ITYRX
Invesco Technology Fund
AIM Sector Funds (Invesco Sector Funds)

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
55
Top-10 weight
40.32%
Effective holdings ?
36
Crowding ?
1357.0

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 921,232 $176.08M 7.97%
2 ALPHABET INC CL A 359,043 $121.36M 5.49%
3 BROADCOM INC 298,689 $98.96M 4.48%
4 TAIWAN SEMIC MFG CO LTD SP ADR 274,389 $90.70M 4.10%
5 MICROSOFT CORP 198,179 $85.27M 3.86%
6 Invesco Private Prime Fund 79,219,193 $79.22M 3.58%
7 LAM RESEARCH CORP 338,841 $79.11M 3.58%
8 META PLATFORMS INC CL A 99,637 $71.39M 3.23%
9 APPLE INC 261,378 $67.82M 3.07%
10 AMAZON.COM INC 275,420 $65.91M 2.98%
11 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 258,933 $56.72M 2.57%
12 TERADYNE INC 222,554 $53.65M 2.43%
13 ADV MICRO DEVICE 220,644 $52.23M 2.36%
14 MONGODB INC CL A 138,604 $51.47M 2.33%
15 TTM TECHNOLOGIES INC 501,527 $49.25M 2.23%
16 MONOLITHIC POWER SYS INC 42,850 $48.17M 2.18%
17 ASML Holding NV - NY Reg Shares 33,355 $47.46M 2.15%
18 Nova Measuring Instruments Ltd NVMI US 101,240 $46.35M 2.10%
19 WESTERN DIGITAL CORP 181,235 $45.35M 2.05%
20 LUMENTUM HOLDINGS INC 111,044 $43.51M 1.97%
21 AMPHENOL CORPORATION CL A 300,301 $43.27M 1.96%
22 ARISTA NETWORKS INC 303,690 $43.05M 1.95%
23 LATTICE SEMICONDUCTOR CORP 533,803 $42.98M 1.94%
24 SNOWFLAKE INC CL A 219,768 $42.35M 1.92%
25 SHOPIFY INC CL A 292,408 $38.37M 1.74%
26 ADV ENERGY INDS 135,343 $34.56M 1.56%
27 FLEX LTD 543,426 $34.26M 1.55%
28 DATADOG INC CL A 245,483 $31.75M 1.44%
29 COMFORT SYSTEMS USA INC 27,387 $31.28M 1.42%
30 Invesco Private Government Fund 30,474,443 $30.47M 1.38%
31 COHERENT CORP 141,168 $29.95M 1.36%
32 CLOUDFLARE INC-A 164,183 $29.12M 1.32%
33 ENTEGRIS INC 244,499 $28.87M 1.31%
34 KARMAN HOLDINGS INC 255,832 $26.56M 1.20%
35 JFROG LTD 475,850 $26.08M 1.18%
36 IMPINJ INC 183,747 $25.38M 1.15%
37 CURTISS WRIGHT CORPORATION 38,326 $25.17M 1.14%
38 RAMBUS INC 208,271 $23.71M 1.07%
39 SITIME CORP 62,691 $22.76M 1.03%
40 ROCKET LAB CORP 283,822 $22.73M 1.03%
41 BLOOM ENERGY CORP CL A 147,688 $22.36M 1.01%
42 VERTIV HOLDINGS CO 117,742 $21.92M 0.99%
43 SILICON LABS 153,206 $21.82M 0.99%
44 GENERAL ELECTRIC CO 70,773 $21.71M 0.98%
45 TESLA INC 49,391 $21.26M 0.96%
46 MP MATERIALS CORP 357,643 $21.02M 0.95%
47 PALANTIR TECHNOLOGIES INC 128,068 $18.77M 0.85%
48 ROBINHOOD MARKETS INC 182,185 $18.12M 0.82%
49 Invesco Treasury Portfolio, Institutional Class 16,392,650 $16.39M 0.74%
50 AEROVIRONMENT INC 55,449 $15.44M 0.70%
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