- Title:
Net Asset Value(s) - Time:
09:28:14 - Date:
18 Jun 2026 - Category:
Corporate updates - ID:
8419I
|
FUND: |
Invesco FTSE 100 UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
GBP:115.9239 |
|
NUMBER OF SHARES IN ISSUE: |
322,790.00 |
|
CODE: |
S100 |
|
|
|
|
FUND: |
Invesco FTSE 250 UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
GBP:207.1127 |
|
NUMBER OF SHARES IN ISSUE: |
125,623.00 |
|
CODE: |
S250 |
|
|
|
|
FUND: |
Invesco Consumer Discretionary S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:823.6133 |
|
NUMBER OF SHARES IN ISSUE: |
116,612.00 |
|
CODE: |
XLYS |
|
|
|
|
FUND: |
Invesco Energy S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:763.2861 |
|
NUMBER OF SHARES IN ISSUE: |
190,987.00 |
|
CODE: |
XLES |
|
|
|
|
FUND: |
Invesco Health Care S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:744.8389 |
|
NUMBER OF SHARES IN ISSUE: |
619,704.00 |
|
CODE: |
XLVS |
|
|
|
|
FUND: |
Invesco Industrials S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:993.8331 |
|
NUMBER OF SHARES IN ISSUE: |
171,504.00 |
|
CODE: |
XLIS |
|
|
|
|
FUND: |
Invesco Materials S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:634.3816 |
|
NUMBER OF SHARES IN ISSUE: |
62,908.00 |
|
CODE: |
XLBS |
|
|
|
|
FUND: |
Invesco Technology S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:1022.9722 |
|
NUMBER OF SHARES IN ISSUE: |
2,168,956.00 |
|
CODE: |
XLKS |
|
|
|
|
FUND: |
Invesco Utilities S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:644.7728 |
|
NUMBER OF SHARES IN ISSUE: |
230,082.00 |
|
CODE: |
XLUS |
|
|
|
|
FUND: |
Invesco Consumer Staples S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:751.4787 |
|
NUMBER OF SHARES IN ISSUE: |
58,353.00 |
|
CODE: |
XLPS |
|
|
|
|
FUND: |
Invesco Financials S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:424.5614 |
|
NUMBER OF SHARES IN ISSUE: |
833,287.00 |
|
CODE: |
XLFS |
|
|
|
|
FUND: |
Invesco MSCI Emerging Markets UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:88.3338 |
|
NUMBER OF SHARES IN ISSUE: |
5,001,131.00 |
|
CODE: |
MXFS |
|
|
|
|
FUND: |
Invesco S&P 500 UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:14.8723 |
|
NUMBER OF SHARES IN ISSUE: |
2,687,086,558.00 |
|
CODE: |
SPXS |
|
|
|
|
FUND: |
Invesco MSCI Japan UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:119.0026 |
|
NUMBER OF SHARES IN ISSUE: |
80,555.00 |
|
CODE: |
MXJP |
|
|
|
|
FUND: |
Invesco MSCI USA UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:217.8836 |
|
NUMBER OF SHARES IN ISSUE: |
38,954,393.00 |
|
CODE: |
MXUS |
|
|
|
|
FUND: |
Invesco MSCI World UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:152.8933 |
|
NUMBER OF SHARES IN ISSUE: |
53,713,833.00 |
|
CODE: |
MXWO |
|
|
|
|
FUND: |
Invesco Russell 2000 UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:149.3469 |
|
NUMBER OF SHARES IN ISSUE: |
2,142,130.00 |
|
CODE: |
RTYS |
|
|
|
|
FUND: |
Invesco STOXX Europe 600 Optimised Banks UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:234.5431 |
|
NUMBER OF SHARES IN ISSUE: |
2,423,672.00 |
|
CODE: |
X7PS |
|
|
|
|
FUND: |
Invesco Morningstar US Energy Infrastructure MLP UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:153.3154 |
|
NUMBER OF SHARES IN ISSUE: |
478,188.00 |
|
CODE: |
MLPS |
|
|
|
|
FUND: |
