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PKW

Invesco BuyBack Achievers ETF
1W: +0.3% 1M: -5.3% 3M: -3.4% YTD: -3.3% 1Y: +14.2% 3Y: +60.7% 5Y: +64.9%
$131.11
-1.21 (-0.92%)
After Hours: $130.89 (-0.22, -0.17%)
ETF NASDAQ · AUM $1.6B
ETF-Level Metrics
AUM$1.6B
Holdings227
Top 10 Wt36.4%
Beta1.00
% Profitable77%
Coverage100%
Portfolio Valuation
P/E14.8
P/B1.9
P/S1.2
EV/EBITDA13.7
P/FCF20.5
PEG2.59
Profitability & Returns
Gross Margin32.6%
Net Margin8.4%
ROE12.5%
ROA1.4%
ROIC10.0%
Div Yield1.21%
Leverage & Liquidity
Debt/Equity2.41
Debt/Assets0.25
Net Debt/EBITDA1.4x
Interest Cov0.8x
Current Ratio0.45
Quick Ratio0.43
Growth (YoY)
Revenue+2.6%
Net Income+2.8%
EPS+10.0%
FCF+11.1%
EBITDA+1.8%
Rev CAGR 3Y+5.1%
Quality Scores
Piotroski F6.1
Altman Z5.52
IS Quality59.9
IS Overall46.3
IS Value59.1
Median P/E11.9

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Financial Services 53 28.5% 16.2
Consumer Cyclical 51 18.8% 9.3
Industrials 29 13.7% 65.1
Healthcare 22 11.4% 7.4
Technology 28 10.7% 16.7
Energy 13 5.5% 8.9
Communication Services 9 3.9% 153.7
Consumer Defensive 11 3.8% -63.9
Utilities 2 2.2% -17.6
Basic Materials 3 1.1% -3.7
Real Estate 6 0.2% 15.3
Other 1 0.0%

