ETF constituents for PSCI

Below, a list of constituents for PSCI (Invesco S&P SmallCap Industrials ETF) is shown. In total, PSCI consists of 90 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
90278Q108 UFPI 29965 2440349.6 3.193 UFP Industries Inc
30214U102 EXPO 25236 2224805.76 2.911 Exponent Inc
57686G105 MATX 20371 2125306.43 2.781 Matson Inc
16115Q308 GTLS 17257 1890331.78 2.474 Chart Industries Inc
03820C105 AIT 18617 1788162.85 2.34 Applied Industrial Technologies Inc
78469X107 FLOW 20330 1743704.1 2.282 SPX FLOW Inc
500643200 KFY 26402 1691840.16 2.214 Korn Ferry
76118Y104 REZI 69928 1678971.28 2.197 Resideo Technologies Inc
477839104 JBT 15383 1596293.91 2.089 John Bean Technologies Corp
431571108 HI 35378 1595547.8 2.088 Hillenbrand Inc
624756102 MLI 27779 1592014.49 2.083 Mueller Industries Inc
353514102 FELE 18881 1552207.01 2.031 Franklin Electric Co Inc
199908104 FIX 17470 1474293.3 1.929 Comfort Systems USA Inc
000957100 ABM 32573 1399987.54 1.832 ABM Industries Inc
012348108 AIN 15691 1328870.79 1.739 Albany International Corp
007800105 AJRD 36265 1326936.35 1.736 Aerojet Rocketdyne Holdings Inc
904708104 UNF 7369 1297680.9 1.698 UniFirst Corp/MA
349853101 FWRD 13070 1284127.5 1.68 Forward Air Corp
443320106 HUBG 16452 1267297.56 1.658 Hub Group Inc
09739D100 BCC 19067 1233825.57 1.614 Boise Cascade Co
01748X102 ALGT 7347 1217471.37 1.593 Allegiant Travel Co
59001K100 MTOR 33978 1213694.16 1.588 Meritor Inc
000360206 AAON 20061 1136054.43 1.487 AAON Inc
292562105 WIRE 9828 1110957.12 1.454 Encore Wire Corp
784635104 SPXC 21996 1107058.68 1.449 SPX Corp
615394202 MOG/A 14185 1087422.1 1.423 Moog Inc
039653100 ACA 23410 1078264.6 1.411 Arcosa Inc
29355X107 NPO 9994 1075154.52 1.407 EnPro Industries Inc
313855108 FSS 29587 1074599.84 1.406 Federal Signal Corp
104674106 BRC 23509 1073420.94 1.405 Brady Corp
03937C105 ARCB 12376 1047752.16 1.371 ArcBest Corp
36251C103 GMS 20916 1044754.2 1.367 GMS Inc
067806109 B 22573 1044226.98 1.366 Barnes Group Inc
564563104 MANT 13341 1027390.41 1.344 ManTech International Corp/VA
049164205 AAWW 13063 984297.05 1.288 Atlas Air Worldwide Holdings Inc
404251100 HNI 21091 878229.24 1.149 HNI Corp
296315104 ESE 12638 860900.56 1.126 ESCO Technologies Inc
48238T109 KAR 58679 795100.45 1.04 KAR Auction Services Inc
387328107 GVA 22205 757190.5 0.991 Granite Construction Inc
374689107 ROCK 15825 723993.75 0.947 Gibraltar Industries Inc
91734M103 ECOL 15278 722954.96 0.946 US Ecology Inc
743713109 PRLB 13359 722187.54 0.945 Proto Labs Inc
896818101 TGI 31284 708582.6 0.927 Triumph Group Inc
55405W104 MYRG 8167 701626.97 0.918 MYR Group Inc
880345103 TNC 8979 685456.86 0.897 Tennant Co
830879102 SKYW 24413 679902.05 0.89 SkyWest Inc
000361105 AIR 16135 673636.25 0.881 AAR Corp
393657101 GBX 15769 672074.78 0.879 Greenbrier Cos Inc/The
535555106 LNN 5285 669820.9 0.876 Lindsay Corp
248019101 DLX 20621 649561.5 0.85 Deluxe Corp
011311107 ALG 4809 647820.39 0.848 Alamo Group Inc
923454102 VRTV 6725 647752.0 0.848 Veritiv Corp
008073108 AVAV 11177 636306.61 0.833 AeroVironment Inc
854231107 SXI 5921 619040.55 0.81 Standex International Corp
415864107 HSC 38363 596544.65 0.781 Harsco Corp
62945V109 NVEE 5743 576769.49 0.755 NV5 Global Inc
002474104 AZZ 12023 568928.36 0.744 AZZ Inc
421906108 HCSG 36114 567712.08 0.743 Healthcare Services Group Inc
483548103 KAMN 13499 561153.43 0.734 Kaman Corp
69336V101 PGTI 28889 554668.8 0.726 PGT Innovations Inc
046224101 ASTE 11037 543351.51 0.711 Astec Industries Inc
037598109 APOG 12286 538741.1 0.705 Apogee Enterprises Inc
21871N101 CXW 58265 527880.9 0.691 CoreCivic Inc
577128101 MATW 15313 502572.66 0.658 Matthews International Corp
398433102 GFF 23062 499753.54 0.654 Griffon Corp
573075108 MRTN 28916 491572.0 0.643 Marten Transport Ltd
67011P100 DNOW 53536 489854.4 0.641 NOW Inc
292765104 EPAC 29198 486438.68 0.637 Enerpac Tool Group Corp
419879101 HA 24802 459333.04 0.601 Hawaiian Holdings Inc
89785X101 TBI 17196 449675.4 0.588 TrueBlue Inc
422819102 HSII 9484 398802.2 0.522 Heidrick & Struggles International Inc
929566107 WNC 23976 390089.52 0.51 Wabash National Corp
030506109 AMWD 8031 386532.03 0.506 American Woodmark Corp
724479100 PBI 80162 375158.16 0.491 Pitney Bowes Inc
458665304 TILE 28606 371591.94 0.486 Interface Inc
488152208 KELYA 17463 371438.01 0.486 Kelly Services Inc
36162J106 GEO 59368 359176.4 0.47 GEO Group Inc/The
747619104 NX 16221 356050.95 0.466 Quanex Building Products Corp
45774W108 IIIN 9395 338313.95 0.443 Insteel Industries Inc
92552R406 VVI 9944 337698.24 0.442 Viad Corp
422347104 HTLD 22557 317376.99 0.415 Heartland Express Inc
346563109 FORR 5392 272403.84 0.356 Forrester Research Inc
88830M102 TWI 24762 263467.68 0.345 Titan International Inc
17273K109 CIR 9796 254402.12 0.333 CIRCOR International Inc
76122Q105 RGP 15101 245542.26 0.321 Resources Connection Inc
233377407 DXPE 8277 231424.92 0.303 DXP Enterprises Inc/TX
637215104 NPK 2452 189833.84 0.248 National Presto Industries Inc
70014A104 PKE 9413 123027.91 0.161 Park Aerospace Corp
739128106 POWL 4346 93047.86 0.122 Powell Industries Inc
825252885 AGPXX 25299 25298.84 0.033 Invesco Government & Agency Portfolio