ETF constituents for SPMO

Below, a list of constituents for SPMO (Invesco S&P 500® Momentum ETF) is shown. In total, SPMO consists of 101 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
02079K305 GOOGL 2858 7292930.08 8.889 Alphabet Inc
02079K107 GOOG 2841 7249379.7 8.836 Alphabet Inc
084670702 BRK/B 20127 6239168.73 7.605 Berkshire Hathaway Inc
949746101 WFC 48441 2613391.95 3.185 Wells Fargo & Co
617446448 MS 24813 2321256.15 2.829 Morgan Stanley
654106103 NKE 15178 2076805.74 2.531 NIKE Inc
87612E106 TGT 10906 2071049.4 2.524 Target Corp
808513105 SCHW 24319 2007533.45 2.447 Charles Schwab Corp/The
38141G104 GS 5688 1940688.72 2.366 Goldman Sachs Group Inc/The
244199105 DE 5393 1820245.36 2.219 Deere & Co
461202103 INTU 3284 1533628.0 1.869 Intuit Inc
038222105 AMAT 11881 1519104.66 1.852 Applied Materials Inc
438516106 HON 8071 1444386.16 1.761 Honeywell International Inc
14040H105 COF 9578 1431623.66 1.745 Capital One Financial Corp
369604301 GE 15419 1428570.35 1.741 General Electric Co
68389X105 ORCL 19198 1391279.06 1.696 Oracle Corp
025816109 AXP 7219 1364030.05 1.663 American Express Co
855244109 SBUX 14730 1320544.5 1.61 Starbucks Corp
35671D857 FCX 28488 1209600.48 1.474 Freeport-McMoRan Inc
053015103 ADP 5695 1117871.55 1.363 Automatic Data Processing Inc
60770K107 MRNA 8220 1115700.6 1.36 Moderna Inc
37045V100 GM 22779 1056490.02 1.288 General Motors Co
693475105 PNC 4846 964402.46 1.176 PNC Financial Services Group Inc/The
G29183103 ETN 5990 894366.9 1.09 Eaton Corp PLC
345370860 F 52690 893095.5 1.089 Ford Motor Co
40412C101 HCA 3671 887574.38 1.082 HCA Healthcare Inc
G51502105 JCI 13655 871598.65 1.062 Johnson Controls International plc
518439104 EL 2867 834096.31 1.017 Estee Lauder Cos Inc/The
74460D109 PSA 2230 788193.5 0.961 Public Storage
670346105 NUE 6172 728172.56 0.888 Nucor Corp
254709108 DFS 6007 720960.14 0.879 Discover Financial Services
14448C104 CARR 15336 672330.24 0.82 Carrier Global Corp
78486Q101 SIVB 1127 659610.56 0.804 SVB Financial Group
291011104 EMR 6985 635006.35 0.774 Emerson Electric Co
G8994E103 TT 4121 613905.37 0.748 Trane Technologies PLC
H84989104 TEL 4297 594275.1 0.724 TE Connectivity Ltd
G6095L109 APTV 4387 584567.75 0.713 Aptiv PLC
704326107 PAYX 4800 545328.0 0.665 Paychex Inc
34959E109 FTNT 1870 532033.7 0.648 Fortinet Inc
12504L109 CBRE 5508 529043.4 0.645 CBRE Group Inc
31428X106 FDX 2459 528291.56 0.644 FedEx Corp
00846U101 A 4176 526176.0 0.641 Agilent Technologies Inc
828806109 SPG 3562 477557.34 0.582 Simon Property Group Inc
620076307 MSI 2284 474249.76 0.578 Motorola Solutions Inc
46266C105 IQV 2051 457537.08 0.558 IQVIA Holdings Inc
40434L105 HPQ 13114 452957.56 0.552 HP Inc
701094104 PH 1559 451985.28 0.551 Parker-Hannifin Corp
016255101 ALGN 919 443564.54 0.541 Align Technology Inc
45168D104 IDXX 920 436705.6 0.532 IDEXX Laboratories Inc
