ACGLX
Invesco Growth and Income Fund
AIM Counselor Series Trust (Invesco Counselor Series Trust)

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
75
Top-10 weight
22.85%
Effective holdings ?
64
Crowding ?
1263.0

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 WELLS FARGO & CO 1,508,902 $122.90M 2.80%
2 BANK OF AMERICA CORPORATION 2,223,645 $110.80M 2.53%
3 AMAZON.COM INC 527,617 $110.80M 2.53%
4 PHILIP MORRIS INTL INC 583,888 $109.09M 2.49%
5 JOHNSON CONTROLS 689,660 $99.52M 2.27%
6 MICROSOFT CORP 247,174 $97.08M 2.21%
7 ALPHABET INC CL A 303,089 $94.49M 2.16%
8 PARKER HANNIFIN CORP 93,552 $94.41M 2.15%
9 MICROCHIP TECHNOLOGY 1,224,885 $91.43M 2.09%
10 JOHNSON&JOHNSON 360,979 $89.68M 2.05%
11 CONOCOPHILLIPS 781,591 $88.68M 2.02%
12 CITIZENS FINANCIAL GROUP INC 1,472,137 $88.61M 2.02%
13 COHERENT CORP 335,840 $86.96M 1.98%
14 SCHWAB CHARLES CORP 909,469 $86.58M 1.97%
15 SYSCO CORP 939,416 $85.64M 1.95%
16 MERCK & CO 686,097 $84.95M 1.94%
17 US FOODS HOLDING CORP 875,719 $84.60M 1.93%
18 FEDEX CORP 206,447 $79.89M 1.82%
19 WALT DISNEY CO/T 746,724 $79.18M 1.81%
20 CHEVRON CORP 410,114 $76.59M 1.75%
21 WILLIS TOWERS WA 248,729 $75.90M 1.73%
22 PPL CORPORATION 1,851,113 $72.16M 1.65%
23 CBRE GROUP INC - CL A 487,324 $71.96M 1.64%
24 STARBUCKS CORP 716,207 $70.20M 1.60%
25 PROCTER & GAMBLE 411,401 $68.79M 1.57%
26 MEDTRONIC PLC 697,471 $68.12M 1.55%
27 EXXON MOBIL CORP 427,406 $65.18M 1.49%
28 NVIDIA CORP 355,236 $62.94M 1.44%
29 Invesco Private Prime Fund 62,343,839 $62.34M 1.42%
30 NIKE INC CL B 995,340 $61.89M 1.41%
31 VERTIV HOLDINGS CO 241,207 $61.48M 1.40%
32 Invesco Treasury Portfolio, Institutional Class 61,087,358 $61.09M 1.39%
33 CVS HEALTH CORP 735,487 $58.77M 1.34%
34 EMERSON ELECTRIC CO 368,769 $55.59M 1.27%
35 PNC FINANCIAL SERVICES GRP INC 260,147 $55.24M 1.26%
36 RTX CORP 261,864 $53.06M 1.21%
37 META PLATFORMS INC CL A 81,023 $52.52M 1.20%
38 Sanofi SA 534,103 $52.24M 1.19%
39 Shell PLC ORD EUR0.07 SHELL NA 1,222,794 $51.21M 1.17%
40 UNITEDHEALTH GRP 173,835 $50.98M 1.16%
41 REGENERON PHARMACEUTICALS INC 65,207 $50.97M 1.16%
42 GENERAL MOTORS CO 642,391 $50.56M 1.15%
43 FORTIVE CORP 850,324 $50.34M 1.15%
44 GOLDMAN SACHS GROUP INC 58,064 $49.91M 1.14%
45 NXP SEMICONDUCTO 214,218 $48.63M 1.11%
46 T-MOBILE US INC 223,574 $48.54M 1.11%
47 BRISTOL-MYERS SQUIBB CO 771,740 $48.13M 1.10%
48 SEMPRA ENERGY 496,909 $47.84M 1.09%
49 CISCO SYSTEMS INC 599,558 $47.64M 1.09%
50 AMERICAN INTERNATIONAL GROUP 580,341 $46.71M 1.07%
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