{
  "page": "compare",
  "query": {
    "a": "FSTUX",
    "b": "ACGIX"
  },
  "retrieved_at": "2026-07-07T13:08:52+00:00",
  "disclaimer": "Informational only — not investment advice. FundWatcher presents publicly available data and makes no recommendation to buy or sell any security. Verify all figures against the source filing before relying on them.",
  "attribution": "Data sourced from U.S. SEC EDGAR filings (Forms N-PORT, N-CEN, and prospectus Risk/Return summaries). FundWatcher is not affiliated with the SEC.",
  "terms": {
    "notice": "Use of this data is subject to the FundWatcher Terms of Service. Information may be used only for personal, non-commercial research and may not be redistributed.",
    "url": "https://fundwatcher.app/terms/"
  },
  "fund_a": {
    "name": "Invesco Dividend Income Fund",
    "ticker": "FSTUX",
    "slug": "FSTUX",
    "series_id": "S000000161",
    "html_url": "https://fundwatcher.app/funds/FSTUX/"
  },
  "fund_b": {
    "name": "Invesco Growth and Income Fund",
    "ticker": "ACGIX",
    "slug": "ACGIX",
    "series_id": "S000027810",
    "html_url": "https://fundwatcher.app/funds/ACGIX/"
  },
  "overlap": {
    "coverage_a_by_b": "0.4018820832821003348995533498",
    "coverage_b_by_a": "0.4018820832821003348995533497",
    "shared_count": 31,
    "as_of": {
      "a": "2026-01-31",
      "b": "2026-02-28"
    },
    "a_top": [
      {
        "name": "JPMORGAN CHASE and CO",
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      },
      {
        "name": "JOHNSON&JOHNSON",
        "value": "129463188.75",
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      },
      {
        "name": "LOWES COS INC",
        "value": "123181157.94",
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      },
      {
        "name": "BANK OF AMERICA CORPORATION",
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      },
      {
        "name": "CHEVRON CORP",
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      {
        "name": "PARKER HANNIFIN CORP",
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      },
      {
        "name": "CISCO SYSTEMS INC",
        "value": "85818591.76",
        "weight": "0.02249373",
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      },
      {
        "name": "PHILIP MORRIS INTL INC",
        "value": "83573282.80",
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      },
      {
        "name": "LAM RESEARCH CORP",
        "value": "79137336.96",
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      },
      {
        "name": "MCDONALDS CORP",
        "value": "78316245.00",
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      },
      {
        "name": "SCHWAB CHARLES CORP",
        "value": "70478024.40",
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      },
      {
        "name": "EATON CORP PLC",
        "value": "68986205.94",
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      },
      {
        "name": "CHUBB LTD",
        "value": "68766896.64",
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      },
      {
        "name": "WALMART INC",
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      },
      {
        "name": "WELLS FARGO & CO",
        "value": "67597477.84",
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      },
      {
        "name": "CVS HEALTH CORP",
        "value": "66726474.84",
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      },
      {
        "name": "AT&T INC",
        "value": "65216665.56",
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      },
      {
        "name": "PROCTER & GAMBLE",
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      },
      {
        "name": "LINDE PLC",
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      {
        "name": "MICROSOFT CORP",
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      {
        "name": "COCA-COLA CO/THE",
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      },
      {
        "name": "CITIGROUP INC",
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      },
      {
        "name": "WILLIAMS COS INC",
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      {
        "name": "MEDTRONIC PLC",
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      {
        "name": "CONOCOPHILLIPS",
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      },
      {
        "name": "PUB SERV ENTERP",
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      },
      {
        "name": "Invesco Treasury Portfolio, Institutional Class",
        "value": "54904915.17",
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      },
      {
        "name": "PNC FINANCIAL SERVICES GRP INC",
        "value": "54208308.00",
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      },
      {
        "name": "PROLOGIS INC REIT",
        "value": "53710425.60",
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      },
      {
        "name": "NORTHROP GRUMMAN CORP",
        "value": "53169029.30",
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      },
      {
        "name": "CMS ENERGY CORP",
        "value": "52013907.81",
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      {
        "name": "MARRIOTT INTL-A",
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      {
        "name": "HARTFORD INSURANCE GROUP INC/THE",
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      {
        "name": "JOHNSON CONTROLS",
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        "value": "49244138.75",
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      {
        "name": "NXP SEMICONDUCTO",
        "value": "48156739.14",
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      {
        "name": "ENTERGY CORP",
        "value": "48023342.13",
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      {
        "name": "WALT DISNEY CO/T",
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        "name": "SYSCO CORP",
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      {
        "name": "ABBOTT LABS",
        "value": "46026448.60",
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      {
        "name": "UNION PACIFIC CORP",
        "value": "44716255.10",
        "weight": "0.01172048",
