Free Trial

Invesco International BuyBack Achievers ETF (IPKW) Holdings

$41.63
+0.45 (+1.09%)
(As of 05/31/2024 ET)

Top 50 IPKW Holdings

RankCompanyCurrent PriceWeightShares Held
1Shell PLCN/A5.19%144,516
2Novartis AG Registered SharesN/A5.04%49,403
3UBS Group AGN/A4.87%155,601
4BP PLCN/A4.79%765,293
5
Canadian Natural Resources Limited stock logo
CNQ
Canadian Natural Resources
$76.83
+1.4%
4.41%56,677
6UniCredit SpAN/A4.18%104,777
7Banco Bilbao Vizcaya Argentaria SAN/A4.04%367,610
8SoftBank Group CorpN/A3.48%63,058
9Barclays PLCN/A2.90%1,035,359
10Nordea Bank AbpN/A2.66%214,515
11
Suncor Energy Inc. stock logo
SU
Suncor Energy
$40.82
+2.4%
2.66%64,863
12adidas AGN/A2.63%10,643
13Lloyds Banking Group PLCN/A2.60%3,664,562
14Vale SAN/A2.53%197,140
15Eni SpAN/A2.40%151,462
16Renesas Electronics CorpN/A2.10%111,914
17Naspers Ltd Class NN/A2.09%9,718
18
Nutrien Ltd. stock logo
NTR
Nutrien
$58.61
+2.3%
2.03%34,005
19DSV ASN/A1.77%11,443
20NatWest Group PLCN/A1.67%420,605
21Japan Post Holdings Co LtdN/A1.50%159,468
22CaixaBank SAN/A1.48%263,066
23Sampo Oyj Class AN/A1.44%32,073
24Standard Chartered PLCN/A1.39%138,365
25Repsol SAN/A1.31%79,489
26ENEOS Holdings IncN/A1.04%208,479
27Inpex CorpN/A1.04%67,546
28Pandora A/SN/A1.03%6,119
29Pan Pacific International Holdings CorpN/A1.00%39,256
30Informa PLCN/A0.97%89,072
31ArcelorMittal SA New Reg.Shs ex-ArcelorN/A0.92%35,182
32NN Group NVN/A0.86%17,243
33
Imperial Oil Limited stock logo
IMO
Imperial Oil
$70.50
+1.8%
0.78%11,052
34
(ARX) stock logo
ARX
(ARX)
0.77%41,100
35WPP PLCN/A0.72%67,989
36A. P. Moller Maersk A/S Class BN/A0.66%370
37ACS Actividades de Construccion y Servicios SAN/A0.65%14,343
38
TFI International Inc. stock logo
TFII
TFI International
$132.28
+0.3%
0.61%4,532
39Trelleborg AB Class BN/A0.59%14,646
40Pearson PLCN/A0.58%46,959
This military-backed stock “owns” AI market (Ad)

The AI boom is just getting started. And the real wealth has still to be made…

You must read this new presentation from Porter Stansberry.
41Melrose Industries PLCN/A0.54%66,993
42Groupe Bruxelles Lambert SAN/A0.50%6,455
43Smiths Group PLCN/A0.50%22,221
44Taisei CorpN/A0.48%12,690
45Howden Joinery Group PLCN/A0.45%37,725
46BlueScope Steel LtdN/A0.44%30,540
47Kawasaki Kisen Kaisha LtdN/A0.41%27,532
48
Montrose Environmental Group, Inc. stock logo
MEG
Montrose Environmental Group
$47.01
+1.9%
0.41%18,709
49Kingfisher PLCN/A0.40%118,566
50
Gildan Activewear Inc. stock logo
GIL
Gildan Activewear
$38.27
+2.5%
0.39%10,083

Geographic Exposure

  • United Kingdom
    23.5%
  • Japan
    14.4%
  • Canada
    13.9%
  • Switzerland
    10.1%
  • Spain
    7.7%
  • Italy
    6.7%
  • Finland
    4.0%
  • Denmark
    3.8%
  • Germany
    3.4%
  • Brazil
    2.4%
  • South Africa
    2.2%
  • Australia
    1.2%
  • Luxembourg
    1.0%
  • Jersey
    1.0%
  • Netherlands
    0.8%
  • Sweden
    0.7%
  • Austria
    0.6%
  • Belgium
    0.5%
  • Ireland
    0.5%
  • China
    0.3%
  • Korea, Republic of
    0.3%
  • Mexico
    0.2%
  • Israel
    0.2%
  • Turkey
    0.1%
  • Hong Kong
    0.1%
  • Taiwan, Province of China
    0.1%

Currency Exposure

  • GBP
    24.9%
  • EUR
    22.4%
  • JPY
    14.4%
  • CAD
    13.9%
  • CHF
    10.1%
  • DKK
    3.8%
  • SEK
    3.4%
  • BRL
    2.5%
  • ZAR
    2.2%
  • AUD
    1.2%
  • HKD
    0.4%
  • KRW
    0.3%
  • MXN
    0.2%
  • TRY
    0.1%
  • TWD
    0.1%

