ETF constituents for IVLC

Below, a list of constituents for IVLC (Invesco US Large Cap Core ESG ETF) is shown. In total, IVLC consists of 62 securities.

Note: The data shown here is as of date 01/31/2022 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

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Security Identifier Holding Ticker Shares/Par Value MarketValue Weight Name
594918104 MSFT 1504 421526.08 6.482 Microsoft Corp
037833100 AAPL 2477 396493.39 6.097 Apple Inc
023135106 AMZN 111 321515.94 4.944 Amazon.com Inc
02079K305 GOOGL 125 318970.0 4.905 Alphabet Inc
91324P102 UNH 482 221536.84 3.407 UnitedHealth Group Inc
911312106 UPS 744 152133.12 2.339 United Parcel Service Inc
747525103 QCOM 913 147559.06 2.269 QUALCOMM Inc
74340W103 PLD 1035 145686.6 2.24 Prologis Inc
40412C101 HCA 584 141199.52 2.171 HCA Healthcare Inc
46625H100 JPM 941 139917.29 2.152 JPMorgan Chase & Co
05722G100 BKR 4377 127151.85 1.955 Baker Hughes Co
038222105 AMAT 968 123768.48 1.903 Applied Materials Inc
742718109 PG 785 122428.6 1.883 Procter & Gamble Co/The
G1151C101 ACN 377 118061.32 1.815 Accenture PLC
437076102 HD 382 117827.9 1.812 Home Depot Inc/The
30212P303 EXPE 587 116595.81 1.793 Expedia Group Inc
45866F104 ICE 923 114165.87 1.756 Intercontinental Exchange Inc
79466L302 CRM 576 109751.04 1.688 salesforce.com Inc
532457108 LLY 456 108669.36 1.671 Eli Lilly & Co
046353108 AZN 1768 107034.72 1.646 AstraZeneca PLC ADR
92826C839 V 494 106679.3 1.64 Visa Inc
907818108 UNP 413 101110.66 1.555 Union Pacific Corp
92343V104 VZ 1887 100784.67 1.55 Verizon Communications Inc
871829107 SYY 1184 99562.56 1.531 Sysco Corp
713448108 PEP 589 98180.41 1.51 PepsiCo Inc
882508104 TXN 586 97065.04 1.493 Texas Instruments Inc
609207105 MDLZ 1453 96304.84 1.481 Mondelez International Inc
025816109 AXP 505 95419.75 1.467 American Express Co
235851102 DHR 362 94985.18 1.461 Danaher Corp
007903107 AMD 820 90003.2 1.384 Advanced Micro Devices Inc
67103H107 ORLY 135 85286.25 1.311 O'Reilly Automotive Inc
337738108 FISV 921 85284.6 1.311 Fiserv Inc
216648402 COO 215 85021.75 1.307 Cooper Cos Inc/The
65339F101 NEE 1168 84469.76 1.299 NextEra Energy Inc
928563402 VMW 706 83364.48 1.282 VMware Inc
571748102 MMC 490 72882.6 1.121 Marsh & McLennan Cos Inc
29452E101 EQH 2216 70889.84 1.09 Equitable Holdings Inc
244199105 DE 209 70541.68 1.085 Deere & Co
68902V107 OTIS 923 68938.87 1.06 Otis Worldwide Corp
009158106 APD 286 67115.62 1.032 Air Products and Chemicals Inc
285512109 EA 519 65767.68 1.011 Electronic Arts Inc
23331A109 DHI 831 64942.65 0.999 DR Horton Inc
H84989104 TEL 465 64309.5 0.989 TE Connectivity Ltd
020002101 ALL 516 63612.48 0.978 Allstate Corp/The
94106B101 WCN 512 60759.04 0.934 Waste Connections Inc
773903109 ROK 236 60699.2 0.933 Rockwell Automation Inc
98138H101 WDAY 284 60494.84 0.93 Workday Inc
87612E106 TGT 313 59438.7 0.914 Target Corp
443510607 HUBB 339 59243.64 0.911 Hubbell Inc
78409V104 SPGI 157 58619.09 0.901 S&P Global Inc
64110L106 NFLX 154 56588.84 0.87 Netflix Inc
20030N101 CMCSA 1250 56412.5 0.867 Comcast Corp
78486Q101 SIVB 93 54431.04 0.837 SVB Financial Group
81181C104 SGEN 444 53106.84 0.817 Seagen Inc
778296103 ROST 566 49819.32 0.766 Ross Stores Inc
256677105 DG 243 45766.62 0.704 Dollar General Corp
03027X100 AMT 195 44352.75 0.682 American Tower Corp
83304A106 SNAP 1198 44302.04 0.681 Snap Inc
854502101 SWK 275 42798.25 0.658 Stanley Black & Decker Inc
70450Y103 PYPL 414 41698.08 0.641 PayPal Holdings Inc
015271109 ARE 193 35849.75 0.551 Alexandria Real Estate Equities Inc
05351W103 AGR 785 34226.0 0.526 Avangrid Inc