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      {
        "name": "DEERE & CO",
        "value": "44658768.00",
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      },
      {
        "name": "BLACKROCK INC",
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      {
        "name": "CROWN CASTLE INC",
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      {
        "name": "COLGATE-PALMOLIVE CO",
        "value": "42215631.24",
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      {
        "name": "ABBVIE INC",
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      {
        "name": "AMERICAN INTERNATIONAL GROUP",
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      {
        "name": "CRH PLC",
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      {
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    ],
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      {
        "name": "BANK OF AMERICA CORPORATION",
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      {
        "name": "AMAZON.COM INC",
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      {
        "name": "PHILIP MORRIS INTL INC",
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      {
        "name": "MICROSOFT CORP",
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      },
      {
        "name": "ALPHABET INC CL A",
        "value": "94491026.64",
        "weight": "0.02115984",
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      },
      {
        "name": "PARKER HANNIFIN CORP",
        "value": "94410807.36",
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      {
        "name": "MICROCHIP TECHNOLOGY",
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      },
      {
        "name": "JOHNSON&JOHNSON",
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      {
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      {
        "name": "CITIZENS FINANCIAL GROUP INC",
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      {
        "name": "COHERENT CORP",
        "value": "86959051.20",
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      {
        "name": "SCHWAB CHARLES CORP",
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      {
        "name": "MERCK & CO",
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      {
        "name": "US FOODS HOLDING CORP",
        "value": "84603212.59",
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      {
        "name": "FEDEX CORP",
        "value": "79894989.00",
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      {
        "name": "WALT DISNEY CO/T",
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      {
        "name": "CHEVRON CORP",
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      {
        "name": "WILLIS TOWERS WA",
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      {
        "name": "PPL CORPORATION",
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      {
        "name": "CBRE GROUP INC - CL A",
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        "name": "STARBUCKS CORP",
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      {
        "name": "MEDTRONIC PLC",
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        "name": "EXXON MOBIL CORP",
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      {
        "name": "Invesco Private Prime Fund",
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      {
        "name": "NIKE INC CL B",
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      {
        "name": "VERTIV HOLDINGS CO",
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      },
      {
        "name": "Invesco Treasury Portfolio, Institutional Class",
        "value": "61087358.48",
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      },
      {
        "name": "CVS HEALTH CORP",
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      },
      {
        "name": "EMERSON ELECTRIC CO",
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      {
        "name": "PNC FINANCIAL SERVICES GRP INC",
        "value": "55242215.45",
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      {
        "name": "RTX CORP",
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      },
      {
        "name": "META PLATFORMS INC CL A",
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      {
        "name": "Sanofi SA",
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      },
      {
        "name": "Shell PLC ORD EUR0.07",
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      },
      {
        "name": "UNITEDHEALTH GRP",
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      {
        "name": "REGENERON PHARMACEUTICALS INC",
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      {
        "name": "GENERAL MOTORS CO",
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      {
        "name": "FORTIVE CORP",
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      {
        "name": "GOLDMAN SACHS GROUP INC",
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        "name": "NXP SEMICONDUCTO",
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      },
      {
        "name": "T-MOBILE US INC",
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      },
      {
        "name": "BRISTOL-MYERS SQUIBB CO",
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      },
      {
        "name": "SEMPRA ENERGY",
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      },
      {
        "name": "CISCO SYSTEMS INC",
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      },
      {
        "name": "AMERICAN INTERNATIONAL GROUP",
        "value": "46711647.09",
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    ]
  },
  "error": null,
  "sources": [
    {
      "label": "N-PORT (fund A)",
      "accession_no": "0000725781-26-000050",
      "as_of": "2026-01-31",
      "edgar_url": "https://www.sec.gov/Archives/edgar/data/725781/000072578126000050/0000725781-26-000050-index.htm"
    },
    {
      "label": "N-PORT (fund B)",
      "accession_no": "0001112996-26-000183",
      "as_of": "2026-02-28",
      "edgar_url": "https://www.sec.gov/Archives/edgar/data/1112996/000111299626000183/0001112996-26-000183-index.htm"
    }
  ]
}