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PID | Invesco International Dividend Achievers ETF Holdings

(Stock Exchange: NASDAQ)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
BEP Brookfield Renewable Partners L.P. 16.62B 4.29%
25.17 -1.41% 35.85% 48.70%
BIP Brookfield Infrastructure Partners L.P. 22.65B 4.21%
34.74 -0.34% 41.94% 52.63%
KOF Coca-Cola FEMSA, S.A.B. de C.V. 4.15B 4.04%
79.06 1.46% 31.48% 57.57%
TRP TC Energy Corporation 51.74B 4.03%
49.85 -0.76% 23.10% 46.54%
TU TELUS Corporation 22.80B 4.00%
15.20 -0.78% 32.63% 47.81%
NGG National Grid plc 61.67B 3.94%
63.11 1.66% 24.37% 14.43%
ENB Enbridge Inc. 94.22B 3.91%
43.26 -0.53% 17.63% 21.99%
CM Canadian Imperial Bank of Commerce 61.32B 3.84%
65.42 0.32% 25.48% 64.95%
BCE BCE Inc. 24.42B 3.74%
26.77 0.34% 24.67% 67.38%
BTI British American Tobacco p.l.c. 82.53B 3.70%
37.38 1.08% 22.80% 76.33%
PHI PLDT Inc. 4.90B 3.64%
22.68 0.09% 82.10% 45.80%
MGA Magna International Inc. 12.95B 3.48%
45.08 2.13% 31.92% 36.28%
NTR Nutrien Ltd. 23.16B 3.41%
46.93 0.13% 26.18% 14.12%
CNQ Canadian Natural Resources Limited 73.51B 3.03%
34.84 0.84% 25.00% 18.32%
GFI Gold Fields Limited 13.64B 2.80%
15.24 1.13% 42.41% 26.10%
SNY Sanofi 121.05B 2.72%
48.28 0.63% 24.94% 39.13%
TD The Toronto-Dominion Bank 98.16B 2.68%
56.16 0.47% 20.81% 25.66%
OTEX Open Text Corporation 7.83B 2.66%
29.45 0.93% 23.59% 36.19%
QSR Restaurant Brands International Inc. 22.37B 2.59%
69.10 -0.97% 23.90% 32.51%
DEO Diageo plc 66.71B 2.47%
120.09 1.69% 24.20% 55.34%
AMX América Móvil, S.A.B. de C.V. 45.97B 2.44%
15.02 -1.05% 35.12% 63.95%
FTS Fortis Inc. 22.46B 2.28%
45.16 0.76% 29.18% 1.02%
NVS Novartis AG 204.02B 2.22%
104.28 0.41% 20.07% 29.99%
SMFG Sumitomo Mitsui Financial Group, Inc. 93.08B 1.99%
14.27 1.49% 69.03% 46.05%
RY Royal Bank of Canada 176.64B 1.98%
125.08 -0.01% 19.45% 28.10%
MUFG Mitsubishi UFJ Financial Group, Inc. 137.88B 1.98%
11.82 0.85% 50.23% 20.41%
INFY Infosys Limited 94.63B 1.72%
22.79 3.78% 23.41% 37.48%
PSO Pearson plc 10.43B 1.71%
15.36 1.65% 38.26% 53.47%
DOX Amdocs Limited 9.78B 1.67%
85.67 0.55% 19.74% 50.11%
IMO Imperial Oil Limited 40.37B 1.65%
77.13 0.05% 26.27% 18.37%
CNI Canadian National Railway Company 69.95B 1.49%
111.24 1.87% 21.16% 38.80%
RELX RELX PLC 86.79B 1.32%
46.75 2.16% 58.77% 56.88%
FNV Franco-Nevada Corporation 23.81B 1.00%
123.69 0.37% 27.14% 2.33%
RBA Ritchie Bros. Auctioneers Incorporated 18.04B 1.00%
97.81 2.59% 21.38% 20.95%
SAP SAP SE 271.64B 0.94%
236.25 0.09% 25.49% 34.17%
LOGI Logitech International S.A. 11.76B 0.92%
79.58 0.15% 28.14% 34.18%
WTW Willis Towers Watson Public Limited Comp... 31.67B 0.92%
314.40 0.08% 20.12% 22.86%
TFII TFI International Inc. 12.59B 0.75%
148.73 0.47% 28.65% 25.62%
NVO Novo Nordisk A/S 473.53B 0.65%
105.06 2.37% 53.16% 97.67%
STN Stantec Inc. 9.81B 0.57%
85.97 -0.07% 37.83% 23.19%
WCN Waste Connections, Inc. 49.00B 0.46%
189.87 0.46% 15.92% 24.38%
FSV FirstService Corporation 8.69B 0.44%
192.48 0.26% 14.25% 40.59%
SONY Sony Group Corporation 114.97B 0.41%
19.06 -0.05% 23.32% 28.35%
RIGD Reliance Industries Ltd GDR 0.23%
AGPXX Invesco Government & Agency Portfolio 0.09%
Total holdings: 45 Recognized Stocks: 43 Others: 2
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