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IHYF

Invesco High Yield Bond Factor ETF
1W: -0.7% 1M: -1.0% 3M: -0.8% YTD: -0.3% 1Y: +4.7% 3Y: +27.1% 5Y: +19.2%
$22.75
Last traded 2026-03-02 — delisted
ETF NASDAQ · AUM $103.4M
ETF-Level Metrics
AUM$103M
Holdings165
Top 10 Wt10.6%
Beta0.62
% Profitable24%
Coverage52%
Portfolio Valuation
P/E150.2
P/B0.4
P/S0.2
EV/EBITDA6.4
P/FCF14.8
PEG-44.30
Profitability & Returns
Gross Margin8.9%
Net Margin-6.4%
ROE-14.8%
ROA-2.6%
ROIC0.7%
Div Yield2.85%
Leverage & Liquidity
Debt/Equity1.37
Debt/Assets0.22
Net Debt/EBITDA2.6x
Interest Cov0.4x
Current Ratio1.85
Quick Ratio1.65
Growth (YoY)
Revenue+7.4%
Net Income-7.0%
EPS-6.2%
FCF+8.5%
EBITDA+11.1%
Rev CAGR 3Y+2.5%
Quality Scores
Piotroski F5.1
Altman Z3.63
IS Quality48.0
IS Overall39.5
IS Value53.9
Median P/E9.4

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Other 238 50.5% -1.0
Consumer Cyclical 37 11.3% 13.1
Energy 18 6.9% 6.9
Industrials 19 6.1% 185.2
Financial Services 14 5.0% -0.1
Technology 18 5.0% 7.1
Healthcare 13 4.6% -2.9
Real Estate 16 4.4% 34.7
Communication Services 13 3.0% 9.8
Basic Materials 9 2.9% 8.9
Utilities 5 2.5% 8.8
Consumer Defensive 6 1.7% 3.2

Smart Money Overlap

4 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
CVS CVS Health Corporation 0.45% 4 Bullish 9 2 -0.5%
VSAT Viasat, Inc. 0.39% 4 Bullish 6 1 +4.9%
FMC FMC Corporation 0.39% 4 Bullish 3 2 -4.3%
COIN Coinbase Global, Inc. 0.16% 4 Bullish 2 4 +1.4%
Showing 50 of 406 holdings · Page 1 of 9
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 CBOT 10 Year US Treasury Note Bond 3.26% $5.2M 47
2 Venture Global LNG Inc VG 1.62% $2.6M 2,445,000 15.6 $38.8B Energy
3 Cleveland-Cliffs Inc CLF 0.97% $1.5M 1,555,000 -2.6 $4.5B Basic Materials
4 Whirlpool Corp Private 0.91% $1.4M 1,650,000
5 Navient Corp NAVI 0.91% $1.5M 1,578,000 -8.5 $765M Financial Services
6 SM Energy Co SM 0.89% $1.4M 1,358,000 5.3 $3.5B Energy
7 XPLR Infrastructure Operating Partners LP NEP 0.83% $1.3M 1,290,000 -34.5 $986M Utilities
8 Rakuten Group Inc 4755.T 0.81% $1.3M 1,180,000 -9.1 $1.6T Consumer Cyclical
9 Nordstrom Inc JWN 0.79% $1.3M 1,312,000 19.2 $4.1B Consumer Cyclical
10 Nissan Motor Acceptance Co LLC 7201.T 0.78% $1.2M 1,270,000 -1.3 $1.2T Consumer Cyclical
11 Invesco Government & Agency Portfolio AGPXX 0.74% $1.2M 1,184,782 $79.1B Financial Services
12 Nissan Motor Co Ltd 7201.T 0.73% $1.2M 1,200,000 -1.3 $1.2T Consumer Cyclical
13 Crescent Energy Finance LLC CRGY 0.71% $1.1M 1,095,000 31.3 $4.2B Energy
14 Sunoco LP / Sunoco Finance Corp SUN 0.70% $1.1M 1,125,000 22.3 $8.8B Energy
15 Herc Holdings Inc HRI 0.70% $1.1M 1,100,000 3344.0 $3.4B Industrials
16 Organon & Co / Organon Foreign Debt Co-Issuer BV OGN 0.69% $1.1M 1,200,000 8.4 $1.6B Healthcare
17 Icahn Enterprises LP / Icahn Enterprises Finance Corp IEP 0.67% $1.1M 1,140,000 -15.1 $4.8B Industrials
18 Match Group Holdings II LLC MTCH 0.65% $1.0M 1,050,000 11.9 $7.3B Communication Services
19 CoreCivic Inc CXW 0.63% $984,125 970,000 17.2 $2.0B Real Estate
20 Edison International EIX 0.62% $975,709 950,000 5.8 $26.8B Utilities
21 Clarivate Science Holdings Corp CLVT-PA 0.62% $979,418 1,050,000 -8.1 $756M Technology
22 AMN Healthcare Inc AMN 0.61% $961,644 1,020,000 -7.3 $696M Healthcare
23 Open Text Corp OTEX.TO 0.59% $943,715 1,000,000 13.0 $7.8B Technology
24 Advance Auto Parts Inc AAP 0.59% $935,616 935,000 64.1 $2.8B Consumer Cyclical
25 Burford Capital Global Finance LLC BUR.L 0.58% $914,885 1,000,000 27.4 $1.3B Financial Services
26 EnerSys ENS 0.58% $913,220 920,000 19.5 $6.1B Industrials
27 AdaptHealth LLC AHCO 0.56% $891,115 920,000 -18.4 $1.3B Healthcare
28 Resorts World Las Vegas LLC / RWLV Capital Inc Private 0.56% $876,091 1,000,000
29 PRA Group Inc PRAA 0.55% $878,526 870,000 -2.2 $681M Financial Services
30 US Acute Care Solutions LLC Private 0.55% $846,183 860,000
31 Global Aircraft Leasing Co Ltd Private 0.52% $837,277 820,000
32 LGI Homes Inc LGIH 0.51% $807,631 817,000 10.9 $792M Consumer Cyclical
33 QXO Building Products Inc Private 0.51% $796,619 780,000
34 Vmed O2 UK Financing I PLC Private 0.51% $786,180 800,000
35 Cloud Software Group Inc Private 0.50% $782,963 800,000
36 Seaspan Corp Private 0.50% $799,347 851,000
37 Iron Mountain Inc IRM 0.50% $803,183 808,000 205.3 $29.5B Real Estate
38 Tenneco Inc Private 0.50% $795,792 800,000
39 Masterbrand Inc MBC 0.50% $790,759 820,000 36.5 $981M Consumer Cyclical
40 United Wholesale Mortgage LLC Private 0.50% $788,723 797,000
41 Wynn Macau Ltd 1128.HK 0.50% $793,124 800,000 17.1 $27.9B Consumer Cyclical
42 PG&E Corp PCG 0.50% $792,766 790,000 14.2 $38.1B Utilities
43 Ultra 10-Year US Treasury Note Futures Bond 0.50% $796,578 7
44 JetBlue Airways Corp / JetBlue Loyalty LP JBLU 0.49% $761,937 830,000 -2.5 $1.5B Industrials
45 ZF North America Capital Inc Private 0.48% $748,229 750,000
46 SunCoke Energy Inc SXC 0.47% $743,302 825,000 -11.6 $509M Energy
47 Hudson Pacific Properties LP HPP-PC 0.47% $744,417 825,000 -0.5 $5.0B Real Estate
48 Cogent Communications Group LLC / Cogent Finance Inc CCOI 0.47% $736,619 775,000 -4.7 $904M Communication Services
49 Churchill Downs Inc CHDN 0.46% $738,644 745,000 15.7 $5.8B Consumer Cyclical
50 Long Ridge Energy LLC Private 0.46% $739,360 700,000
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms