Institutional manager
Invesco Ltd.
Holds positions in 488 of the S&P 500, worth $498.9bn as reported for the quarter ended 31-mar-2026.
Positions held488of 488 index companies covered
Reported value$498.9bnS&P 500 positions only
Top ten weight25%how concentrated the book is
Filing entities1single filer
Largest positions
The 60 biggest by reported value, of 488 held. The rest are smaller than every one of these.
NvidiaNVDA142.8m$24.9bnInformation TechnologyAlphabet Inc. (Class A)GOOGL68.9m$19.8bnCommunication ServicesApple Inc.AAPL72.9m$18.5bnInformation TechnologyMicrosoftMSFT42.3m$15.7bnInformation TechnologyAmazonAMZN57.1m$11.9bnConsumer DiscretionaryBroadcomAVGO33.3m$10.3bnInformation TechnologyMeta PlatformsMETA15.6m$8.93bnCommunication ServicesTesla, Inc.TSLA16.9m$6.30bnConsumer DiscretionaryWalmartWMT43.5m$5.41bnConsumer StaplesLam ResearchLRCX24.3m$5.18bnInformation TechnologyCiscoCSCO56.8m$4.41bnInformation TechnologyCostcoCOST4.3m$4.30bnConsumer StaplesNetflixNFLX42.8m$4.12bnCommunication ServicesMicron TechnologyMU12.1m$4.07bnInformation TechnologyJohnson & JohnsonJNJ15.0m$3.68bnHealth CareJPMorgan ChaseJPM12.3m$3.63bnFinancialsTexas InstrumentsTXN18.2m$3.54bnInformation TechnologyApplied MaterialsAMAT9.7m$3.32bnInformation TechnologyAdvanced Micro DevicesAMD16.2m$3.30bnInformation TechnologyChevron CorporationCVX15.7m$3.24bnEnergyExxonMobilXOM18.9m$3.21bnEnergyLilly (Eli)LLY3.5m$3.18bnHealth CarePalantir TechnologiesPLTR20.9m$3.05bnInformation TechnologyBank of AmericaBAC60.9m$2.97bnFinancialsVisa Inc.V9.5m$2.86bnFinancialsCaterpillar Inc.CAT3.8m$2.73bnIndustrialsPhilip Morris InternationalPM16.1m$2.66bnConsumer StaplesMastercardMA5.3m$2.64bnFinancialsMerck & Co.MRK21.9m$2.63bnHealth CareWells FargoWFC32.3m$2.62bnFinancialsGE AerospaceGE9.2m$2.62bnIndustrialsLinde plcLIN5.3m$2.61bnMaterialsKLA CorporationKLAC1.7m$2.45bnInformation TechnologyBerkshire HathawayBRK.B4.9m$2.38bnFinancialsCoca-Cola Company (The)KO30.8m$2.34bnConsumer StaplesJohnson ControlsJCI17.1m$2.24bnIndustrialsGoldman SachsGS2.6m$2.23bnFinancialsIntelINTC49.1m$2.17bnInformation TechnologyGilead SciencesGILD15.5m$2.16bnHealth CareParker HannifinPH2.4m$2.11bnIndustrialsAnalog DevicesADI6.6m$2.09bnInformation TechnologyIntuitINTU4.5m$1.96bnInformation TechnologyPepsiCoPEP12.1m$1.87bnConsumer StaplesCitigroupC16.3m$1.85bnFinancialsProcter & GamblePG12.8m$1.85bnConsumer StaplesState Street CorporationSTT18.5m$1.82bnFinancialsCVS HealthCVS25.1m$1.81bnHealth CareGE VernovaGEV2.1m$1.80bnIndustrialsRTX CorporationRTX9.3m$1.79bnIndustrialsUnion Pacific CorporationUNP7.3m$1.77bnIndustrialsConocoPhillipsCOP13.3m$1.76bnEnergyIntuitive SurgicalISRG3.7m$1.72bnHealth CareHowmet AerospaceHWM7.4m$1.71bnIndustrialsUnitedHealth GroupUNH6.3m$1.71bnHealth CareT-Mobile USTMUS8.1m$1.70bnCommunication ServicesAbbVieABBV7.8m$1.70bnHealth CareQualcommQCOM12.9m$1.66bnInformation TechnologyAppLovinAPP4.1m$1.65bnCommunication ServicesMonolithic Power SystemsMPWR1.5m$1.62bnInformation TechnologyAmgenAMGN4.6m$1.61bnHealth Care
What this page is not
Positions in S&P 500 constituents only, from 13F filings, which report US listed, long, US custodied holdings. A manager's real book is larger than this in every case: anything outside the index, outside US custody, held through derivatives, or below its reporting obligation is not here.