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SPGP

Invesco S&P 500 GARP ETF
1W: -0.9% 1M: -7.5% 3M: -5.7% YTD: -6.5% 1Y: +6.7% 3Y: +36.3% 5Y: +36.0%
$107.06
-2.00 (-1.83%)
After Hours: $116.04 (+8.98, +8.39%)
ETF AMEX · AUM $2.3B
ETF-Level Metrics
AUM$2.3B
Holdings76
Top 10 Wt22.5%
Beta0.98
% Profitable95%
Coverage100%
Portfolio Valuation
P/E31.4
P/B10.2
P/S7.0
EV/EBITDA22.3
P/FCF34.4
PEG1.20
Profitability & Returns
Gross Margin49.7%
Net Margin22.2%
ROE35.3%
ROA10.5%
ROIC30.2%
Div Yield1.14%
Leverage & Liquidity
Debt/Equity0.55
Debt/Assets0.17
Net Debt/EBITDA-0.0x
Interest Cov9.9x
Current Ratio0.81
Quick Ratio0.76
Growth (YoY)
Revenue+11.4%
Net Income+9.5%
EPS+10.3%
FCF+21.5%
EBITDA+11.7%
Rev CAGR 3Y+15.1%
Quality Scores
Piotroski F6.8
Altman Z8.41
IS Quality75.6
IS Overall60.8
IS Value53.7
Median P/E18.6

Sector Breakdown

9 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 16 23.5% 30.7
Financial Services 20 21.7% 13.9
Consumer Cyclical 12 18.5% 19.2
Industrials 12 15.8% 23.3
Energy 5 7.9% 31.1
Communication Services 5 5.1% 23.1
Healthcare 5 5.0% 19.3
Real Estate 1 2.6% 16.8
Other 1 -0.0%

