INVESCO EXCHANGE TRADED FD T - RAFI US 1000 ETF (PRF)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / RAFI US 1000 ETF
Symbol
PRF
Price per share
$46.92
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
102,823,458
Holdings value
$4,647,414,136
% of all portfolios
0.03%
Share change
-1,402,764
Value change
-$62,782,799
Average buys %
+0%
Average sells %
-0%
Number of holders
530
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, INVESCO EXCHANGE TRADED FD T - RAFI US 1000 ETF (PRF) has 530 institutional shareholders filing 13F forms. They hold 102,823,458 shares .

Institutional Holders of INVESCO EXCHANGE TRADED FD T - RAFI US 1000 ETF (PRF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 4,024,251 $191,950,912 -$9,282,128 $46.92 22
2025 Q3 102,823,458 $4,647,414,136 -$62,782,799 $45.21 530
2025 Q2 102,609,368 $4,332,053,368 -$1,073,769,337 $42.27 528
2025 Q1 129,923,582 $5,248,915,240 +$76,767,719 $40.41 504
2024 Q4 128,059,589 $5,167,112,622 +$59,286,827 $40.34 506
2024 Q3 126,233,923 $5,126,348,736 +$134,531,128 $40.63 480
2024 Q2 122,864,477 $4,663,366,412 -$194,078,615 $37.95 470
2024 Q1 128,043,691 $4,921,210,136 -$12,080,024 $38.47 478
2023 Q4 679,498 $23,918,350 +$902,211 $35.20 6
2023 Q3 129,069,339 $4,108,077,857 +$3,244,999,475 $31.82 419
2023 Q2 25,331,384 $4,143,325,695 -$41,261,312 $163.65 412
2023 Q1 25,675,291 $4,025,254,672 -$28,468,459 $156.78 409
2022 Q4 25,895,782 $4,025,676,663 +$75,613,359 $155.15 398
2022 Q3 25,453,738 $3,544,423,981 -$90,180,276 $138.77 387
2022 Q2 25,512,453 $3,791,457,066 +$356,860,174 $148.20 388
2022 Q1 21,983,717 $3,756,207,774 +$171,042,632 $170.86 393
2021 Q4 22,898,020 $3,928,722,653 +$81,109,047 $171.70 377
2021 Q3 22,009,868 $3,497,897,386 +$85,225,166 $158.36 350
2021 Q2 21,489,149 $3,449,003,249 -$144,927,661 $160.33 341
2021 Q1 22,469,681 $3,415,906,418 +$6,185,008 $151.67 321
2020 Q4 22,407,320 $2,993,215,055 -$27,076,469 $133.20 309
2020 Q3 22,391,365 $2,546,563,480 -$134,646,844 $113.79 282
2020 Q2 23,366,105 $2,539,281,492 -$502,559,583 $108.31 282
2020 Q1 27,741,446 $2,565,388,104 -$225,475,036 $92.44 284
2019 Q4 30,237,222 $3,832,544,779 -$39,498,439 $126.71 310
2019 Q3 30,479,753 $3,591,810,909 -$159,614,848 $117.86 283
2019 Q2 31,780,711 $3,708,133,612 +$103,038,695 $116.64 280
2019 Q1 30,908,018 $3,507,605,654 -$36,601,334 $113.37 284
2018 Q4 31,233,992 $3,183,079,946 +$495,266,942 $101.57 276
2018 Q3 25,846,440 $3,066,711,668 +$354,677,640 $118.77 244
2018 Q2 22,871,666 $2,579,372,624 +$2,572,293,298 $112.60 232
2018 Q1 13,870 $1,528,000 -$34,607 $110.05 2
2017 Q4 14,184 $1,611,000 +$1,020 $113.48 2
2017 Q3 1,720 $184,000 +$856 $106.98 1
2017 Q2 1,712 $177,000 +$103 $103.39 1
2017 Q1 1,711 $175,000 +$1,432 $102.28 1
2016 Q4 1,697 $169,000 -$15,137 $99.59 1
2016 Q3 1,849 $173,000 +$1,684 $93.56 1
2016 Q2 1,831 $166,000 +$23,753 $90.66 1
2016 Q1 10,937 $1,198,000 $0 $100.55 2