BMVP
Invesco Bloomberg MVP Multi-fac
BMVP
49,17
0,10 Bil. AUM
0,3% Expense Ratio
48,42 NAV
Invesco Bloomberg MVP Multi-fac Profile
About Invesco Bloomberg MVP Multi-fac
The fund generally will invest at least 90% of its total assets in securities that comprise the underlying index. The underlying index seeks to include the 50 securities with the strongest momentum, most muted volatility, most inexpensive valuations, and highest profitability based on an aggregated sector-neutral “MVP” score. Stocks are selected from the top of each sector and size category in a manner designed to produce an index with sector and size dispersion similar to the overall broad market.
- Company
- Invesco
- Holdings
- 54
- CUSIP
- 46137V712
Invesco Bloomberg MVP Multi-fac Sectors
Industry | Percentage |
---|---|
Financial Servic | 16,63% |
Industrials | 14,81% |
Technology | 12,44% |
Healthcare | 11,14% |
Consumer Cyclica | 9,63% |
Consumer Defensi | 7,20% |
Utilities | 5,87% |
Real Estate | 5,78% |
Communication Se | 5,57% |
Energy | 5,53% |
Basic Materials | 5,41% |