Invesco Ltd.
CIK 0000914208 · SEC 13F-HR filings · 50 holdings · Q2 2026
| Issuer | Ticker | Shares | Value (USD) ↑ | Δ Shares | Δ Value | Type |
|---|---|---|---|---|---|---|
| CDNS | 8,218,541 | $3.1B | New | $3.1B | NEW POSITIONShares | |
| AAPL | 11,553,732 | $3.3B | -100.1M | $-25.0B | Shares | |
| SBUX | 33,403,267 | $3.4B | +9.5M | $1.3B | Shares | |
| FTNT | 23,712,307 | $3.6B | New | $3.6B | NEW POSITIONShares | |
| MSFT | 9,796,473 | $3.7B | -46.7M | $-17.2B | Shares | |
| VRTX | 7,428,195 | $3.7B | +2.1M | $1.3B | Shares | |
| SHOP | 32,587,978 | $3.7B | +6.9M | $669M | Shares | |
| LRCX | 8,877,969 | $3.8B | -17.3M | $-1.8B | Shares | |
| ARM | 11,360,473 | $4.0B | New | $4.0B | NEW POSITIONShares | |
| BKNG | 22,716,289 | $4.0B | +22.1M | $1.3B | Shares | |
| AMZN | 17,161,952 | $4.1B | -64.4M | $-12.9B | Shares | |
| ISRG | 10,926,971 | $4.3B | +3.5M | $910M | Shares | |
| GILD | 37,337,075 | $4.7B | +11.3M | $1.1B | Shares | |
| ASML | 2,491,987 | $5.0B | +647K | $2.5B | Shares | |
| TMUS | 30,352,698 | $5.1B | +7.2M | $234M | Shares | |
| APP | 9,982,015 | $5.1B | +3.5M | $2.6B | Shares | |
| PEP | 40,096,051 | $5.4B | +11.4M | $975M | Shares | |
| CRWD | 7,317,297 | $5.6B | +2.0M | $3.5B | Shares | |
| AMGN | 15,514,784 | $5.6B | +4.2M | $1.6B | Shares | |
| ADI | 14,911,488 | $5.9B | +4.7M | $2.7B | Shares | |
| QCOM | 33,992,531 | $6.3B | +11.6M | $3.4B | Shares | |
| GOOGL | 17,922,670 | $6.4B | -26.3M | $-6.3B | Shares | |
| NVDA | 32,477,636 | $6.5B | -152.3M | $-25.7B | Shares | |
| LIN | 13,313,734 | $6.9B | +3.6M | $2.1B | Shares | |
| STX | 7,336,706 | $7.1B | +2.8M | $5.3B | Shares | |
| MRVL | 25,488,926 | $7.6B | +7.2M | $5.8B | Shares | |
| WDC | 11,982,610 | $7.7B | +4.9M | $5.7B | Shares | |
| PANW | 23,075,159 | $7.9B | +5.9M | $5.1B | Shares | |
| PLTR | 67,829,539 | $7.9B | +19.7M | $879M | Shares | |
| TXN | 28,009,067 | $8.3B | +9.0M | $4.7B | Shares | |
| NFLX | 128,502,604 | $9.2B | +39.9M | $655M | Shares | |
| SNDK | 5,046,853 | $11.5B | New | $11.5B | NEW POSITIONShares | |
| COST | 13,478,955 | $12.6B | +4.2M | $3.3B | Shares | |
| KLAC | 43,105,246 | $13.0B | +40.4M | $9.0B | Shares | |
| CSCO | 121,709,705 | $14.3B | +38.8M | $7.9B | Shares | |
| WMT | 138,375,379 | $15.7B | +35.8M | $2.9B | Shares | |
| META | 31,161,128 | $17.6B | +8.7M | $4.7B | Shares | |
| LRCX | 41,523,806 | $18.0B | +15.3M | $12.4B | Shares | |
| AMAT | 25,068,077 | $18.1B | +8.4M | $12.4B | Shares | |
| AVGO | 54,314,656 | $20.5B | +18.3M | $9.4B | Shares | |
| GOOG | 58,571,588 | $20.7B | +17.2M | $8.8B | Shares | |
| INTC | 149,396,409 | $20.9B | +44.6M | $16.2B | Shares | |
| TSLA | 50,497,725 | $21.2B | +12.6M | $7.1B | Shares | |
| GOOGL | 64,962,260 | $23.2B | +20.7M | $10.5B | Shares | |
| AMZN | 113,610,739 | $27.1B | +32.0M | $10.1B | Shares | |
| AMD | 47,987,477 | $27.9B | +13.8M | $20.9B | Shares | |
| MSFT | 78,693,264 | $29.4B | +22.2M | $8.5B | Shares | |
| MU | 34,142,691 | $39.4B | +10.5M | $31.4B | Shares | |
| AAPL | 158,768,865 | $45.9B | +47.2M | $17.6B | Shares | |
| NVDA | 262,636,755 | $52.6B | +77.9M | $20.3B | Shares |