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Not Investment Advice

BSCV Holdings

Invesco BulletShares 2031 Corporate Bond ETF
1W: -0.3% 1M: -2.2% 3M: -3.5% YTD: -4.8% 1Y: -5.0% 3Y: +14.8% 5Y: -5.6%
$15.78
-0.04 (-0.28%)
 
Weekly Expected Move ±0.7%
$16 $16 $16 $16 $16
ETF NASDAQ · AUM $1.7B
ETF-Level Metrics
AUM$1.7B
Holdings1
Top 10 Wt0.3%
Beta1.07
% Profitable—%
Coverage—%
Portfolio Valuation
P/E—
P/B—
P/S—
EV/EBITDA—
P/FCF—
PEG—
Profitability & Returns
Gross Margin—%
Net Margin—%
ROE—%
ROA—%
ROIC—%
Div Yield—%
Leverage & Liquidity
Debt/Equity—
Debt/Assets—
Net Debt/EBITDA—x
Interest Cov—x
Current Ratio—
Quick Ratio—
Growth (YoY)
Revenue—%
Net Income—%
EPS—%
FCF—%
EBITDA—%
Rev CAGR 3Y—%
Quality Scores
Piotroski F—
Altman Z—
IS Quality—
IS Overall—
IS Value—
Median P/E—

Sector Breakdown

2 sectors
Sector # Holdings Total Weight % Avg P/E
Other 479 99.7% —
Financial Services 1 0.3% —

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 480 holdings · Page 1 of 10
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Amazon.com Inc 4.25% 03/13/2031 Private — 1.14% $20.3M 21,438,000 — — —
2 Amazon.com Inc 4.80% 07/09/2031 Private — 0.99% $17.5M 18,103,000 — — —
3 NVIDIA Corp 4.50% 06/15/2031 Private — 0.94% $16.6M 17,350,000 — — —
4 Salesforce Inc 4.90% 09/15/2031 Private — 0.88% $15.7M 16,300,000 — — —
5 Alphabet Inc 4.88% 08/15/2031 Private — 0.82% $14.4M 14,870,000 — — —
6 Oracle Corp 4.95% 02/04/2031 Private — 0.78% $13.7M 14,736,000 — — —
7 Meta Platforms Inc 4.55% 05/15/2031 Private — 0.69% $12.1M 12,640,000 — — —
8 Alphabet Inc 4.10% 02/15/2031 Private — 0.69% $12.2M 12,866,000 — — —
9 Verizon Communications Inc 2.55% 03/21/2031 Private — 0.68% $12.1M 13,808,000 — — —
10 Oracle Corp 2.88% 03/25/2031 Private — 0.68% $12.0M 14,120,000 — — —
11 Orange SA 9.00% 03/01/2031 Private — 0.67% $11.8M 10,550,000 — — —
12 AT&T Inc 2.75% 06/01/2031 Private — 0.63% $11.1M 12,634,000 — — —
13 Amazon.com Inc 2.10% 05/12/2031 Private — 0.62% $10.9M 12,632,999 — — —
14 Cisco Systems Inc 4.95% 02/26/2031 Private — 0.60% $10.7M 10,865,000 — — —
15 Apple Inc 1.65% 02/08/2031 Private — 0.58% $10.3M 11,951,000 — — —
16 Abbott Laboratories 4.00% 03/15/2031 Private — 0.58% $10.3M 10,890,000 — — —
17 Broadcom Inc 2.45% 02/15/2031 Private — 0.57% $10.1M 11,564,000 — — —
18 T-Mobile USA Inc 3.50% 04/15/2031 Private — 0.56% $9.7M 10,693,000 — — —
19 Walt Disney Co/The 2.65% 01/13/2031 Private — 0.55% $9.7M 10,825,000 — — —
20 Ally Financial Inc 8.00% 11/01/2031 Private — 0.54% $9.3M 8,746,000 — — —
21 Honeywell Aerospace Inc 4.30% 03/16/2031 Private — 0.51% $9.1M 9,600,000 — — —
22 AbbVie Inc 4.95% 03/15/2031 Private — 0.48% $8.5M 8,691,000 — — —
23 Fidelity National Information Services Inc 4.80% 03/10/2031 Private — 0.46% $8.2M 8,570,000 — — —
24 Centene Corp 2.50% 03/01/2031 Private — 0.46% $8.2M 9,647,000 — — —
25 Verizon Communications Inc 1.75% 01/20/2031 Private — 0.44% $7.8M 9,111,000 — — —
26 HCA Inc 5.45% 04/01/2031 Private — 0.43% $7.5M 7,604,000 — — —
27 Pacific Gas and Electric Co 2.50% 02/01/2031 Private — 0.42% $7.5M 8,694,000 — — —
28 Merck & Co Inc 2.15% 12/10/2031 Private — 0.42% $7.4M 8,696,000 — — —
29 Walmart Inc 1.80% 09/22/2031 Private — 0.42% $7.4M 8,697,000 — — —
30 Mercedes-Benz Finance North America LLC 8.50% 01/18/2031 Private — 0.41% $7.2M 6,567,000 — — —
31 Novartis Capital Corp 4.40% 03/18/2031 Private — 0.41% $7.3M 7,640,000 — — —
32 Accenture Capital Inc 5.00% 07/10/2031 Private — 0.37% $6.5M 6,687,000 — — —
33 Banco Santander SA 5.44% 07/15/2031 Private — 0.37% $6.5M 6,561,000 — — —
34 TotalEnergies Capital USA LLC 4.25% 01/13/2031 Private — 0.36% $6.4M 6,723,000 — — —
35 Humana Inc 5.38% 04/15/2031 Private — 0.36% $6.3M 6,428,000 — — —
36 Ford Motor Credit Co LLC 5.42% 04/09/2031 Private — 0.36% $6.2M 6,514,000 — — —
37 AbbVie Inc 4.88% 09/15/2031 Private — 0.36% $6.3M 6,520,000 — — —
38 Comcast Corp 1.50% 02/15/2031 Private — 0.35% $6.3M 7,536,000 — — —
39 AT&T Inc 4.40% 04/30/2031 Private — 0.35% $6.1M 6,432,000 — — —
40 Broadcom Inc 5.15% 11/15/2031 Private — 0.35% $6.1M 6,313,000 — — —
41 Eli Lilly & Co 4.38% 05/20/2031 Private — 0.35% $6.1M 6,430,000 — — —
42 Advanced Micro Devices Inc 5.00% 08/17/2031 Private — 0.35% $6.2M 6,396,000 — — —
43 Eaton Corp 4.20% 03/06/2031 Private — 0.34% $6.1M 6,480,000 — — —
44 Walt Disney Co/The 4.00% 03/14/2031 Private — 0.34% $6.1M 6,461,000 — — —
45 Cheniere Energy Partners LP 4.00% 03/01/2031 Private — 0.34% $6.0M 6,423,000 — — —
46 Enterprise Products Operating LLC 4.60% 01/15/2031 Private — 0.33% $5.8M 6,055,000 — — —
47 Mastercard Inc 4.60% 06/08/2031 Private — 0.33% $5.8M 6,030,000 — — —
48 UnitedHealth Group Inc 2.30% 05/15/2031 Private — 0.33% $5.8M 6,723,000 — — —
49 SBA Communications Corp 5.15% 07/15/2031 Private — 0.33% $5.8M 6,015,000 — — —
50 Lowe's Cos Inc 2.63% 04/01/2031 Private — 0.32% $5.7M 6,428,000 — — —
1 2 3 ... 10 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms