INVESCO EXCHANGE TRADED FD T - S&P500 EQL TEC (RSPT)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / S&P500 EQL TEC
Symbol
RSPT
Price per share
$45.51
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
42,577,413
Total reported value
$1,897,212,644
% of total 13F portfolios
0.01%
Share change
+2,203,432
Value change
+$99,680,279
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
360
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, INVESCO EXCHANGE TRADED FD T - S&P500 EQL TEC (RSPT) has 360 institutional shareholders filing 13F forms. They hold 42,577,413 shares. .

Institutional Holders of INVESCO EXCHANGE TRADED FD T - S&P500 EQL TEC (RSPT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 1,889,671 $86,408,378 -$1,306,602 4,551% 16
2025 Q3 42,577,413 $1,897,212,644 +$99,680,279 4,458% 360
2025 Q2 41,239,747 $1,682,640,932 +$18,287,380 4,078% 364
2025 Q1 39,229,810 $1,337,740,427 -$104,127,944 3,420% 349
2024 Q4 42,364,209 $1,584,905,638 -$2,111,783 3,742% 368
2024 Q3 41,953,976 $1,580,287,585 -$751,043,827 3,770% 368
2024 Q2 61,734,572 $2,264,048,852 -$60,449,731 3,666% 382
2024 Q1 63,438,480 $2,229,633,954 +$66,769,759 3,519% 372
2023 Q4 61,015,716 $1,988,737,969 +$35,650,082 3,264% 355
2023 Q3 54,351,175 $1,529,815,874 +$1,287,197,736 2,815% 310
2023 Q2 5,280,931 $1,553,039,053 +$589,413,137 29,409% 309
2023 Q1 3,687,559 $1,016,468,480 +$58,895,056 27,598.01% 290
2022 Q4 3,485,960 $853,505,688 +$74,237,679 24,298% 281
2022 Q3 2,795,662 $634,522,449 -$29,207,967 22,641% 260
2022 Q2 2,925,086 $692,058,703 -$109,593,379 23,633.46% 263
2022 Q1 3,374,425 $974,292,390 -$167,948,859 28,913.92% 275
2021 Q4 3,942,466 $1,276,961,881 -$114,517,789 32,402.86% 300
2021 Q3 4,211,875 $1,214,781,841 +$31,625,792 28,822.1% 269
2021 Q2 4,114,572 $1,193,470,989 +$13,957,861 29,005.8% 254
2021 Q1 4,041,868 $1,090,831,847 +$45,256,998 26,984.8% 244
2020 Q4 3,820,104 $968,692,053 +$133,037,303 25,355% 247
2020 Q3 3,242,592 $683,779,302 +$121,974,981 21,067% 222
2020 Q2 2,655,430 $529,041,924 -$26,082,101 19,913.29% 206
2020 Q1 2,800,517 $446,911,674 -$57,722,036 15,944.05% 206
2019 Q4 3,183,639 $630,663,489 -$5,703,588 19,805.57% 222
2019 Q3 3,129,744 $559,469,097 -$31,027,639 17,881.27% 186
2019 Q2 3,303,180 $585,651,879 +$2,262,716 17,740.86% 185
2019 Q1 3,275,497 $557,285,272 -$33,016,053 17,010.09% 173
2018 Q4 3,414,606 $482,095,618 -$80,158,533 14,082.98% 156
2018 Q3 3,831,338 $643,974,355 +$108,727,033 16,829.5% 162
2018 Q2 3,183,096 $504,500,100 +$496,561,065 15,845.3% 141
2018 Q1 39,307 $5,947,000 -$200,599 15,126.62% 2
2017 Q4 40,632 $5,809,000 -$48,751 14,296.14% 2
2017 Q3 40,973 $5,533,000 -$765,318 13,507.92% 2
2017 Q2 46,637 $5,820,000 -$226,769 12,477.83% 2
2017 Q1 47,879 $5,784,000 -$51,701 12,081.77% 2
2016 Q4 39,295 $4,264,000 +$4,169,377 10,851.25% 1
2016 Q3 872 $4,211,000 -$199,075,991 482,912.84% 1
2016 Q2 42,096 $3,949,000 -$131,333 9,380.94% 1
2016 Q1 43,496 $4,078,000 9,375.57% 1