INVESCO EXCHANGE TRADED FD T - S&P500 EQL WGT (RSP)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / S&P500 EQL WGT
Shares, excl. options Q3 2024
225M
Holdings value Q3 2024
$40.3B
Value change Q3 2024
+$1.92B
Grand Portfolio weight change Q3 2024
+0.004%
Number of holders
1628
Number of buys Q3 2024
920
Number of sells Q3 2024
-545
Average buys Q3 2024 %
+0.05%
Average sells Q3 2024 %
-0.028%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 225M $40.3B +$1.92B $179.16 1,637
2024 Q2 217M $35.7B +$2.64B $164.28 1,567
2024 Q1 199M $33.7B +$912M $169.37 1,544
2023 Q4 193M $30.5B +$2.85B $157.80 1,470
2023 Q3 175M $24.7B +$2.34B $141.69 1,307
2023 Q2 158M $23.6B +$3.4B $149.64 1,263
2023 Q1 135M $19.6B +$511M $144.62 1,187
2022 Q4 131M $18.6B +$1.27B $141.25 1,163
2022 Q3 123M $15.6B +$11.6M $127.28 1,052
2022 Q2 123M $16.5B -$436M $134.23 1,090
2022 Q1 126M $19.9B +$1.62B $157.71 1,147
2021 Q4 116M $18.8B +$558M $162.75 1,123
2021 Q3 109M $16.3B -$210M $149.82 976
2021 Q2 112M $16.8B +$1.91B $150.73 965
2021 Q1 99M $14B +$3.95B $141.66 904
2020 Q4 71.1M $9.07B +$892M $127.54 832
2020 Q3 62.5M $6.76B +$839M $108.11 675
2020 Q2 54.9M $5.59B +$199M $101.76 651
2020 Q1 52.2M $4.39B -$1.12B $84.02 638
2019 Q4 66M $7.63B -$46.5M $115.72 709
2019 Q3 65.8M $7.11B -$175M $108.08 633
2019 Q2 68.2M $7.34B -$12.9M $107.80 629
2019 Q1 68.3M $7.14B +$409M $104.44 622
2018 Q4 64.3M $5.88B -$603M $91.40 602
2018 Q3 69.3M $7.4B +$682M $106.81 547
2018 Q2 62.9M $6.41B +$6.39B $101.89 520
2018 Q1 140K $14M +$1.62M $99.48 4
2017 Q4 125K $12.6M +$925K $101.03 4
2017 Q3 115K $11M +$1.24M $95.54 3
2017 Q2 102K $9.48M -$203K $92.68 3
2017 Q1 105K $9.49M +$78.9K $90.82 3
2016 Q4 104K $8.98M +$8.34M $86.64 3
2016 Q3 7.32K $8.75M -$139M $83.59 3
2016 Q2 111K $8.91M -$2.34M $80.35 3
2016 Q1 134K $11.1M $0 $78.53 4