INVESCO EXCHANGE TRADED FD T - FINL PFD ETF (PGF)

Historical Holders from Q1 2016 to Q3 2025

Symbol
PGF
Type / Class
Equity / FINL PFD ETF
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
10.6M
Holdings value
$155M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
158
Number of buys
67
Number of sells
-59
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of INVESCO EXCHANGE TRADED FD T - FINL PFD ETF (PGF)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 10.6M $155M +$4.5M $14.62 158
2025 Q2 10.3M $145M +$67.6K $14.11 157
2025 Q1 10.5M $150M -$23M $14.28 160
2024 Q4 12M $175M -$9.14M $14.55 170
2024 Q3 12.6M $197M +$14.5M $15.66 169
2024 Q2 11.7M $172M -$13.6M $14.73 176
2024 Q1 12.1M $184M +$2.46M $15.24 171
2023 Q4 484 $7.06K $14.58 1
2023 Q3 14.8M $208M -$13.6M $14.06 182
2023 Q2 13.4M $192M +$9.84M $14.35 178
2023 Q1 12.6M $183M -$35.8M $14.52 184
2022 Q4 15M $216M -$7.63M $14.40 218
2022 Q3 17.8M $267M -$4.07M $15.04 200
2022 Q2 18.1M $281M -$21.8M $15.54 204
2022 Q1 16.9M $287M -$9.1M $16.92 212
2021 Q4 17.4M $328M +$5.89M $18.82 211
2021 Q3 16.9M $320M -$54.6M $18.95 189
2021 Q2 23.4M $452M +$11.6M $19.29 201
2021 Q1 22.8M $431M +$44.1M $18.88 202
2020 Q4 20.5M $393M +$80.6M $19.21 203
2020 Q3 15.9M $298M +$40.3M $18.74 173
2020 Q2 13.6M $244M +$24.7M $17.90 171
2020 Q1 12.4M $209M -$78M $16.89 179
2019 Q4 16.6M $314M -$10M $18.87 183
2019 Q3 16.9M $317M +$36.5M $18.78 156
2019 Q2 14.9M $275M +$61.3M $18.42 161
2019 Q1 11.6M $212M -$164M $18.26 174
2018 Q4 20.6M $359M +$120M $17.36 165
2018 Q3 13M $236M -$31M $18.19 156
2018 Q2 14.6M $270M +$268M $18.46 154
2018 Q1 7.88K $146K +$3.63K $18.54 1
2017 Q4 7.68K $145K +$33K $18.88 1
2017 Q3 5.93K $113K -$4.95K $19.05 1
2017 Q2 6.19K $118K -$5.72K $19.05 1
2017 Q1 6.49K $121K +$9.69K $18.64 1
2016 Q4 5.97K $107K -$17.1K $17.91 1
2016 Q3 6.93K $132K +$22.7K $19.05 1
2016 Q2 5.74K $110K +$35.2K $19.17 1
2016 Q1 4.07K $76K $0 $18.44 2