IPKW - Invesco International BuyBack Achievers™ ETF

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 08/16/2019
Sector Total  Ticker  Company  % of Fund 
Consumer Discretionary
26.58%
MG Magna International Inc 5.06
7202 Isuzu Motors Ltd 4.06
FLTR LN Flutter Entertainment PLC 2.78
PNDORA DC Pandora A/S 2.49
GIL Gildan Activewear Inc 2.47
CTC/A Canadian Tire Corp Ltd 2.44
DUFN SW Dufry AG 2.11
RKET Rocket Internet SE 1.42
FORN SW Forbo Holding AG 1.35
3191 Joyful Honda Co Ltd 0.70
3569 Seiren Co Ltd 0.39
8008 Yondoshi Holdings Inc 0.35
SEER3 Ser Educacional SA 0.27
6794 Foster Electric Co Ltd 0.24
2681 Geo Holdings Corp 0.24
064960 KS S&T Motiv Co Ltd 0.22
Industrials
17.94%
TRI Thomson Reuters Corp 5.52
6502 Toshiba Corp 5.19
QAN Qantas Airways Ltd 2.62
LIGHT Signify NV 2.24
ULE LN Ultra Electronics Holdings PLC 0.91
GBF Bilfinger SE 0.74
7224 Shinmaywa Industries Ltd 0.52
WTE Westshore Terminals Investment Corp 0.20
Materials
11.71%
RIO LN Rio Tinto PLC 4.15
1COV Covestro AG 2.22
MX Methanex Corp 1.90
WFT West Fraser Timber Co Ltd 1.84
OSB Norbord Inc 0.71
036490 KS SK Materials Co Ltd 0.62
4617 Chugoku Marine Paints Ltd 0.26
Communication Services
10.07%
9437 NTT DOCOMO Inc 5.60
4689 Yahoo Japan Corp 4.47
Consumer Staples
8.90%
AD Koninklijke Ahold Delhaize NV 5.49
2579 Coca-Cola Bottlers Japan Holdings Inc 1.98
4921 Fancl Corp 1.44
Energy
7.03%
096770 KS SK Innovation Co Ltd 2.51
IMO Imperial Oil Ltd 2.35
5019 Idemitsu Kosan Co Ltd 2.17
Financials
6.76%
CIX CI Financial Corp 2.30
EMG LN MAN GROUP PLC 2.26
SYDB DC Sydbank A/S 0.75
ECN ECN Capital Corp 0.74
HCG Home Capital Group Inc 0.72
Information Technology
5.49%
ASM ASM International NV 3.02
CCC LN Computacenter PLC 1.20
056190 KS SFA Engineering Corp 0.53
2392 Cheng Uei Precision Industry Co Ltd 0.29
090460 KS BH Co Ltd 0.27
DTC DataTec Ltd 0.18
Real Estate
3.88%
REI-U RioCan Real Estate Investment Trust 2.65
D-U Dream Office Real Estate Investment Trust 0.82
4321 Kenedix Inc 0.41
Health Care
1.63%
3360 Ship Healthcare Holdings Inc 1.21
4569 KYORIN Holdings Inc 0.43