INVESCO EXCH TRADED FD TR II - EMRNG MKT SVRG (PCY)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / EMRNG MKT SVRG
Symbol
PCY
Price per share
$21.66
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
38,314,182
Holdings value
$825,987,629
% of all portfolios
0%
Share change
+1,788,036
Value change
+$38,723,717
Average buys %
+0%
Average sells %
-0%
Number of holders
183
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, INVESCO EXCH TRADED FD TR II - EMRNG MKT SVRG (PCY) has 183 institutional shareholders filing 13F forms. They hold 38,314,182 shares .

Institutional Holders of INVESCO EXCH TRADED FD TR II - EMRNG MKT SVRG (PCY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 433,468 $9,394,080 -$373,897 $21.66 7
2025 Q3 38,314,182 $825,987,629 +$38,723,717 $21.56 183
2025 Q2 36,530,948 $746,278,742 -$76,705,543 $20.43 179
2025 Q1 40,093,444 $807,222,792 -$16,919,656 $20.17 179
2024 Q4 40,844,648 $809,629,269 -$101,936,424 $19.82 183
2024 Q3 45,978,190 $988,485,137 -$89,808,234 $21.50 192
2024 Q2 50,200,270 $1,003,906,367 -$18,716,544 $20.00 192
2024 Q1 51,088,731 $1,045,207,308 +$3,133,405 $20.46 191
2023 Q4 100 $2,062 +$2,062 $20.62 1
2023 Q3 54,975,893 $1,004,371,289 -$95,226,135 $18.27 191
2023 Q2 60,342,404 $1,176,314,619 +$47,154,846 $19.49 195
2023 Q1 55,806,213 $1,070,576,265 -$87,890,032 $19.18 190
2022 Q4 62,462,861 $1,167,513,675 -$15,366,820 $18.67 192
2022 Q3 63,072,112 $1,068,896,915 -$17,987,357 $16.94 173
2022 Q2 64,659,826 $1,198,675,108 -$156,136,010 $18.53 181
2022 Q1 72,436,061 $1,637,952,402 -$68,302,606 $22.61 211
2021 Q4 74,350,883 $1,958,656,593 -$12,432,687 $26.35 241
2021 Q3 73,782,193 $1,967,733,886 -$45,120,473 $26.67 205
2021 Q2 73,958,639 $2,042,682,325 -$16,054,337 $27.62 219
2021 Q1 74,449,894 $1,993,194,358 +$179,508,708 $26.77 221
2020 Q4 68,496,852 $1,975,171,827 -$235,288,586 $28.84 216
2020 Q3 48,020,963 $1,299,435,572 +$26,745,431 $27.12 197
2020 Q2 47,023,469 $1,259,711,275 -$69,137,355 $26.78 185
2020 Q1 49,926,706 $1,194,089,957 -$218,698,400 $23.91 223
2019 Q4 84,155,576 $2,490,866,021 -$52,276,504 $29.58 251
2019 Q3 84,627,080 $2,468,196,720 +$141,842,708 $29.15 224
2019 Q2 79,577,916 $2,309,135,541 -$125,600,172 $29.04 221
2019 Q1 84,345,199 $2,361,646,796 -$530,045,235 $28.00 232
2018 Q4 103,112,487 $2,725,131,890 -$213,505,200 $26.42 219
2018 Q3 107,071,841 $2,888,559,584 -$63,924,832 $26.98 203
2018 Q2 114,809,255 $3,051,705,352 +$3,036,012,947 $26.52 193
2018 Q1 570,776 $16,088,040 +$14,370,864 $28.19 6
2017 Q4 60,902 $1,799,393 -$3,828,000 $29.55 3
2017 Q3 190,464 $5,670,420 -$2,321,321 $29.77 3
2017 Q2 268,435 $7,857,239 +$304,325 $29.27 3
2017 Q1 258,038 $7,498,140 +$7,129,367 $29.06 3
2016 Q4 12,691 $358,877 -$3,595,667 $28.27 3
2016 Q3 139,840 $4,283,229 +$1,940,863 $30.69 2
2016 Q2 76,474 $2,262,080 -$2,787,620 $29.60 2
2016 Q1 175,782 $4,971,909 $0 $28.24 3