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XMMO | Invesco S&P MidCap Momentum ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
EME EMCOR Group, Inc. 24.40B 3.28%
530.42 2.83% 32.60% 36.99%
WSM Williams-Sonoma, Inc. 21.62B 3.11%
171.14 -2.23% 41.62% 34.74%
RGA Reinsurance Group of America, Incorporat... 15.09B 2.81%
229.14 0.93% 20.64% 31.07%
LII Lennox International Inc. 23.19B 2.72%
651.06 4.11% 28.96% 48.44%
SFM Sprouts Farmers Market, Inc. 14.53B 2.58%
145.35 1.82% 36.36% 39.94%
CW Curtiss-Wright Corporation 13.99B 2.49%
368.70 2.01% 29.90% 70.69%
TPL Texas Pacific Land Corporation 33.21B 2.41%
1,445.50 -0.36% 37.15% 58.18%
CSL Carlisle Companies Incorporated 19.96B 2.38%
440.28 1.98% 28.41% 46.38%
WING Wingstop Inc. 9.70B 2.28%
332.17 -0.31% 38.76% 28.39%
THC Tenet Healthcare Corporation 13.95B 2.26%
146.68 -3.40% 40.98% 39.68%
TOL Toll Brothers, Inc. 15.57B 2.16%
154.20 1.51% 44.36% 54.57%
EQH Equitable Holdings, Inc. 14.69B 2.14%
46.88 0.32% 25.53% 18.84%
TXRH Texas Roadhouse, Inc. 12.92B 2.03%
193.67 0.13% 27.26% 50.29%
EVR Evercore Inc. 11.73B 2.01%
308.24 2.30% 34.36% 49.70%
FNF Fidelity National Financial, Inc. 16.53B 1.98%
60.42 0.57% 33.77% 32.87%
FIX Comfort Systems USA, Inc. 17.57B 1.87%
493.66 3.65% 41.48% 34.87%
CASY Casey's General Stores, Inc. 15.50B 1.81%
417.53 0.86% 34.60% 66.37%
JEF Jefferies Financial Group Inc. 15.83B 1.80%
77.03 2.83% 29.53% 38.98%
IBKR Interactive Brokers Group, Inc. 80.19B 1.75%
189.78 1.02% 31.38% 27.29%
PSTG Pure Storage, Inc. 16.81B 1.59%
51.31 3.07% 71.40% 87.11%
ANF Abercrombie & Fitch Co. 7.15B 1.56%
140.07 2.38% 82.58% 76.79%
MUSA Murphy USA Inc. 10.92B 1.53%
539.16 2.69% 24.70% 33.15%
HRB H&R Block, Inc. 7.72B 1.52%
56.33 -0.38% 37.38% 58.84%
CLH Clean Harbors, Inc. 13.52B 1.48%
250.75 1.33% 27.51% 30.40%
DTM DT Midstream, Inc. 10.49B 1.47%
107.96 5.09% 20.94% 44.79%
XPO XPO Logistics, Inc. 17.68B 1.47%
151.90 3.67% 41.78% 24.90%
ITT ITT Inc. 12.65B 1.43%
155.17 1.95% 28.11% 43.40%
EWBC East West Bancorp, Inc. 14.99B 1.42%
108.15 2.51% 30.05% 36.37%
HLI Houlihan Lokey, Inc. 13.23B 1.41%
190.40 1.84% 27.04% 28.94%
CACI CACI International Inc 10.59B 1.38%
472.59 3.89% 33.12% 72.71%
BLD TopBuild Corp. 10.84B 1.38%
367.53 4.68% 40.33% 43.61%
SF Stifel Financial Corp. 11.76B 1.37%
114.91 1.30% 26.35% 23.62%
JLL Jones Lang LaSalle Incorporated 12.33B 1.33%
259.88 1.27% 30.54% 30.32%
EHC Encompass Health Corporation 9.96B 1.29%
98.82 -0.11% 30.28% 45.53%
BWXT BWX Technologies, Inc. 12.16B 1.24%
133.00 2.50% 29.79% 45.22%
AIT Applied Industrial Technologies, Inc. 10.48B 1.23%
272.47 2.53% 28.21% 49.15%
NBIX Neurocrine Biosciences, Inc. 12.64B 1.21%
124.86 1.27% 31.93% 21.57%
COKE Coca-Cola Consolidated, Inc. 10.91B 1.16%