Invesco Morningstar US Energy Infrastructure MLP UCITS ETF Dist |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:52.891 |
|
NUMBER OF SHARES IN ISSUE: |
5,571,856.00 |
|
CODE: |
MLPD |
|
|
|
|
FUND: |
Invesco Financials S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:424.5614 |
|
NUMBER OF SHARES IN ISSUE: |
833,287.00 |
|
CODE: |
XLFQ |
|
|
|
|
FUND: |
Invesco Morningstar US Energy Infrastructure MLP UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:153.3154 |
|
NUMBER OF SHARES IN ISSUE: |
478,188.00 |
|
CODE: |
MLPQ |
|
|
|
|
FUND: |
Invesco Morningstar US Energy Infrastructure MLP UCITS ETF Dist |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:52.891 |
|
NUMBER OF SHARES IN ISSUE: |
5,571,856.00 |
|
CODE: |
MLPP |
|
|
|
|
FUND: |
Invesco Technology S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:1022.9722 |
|
NUMBER OF SHARES IN ISSUE: |
2,168,956.00 |
|
CODE: |
XLKQ |
|
|
|
|
FUND: |
Invesco EURO STOXX 50 UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:164.1349 |
|
NUMBER OF SHARES IN ISSUE: |
7,312,274.00 |
|
CODE: |
SX5S |
|
|
|
|
FUND: |
Invesco MSCI Europe UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:441.6919 |
|
NUMBER OF SHARES IN ISSUE: |
130,682.00 |
|
CODE: |
MXEU |
|
|
|
|
FUND: |
Invesco MSCI World UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:152.8933 |
|
NUMBER OF SHARES IN ISSUE: |
53,713,833.00 |
|
CODE: |
MXWS |
|
|
|
|
FUND: |
Invesco STOXX Europe 600 Optimised Banks UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:234.5431 |
|
NUMBER OF SHARES IN ISSUE: |
2,423,672.00 |
|
CODE: |
X7PP |
|
|
|
|
FUND: |
Invesco STOXX Europe 600 UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:163.2382 |
|
NUMBER OF SHARES IN ISSUE: |
3,477,820.00 |
|
CODE: |
S600 |
|
|
|
|
FUND: |
Invesco Consumer Discretionary S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:823.6133 |
|
NUMBER OF SHARES IN ISSUE: |
116,612.00 |
|
CODE: |
XLYP |
|
|
|
|
FUND: |
Invesco Consumer Staples S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:751.4787 |
|
NUMBER OF SHARES IN ISSUE: |
58,353.00 |
|
CODE: |
XLPP |
|
|
|
|
FUND: |
Invesco Energy S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:763.2861 |
|
NUMBER OF SHARES IN ISSUE: |
190,987.00 |
|
CODE: |
XLEP |
|
|
|
|
FUND: |
Invesco Health Care S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:744.8389 |
|
NUMBER OF SHARES IN ISSUE: |
619,704.00 |
|
CODE: |
XLVP |
|
|
|
|
FUND: |
Invesco Industrials S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:993.8331 |
|
NUMBER OF SHARES IN ISSUE: |
171,504.00 |
|
CODE: |
XLIP |
|
|
|
|
FUND: |
Invesco Materials S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:634.3816 |
|
NUMBER OF SHARES IN ISSUE: |
62,908.00 |
|
CODE: |
XLBP |
|
|
|
|
FUND: |
Invesco S&P 500 UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:14.8723 |
|
NUMBER OF SHARES IN ISSUE: |
2,687,086,558.00 |
|
CODE: |
SPXP |
|
|
|
|
FUND: |
Invesco Utilities S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:644.7728 |
|
NUMBER OF SHARES IN ISSUE: |
230,082.00 |
|
CODE: |
XLUP |
|
|
|
|
FUND: |
Invesco JPX-Nikkei 400 UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
JPY:45641.9646 |
|
NUMBER OF SHARES IN ISSUE: |
620,222.00 |
|
CODE: |
N400 |
|
|
|
|
FUND: |
Invesco JPX-Nikkei 400 UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
