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Dynamic Market Invesco ETF (PWC)

Dynamic Market Invesco ETF (PWC)

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Overview

Name Invesco Dynamic Market ETF
Fund Family Invesco
Underlying Index Dynamic Market Intellidex Index
Inception Date 05/01/03
First Trade Date 10/07/03
Leverage Long
Asset Class Equity

Description:

The Invesco Dynamic Market ETF is based on the Dynamic Market Intellidex Index. The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Underlying Intellidex selection methodology seeks to identify and select companies from the US marketplace with superior risk-return profiles. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.

Investment Information

Alpha -9.76
60-Month Beta 1.00
Standard Deviation -0.40
Shares Outstanding, K 990.00
Managed Assets, $K 93,466.20 K
Net Asset Value 94.41
First Trade Price 31.68
P/E Ratio 16.15
Management Fee 0.60%
Options No
Latest Dividend 0.261
Dividend Date 06/21/22
Annual Dividend 0.88
Annual Dividend Yield 0.93%
1-Year Return -22.77%
3-Year Return -6.43%
5-Year Return 7.67%
Management Expense Ratio 0.60%

PWC Dividends

Date Value
06/21/22 $0.2610
03/21/22 $0.2450
12/20/21 $0.2300
09/20/21 $0.1460
06/21/21 $0.2580
03/22/21 $0.0740
12/21/20 $0.2230
09/21/20 $0.1390
06/22/20 $0.4590
03/23/20 $0.3300
12/23/19 $0.3450
09/23/19 $0.1750
06/24/19 $0.2980
03/18/19 $0.1270
12/24/18 $0.3110
09/24/18 $0.1880
06/18/18 $0.4960
03/19/18 $0.2750
12/18/17 $0.9270
09/18/17 $0.4960
06/16/17 $0.2420
12/16/16 $0.3640
09/16/16 $0.1710
06/17/16 $0.2880
03/18/16 $0.2650
12/18/15 $0.2030
09/18/15 $0.1723
06/19/15 $0.1719
03/20/15 $0.1996
12/19/14 $0.1712
09/19/14 $0.1541
06/20/14 $0.2108
03/21/14 $0.0714
12/20/13 $0.1447
09/20/13 $0.1308
06/21/13 $0.2319
03/15/13 $0.0254
12/21/12 $0.4754
09/21/12 $0.2268
06/15/12 $0.1192
03/16/12 $0.0464
12/16/11 $0.1982
09/16/11 $0.0981
06/17/11 $0.0573
03/18/11 $0.0754
12/17/10 $0.3122
09/17/10 $0.1610
06/18/10 $0.0842
03/19/10 $0.0290
12/18/09 $0.1210
09/18/09 $0.0940
06/19/09 $0.1000
03/20/09 $0.0699
12/19/08 $0.1560
09/19/08 $0.1221
06/20/08 $0.1275
03/20/08 $0.0128
12/21/07 $0.1570
09/21/07 $0.0952
06/15/07 $0.2136
03/16/07 $0.0650
12/15/06 $0.1602
09/15/06 $0.0500
06/16/06 $0.0490
03/31/06 $0.0480
03/17/06 $0.0450
12/16/05 $0.1310
09/16/05 $0.0470
06/17/05 $0.1080
03/18/05 $0.0290
12/17/04 $0.0878
09/17/04 $0.0310
06/18/04 $0.0721
03/19/04 $0.0530
12/24/03 $0.1130
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