INVESCO EXCHANGE TRADED FD T - FOOD & BEVERAGE (PBJ)

Historical Holders from Q2 2018 to Q3 2025

Type / Class
Equity / FOOD & BEVERAGE
Symbol
PBJ
Price per share
$45.86
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,033,966
Total reported value
$47,423,013
% of total 13F portfolios
0%
Share change
+107,169
Value change
+$4,749,258
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
48
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, INVESCO EXCHANGE TRADED FD T - FOOD & BEVERAGE (PBJ) has 48 institutional shareholders filing 13F forms. They hold 1,033,966 shares. .

Institutional Holders of INVESCO EXCHANGE TRADED FD T - FOOD & BEVERAGE (PBJ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 1,033,966 $47,423,013 +$4,749,258 4,586% 48
2025 Q2 929,357 $43,974,963 +$9,996,550 4,732% 47
2025 Q1 718,364 $33,038,871 -$3,735,806 4,596.89% 52
2024 Q4 799,115 $37,150,347 -$9,595,145 4,647.67% 49
2024 Q3 998,879 $48,210,192 +$4,759,441 4,835% 53
2024 Q2 904,508 $41,289,560 -$3,892,433 4,564% 60
2024 Q1 989,413 $48,198,670 -$11,321,322 4,872% 56
2023 Q4 1,157,703 $53,055,971 -$69,385,788 4,585.18% 61
2023 Q3 2,637,857 $111,752,819 -$39,581,994 4,236% 77
2023 Q2 3,471,621 $157,778,557 -$16,287,144 4,545% 87
2023 Q1 4,374,046 $202,757,428 +$5,328,338 4,635% 91
2022 Q4 4,326,477 $197,628,832 +$20,935,663 4,565% 89
2022 Q3 3,806,016 $160,043,667 +$14,930,486 4,200.85% 78
2022 Q2 3,246,272 $142,408,091 +$79,896,527 4,387.14% 79
2022 Q1 1,439,684 $66,562,001 +$20,632,267 4,619% 59
2021 Q4 952,134 $42,930,428 +$12,515,342 4,507.88% 50
2021 Q3 675,315 $28,438,665 +$2,435,798 4,211.24% 43
2021 Q2 618,625 $25,956,605 +$8,137,443 4,195.37% 44
2021 Q1 424,753 $16,981,090 +$2,729,660 4,000% 39
2020 Q4 364,925 $13,096,678 -$11,019,236 3,588.1% 33
2020 Q3 687,245 $22,476,444 +$6,709,916 3,271.35% 30
2020 Q2 485,254 $15,151,153 +$2,260,210 3,121.9% 31
2020 Q1 416,333 $11,623,505 -$5,071,730 2,793.79% 25
2019 Q4 573,242 $19,743,784 +$1,518,622 3,443.66% 33
2019 Q3 529,831 $18,639,929 -$1,340,391 3,517.98% 35
2019 Q2 567,051 $18,958,588 -$195,536 3,343.22% 31
2019 Q1 496,495 $16,490,544 -$3,295,430 3,321.42% 30
2018 Q4 642,412 $19,058,246 +$1,854,709 2,967.03% 29
2018 Q3 562,685 $18,313,226 +$1,920,098 3,254.37% 28
2018 Q2 492,727 $16,374,379 +$16,374,384 3,323.46% 27