Invesco BulletShares 2031 Corporate Bond ETF (BSCV) ETF Holdings & Portfolio Analysis - Complete Fund Breakdown - Stocknear

Invesco BulletShares 2031...

NASDAQ: BSCV · Real-Time Price · USD
16.78
0.02 (0.12%)
At close: Sep 10, 2025, 3:59 PM

BSCV Holdings List

As of Aug 26, 2025
The Invesco BulletShares 2031 Corporate Bond ETF is an equity ETF with a total of 267 individual holdings. The top holdings are Verizon communications inc at 1.95%, General motors financial co inc at 1.42%, Cvs health corp at 1.39%, Apple inc at 1.21%, and T-mobile usa inc at 1.20%.
267
12.94%
Fixed Income
1.24B
n/a
0.1000%

Sector Allocation

Rank Symbol Name Price % Change Shares % Weight
1 Verizon communi... n/a n/a 26.01M 1.95%
2 General motors ... n/a n/a 17.62M 1.42%
3 Cvs health corp n/a n/a 17.62M 1.39%
4 Apple inc n/a n/a 16.52M 1.21%
5 T-mobile usa in... n/a n/a 15.19M 1.20%
6 Ford motor cred... n/a n/a 14.31M 1.19%
7 John deere capi... n/a n/a 14.32M 1.17%
8 Unitedhealth gr... n/a n/a 14.31M 1.16%
9 Orange sa n/a n/a 10.83M 1.14%
10 Oracle corp n/a n/a 14.31M 1.11%
11 Centene corp n/a n/a 15.41M 1.10%
12 Home depot inc/... n/a n/a 14.32M 1.10%
13 Ally financial ... n/a n/a 10.97M 1.07%
14 Comcast corp n/a n/a 14.31M 1.04%
15 At&t inc n/a n/a 13.21M 1.01%
16 Amazon.com inc n/a n/a 13.21M 0.99%
17 Cisco systems i... n/a n/a 11.01M 0.97%
18 Toyota motor cr... n/a n/a 11.89M 0.97%
19 Hca inc n/a n/a 11.46M 0.96%
20 Crown castle in... n/a n/a 12.56M 0.93%
21 Boeing co/the n/a n/a 10.58M 0.90%
22 Bristol-myers s... n/a n/a 9.99M 0.88%
23 Walt disney co/... n/a n/a 11.02M 0.85%
24 Sumitomo mitsui... n/a n/a 10.57M 0.83%
25 Occidental petr... n/a n/a 8.86M 0.80%
26 Cigna group/the n/a n/a 9.92M 0.79%
27 Abbvie inc n/a n/a 8.8M 0.77%
28 Charles schwab ... n/a n/a 10.37M 0.76%
29 Philip morris i... n/a n/a 8.82M 0.76%
30 Bat capital cor... n/a n/a 9.25M 0.75%
31 Rtx corp n/a n/a 8.81M 0.73%
32 American honda ... n/a n/a 8.82M 0.72%
33 Oneok inc n/a n/a 8.15M 0.70%
34 Honeywell inter... n/a n/a 8.8M 0.67%
35 Coca-cola co/th... n/a n/a 9.03M 0.67%
36 Mercedes-benz f... n/a n/a 6.6M 0.66%
37 Pacific gas and... n/a n/a 8.82M 0.65%
38 Walmart inc n/a n/a 8.81M 0.65%
39 Merck & co inc n/a n/a 8.81M 0.65%
40 Pepsico inc n/a n/a 8.81M 0.65%
41 Astrazeneca fin... n/a n/a 7.72M 0.64%
42 Elevance health... n/a n/a 7.7M 0.62%
43 Waste managemen... n/a n/a 7.71M 0.61%
44 Intel corp n/a n/a 7.7M 0.58%
45 Humana inc n/a n/a 6.61M 0.58%
46 Broadcom inc n/a n/a 6.6M 0.58%
47 Banco santander... n/a n/a 6.55M 0.57%
48 Cheniere energy... n/a n/a 6.61M 0.54%
49 Charter communi... n/a n/a 7.04M 0.53%
50 Lowe's cos inc n/a n/a 6.61M 0.51%
51 Williams cos in... n/a n/a 6.61M 0.50%
52 L3harris techno... n/a n/a 6.17M 0.50%
53 Royal bank of c... n/a n/a 6.61M 0.49%
54 Salesforce inc n/a n/a 6.61M 0.49%
55 Vmware llc n/a n/a 6.61M 0.48%
56 Kinder morgan i... n/a n/a 5.68M 0.47%
57 Hewlett packard... n/a n/a 5.51M 0.47%
58 American tower ... n/a n/a 6.17M 0.46%
59 Canadian pacifi... n/a n/a 6.2M 0.46%
60 Phillips 66 co n/a n/a 5.29M 0.46%
61 Welltower op ll... n/a n/a 5.95M 0.46%
62 Paramount globa... n/a n/a 5.51M 0.46%
63 Accenture capit... n/a n/a 5.29M 0.45%
64 Johnson & johns... n/a n/a 5.06M 0.45%
65 Mastercard inc n/a n/a 5.95M 0.44%
66 Ford motor co n/a n/a 4.71M 0.43%
67 Extra space sto... n/a n/a 5.29M 0.43%
