ACSYX
Invesco Comstock Fund
AIM Sector Funds (Invesco Sector Funds)

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
82
Top-10 weight
25.78%
Effective holdings ?
64
Crowding ?
1155.9

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALPHABET INC CL A 1,372,107 $463.77M 3.51%
2 BANK OF AMERICA CORPORATION 8,461,198 $450.14M 3.40%
3 Invesco Treasury Portfolio, Institutional Class 354,227,957 $354.23M 2.68%
4 WELLS FARGO & CO 3,828,694 $346.46M 2.62%
5 Invesco Private Prime Fund 336,528,921 $336.53M 2.54%
6 CHEVRON CORP 1,849,363 $327.15M 2.47%
7 CISCO SYSTEMS INC 4,138,850 $324.15M 2.45%
8 MICROSOFT CORP 745,438 $320.75M 2.42%
9 CVS HEALTH CORP 4,301,413 $320.54M 2.42%
10 STATE STREET CORP 2,190,495 $286.65M 2.17%
11 FEDEX CORP 849,476 $273.74M 2.07%
12 CITIGROUP INC 2,034,871 $235.45M 1.78%
13 PHILIP MORRIS INTL INC 1,299,655 $233.21M 1.76%
14 CITIZENS FINANCIAL GROUP INC 3,699,808 $233.01M 1.76%
15 SEMPRA ENERGY 2,516,819 $218.99M 1.66%
16 SYSCO CORP 2,593,730 $217.48M 1.64%
17 MERCK & CO 1,938,365 $213.74M 1.62%
18 SUNCOR ENERGY INC 4,021,606 $213.02M 1.61%
19 ELEVANCE HEALTH INC 614,311 $212.39M 1.61%
20 HUNTINGTON BANCSHARES INC 12,142,689 $212.25M 1.60%
21 NXP SEMICONDUCTO 937,478 $212.00M 1.60%
22 JOHNSON&JOHNSON 925,701 $210.37M 1.59%
23 META PLATFORMS INC CL A 286,772 $205.47M 1.55%
24 COGNIZANT TECH SOLUTIONS CL A 2,503,858 $205.47M 1.55%
25 RECKITT BENCKISE 2,447,765 $204.21M 1.54%
26 FIFTH THIRD BANCORP 3,960,595 $198.90M 1.50%
27 ASTRAZENECA PLC 1,039,014 $193.58M 1.46%
28 Invesco Government & Agency Portfolio, Institutional Class 190,934,213 $190.93M 1.44%
29 JOHNSON CONTROLS 1,543,322 $184.06M 1.39%
30 CATERPILLAR INC 268,942 $176.79M 1.34%
31 EMERSON ELECTRIC CO 1,199,264 $176.24M 1.33%
32 CONOCOPHILLIPS 1,667,881 $173.84M 1.31%
33 EBAY INC 1,872,659 $170.82M 1.29%
34 INTL FLVR & FRAG 2,442,130 $170.49M 1.29%
35 TEXTRON INC 1,906,437 $167.88M 1.27%
36 M&T BANK CORP 751,743 $166.56M 1.26%
37 EATON CORP PLC 471,633 $165.74M 1.25%
38 SANOFI SPON ADR SNY US 3,493,862 $164.35M 1.24%
39 DOMINION ENERGY INC 2,598,898 $156.38M 1.18%
40 NIKE INC CL B 2,485,679 $153.64M 1.16%
41 INTEL CORP 3,225,867 $149.91M 1.13%
42 WESTINGHOUSE AIR BRAKE TECH CORP 646,643 $148.82M 1.13%
43 AMERICAN INTERNATIONAL GROUP 1,975,623 $147.93M 1.12%
44 STARBUCKS CORP 1,586,271 $145.86M 1.10%
45 COCA-COLA CO/THE 1,930,468 $144.42M 1.09%
46 RESTAURANT BRANDS INTERNATIONAL INC 2,146,609 $143.82M 1.09%
47 CLOROX CO 1,260,891 $142.22M 1.08%
48 CHARTER COMMUNICATIONS INC A 684,813 $141.15M 1.07%
49 EXXON MOBIL CORP 962,267 $136.06M 1.03%
50 MEDTRONIC PLC 1,315,786 $135.47M 1.02%
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