JPY:45641.9646 |
|
NUMBER OF SHARES IN ISSUE: |
620,222.00 |
|
CODE: |
S400 |
|
|
|
|
FUND: |
Invesco EURO STOXX Optimised Banks UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:227.0483 |
|
NUMBER OF SHARES IN ISSUE: |
727,819.00 |
|
CODE: |
S7XP |
|
|
|
|
FUND: |
Invesco NASDAQ Biotech UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:62.7148 |
|
NUMBER OF SHARES IN ISSUE: |
6,728,048.00 |
|
CODE: |
SBIO |
|
|
|
|
FUND: |
Invesco JPX-Nikkei 400 UCITS ETF USD Hdg Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:56.6764 |
|
NUMBER OF SHARES IN ISSUE: |
239,051.00 |
|
CODE: |
N4US |
|
|
|
|
FUND: |
Invesco MSCI Emerging Markets UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:88.3338 |
|
NUMBER OF SHARES IN ISSUE: |
5,001,131.00 |
|
CODE: |
MXFP |
|
|
|
|
FUND: |
Invesco Real Estate S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:26.9467 |
|
NUMBER OF SHARES IN ISSUE: |
4,981,516.00 |
|
CODE: |
XRES |
|
|
|
|
FUND: |
Invesco MSCI Europe UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:441.6919 |
|
NUMBER OF SHARES IN ISSUE: |
130,682.00 |
|
CODE: |
SMEU |
|
|
|
|
FUND: |
Invesco Bloomberg Commodity UCITS ETF USD |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:31.569 |
|
NUMBER OF SHARES IN ISSUE: |
125,820,072.00 |
|
CODE: |
CMOD |
|
|
|
|
FUND: |
Invesco KBW NASDAQ Fintech UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:49.9652 |
|
NUMBER OF SHARES IN ISSUE: |
815,369.00 |
|
CODE: |
FTEK |
|
|
|
|
FUND: |
Invesco Bloomberg Commodity UCITS ETF USD |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:31.569 |
|
NUMBER OF SHARES IN ISSUE: |
125,820,072.00 |
|
CODE: |
CMOP |
|
|
|
|
FUND: |
Invesco MSCI Europe ex-UK UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
EUR:47.4323 |
|
NUMBER OF SHARES IN ISSUE: |
1,284,343.00 |
|
CODE: |
MXUK |
|
|
|
|
FUND: |
Invesco MSCI Saudi Arabia UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:30.5144 |
|
NUMBER OF SHARES IN ISSUE: |
1,468,975.00 |
|
CODE: |
MSAU |
|
|
|
|
FUND: |
Invesco MSCI Saudi Arabia UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:30.5144 |
|
NUMBER OF SHARES IN ISSUE: |
1,468,975.00 |
|
CODE: |
MSAP |
|
|
|
|
FUND: |
Invesco Communications S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:94.5881 |
|
NUMBER OF SHARES IN ISSUE: |
1,428,882.00 |
|
CODE: |
XLCS |
|
|
|
|
FUND: |
Invesco Communications S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:94.5881 |
|
NUMBER OF SHARES IN ISSUE: |
1,428,882.00 |
|
CODE: |
XLCP |
|
|
|
|
FUND: |
Invesco S&P SmallCap 600 UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:82.3273 |
|
NUMBER OF SHARES IN ISSUE: |
4,426,602.00 |
|
CODE: |
USML |
|
|
|
|
FUND: |
Invesco S&P 500 UCITS ETF Dist |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:68.7085 |
|
NUMBER OF SHARES IN ISSUE: |
151,627,445.00 |
|
CODE: |
SPXD |
|
|
|
|
FUND: |
Invesco MSCI Kuwait UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:73.0888 |
|
NUMBER OF SHARES IN ISSUE: |
55,135.00 |
|
CODE: |
MKUW |
|
|
|
|
FUND: |
Invesco MSCI USA UCITS ETF Dist |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:99.3449 |
|
NUMBER OF SHARES IN ISSUE: |
14,756,524.00 |
|
CODE: |
MXUD |
|
|
|
|
FUND: |
Invesco Real Estate S&P US Select Sector UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:26.9467 |
