Invesco S&P 500 Low Volatility ETF

Invesco · Tracks S&P 500 Low Volatility Index · Inception May 5, 2011

Expense ratio
0.25%
25.0 bps
Net assets
$7.06B
TTM yield
2.13%
Last price
$75.47
as of Jul 15, 2026

Composite score

84 / 100
Cost 75

Based on a 0.25% expense ratio.

Liquidity 93

Based on $7.06B in net assets.

Concentration 95

Top-10 holdings represent 13.7% of net assets.

Tax efficiency 84

Low Volatility Factor base · ETF wrapper · 2.13% TTM yield.

The composite is a weighted average of the four core sub-scores above (cost, tax efficiency, liquidity, concentration). Missing sub-scores fall back to the per-category median when the category has at least 50% data coverage, so funds without (e.g.) parsed N-PORT holdings aren't accidentally boosted by renormalization. Tracking quality is shown where computable but isn't currently part of the composite weighting. See methodology for formulas, the tracking-quality partial-coverage rationale, and the dimensions we deliberately don't score (methodology v0.5.1).

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Top holdings

102 total holdings · as of Feb 28, 2026
#HoldingWeight
1Invesco Private Prime Fund2.10%
2Southern Co. (The)1.31%
3CenterPoint Energy, Inc.1.30%
4WEC Energy Group Inc.1.29%
5Ameren Corp.1.29%
6Evergy, Inc.1.29%
7Atmos Energy Corp.1.28%
8Duke Energy Corp.1.27%
9DTE Energy Co.1.26%
10Pinnacle West Capital Corp.1.26%

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Holdings sourced from SEC Form N-PORT-P (accession 0001378872-26-000827).