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

Historical Holders from Q1 2016 to Q1 2025

Symbol
RSPT
CUSIP
46137V282
Type / Class
Equity / S&P500 EQL TEC
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
42.3M
Holdings value
$1.58B
% of all portfolios
0.013%
Grand Portfolio weight change
+0%
Number of holders
364
Number of buys
120
Number of sells
-154
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

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

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 4.21M $141M -$6.25M $34.20 61
2024 Q4 42.3M $1.58B +$994K $37.42 364
2024 Q3 41.9M $1.58B -$751M $37.70 364
2024 Q2 61.6M $2.26B -$60.7M $36.66 377
2024 Q1 63.4M $2.23B +$42.3M $35.19 368
2023 Q4 60.8M $1.98B +$205M $32.64 348
2023 Q3 54.1M $1.52B +$1.28B $28.15 304
2023 Q2 5.25M $1.54B +$581M $294.09 303
2023 Q1 3.66M $1.01B +$57.1M $275.98 287
2022 Q4 3.47M $849M +$75M $242.98 279
2022 Q3 2.78M $630M -$28.4M $226.41 257
2022 Q2 2.9M $687M -$112M $236.33 258
2022 Q1 3.28M $948M -$161M $289.14 270
2021 Q4 3.92M $1.27B -$124M $324.03 297
2021 Q3 4.22M $1.21B +$30.2M $288.22 268
2021 Q2 4.09M $1.19B +$14.2M $290.06 250
2021 Q1 4.06M $1.08B +$45.1M $269.85 243
2020 Q4 3.8M $963M +$134M $253.55 244
2020 Q3 3.22M $678M +$122M $210.67 218
2020 Q2 2.56M $509M -$10.2M $199.13 201
2020 Q1 2.66M $425M -$55.1M $159.44 201
2019 Q4 3.11M $617M -$8.42M $198.05 219
2019 Q3 3.08M $550M -$30.8M $178.81 185
2019 Q2 3.25M $576M +$3.21M $177.41 184
2019 Q1 3.22M $547M -$29.4M $170.10 172
2018 Q4 3.35M $474M -$77.7M $140.83 155
2018 Q3 3.76M $631M +$104M $168.30 160
2018 Q2 3.11M $493M +$483M $158.45 139
2018 Q1 39.3K $5.95M -$406K $151.27 2
2017 Q4 40.6K $5.81M -$35.9K $142.96 2
2017 Q3 41K $5.53M -$71.8K $135.08 2
2017 Q2 46.6K $5.82M -$227K $124.78 2
2017 Q1 47.9K $5.78M -$51.7K $120.82 2
2016 Q4 39.3K $4.26M +$4.17M $108.51 1
2016 Q3 872 $4.21M -$199M $4,829.13 1
2016 Q2 42.1K $3.95M -$131K $93.81 1
2016 Q1 43.5K $4.08M $0 $93.76 1