|
NUMBER OF SHARES IN ISSUE: |
4,981,516.00 |
|
CODE: |
XREP |
|
|
|
|
FUND: |
Invesco S&P 500 Scored & Screened UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:104.1157 |
|
NUMBER OF SHARES IN ISSUE: |
32,763,406.00 |
|
CODE: |
SPXE |
|
|
|
|
FUND: |
Invesco S&P 500 Scored & Screened UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:104.1157 |
|
NUMBER OF SHARES IN ISSUE: |
32,763,406.00 |
|
CODE: |
SPEP |
|
|
|
|
FUND: |
Invesco S&P 500 UCITS ETF GBP Hdg Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
GBP:95.7739 |
|
NUMBER OF SHARES IN ISSUE: |
14,965,945.00 |
|
CODE: |
G500 |
|
|
|
|
FUND: |
Invesco NASDAQ-100 Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:93.0049 |
|
NUMBER OF SHARES IN ISSUE: |
25,263,965.00 |
|
CODE: |
EQQS |
|
|
|
|
FUND: |
Invesco NASDAQ-100 Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:93.0049 |
|
NUMBER OF SHARES IN ISSUE: |
25,263,965.00 |
|
CODE: |
EQSG |
|
|
|
|
FUND: |
Invesco NASDAQ-100 Swap UCITS ETF Dist |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:89.496 |
|
NUMBER OF SHARES IN ISSUE: |
5,334,611.00 |
|
CODE: |
EQQD |
|
|
|
|
FUND: |
Invesco S&P China A 300 Swap UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:7.5425 |
|
NUMBER OF SHARES IN ISSUE: |
2,151,917.00 |
|
CODE: |
C300 |
|
|
|
|
FUND: |
Invesco S&P China A 300 Swap UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:7.5425 |
|
NUMBER OF SHARES IN ISSUE: |
2,151,917.00 |
|
CODE: |
CA3S |
|
|
|
|
FUND: |
Invesco S&P China A MidCap 500 Swap UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:10.2734 |
|
NUMBER OF SHARES IN ISSUE: |
4,577,370.00 |
|
CODE: |
C500 |
|
|
|
|
FUND: |
Invesco S&P China A MidCap 500 Swap UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:10.2734 |
|
NUMBER OF SHARES IN ISSUE: |
4,577,370.00 |
|
CODE: |
CM5S |
|
|
|
|
FUND: |
Invesco Bloomberg Commodity Carbon Tilted UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:7.3862 |
|
NUMBER OF SHARES IN ISSUE: |
9,528,708.00 |
|
CODE: |
CMOC |
|
|
|
|
FUND: |
Invesco Bloomberg Commodity Carbon Tilted UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:7.3862 |
|
NUMBER OF SHARES IN ISSUE: |
9,528,708.00 |
|
CODE: |
CMCG |
|
|
|
|
FUND: |
Invesco S&P 500 Equal Weight Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:5.7373 |
|
NUMBER OF SHARES IN ISSUE: |
196,319,233.00 |
|
CODE: |
SPWS |
|
|
|
|
FUND: |
Invesco S&P 500 Equal Weight Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:5.7373 |
|
NUMBER OF SHARES IN ISSUE: |
196,319,233.00 |
|
CODE: |
RSPB |
|
|
|
|
FUND: |
Invesco NASDAQ Biotech UCITS ETF |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:62.7148 |
|
NUMBER OF SHARES IN ISSUE: |
6,728,048.00 |
|
CODE: |
SBIX |
|
|
|
|
FUND: |
Invesco USD Overnight Return Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:5.2063 |
|
NUMBER OF SHARES IN ISSUE: |
966,535.00 |
|
CODE: |
UONS |
|
|
|
|
FUND: |
Invesco USD Overnight Return Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
USD:5.2063 |
|
NUMBER OF SHARES IN ISSUE: |
966,535.00 |
|
CODE: |
XONS |
|
|
|
|
FUND: |
Invesco GBP Overnight Return Swap UCITS ETF Acc |
|
DEALING DATE: |
17-Jun-26 |
|
NAV PER SHARE: |
GBP:5.191 |
|
NUMBER OF SHARES IN ISSUE: |
1,170,312.00 |
|
CODE: |
GONS |
Net Asset Value(s)09:28:1418 Jun 2026Corporate updates8419I