Invesco Ltd. 98-0557567

Activist investor & 5%+ owner · SC 13D/13G filings

Total Filings

326

Stocks Covered

167

Latest Filing

Nov 8, 2024

Filings

RKT

Rocket Cos Inc

SC 13G/A · Feb 1, 2024

0.2%

226K shares

HALO

Halozyme Therapeutics Inc

SC 13G/A · Feb 1, 2024

2.1%

2.8M shares

ZEUS

Olympic Steel Inc

SC 13G/A · Feb 1, 2024

2.8%

313K shares

BBBY

Beyond Inc

SC 13G/A · Feb 1, 2024

1.0%

454K shares

HCSG

Healthcare Services Group Inc

SC 13G/A · Feb 1, 2024

0.9%

633K shares

PDN

Invesco FTSE RAFI Developed Markets ex-US Small-Mid ETF

SC 13G/A · Feb 1, 2024

1.6%

259K shares

ROAD

Construction Partners Inc

SC 13G/A · Feb 1, 2024

3.1%

1.4M shares

AQUA

Evoqua Water Technologies Corp

SC 13G/A · Feb 1, 2024

0.0%

0 shares

DXC

DXC Technology Co

SC 13G/A · Feb 1, 2024

4.9%

9.7M shares

PI

Impinj Inc

SC 13G/A · Feb 1, 2024

1.9%

526K shares

USFD

US Foods Holding Corp

SC 13G/A · Feb 1, 2024

3.9%

9.5M shares

AROC

Archrock Inc

SC 13G/A · Feb 1, 2024

4.7%

7.3M shares

PSR

Invesco Active US Real Estate Fund

SC 13G/A · Jan 10, 2024

4.9%

51K shares

PHB

Invesco Fundamental High Yield Corporate Bond ETF

SC 13G/A · Jan 10, 2024

18.9%

6.8M shares

DBE

Invesco DB Energy Fund

SC 13G/A · Jan 10, 2024

9.1%

350K shares

BSCX

Invesco BulletShares 2033 Corporate Bond ETF

SC 13G/A · Jan 10, 2024

4.1%

228K shares

SUN

Sunoco LP

SC 13G/A · Jan 10, 2024

1.5%

1.2M shares

GLP

Global Partners LP/MA

SC 13G/A · Jan 10, 2024

9.3%

3.2M shares

PSR

Invesco Active US Real Estate Fund

SC 13G · Dec 11, 2023

12.3%

140K shares

BSCX

Invesco BulletShares 2033 Corporate Bond ETF

SC 13G · Dec 11, 2023

17.1%

205K shares

PDFS

PDF Solutions Inc

SC 13G/A · Dec 11, 2023

1.9%

722K shares

VRIG

Invesco Variable Rate Investment Grade ETF

SC 13G/A · Nov 13, 2023

22.8%

7.0M shares

DBE

Invesco DB Energy Fund

SC 13G/A · Nov 13, 2023

14.9%

828K shares

SOL

Emeren Group Ltd **

SC 13G/A · Oct 10, 2023

4.4%

25.3M shares

GOVI

Invesco Equal Weight 0-30 Year Treasury ETF

SC 13G/A · Oct 10, 2023

50.4%

14.1M shares

GOVI

Invesco Equal Weight 0-30 Year Treasury ETF **

SC 13G/A · Sep 11, 2023

60.2%

14.1M shares

DBB

Invesco DB Base Metals Fund

SC 13G/A · Sep 11, 2023

10.2%

905K shares

ARCO

Arcos Dorados Holdings Inc

SC 13G/A · Aug 10, 2023

5.7%

7.4M shares

NKTR

Nektar Therapeutics

SC 13G/A · Jul 10, 2023

2.9%

5.5M shares

OMFL

Invesco Russell 1000 Dynamic Multifactor ETF

SC 13G/A · Jun 12, 2023

22.7%

18.4M shares

OMFL

Invesco Russell 1000 Dynamic Multifactor ETF

SC 13G/A · Apr 10, 2023

31.2%

18.7M shares

XSLV

Invesco S&P SmallCap Low Volatility ETF

SC 13G/A · Apr 10, 2023

0.4%

46K shares

PXF

Invesco FTSE RAFI Developed Markets ex-US ETF

SC 13G · Apr 10, 2023

14.3%

5.1M shares

PHB

Invesco Fundamental High Yield Corporate Bond ETF

SC 13G/A · Apr 10, 2023

7.2%

2.4M shares

EELV

Invesco S&P Emerging Markets Low Volatility ETF

SC 13G/A · Apr 10, 2023

29.8%

10.5M shares

EELV

Invesco S&P Emerging Markets Low Volatility ETF

SC 13G/A · Mar 10, 2023

23.0%

7.9M shares

GOVI

Invesco 1-30 Laddered Treasury ETF

SC 13G/A · Mar 10, 2023

66.3%

13.9M shares

ONC

BeiGene Ltd

SC 13G/A · Feb 10, 2023

2.6%

35.7M shares

PSR

Invesco Active US Real Estate Fund

SC 13G/A · Feb 10, 2023

0.4%

5K shares

DBE

Invesco DB Energy Fund

SC 13G/A · Feb 10, 2023

21.1%

1.0M shares

ZLAB

Zai Lab Ltd

SC 13G/A · Feb 10, 2023

8.4%

82.3M shares

ZTO

ZTO Express Cayman Inc

SC 13G/A · Feb 10, 2023

7.4%

44.7M shares

N/A

PureTech Health PLC

SC 13G/A · Feb 10, 2023

23.4%

65.1M shares

YUMC

Yum China Holdings Inc

SC 13G/A · Feb 10, 2023

9.5%

40.0M shares

NBIS

Yandex NV

SC 13G/A · Feb 10, 2023

8.3%

26.9M shares

WLKP

Westlake Chemical Partners LP

SC 13G/A · Feb 10, 2023

15.5%

5.5M shares

VNO

Vornado Realty Trust

SC 13G · Feb 10, 2023

5.6%

10.7M shares

VC

Visteon Corp

SC 13G/A · Feb 10, 2023

4.9%

1.4M shares

VCYT

Veracyte Inc

SC 13G/A · Feb 10, 2023

0.4%

314K shares

VECO

Veeco Instruments Inc

SC 13G/A · Feb 10, 2023

6.5%

3.3M shares