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PHB

Invesco Fundamental High Yield Corporate Bond ETF
1W: -0.4% 1M: -0.5% 3M: -0.5% YTD: -0.1% 1Y: +5.8% 3Y: +25.0% 5Y: +18.7%
$18.71
Last traded 2026-03-02 — delisted
ETF AMEX · AUM $380.8M
ETF-Level Metrics
AUM$381M
Holdings28
Top 10 Wt41.0%
Beta0.67
% Profitable24%
Coverage55%
Portfolio Valuation
P/E261.9
P/B0.3
P/S0.1
EV/EBITDA7.0
P/FCF60.7
PEG
Profitability & Returns
Gross Margin9.0%
Net Margin-6.5%
ROE-14.7%
ROA-4.1%
ROIC-0.5%
Div Yield3.55%
Leverage & Liquidity
Debt/Equity0.91
Debt/Assets0.24
Net Debt/EBITDA3.3x
Interest Cov0.2x
Current Ratio1.52
Quick Ratio1.32
Growth (YoY)
Revenue+8.1%
Net Income+5.9%
EPS+9.5%
FCF+11.3%
EBITDA+18.3%
Rev CAGR 3Y-0.2%
Quality Scores
Piotroski F4.8
Altman Z1.92
IS Quality45.8
IS Overall33.9
IS Value49.6
Median P/E5.2

Sector Breakdown

10 sectors
Sector # Holdings Total Weight % Avg P/E
Other 35 44.0%
Consumer Cyclical 8 15.6% 18.1
Communication Services 3 9.8% 2.9
Industrials 5 9.0% -22.1
Basic Materials 2 6.7% 27.1
Utilities 2 5.1% -9.0
Financial Services 5 5.0% -4.6
Real Estate 2 3.5% 2.5
Consumer Defensive 1 0.6%
Energy 1 0.6% 53.2

Smart Money Overlap

1 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
FMC FMC Corporation 4.83% 4 Bullish 3 2 -4.3%
Showing 50 of 64 holdings · Page 1 of 2
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 FMC Corp FMC 4.83% $17.3M 22,470,000 -0.7 $1.6B Basic Materials
2 GFL Environmental Inc GFL.TO 4.83% $17.5M 16,917,000 -13.4 $19.4B Industrials
3 Whirlpool Corp Private 4.67% $17.0M 20,428,000
4 PacifiCorp PPWLM 4.52% $16.6M 17,072,000 17.0 $69.0B Utilities
5 Nordstrom Inc JWN 4.29% $15.6M 18,182,000 19.2 $4.1B Consumer Cyclical
6 Telecom Italia Capital SA TITR.MI 4.17% $15.0M 14,313,000 11.6 $14.6B Communication Services
7 Vodafone Group PLC VOD 4.14% $14.8M 14,314,000 -6.9 $35.1B Communication Services
8 Horizon Mutual Holdings Inc Private 3.40% $12.2M 12,865,000
9 Nissan Motor Co Ltd 7201.T 3.31% $12.2M 12,822,000 -1.3 $1.2T Consumer Cyclical
10 Hudson Pacific Properties LP HPP-PC 2.89% $10.4M 11,813,000 -0.5 $5.0B Real Estate
11 Advance Auto Parts Inc AAP 2.76% $10.0M 10,740,000 64.1 $2.8B Consumer Cyclical
12 VF Corp Private 2.65% $9.6M 10,736,000
13 Huntsman International LLC Private 2.42% $8.7M 9,435,000
14 SES AMERICOM Inc Private 2.36% $8.4M 10,735,000
15 Aptiv Swiss Holdings Ltd Private 2.03% $7.3M 7,156,000
16 Alcoa Nederland Holding BV Private 1.93% $7.0M 7,158,000
17 VF Corp Private 1.92% $7.0M 7,159,000
18 Methanex Corp MX.TO 1.91% $6.9M 7,161,000 55.0 $5.9B Basic Materials
19 BlackRock TCP Capital Corp TCPC 1.90% $6.8M 6,979,000 -3.4 $296M Financial Services
20 Resorts World Las Vegas LLC / RWLV Capital Inc Private 1.75% $6.3M 7,157,000
21 Nissan Motor Acceptance Co LLC 7201.T 1.60% $5.9M 6,030,000 -1.3 $1.2T Consumer Cyclical
22 United Rentals North America Inc URI 1.47% $5.3M 5,369,000 18.1 $45.2B Industrials
23 Discovery Global Holdings Inc Private 1.46% $5.4M 6,547,000
24 Rogers Communications Inc RCI-A.TO 1.45% $5.3M 5,369,000 4.1 $28.7B Communication Services
25 Perrigo Finance Unlimited Co Private 1.37% $5.0M 5,369,000
26 Kohl's Corp KSS 1.24% $4.4M 6,633,000 5.1 $1.4B Consumer Cyclical
27 Fluor Corp FLR 1.15% $4.2M 4,294,000 -149.1 $6.6B Industrials
28 Huntsman International LLC Private 1.13% $4.1M 5,033,000
29 Bombardier Inc BBD-B.TO 1.13% $4.0M 3,651,000 18.1 $23.1B Industrials
30 Huntsman International LLC Private 1.12% $4.0M 4,404,000
31 Rockies Express Pipeline LLC Private 1.06% $3.9M 3,938,000
32 Prospect Capital Corp PSEC-PA 1.04% $3.8M 4,296,000 -5.0 $7.6B Financial Services
33 Rockies Express Pipeline LLC Private 1.00% $3.6M 3,579,000
34 Celanese US Holdings LLC Private 0.99% $3.5M 3,298,000
35 Celanese US Holdings LLC Private 0.97% $3.5M 3,298,000
36 Liberty Mutual Group Inc Private 0.96% $3.5M 3,126,000
37 Celanese US Holdings LLC Private 0.95% $3.5M 3,298,000
38 Navient Corp NAVI 0.94% $3.4M 4,252,000 -8.5 $765M Financial Services
39 Sealed Air Corp SEE 0.89% $3.2M 3,222,000 12.2 $6.2B Consumer Cyclical
40 Brandywine Operating Partnership LP Private 0.86% $3.1M 3,221,000
41 Travel + Leisure Co TNL 0.81% $2.9M 2,864,000 19.0 $4.3B Consumer Cyclical
42 Wilton RE Ltd Private 0.78% $2.8M 2,864,000
43 Buckeye Partners LP Private 0.78% $2.8M 2,864,000
44 Buckeye Partners LP Private 0.73% $2.6M 2,864,000
45 Celanese US Holdings LLC Private 0.72% $2.6M 2,473,000
46 Yum! Brands Inc YUM 0.71% $2.6M 2,327,000 27.9 $43.4B Consumer Cyclical
47 Celanese US Holdings LLC Private 0.71% $2.6M 2,459,000
48 Brandywine Operating Partnership LP Private 0.70% $2.6M 2,506,000
49 Rockies Express Pipeline LLC Private 0.67% $2.4M 2,506,000
50 Constellation Insurance Inc STZ-B 0.65% $2.3M 2,324,000 Consumer Defensive

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