1,245.52 0.61% N/A N/A
CNM Core & Main, Inc. 8.64B 1.15%
44.83 0.18% 57.49% 74.48%
AYI Acuity Brands, Inc. 9.88B 1.15%
320.20 1.45% 27.93% 40.07%
NVT nVent Electric plc 12.77B 1.08%
77.47 4.31% 33.99% 25.20%
CR Crane Company 10.39B 1.07%
181.54 1.42% 35.80% 33.74%
EXP Eagle Materials Inc. 10.29B 1.05%
306.90 2.21% 34.46% 45.05%
CVLT Commvault Systems, Inc. 7.51B 1.05%
171.70 0.43% 37.82% 58.77%
LNW Light & Wonder, Inc. 8.31B 0.99%
94.07 1.72% 32.17% 24.54%
ALLY Ally Financial Inc. 11.20B 0.99%
36.74 3.41% 34.12% 38.82%
KEX Kirby Corporation 7.51B 0.98%
130.76 1.13% 29.14% 61.43%
MTG MGIC Investment Corporation 6.31B 0.97%
24.91 0.73% 28.89% 47.70%
MORN Morningstar, Inc. 14.61B 0.94%
340.60 1.44% 19.95% 35.90%
OLED Universal Display Corporation 7.88B 0.93%
166.03 0.08% 35.94% 37.70%
FLR Fluor Corporation 9.37B 0.92%
54.61 3.95% 38.56% 35.94%
ORI Old Republic International Corporation 9.67B 0.90%
38.12 1.03% 6.78% 10.87%
NYT The New York Times Company 8.62B 0.90%
52.82 1.56% 31.79% 57.06%
BRBR BellRing Brands, Inc. 9.78B 0.87%
75.68 1.71% 31.82% 17.91%
RYAN Ryan Specialty Holdings, Inc. 18.57B 0.83%
70.91 0.04% 29.42% 40.64%
KNF Knife River Corporation 5.65B 0.82%
99.74 1.46% 40.95% 55.62%
CRUS Cirrus Logic, Inc. 5.42B 0.77%
102.00 1.78% 39.16% 29.86%
FLS Flowserve Corporation 7.93B 0.76%
60.33 0.73% 28.49% 59.92%
KD Kyndryl Holdings, Inc. 7.34B 0.72%
31.60 10.76% 37.52% 41.07%
ESAB ESAB Corporation 7.52B 0.71%
124.38 1.94% 22.17% 24.13%
GAP Gap Inc/The 0.69%
CBT Cabot Corporation 5.98B 0.67%
108.99 1.66% 27.21% 24.86%
KBH KB Home 5.79B 0.65%
78.94 1.24% 41.91% 44.57%
ESNT Essent Group Ltd. 5.94B 0.63%
55.89 0.32% 27.27% 28.29%
R Ryder System, Inc. 6.82B 0.63%
161.36 0.93% 30.56% 42.57%
AMG Affiliated Managers Group, Inc. 5.66B 0.61%
187.29 1.04% 22.37% 40.89%
BCO The Brink's Company 4.07B 0.60%
93.24 0.76% 28.62% 67.22%
POST Post Holdings, Inc. 6.50B 0.53%
111.17 0.70% 21.15% 29.96%
AM Antero Midstream Corporation 7.58B 0.53%
15.76 2.12% 20.80% 41.09%
SLM SLM Corporation 5.33B 0.52%
25.09 4.67% 31.86% 38.70%
JHG Janus Henderson Group plc 7.08B 0.51%
44.52 1.50% 46.57% 48.68%
UMBF UMB Financial Corporation 6.07B 0.49%
124.44 3.54% 32.73% 51.98%
SBRA Sabra Health Care REIT, Inc. 4.33B 0.48%
18.31 -0.44% 31.35% 21.36%
LOPE Grand Canyon Education, Inc. 4.73B 0.45%
162.24 0.52% 24.56% 32.32%
CNO CNO Financial Group, Inc. 4.08B 0.39%
39.54 1.83% 21.93% 21.77%
IBOC International Bancshares Corporation 4.47B 0.36%
71.85 2.79% 37.04% 78.82%
PPC Pilgrim's Pride Corporation 12.35B 0.34%
52.07 -0.27% 34.52% 59.98%
AGPXX Invesco Government & Agency Portfolio 0.05%
Total holdings: 78 Recognized Stocks: 76 Others: 2
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