68 Boston properti... n/a n/a 5.51M 0.43%
69 Amgen inc n/a n/a 5.51M 0.42%
70 Nvidia corp n/a n/a 5.51M 0.41%
71 Blackrock inc n/a n/a 5.5M 0.41%
72 Public storage ... n/a n/a 5.29M 0.40%
73 Apollo debt sol... n/a n/a 4.46M 0.39%
74 Solventum corp n/a n/a 4.4M 0.39%
75 Thermo fisher s... n/a n/a 5.29M 0.39%
76 Applovin corp n/a n/a 4.41M 0.38%
77 Micron technolo... n/a n/a 4.41M 0.38%
78 Marsh & mclenna... n/a n/a 4.4M 0.38%
79 Marriott intern... n/a n/a 4.84M 0.37%
80 Meta platforms ... n/a n/a 4.4M 0.37%
81 Targa resources... n/a n/a 4.41M 0.37%
82 Keurig dr peppe... n/a n/a 4.41M 0.36%
83 Cdw llc / cdw f... n/a n/a 4.4M 0.34%
84 Block inc n/a n/a 4.4M 0.34%
85 Cencora inc n/a n/a 4.41M 0.34%
86 Bunge ltd finan... n/a n/a 4.4M 0.34%
87 Teledyne techno... n/a n/a 4.39M 0.34%
88 Broadridge fina... n/a n/a 4.41M 0.33%
89 Union pacific c... n/a n/a 4.38M 0.33%
90 Procter & gambl... n/a n/a 4.41M 0.33%
91 Equinix inc n/a n/a 4.41M 0.33%
92 Duke energy cor... n/a n/a 4.4M 0.33%
93 Realty income c... n/a n/a 4.19M 0.33%
94 Hp inc n/a n/a 4.4M 0.33%
95 Mizuho financia... n/a n/a 4.4M 0.33%
96 Pioneer natural... n/a n/a 4.41M 0.33%
97 Aes corp/the n/a n/a 4.39M 0.33%
98 Equifax inc n/a n/a 4.41M 0.33%
99 Nomura holdings... n/a n/a 4.38M 0.33%
100 Emerson electri... n/a n/a 4.4M 0.33%
101 Analog devices ... n/a n/a 4.4M 0.33%
102 Leidos inc n/a n/a 4.4M 0.33%
103 Autodesk inc n/a n/a 4.4M 0.33%
104 Constellation b... n/a n/a 4.41M 0.32%
105 Jefferies finan... n/a n/a 4.36M 0.32%
106 Becton dickinso... n/a n/a 4.41M 0.32%
107 Pfizer inc n/a n/a 4.4M 0.32%
108 Virginia power ... n/a n/a 3.71M 0.32%
109 Roper technolog... n/a n/a 4.41M 0.32%
110 Novartis capita... n/a n/a 3.74M 0.32%
111 Visa inc n/a n/a 4.4M 0.32%
112 Berry global in... n/a n/a 3.53M 0.31%
113 Bank of montrea... n/a n/a 3.52M 0.31%
114 Consolidated ed... n/a n/a 3.97M 0.30%
115 Commonspirit he... n/a n/a 3.41M 0.30%
116 Blue owl credit... n/a n/a 3.3M 0.29%
117 Devon energy co... n/a n/a 2.97M 0.29%
118 Martin marietta... n/a n/a 3.94M 0.29%
119 Southern califo... n/a n/a 3.31M 0.29%
120 Motorola soluti... n/a n/a 3.74M 0.29%
121 Anheuser-busch ... n/a n/a 3.31M 0.29%
122 Aercap ireland ... n/a n/a 3.29M 0.29%
123 Pilgrim's pride... n/a n/a 3.5M 0.28%
124 Progress energy... n/a n/a 2.86M 0.28%
125 Agilent technol... n/a n/a 3.74M 0.28%
126 Vici properties... n/a n/a 3.31M 0.28%
127 State street co... n/a n/a 3.75M 0.28%
128 Ameren corp n/a n/a 3.52M 0.28%
129 Enterprise prod... n/a n/a 3.31M 0.28%
130 Eversource ener... n/a n/a 3.09M 0.28%
131 Dominion energy... n/a n/a 3.77M 0.28%
132 Unilever capita... n/a n/a 3.74M 0.27%
133 Kellanova n/a n/a 2.75M 0.27%
134 Fidelity nation... n/a n/a 3.61M 0.27%
135 Pacificorp n/a n/a 3.08M 0.27%
136 Hess corp n/a n/a 2.78M 0.27%
137 Sabra health ca... n/a n/a 3.52M 0.27%
138 Amcor flexibles... n/a n/a 3.52M 0.27%
139 Dollar tree inc n/a n/a 3.53M 0.26%
140 Omnicom group i... n/a n/a 3.52M 0.26%
141 Cummins inc n/a n/a 3.08M 0.26%
142 Alexandria real... n/a n/a 3.3M 0.26%
143 Healthcare real... n/a n/a 3.52M 0.26%
144 Marvell technol... n/a n/a 3.31M 0.26%
145 Aon north ameri... n/a n/a 2.86M 0.25%
146 Diamondback ene... n/a n/a 3.26M 0.25%
147 Carrier global ... n/a n/a 3.3M 0.25%
148 Ebay inc n/a n/a 3.3M 0.25%
149 Sun communities... n/a n/a 3.31M 0.25%
150 Verisign inc n/a n/a 3.31M 0.25%