Sector Exposure

  • Financials
    29.8%
  • Energy
    19.2%
  • Materials
    7.5%
  • Consumer Discretionary
    7.1%
  • Industrials
    7.0%
  • Communications
    6.3%
  • Health Care
    5.7%
  • Technology
    3.6%
  • Consumer Staples
    1.5%
  • Real Estate
    0.2%
  • Information Technology
    0.1%

Industry Exposure

  • Banks
    20.4%
  • Oil Gas & Consumable Fuels
    19.2%
  • Capital Markets
    6.2%
  • Pharmaceuticals
    5.1%
  • Textiles Apparel & Luxury Goods
    4.3%
  • Metals & Mining
    4.0%
  • Transportation Infrastructure
    3.8%
  • Wireless Telecommunication Services
    3.7%
  • Chemicals
    2.9%
  • Semiconductors & Semiconductor Equipment
    2.9%
  • Media
    2.7%
  • Specialty Retail
    2.4%
  • Insurance
    2.3%
  • Construction & Engineering
    1.5%
  • Household Durables
    1.1%
  • Machinery
    0.6%
  • Diversified Consumer Services
    0.6%
  • Industrial Conglomerates
    0.5%
  • Construction Materials
    0.3%
  • Health Care Technology
    0.3%
  • Electrical Equipment
    0.3%
  • Diversified Financial Services
    0.3%
  • Automobiles
    0.3%
  • Biotechnology
    0.3%
  • Paper & Forest Products
    0.2%
  • Food Products
    0.2%
  • Software
    0.2%
  • Equity Real Estate Investment
    0.2%
  • Auto Components
    0.1%
  • Commercial Services & Supplies
    0.1%
  • Hotels Restaurants & Leisure
    0.1%
  • Building Products
    0.1%
  • Communications Equipment
    0.1%
  • Real Estate Management & Development
    0.1%
  • IT Services
    0.1%
  • Electronic Equipment Instruments & Components
    0.1%

SubIndustry Exposure

  • Diversified Banks
    20.4%
  • Integrated Oil & Gas
    11.9%
  • Oil & Gas Exploration & Production
    5.5%
  • Pharmaceuticals
    5.1%
  • Diversified Capital Markets
    5.0%
  • Apparel Accessories & Luxury
    4.3%
  • Steel
    4.0%
  • Wireless Telecommunication Services
    3.7%
  • Semiconductors
    2.9%
  • Trucking
    2.4%
  • Life & Health Insurance
    2.3%
  • Fertilizers & Agricultural Che
    2.0%
  • Publishing & Broadcasting
    1.9%
  • Construction & Engineering
    1.5%
  • Marine Ports & Services
    1.4%
  • Oil & Gas Refining & Marketing
    1.1%
  • Home Improvement Retail
    1.1%
  • General Merchandise Stores
    1.0%
  • Asset Management & Custody Banks
    0.7%
  • Advertising
    0.7%
  • Industrial Machinery
    0.6%
  • Department Stores
    0.5%
  • Multi-Sector Holdings
    0.5%
  • Industrial Conglomerates
    0.5%
  • Investment Banking & Brokerage
    0.4%
  • Consumer Electronics
    0.4%
  • Oil & Gas Equipment & Services
    0.4%
  • Agricultural Products
    0.4%
  • Construction Materials
    0.3%
  • Coal & Consumable Fuels
    0.3%
  • Health Care Distributors
    0.3%
  • Electrical Components & Equipment
    0.3%
  • Specialty Chemicals
    0.3%
  • Automobile Manufacturers
    0.3%
  • Biotechnology
    0.3%
  • Forest Products
    0.2%
  • Apparel Retail
    0.2%
  • Trading Companies & Distributors
    0.2%
  • REIT
    0.2%
  • Packaged Foods & Meats
    0.2%
  • Diversified Chemicals
    0.2%
  • Specialized Finance
    0.2%
  • Auto Parts & Equipment
    0.1%
  • Diversified Support Services
    0.1%
  • Commodity Chemicals
    0.1%
  • Thrifts & Mortgage Finance
    0.1%
  • Other Diversified Financial Services
    0.1%
  • Application Software
    0.1%
  • Homebuilding
    0.1%
  • Building Products
    0.1%
  • Research & Consulting Services
    0.1%
  • Communications Equipment
    0.1%
  • IT Consulting & Other Services
    0.1%
  • Systems Software
    0.1%
  • Restaurants
    0.1%
  • Electronic Components
    0.1%

Related Companies and Tools

This page (NASDAQ:IPKW) was last updated on 6/2/2024 by MarketBeat.com Staff

From Our Partners