Smart Money Overlap

9 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
UBER Uber Technologies, Inc. 2.30% 4 Bullish 7 3 -2.7%
HAL Halliburton Company 1.43% 4 Bullish 16 1 +2.0%
DIS The Walt Disney Company 1.16% 4 Bullish 28 3 +0.1%
TRV The Travelers Companies, Inc. 1.06% 4 Bullish 23 1 -2.7%
MA Mastercard Incorporated 1.06% 4 Bullish 13 3 -4.0%
CB Chubb Limited 1.05% 4 Bullish 4 2 -5.6%
NFLX Netflix, Inc. 0.95% 4 Bullish 71 14 -5.4%
V Visa Inc. 0.92% 4 Bullish 7 12 -4.8%
MSFT Microsoft Corporation 0.78% 4 Bullish 1 23 -5.0%
Showing 50 of 77 holdings · Page 1 of 2
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Host Hotels & Resorts Inc HST 2.55% $55.5M 2,908,288 16.8 $12.8B Real Estate
2 NVIDIA Corp NVDA 2.55% $55.5M 310,831 35.0 $4.2T Technology
3 Uber Technologies Inc UBER 2.30% $50.0M 664,273 15.2 $153.5B Technology
4 Delta Air Lines Inc DAL 2.26% $49.1M 755,627 8.2 $41.4B Industrials
5 Monolithic Power Systems Inc MPWR 2.23% $48.5M 44,380 84.2 $52.5B Technology
6 Royal Caribbean Cruises Ltd RCL 2.20% $47.7M 175,306 16.7 $71.9B Consumer Cyclical
7 Airbnb Inc ABNB 2.20% $47.9M 366,010 31.4 $77.0B Consumer Cyclical
8 Arista Networks Inc ANET 2.15% $46.9M 344,094 47.0 $165.2B Technology
9 Texas Pacific Land Corp TPL 2.10% $45.8M 85,919 74.4 $35.8B Energy
10 Carnival Corp CCL 1.94% $42.1M 1,689,256 11.5 $33.4B Consumer Cyclical
11 Super Micro Computer Inc SMCI 1.93% $42.1M 1,367,805 14.0 $12.3B Technology
12 Baker Hughes Co BKR 1.92% $41.9M 689,740 23.0 $59.6B Energy
13 eBay Inc EBAY 1.89% $41.0M 451,642 19.8 $40.2B Consumer Cyclical
14 Northern Trust Corp NTRS 1.86% $40.3M 296,929 14.7 $25.2B Financial Services
15 EMCOR Group Inc EME 1.82% $39.6M 52,703 25.7 $32.5B Industrials
16 United Airlines Holdings Inc UAL 1.77% $38.6M 409,768 8.8 $29.1B Industrials
17 Fortinet Inc FTNT 1.75% $38.0M 457,367 32.6 $60.5B Technology
18 Expedia Group Inc EXPE 1.71% $37.2M 155,539 22.3 $27.5B Consumer Cyclical
19 Arch Capital Group Ltd ACGL 1.63% $35.5M 384,848 7.7 $33.5B Financial Services
20 SLB Ltd SLB 1.55% $33.4M 699,449 20.5 $69.7B Energy
21 Deckers Outdoor Corp DECK 1.49% $32.4M 308,721 14.2 $14.6B Consumer Cyclical
22 Halliburton Co HAL 1.43% $30.9M 837,067 23.9 $30.7B Energy
23 Synchrony Financial SYF 1.42% $30.8M 470,329 6.7 $23.8B Financial Services
24 AppLovin Corp APP 1.40% $30.5M 69,312 44.9 $149.5B Technology
25 Block Inc SQ 1.37% $29.9M 506,399 27.9 $51.7B Technology
26 Darden Restaurants Inc DRI 1.36% $29.7M 145,234 21.3 $23.6B Consumer Cyclical
27 PNC Financial Services Group Inc/The PNC 1.25% $27.2M 134,595 11.5 $81.4B Financial Services
28 KLA Corp KLAC 1.25% $27.1M 17,936 43.2 $196.9B Technology
29 Lululemon Athletica Inc LULU 1.24% $27.0M 163,135 12.3 $18.3B Consumer Cyclical
30 Chipotle Mexican Grill Inc CMG 1.24% $26.9M 818,002 28.6 $44.1B Consumer Cyclical
31 United Rentals Inc URI 1.22% $26.5M 36,827 18.1 $45.2B Industrials
32 Progressive Corp/The PGR 1.20% $26.1M 129,012 10.7 $120.7B Financial Services
33 Paycom Software Inc PAYC 1.20% $26.1M 209,893 15.1 $6.9B Technology
34 Trane Technologies PLC TT 1.19% $25.8M 61,096 31.4 $91.0B Industrials
35 Caterpillar Inc CAT 1.17% $25.5M 37,051 35.8 $318.6B Industrials
36 Cummins Inc CMI 1.16% $25.3M 46,860 25.9 $73.7B Industrials
37 Walt Disney Co/The DIS 1.16% $25.2M 254,205 14.5 $176.5B Communication Services
38 PulteGroup Inc PHM 1.15% $25.0M 211,863 10.0 $22.0B Consumer Cyclical
39 Eli Lilly & Co LLY 1.14% $24.8M 27,040 39.4 $856.6B Healthcare
40 Ralph Lauren Corp RL 1.14% $24.8M 72,866 21.9 $20.0B Consumer Cyclical
41 Hubbell Inc HUBB 1.14% $24.8M 50,309 28.3 $25.3B Industrials
42 US Bancorp USB 1.12% $24.5M 476,769 10.5 $79.6B Financial Services
43 M&T Bank Corp MTB 1.12% $24.2M 123,324 11.3 $29.5B Financial Services
44 PACCAR Inc PCAR 1.10% $24.0M 212,446 24.6 $58.5B Industrials
45 WW Grainger Inc GWW 1.10% $23.9M 22,891 29.0 $49.4B Industrials
46 W R Berkley Corp WRB 1.09% $23.7M 358,363 14.7 $25.0B Financial Services
47 Huntington Bancshares Inc/OH HBAN 1.09% $23.4M 1,544,354 10.5 $22.3B Financial Services
48 American Express Co AXP 1.09% $23.6M 80,139 18.7 $203.3B Financial Services
49 Travelers Cos Inc/The TRV 1.06% $23.1M 77,782 10.4 $66.2B Financial Services
50 Mastercard Inc MA 1.06% $23.0M 46,931 29.7 $442.9B Financial Services

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