Smart Money Overlap

6 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
C Citigroup Inc. 4.90% 4 Bullish 36 9 -4.2%
KR The Kroger Co. 2.15% 4 Bullish 12 2 -4.2%
CARR Carrier Global Corporation 2.07% 4 Bullish 12 1 -5.6%
FCNCA First Citizens BancShares, Inc. 1.01% 4 Bullish 9 1 +5.2%
OPCH Option Care Health, Inc. 0.22% 4 Bullish 1 2 +5.0%
HOG Harley-Davidson, Inc. 0.09% 4 Bullish 3 5 +8.6%
Showing 50 of 228 holdings · Page 1 of 5
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Citigroup Inc C 4.90% $76.5M 696,738 14.3 $196.6B Financial Services
2 Johnson Controls International plc JCI 4.52% $70.3M 527,714 24.4 $80.5B Industrials
3 HCA Healthcare Inc HCA 4.47% $69.7M 139,482 16.3 $107.4B Healthcare
4 Wells Fargo & Co WFC 4.27% $66.6M 872,342 11.8 $243.8B Financial Services
5 Adobe Inc ADBE 3.66% $57.1M 232,299 13.7 $98.9B Technology
6 Marathon Petroleum Corp MPC 3.61% $56.4M 239,152 18.3 $73.2B Energy
7 General Motors Co GM 3.55% $55.4M 751,216 21.0 $70.5B Consumer Cyclical
8 Aflac Inc AFL 2.76% $43.1M 401,719 15.7 $55.9B Financial Services
9 PayPal Holdings Inc PYPL 2.35% $36.5M 826,079 8.0 $42.3B Financial Services
10 Electronic Arts Inc EA 2.28% $35.6M 177,139 74.2 $50.5B Communication Services
11 Kroger Co/The KR 2.15% $33.5M 454,357 44.4 $45.4B Consumer Defensive
12 eBay Inc EBAY 2.10% $32.6M 359,599 19.9 $40.4B Consumer Cyclical
13 Carrier Global Corp CARR 2.07% $32.3M 547,471 30.7 $45.7B Industrials
14 American International Group Inc AIG 2.04% $31.7M 429,273 13.0 $40.1B Financial Services
15 Fiserv Inc FI 1.73% $27.1M 474,863 8.6 $34.3B Technology
16 DR Horton Inc DHI 1.62% $25.3M 183,578 11.9 $39.6B Consumer Cyclical
17 Tapestry Inc TPR 1.48% $23.0M 160,826 55.3 $28.9B Consumer Cyclical
18 IQVIA Holdings Inc IQV 1.46% $22.8M 137,137 21.2 $28.7B Healthcare
19 M&T Bank Corp MTB 1.44% $22.2M 113,324 11.8 $30.7B Financial Services
20 NRG Energy Inc NRG 1.42% $22.2M 137,586 32.2 $31.3B Utilities
21 Jabil Inc JBL 1.32% $20.6M 77,729 34.8 $28.2B Technology
22 AerCap Holdings NV AER 1.31% $20.5M 153,580 5.9 $22.8B Industrials
23 Synchrony Financial SYF 1.04% $16.3M 248,098 6.7 $24.1B Financial Services
24 Loews Corp L 1.03% $16.1M 152,379 13.3 $22.1B Financial Services
25 First Citizens BancShares Inc/NC FCNCA 1.01% $15.8M 8,762 10.6 $23.3B Financial Services
26 CF Industries Holdings Inc CF 1.00% $15.6M 124,085 14.2 $20.4B Basic Materials
27 Southwest Airlines Co LUV 0.98% $15.2M 371,286 46.3 $20.4B Industrials
28 Dollar Tree Inc DLTR 0.94% $14.7M 138,906 16.5 $21.1B Consumer Defensive
29 NVR Inc NVR 0.92% $14.3M 2,230 13.8 $18.2B Consumer Cyclical
30 Fortive Corp FTV 0.90% $14.0M 252,677 29.9 $17.4B Technology
31 Charter Communications Inc CHTR 0.88% $13.8M 65,287 5.6 $27.7B Communication Services
32 JB Hunt Transport Services Inc JBHT 0.84% $13.1M 65,589 32.9 $19.6B Industrials
33 Las Vegas Sands Corp LVS 0.84% $13.1M 242,708 21.7 $35.4B Consumer Cyclical
34 Textron Inc TXT 0.80% $12.4M 140,194 17.4 $15.5B Industrials
35 Talen Energy Corp TLN 0.79% $12.4M 36,345 -67.4 $14.8B Utilities
36 Ball Corp BLL 0.75% $11.7M 197,596 17.5 $21.8B Consumer Cyclical
37 Tenet Healthcare Corp THC 0.73% $11.4M 55,420 12.2 $17.2B Healthcare
38 Viking Holdings Ltd VIK 0.69% $10.7M 150,052 27.7 $31.8B Consumer Cyclical
39 Carlisle Cos Inc CSL 0.66% $10.3M 30,810 18.7 $13.6B Industrials
40 Roivant Sciences Ltd ROIV 0.64% $9.9M 357,611 -23.6 $19.6B Healthcare
41 Toll Brothers Inc TOL 0.60% $9.4M 69,126 9.2 $12.6B Consumer Cyclical
42 Gartner Inc IT 0.56% $8.8M 55,242 15.5 $11.3B Technology
43 Exelixis Inc EXEL 0.56% $8.7M 210,688 14.7 $11.4B Healthcare
44 Medpace Holdings Inc MEDP 0.55% $8.6M 18,581 29.3 $13.2B Healthcare
45 Unum Group UNM 0.55% $8.5M 116,882 16.9 $12.5B Financial Services
46 RenaissanceRe Holdings Ltd RNR 0.54% $8.4M 28,629 5.0 $12.9B Financial Services
47 Universal Health Services Inc UHS 0.53% $8.3M 44,476 7.9 $11.8B Healthcare
48 First Horizon Corp FHN 0.53% $8.2M 377,381 11.3 $10.9B Financial Services
49 Murphy USA Inc MUSA 0.46% $7.2M 15,084 19.6 $9.2B Consumer Cyclical
50 Equitable Holdings Inc EQH 0.46% $7.1M 191,804 -8.0 $11.0B Financial Services
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms