36%
Blackstone Private Credit FundBCRED5227000
0.36%
Williams Cos Inc/TheWMB5226000
0.36%
Eli Lilly & CoLLY5220000
0.36%
Apple IncAAPL5156000
0.36%
Ares Capital CorpARCC5157000
0.35%
Merck & Co IncMRK5220000
0.35%
Global Payments IncGPN5220000
0.35%
HCA IncHCA5220000
0.35%
PayPal Holdings IncPYPL5227000
0.35%
Occidental Petroleum CorpOXY4842000
0.35%
Waste Management IncWM5156000
0.35%
Targa Resources Partners LP / Targa Resources Partners Finance CorpTRGP5226000
0.35%
Royal Bank of CanadaRY5227000
0.34%
Canadian Imperial Bank of CommerceCM5220000
0.33%
Berkshire Hathaway Finance CorpBRK5226000
0.33%
Amgen IncAMGN5151000
0.33%
Marriott International Inc/MDMAR5227000
0.33%
CSX CorpCSX4966000
0.33%
Starbucks CorpSBUX5158000
0.33%
Novartis Capital CorpNOVNVX4830000
0.33%
BAT Capital CorpBATSLN4705000
0.32%
Charles Schwab Corp/TheSCHW5149000
0.32%
Micron Technology IncMU5223000
0.32%
RTX CorpRTX5226000
0.32%
T-Mobile USA IncTMUS5151000
0.32%
Blackrock IncBLK5222000
0.31%
Broadcom IncAVGO4566000
0.31%
Paramount GlobalPARA5224000
0.31%
International Business Machines CorpIBM4436000
0.31%
Costco Wholesale CorpCOST5227000
0.31%
PepsiCo IncPEP4440000
0.31%
O'Reilly Automotive IncORLY4435000
0.31%
Amgen IncAMGN5153000
0.31%
Dominion Energy IncD4376000
0.31%
American Tower CorpAMT4442000
0.31%
UBS Americas IncUBS3873000
0.30%
Charter Communications Operating LLC / Charter Communications Operating CapitalCHTR5157000
0.30%
NextEra Energy Capital Holdings IncNEE4918000
0.30%
Pacific Gas and Electric CoPCG4380000
0.30%
Valero Energy CorpVLO3811000
0.30%
TELUS CorpTCN4705000
0.29%
Philip Morris International IncPM4384000
0.29%
Keurig Dr Pepper IncKDP4436000
0.29%
Capital One Financial CorpCOF3867000
0.29%
Pilgrim's Pride CorpPPC4584000
0.28%
Lockheed Martin CorpLMT4174000
0.28%
Ford Motor Credit Co LLCF3914000
0.28%
Southern California Edison CoEIX3922000
0.28%
Realty Income CorpO3915000
0.28%
American Water Capital CorpAWK4175000
0.28%
ONEOK IncOKE3867000
0.28%
Toronto-Dominion Bank/TheTD3916000
0.28%
HCA IncHCA3914000
0.28%
AES Corp/TheAES3960000
0.28%
General Motors Financial Co IncGM3914000
0.28%
Procter & Gamble Co/ThePG4437000
0.28%
Fairfax Financial Holdings LtdFFHCN3870000
0.28%
NextEra Energy Capital Holdings IncNEE3914000
0.28%
Canadian National Railway CoCNRCN4175000
0.28%
Zoetis IncZTS3864000
0.28%
American Honda Finance CorpHNDA3914000
0.28%
Cintas Corp No 2CTAS4124000
0.27%
Fidelity National Information Services IncFIS3914000
0.27%
Waste Management IncWM3915000
0.27%
McDonald's CorpMCD3914000
0.27%
Alexandria Real Estate Equities IncARE4705000
0.27%
Global Payments IncGPN3919000
0.27%
Kenvue IncKVUE3914000
0.27%
AutoZone IncAZO3915000
0.27%
Bank of Nova Scotia/TheBNS4403000
0.27%
Bio-Rad Laboratories IncBIO4174000
0.27%
CVS Health CorpCVS3870000
0.27%
ONEOK IncOKE3913000
0.27%
Keybank National AssociationKEY3915000
0.27%
Weyerhaeuser CoWY3434000
0.27%
Ares Strategic Income FundARESSI3870000
0.27%
Elevance Health IncELV3920000
0.27%
International Business Machines CorpIBM3916000
0.27%
Thermo Fisher Scientific IncTMO3920000
0.27%
Procter & Gamble Co/ThePG3920000
0.26%
Boston Properties LPBXP4376000
0.26%
Intel CorpINTC3916000
0.26%
GLP Capital LP / GLP Financing II IncGLPI4120000
0.25%
Manulife Financial CorpMFCCN3865000
0.25%
Toyota Motor Credit CorpTOYOTA3660000
0.25%
Georgia Power CoSO3654000
0.25%
Newmont CorpNEM4006000
0.25%
Constellation Brands IncSTZ3655000
0.25%
Dick's Sporting Goods IncDKS3918000
0.25%
BAT Capital CorpBATSLN3133000
0.25%
Archer-Daniels-Midland CoADM3914000
0.25%
Xcel Energy IncXEL3660000
0.25%
Dollar General CorpDG3604000
0.25%
Nomura Holdings IncNOMURA3914000
0.25%
Mondelez International IncMDLZ3915000
0.25%
Oncor Electric Delivery Co LLCONCRTX3600000
0.24%
CME Group IncCME3915000
0.24%
Honda Motor Co LtdHNDA3920000
0.24%
Eaton CorpETN3654000
0.24%
Sumisho Air Lease CorpSUMIAL3915000
0.24%
MetLife IncMET3133000
0.24%
Elevance Health IncELV3397000
0.24%
Flex LtdFLEX3398000
0.24%
Chevron USA IncCVX3394000
0.24%
ConocoPhillips CoCOP3354000
0.24%
McKesson CorpMCK3395000
0.24%
Comcast CorpCMCSA3393000
0.23%
AutoNation IncAN3605000
0.23%
Diageo Capital PLCDGELN3915000
0.23%
NetApp IncNTAP3264000
0.23%
Alabama Power CoSO3654000
0.23%
HP IncHPQ3487000
0.23%
Republic Services IncRSG3866000
0.23%
Pacific Gas and Electric CoPCG3131000
0.23%
International Business Machines CorpIBM3094000
0.23%
Sumitomo Mitsui Financial Group IncSUMIBK3130000
0.22%
Allegion US Holding Co IncALLE3137000
0.22%
Simon Property Group LPSPG3604000
0.22%
American Tower CorpAMT3348000
0.22%
Realty Income CorpO3603000
0.22%
Motorola Solutions IncMSI3134000
0.22%
Simon Property Group LPSPG3655000
0.22%
Nutrien LtdNTRCN3134000
0.22%
Deutsche Telekom International Finance BVDT2613000
0.22%
Thermo Fisher Scientific IncTMO3137000
0.22%
AvalonBay Communities IncAVB3605000
0.22%
Eversource EnergyES3394000
0.21%
John Deere Capital CorpDE3133000
0.21%
Constellation Energy Generation LLCCEG3130000
0.21%
Clorox Co/TheCLX3134000
0.21%
Southwest Gas CorpSWX3133000
0.21%
Sun Communities Operating LPSUI3134000
0.21%
Elevance Health IncELV3134000
0.21%
Wisconsin Power and Light CoLNT3130000
0.21%
Brown & Brown IncBRO3137000
0.21%
Waste Connections IncWCNCN3396000
0.21%
National Rural Utilities Cooperative Finance CorpNRUC3120000
0.21%
Invitation Homes Operating Partnership LPINVH3134000
0.21%
Essex Portfolio LPESS3354000
0.20%
TWDC Enterprises 18 CorpDIS2608000
0.20%
Ecolab IncECL3351000
0.20%
Suncor Energy IncSUCN2614000
0.20%
American Homes 4 Rent LPAMH3094000
0.20%
Kimco Realty OP LLCKIM3097000
0.20%
Edison InternationalEIX2874000
0.20%
Norfolk Southern CorpNSC3089000
0.19%
Citizens Financial Group IncCFG3246000
0.19%
Tyco Electronics Group SATEL3133000
0.19%
ConocoPhillipsCOP2603000
0.19%
Welltower OP LLCWELL2873000
0.19%
Virginia Electric and Power CoD3134000
0.19%
Toronto-Dominion Bank/TheTD3097000
0.19%
Exelon CorpEXC2955000
0.19%
Mondelez International IncMDLZ3224000
0.19%
Marsh & McLennan Cos IncMRSH2616000
0.19%
Church & Dwight Co IncCHD2614000
0.19%
Southern Co/TheSO2614000
0.19%
Host Hotels & Resorts LPHST2608000
0.19%
Extra Space Storage LPEXR3137000
0.19%
Brookfield Finance I UK Plc / Brookfield Finance IncBNCN3093000
0.19%
American Electric Power Co IncAEP2575000
0.19%
Sutter HealthSUTHEA2616000
0.19%
ERP Operating LPEQR2616000
0.19%
Leidos IncLDOS2614000
0.18%
Motorola Solutions IncMSI2614000
0.18%
Ventas Realty LPVTR2614000
0.18%
Hershey Co/TheHSY2607000
0.18%
Hyatt Hotels CorpH2574000
0.18%
Southern Co Gas Capital CorpSO2613000
0.18%
Kraft Heinz Foods CoKHC2613000
0.18%
Brown & Brown IncBRO2607000
0.18%
Marriott International Inc/MDMAR2613000
0.18%
HF Sinclair CorpDINO2610000
0.18%
Ralph Lauren CorpRL2574000
0.18%
Nucor CorpNUE2874000
0.18%
Air Products and Chemicals IncAPD2614000
0.18%
Mastercard IncMA2574000
0.18%
Arthur J Gallagher & CoAJG2613000
0.18%
VeriSign IncVRSN2614000
0.18%
Wisconsin Electric Power CoWEC2614000
0.18%
EIDP IncCTVA2608000
0.18%
ORIX CorpORIX2574000
0.18%
Aon Corp / Aon Global Holdings PLCAON2575000
0.18%
Roper Technologies IncROP2608000
0.18%
RELX Capital IncRELLN2614000
0.18%
CenterPoint Energy Resources CorpCNP2614000
0.18%
Laboratory Corp of America HoldingsLH2614000
0.18%
AEP Texas IncAEP2614000
0.18%
CenterPoint Energy Houston Electric LLCCNP2615000
0.18%
Ameriprise Financial IncAMP2608000
0.18%
Howmet Aerospace IncHWM2615000
0.18%
QUALCOMM IncQCOM2613000
0.18%
Moody's CorpMCO2610000
0.18%
Appalachian Power CoAEP2574000
0.18%
Becton Dickinson & CoBDX2607000
0.17%
Advanced Micro Devices IncAMD2616000
0.17%
John Deere Capital CorpDE2614000
0.17%
Ameren Illinois CoAEE2614000
0.17%
WRKCo IncSW2613000
0.17%
Carlisle Cos IncCSL2874000
0.17%
GE Capital Funding LLCGE2492000
0.17%
ORIX CorpORIX2573000
0.17%
Take-Two Interactive Software IncTTWO2573000
0.17%
Colgate-Palmolive CoCL2607000
0.17%
Duke Energy Progress LLCDUK2614000
0.17%
Humana IncHUM2786000
0.17%
DTE Electric CoDTE2613000
0.17%
Union Electric CoAEE2743000
0.17%
Boardwalk Pipelines LPBWP2573000
0.17%
Waste Connections IncWCNCN2607000
0.17%
Progressive Corp/ThePGR2614000
0.16%
San Diego Gas & Electric CoSRE2614000
0.16%
Public Service Electric and Gas CoPEG2573000
0.16%
Tapestry IncTPR2614000
0.16%
International Business Machines CorpIBM2613000
0.16%
Cenovus Energy IncCVECN2607000
0.16%
FactSet Research Systems IncFDS2578000
0.16%
Duke Energy Carolinas LLCDUK2577000
0.16%
Arrow Electronics IncARW2615000
0.16%
Stanley Black & Decker IncSWK2612000
0.16%
Welltower OP LLCWELL2575000
0.16%
Flowserve CorpFLS2614000
0.16%
Southern California Edison CoEIX2608000
0.16%
Sonoco Products CoSON2574000
0.16%
National Rural Utilities Cooperative Finance CorpNRUC2574000
0.16%
Quanta Services IncPWR2607000
0.16%
Entergy Louisiana LLCETR2614000
0.16%
Genuine Parts CoGPC2614000
0.16%
Avery Dennison CorpAVY2613000
0.16%
Sherwin-Williams Co/TheSHW2614000
0.16%
CubeSmart LPCUBE2576000
0.16%
Prologis LPPLD2544000
0.15%
Jefferies Financial Group IncJEF2576000
0.15%
Albemarle CorpALB2174000
0.00%
CASH & EQUIVALENTSUSD0.02