VAFNX
Invesco American Franchise Fund
AIM Counselor Series Trust (Invesco Counselor Series Trust)

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
55
Top-10 weight
55.79%
Effective holdings ?
23
Crowding ?
1837.1

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 11,796,714 $2.09B 12.65%
2 ALPHABET INC CL A 4,058,188 $1.27B 7.66%
3 MICROSOFT CORP 2,507,294 $984.71M 5.96%
4 AMAZON.COM INC 4,400,664 $924.14M 5.59%
5 APPLE INC 3,282,134 $867.07M 5.25%
6 META PLATFORMS INC CL A 1,261,319 $817.56M 4.95%
7 BROADCOM INC 2,244,390 $717.19M 4.34%
8 TAIWAN SEMIC MFG CO LTD SP ADR 1,610,903 $603.41M 3.65%
9 TESLA INC 1,281,264 $515.72M 3.12%
10 LAM RESEARCH CORP 2,156,633 $504.41M 3.05%
11 JOHNSON CONTROLS 2,759,891 $398.25M 2.41%
12 HOWMET AEROSPACE INC 1,383,064 $363.10M 2.20%
13 VERTIV HOLDINGS CO 1,310,977 $334.15M 2.02%
14 LILLY ELI and CO 307,434 $323.42M 1.96%
15 PHILIP MORRIS INTL INC 1,667,434 $311.53M 1.89%
16 PARKER HANNIFIN CORP 297,080 $299.81M 1.81%
17 GOLDMAN SACHS GROUP INC 348,384 $299.46M 1.81%
18 MONOLITHIC POWER SYS INC 230,271 $263.14M 1.59%
19 AMPHENOL CORPORATION CL A 1,766,887 $258.07M 1.56%
20 CATERPILLAR INC 335,323 $249.09M 1.51%
21 ARGENX SE SPONSORED ADR 317,196 $243.26M 1.47%
22 GE VERNOVA LLC 273,087 $238.57M 1.44%
23 ASML Holding NV - NY Reg Shares 154,824 $224.58M 1.36%
24 INTERACTIVE BROKERS GROUP INC 3,122,483 $222.29M 1.35%
25 WILLIAMS COS INC 2,536,229 $189.51M 1.15%
26 BAE Systems PLC ORD GBP0.025 BA/ LN 6,561,629 $187.37M 1.13%
27 CLOUDFLARE INC-A 1,037,538 $178.65M 1.08%
28 APPLOVIN CORP 404,640 $175.93M 1.06%
29 SUNCOR ENERGY INC 3,019,398 $170.66M 1.03%
30 ARISTA NETWORKS INC 1,277,247 $170.51M 1.03%
31 SNOWFLAKE INC CL A 1,001,860 $168.72M 1.02%
32 VISA INC-CLASS A 526,241 $168.47M 1.02%
33 ALNYLAM PHARMACEUTICALS INC 504,640 $168.00M 1.02%
34 INTUITIVE SURGICAL INC 314,222 $158.21M 0.96%
35 MCKESSON CORP 142,620 $140.82M 0.85%
36 THE BOOKING HOLDINGS INC 31,747 $134.59M 0.81%
37 ROBINHOOD MARKETS INC 1,767,652 $134.08M 0.81%
38 COHERENT CORP 500,833 $129.68M 0.78%
39 CARVANA CO CL A 374,960 $125.30M 0.76%
40 Invesco Private Prime Fund 92,614,954 $92.61M 0.56%
41 COREWEAVE INC 1,143,781 $91.00M 0.55%
42 REDDIT INC-A 600,020 $87.49M 0.53%
43 US FOODS HOLDING CORP 882,808 $85.29M 0.52%
44 ADV MICRO DEVICE 387,788 $77.64M 0.47%
45 AMERICAN EXPRESS CO 226,027 $69.82M 0.42%
46 ROCKET COS INC-A 3,792,820 $68.99M 0.42%
47 PALANTIR TECHNOLOGIES INC 484,979 $66.53M 0.40%
48 DANAHER CORP 270,178 $56.91M 0.34%
49 MARTIN MAR MTLS 81,589 $55.20M 0.33%
50 CBRE GROUP INC - CL A 311,242 $45.96M 0.28%
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