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RZG

Invesco S&P SmallCap 600 Pure Growth ETF
1W: +2.0% 1M: -3.1% 3M: +1.6% YTD: +4.4% 1Y: +18.9% 3Y: +54.0% 5Y: +12.9%
$57.24
+0.58 (+1.02%)
After Hours: $59.91 (+2.67, +4.67%)
ETF AMEX · AUM $118.3M
ETF-Level Metrics
AUM$118M
Holdings131
Top 10 Wt15.8%
Beta1.15
% Profitable86%
Coverage99%
Portfolio Valuation
P/E20.4
P/B0.8
P/S0.6
EV/EBITDA6.8
P/FCF15.2
PEG0.85
Profitability & Returns
Gross Margin32.1%
Net Margin3.0%
ROE6.2%
ROA2.5%
ROIC6.1%
Div Yield1.15%
Leverage & Liquidity
Debt/Equity0.35
Debt/Assets0.15
Net Debt/EBITDA-1.7x
Interest Cov2.0x
Current Ratio1.00
Quick Ratio0.98
Growth (YoY)
Revenue+26.6%
Net Income+69.3%
EPS+70.1%
FCF+49.5%
EBITDA+56.1%
Rev CAGR 3Y+27.2%
Quality Scores
Piotroski F6.3
Altman Z7.30
IS Quality67.2
IS Overall59.8
IS Value53.7
Median P/E21.4

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Healthcare 29 23.3% 33.4
Technology 23 19.9% -69.6
Financial Services 20 16.1% 10.7
Industrials 21 15.9% 19.1
Consumer Cyclical 18 10.1% 25.2
Real Estate 7 6.8% 21.1
Consumer Defensive 5 3.4% 21.1
Energy 4 3.3% 12.3
Utilities 2 0.4% 27.7
Basic Materials 1 0.4% 27.3
Communication Services 1 0.3% 46.4
Other 1 0.0%

Smart Money Overlap

2 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
VSAT Viasat, Inc. 0.99% 4 Bullish 6 1 +13.0%
FSS Federal Signal Corporation 0.72% 4 Bullish 6 2 +2.8%
Showing 50 of 132 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 ACM Research Inc ACMR 1.73% $1.9M 40,083 31.6 $3.0B Technology
2 DigitalOcean Holdings Inc DOCN 1.73% $1.9M 21,819 30.7 $8.0B Technology
3 Clear Secure Inc YOU 1.69% $1.8M 37,108 47.6 $5.2B Technology
4 Protagonist Therapeutics Inc PTGX 1.64% $1.8M 17,358 -51.0 $6.7B Healthcare
5 Powell Industries Inc POWL 1.56% $1.7M 3,194 37.8 $7.1B Industrials
6 Vicor Corp VICR 1.54% $1.7M 8,733 70.9 $8.4B Technology
7 Phibro Animal Health Corp PAHC 1.52% $1.6M 31,273 25.1 $2.3B Healthcare
8 Primoris Services Corp PRIM 1.47% $1.6M 11,071 29.3 $8.1B Industrials
9 Adamas Trust Inc ADAMH 1.46% $1.6M 199,632 4.6 $2.3B Financial Services
10 InterDigital Inc IDCC 1.45% $1.6M 4,428 19.7 $8.0B Technology
11 PTC Therapeutics Inc PTCT 1.45% $1.6M 23,207 7.9 $5.5B Healthcare
12 ARMOUR Residential REIT Inc ARR 1.38% $1.5M 88,284 5.7 $2.0B Real Estate
13 DXP Enterprises Inc/TX DXPE 1.36% $1.5M 11,163 24.6 $2.2B Industrials
14 Adeia Inc ADEA 1.30% $1.4M 59,588 24.8 $2.8B Technology
15 EZCORP Inc EZPW 1.29% $1.4M 53,767 12.8 $1.5B Financial Services
16 OSI Systems Inc OSIS 1.28% $1.4M 4,833 31.1 $4.7B Technology
17 TransMedics Group Inc TMDX 1.27% $1.4M 12,032 18.9 $3.6B Healthcare
18 Uniti Group Inc UNIT 1.27% $1.4M 172,118 1.6 $1.9B Real Estate
19 Acadian Asset Management Inc BSIG 1.25% $1.3M 25,892 24.0 $983M Financial Services
20 SiriusPoint Ltd SPNT 1.23% $1.3M 65,563 5.5 $2.5B Financial Services
21 Tidewater Inc TDW 1.21% $1.3M 17,541 11.5 $3.9B Energy
22 StoneX Group Inc SNEX 1.20% $1.3M 12,507 10.6 $6.0B Financial Services
23 ANI Pharmaceuticals Inc ANIP 1.19% $1.3M 17,099 19.6 $1.7B Healthcare
24 ACADIA Pharmaceuticals Inc ACAD 1.12% $1.2M 58,370 9.5 $3.8B Healthcare
25 St Joe Co/The JOE 1.08% $1.2M 16,925 30.7 $3.6B Real Estate
26 AAR Corp AIR 1.08% $1.2M 10,610 26.2 $4.7B Industrials
27 Chefs' Warehouse Inc/The CHEF 1.06% $1.1M 18,948 32.6 $2.5B Consumer Defensive
28 Viavi Solutions Inc VIAV 1.05% $1.1M 33,051 -199.7 $8.6B Technology
29 Progyny Inc PGNY 1.05% $1.1M 62,012 25.9 $1.5B Healthcare
30 Enova International Inc ENVA 1.04% $1.1M 8,201 11.0 $3.4B Financial Services
31 Collegium Pharmaceutical Inc COLL 1.04% $1.1M 30,780 16.8 $1.1B Healthcare
32 ESCO Technologies Inc ESE 1.03% $1.1M 4,164 24.5 $7.5B Technology
33 National Presto Industries Inc NPK 1.03% $1.1M 8,222 29.4 $980M Industrials
34 Indivior Pharmaceuticals Inc INDV 1.02% $1.1M 36,162 18.0 $3.8B Healthcare
35 Ligand Pharmaceuticals Inc LGND 1.02% $1.1M 5,212 32.4 $4.1B Healthcare
36 Krystal Biotech Inc KRYS 1.01% $1.1M 4,234 36.0 $7.5B Healthcare
37 MYR Group Inc MYRG 1.01% $1.1M 3,954 37.7 $4.4B Industrials
38 Viasat Inc VSAT 0.99% $1.1M 20,437 -19.2 $6.8B Technology
39 Mercury General Corp MCY 0.99% $1.1M 12,033 9.1 $4.9B Financial Services
40 International Seaways Inc INSW 0.97% $1.0M 14,542 11.2 $3.5B Energy
41 Everus Construction Group Inc ECG 0.96% $1.0M 8,794 31.2 $6.3B Industrials
42 Palomar Holdings Inc PLMR 0.95% $1.0M 8,800 16.4 $3.3B Financial Services
43 BrightSpring Health Services Inc BTSG 0.90% $968,924 22,026 47.6 $8.7B Healthcare
44 Ellington Financial Inc EFC 0.90% $957,872 81,521 8.0 $1.2B Real Estate
45 Curbline Properties Corp CURB 0.88% $946,150 36,154 67.6 $2.7B Real Estate
46 Liquidity Services Inc LQDT 0.87% $933,455 32,845 31.4 $945M Consumer Cyclical
47 PriceSmart Inc PSMT 0.86% $921,648 6,460 30.1 $4.5B Consumer Defensive
48 Catalyst Pharmaceuticals Inc CPRX 0.86% $921,112 41,250 13.6 $2.9B Healthcare
49 HCI Group Inc HCI 0.85% $912,379 5,923 5.9 $2.0B Financial Services
50 Covista Inc CVSA 0.85% $913,609 8,540 $4.0B Consumer Cyclical

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