25179M103 DVN 7983 427489.65 0.521 Devon Energy Corp
366651107 IT 1501 410628.57 0.501 Gartner Inc
03076C106 AMP 1334 388941.04 0.474 Ameriprise Financial Inc
30225T102 EXR 2016 376205.76 0.459 Extra Space Storage Inc
988498101 YUM 3064 372551.76 0.454 Yum! Brands Inc
33616C100 FRC 2275 368254.25 0.449 First Republic Bank/CA
59522J103 MAA 1817 366706.94 0.447 Mid-America Apartment Communities Inc
87165B103 SYF 8601 357801.6 0.436 Synchrony Financial
316773100 FITB 7423 350142.91 0.427 Fifth Third Bancorp
49338L103 KEYS 2265 347337.75 0.423 Keysight Technologies Inc
592688105 MTD 238 328594.7 0.401 Mettler-Toledo International Inc
941848103 WAT 1055 323399.7 0.394 Waters Corp
260003108 DOV 2075 321438.25 0.392 Dover Corp
012653101 ALB 1761 320502.0 0.391 Albemarle Corp
368736104 GNRC 1176 318684.24 0.388 Generac Holdings Inc
989207105 ZBRA 794 317036.26 0.386 Zebra Technologies Corp
682680103 OKE 5150 313017.0 0.382 ONEOK Inc
070830104 BBWI 6188 311380.16 0.38 Bath & Body Works Inc
754730109 RJF 2828 302313.2 0.368 Raymond James Financial Inc
30212P303 EXPE 1521 302116.23 0.368 Expedia Group Inc
G7997R103 STX 2877 301595.91 0.368 Seagate Technology Holdings PLC
74762E102 PWR 2884 283554.88 0.346 Quanta Services Inc
911363109 URI 938 280649.6 0.342 United Rentals Inc
12769G100 CZR 3497 275143.96 0.335 Caesars Entertainment Inc
217204106 CPRT 2331 274568.49 0.335 Copart Inc
573284106 MLM 713 260523.07 0.318 Martin Marietta Materials Inc
159864107 CRL 918 260317.26 0.317 Charles River Laboratories International Inc
876030107 TPR 6514 255088.24 0.311 Tapestry Inc
98419M100 XYL 2860 252109.0 0.307 Xylem Inc/NY
29355A107 ENPH 1953 247171.68 0.301 Enphase Energy Inc
H2906T109 GRMN 2245 246478.55 0.3 Garmin Ltd
053611109 AVY 1347 235644.18 0.287 Avery Dennison Corp
896239100 TRMB 3536 228708.48 0.279 Trimble Inc
552953101 MGM 5331 226460.88 0.276 MGM Resorts International
302130109 EXPD 2090 212762.0 0.259 Expeditors International of Washington Inc
64110D104 NTAP 2498 210056.82 0.256 NetApp Inc
237194105 DRI 1504 209131.2 0.255 Darden Restaurants Inc
460146103 IP 4602 207596.22 0.253 International Paper Co
460690100 IPG 5781 206901.99 0.252 Interpublic Group of Cos Inc/The
883203101 TXT 3001 205748.56 0.251 Textron Inc
61945C103 MOS 4496 203219.2 0.248 Mosaic Co/The
443201108 HWM 5365 181390.65 0.221 Howmet Aerospace Inc
770323103 RHI 1465 169002.4 0.206 Robert Half International Inc
501889208 LKQ 3258 148206.42 0.181 LKQ Corp
608190104 MHK 1021 141725.01 0.173 Mohawk Industries Inc
G7S00T104 PNR 2364 131722.08 0.161 Pentair PLC
G491BT108 IVZ 6216 131406.24 0.16 Invesco Ltd
65249B109 NWSA 5804 124031.48 0.151 News Corp
23355L106 DXC 3169 109140.36 0.133 DXC Technology Co
81211K100 SEE 1565 108485.8 0.132 Sealed Air Corp
65249B208 NWS 1596 34489.56 0.042 News Corp
CASHUSD00 -CASH- -9664 -9663.53 -0.012 Cash/Receivables/Payables