Schedule of Investments
Invesco 0-5 Yr US TIPS ETF (PBTP)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Treasury Securities-99.74%
U.S. Treasury Inflation — Indexed Bonds-13.36%(a)
2.38%, 01/15/2027
$
1,582,639
$1,605,756
1.75%, 01/15/2028
 
1,448,597
1,471,890
3.63%, 04/15/2028
 
2,010,354
2,125,206
2.50%, 01/15/2029
 
1,279,428
1,333,145
3.88%, 04/15/2029
 
2,285,632
2,482,815
 
 
9,018,812
U.S. Treasury Inflation — Indexed Notes-86.38%(a)
0.13%, 04/15/2026
 
2,961,535
2,959,426
0.13%, 07/15/2026
 
2,994,966
3,002,185
0.13%, 10/15/2026
 
2,728,241
2,726,228
0.38%, 01/15/2027
 
3,051,633
3,038,591
0.13%, 04/15/2027
 
2,716,532
2,689,375
0.38%, 07/15/2027
 
2,932,910
2,924,305
1.63%, 10/15/2027
 
2,629,048
2,670,776
0.50%, 01/15/2028
 
3,056,519
3,032,076
1.25%, 04/15/2028
 
2,593,848
2,607,180
0.75%, 07/15/2028
 
2,833,626
2,828,712
2.38%, 10/15/2028
 
2,671,028
2,775,649
0.88%, 01/15/2029
 
2,788,965
2,775,145
2.13%, 04/15/2029
 
2,726,924
2,812,131
 
Principal
Amount
Value
U.S. Treasury Inflation — Indexed Notes-(continued)
0.25%, 07/15/2029
$
3,026,769
$2,951,531
1.63%, 10/15/2029
 
2,873,099
2,931,525
0.13%, 01/15/2030
 
3,104,602
2,979,413
1.63%, 04/15/2030
 
3,181,671
3,230,625
0.13%, 07/15/2030
 
3,239,056
3,094,994
1.13%, 10/15/2030
 
3,254,962
3,240,521
0.13%, 01/15/2031
 
3,213,629
3,033,130
 
 
58,303,518
Total U.S. Treasury Securities
(Cost $66,738,081)
67,322,330
 
Shares
 
Money Market Funds-0.16%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(b)(c)
(Cost $108,823)
 
108,823
108,823
TOTAL INVESTMENTS IN SECURITIES-99.90%
(Cost $66,846,904)
67,431,153
OTHER ASSETS LESS LIABILITIES-0.10%
67,987
NET ASSETS-100.00%
$67,499,140
Notes to Schedule of Investments:
(a)
Principal amount of security and interest payments are adjusted for inflation.
(b)
Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in
which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in
affiliates for the three months ended January 31, 2026.
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Government & Agency
Portfolio, Institutional Class
$274,943
$869,214
$(1,035,334
)
$-
$-
$108,823
$582
(c)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Schedule of Investments
Invesco Emerging Markets Sovereign Debt ETF (PCY)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-98.34%
Angola-3.08%
Angolan Government International Bond
 
8.75%, 04/14/2032(a)
$
13,631,000
$13,369,795
9.38%, 05/08/2048(a)
 
14,869,000
13,269,378
9.13%, 11/26/2049(a)
 
15,139,000
13,137,100
 
 
39,776,273
Bahrain-2.88%
Bahrain Government International Bond
 
6.00%, 09/19/2044(a)(b)
 
14,343,000
12,322,293
7.50%, 09/20/2047(a)
 
12,287,000
12,261,718
6.25%, 01/25/2051(a)(b)
 
14,584,000
12,579,316
 
 
37,163,327
Brazil-3.03%
Brazilian Government International Bond
 
4.75%, 01/14/2050
 
17,742,000
13,065,209
7.13%, 05/13/2054(b)
 
12,806,000
12,845,571
7.25%, 01/12/2056
 
13,135,000
13,157,986
 
 
39,068,766
Chile-3.03%
Chile Government International Bond
 
4.34%, 03/07/2042
 
14,573,000
12,959,769
4.00%, 01/31/2052
 
16,646,000
13,192,787
5.33%, 01/05/2054
 
13,367,997
12,974,644
 
 
39,127,200
China-3.01%
China Government International Bond
 
4.00%, 10/19/2048(a)(b)
 
13,682,000
13,094,427
2.25%, 10/21/2050(a)(b)
 
18,930,000
12,910,486
2.50%, 10/26/2051(a)(b)
 
18,019,000
12,884,793
 
 
38,889,706
Colombia-3.08%
Colombia Government International Bond
 
5.63%, 02/26/2044
 
16,154,000
13,134,817
8.75%, 11/14/2053(b)
 
12,046,000
13,256,623
8.38%, 11/07/2054
 
12,643,000
13,392,098
 
 
39,783,538
Costa Rica-3.06%
Costa Rica Government International Bond
 
5.63%, 04/30/2043(a)(b)
 
13,876,000
13,288,629
7.00%, 04/04/2044(a)(b)
 
12,056,000
13,136,097
7.16%, 03/12/2045(a)(b)
 
11,944,000
13,096,118
 
 
39,520,844
Dominican Republic-3.03%
Dominican Republic International Bond
 
7.45%, 04/30/2044(a)
 
11,680,000
12,865,520
6.85%, 01/27/2045(a)
 
12,591,000
13,056,867
6.50%, 02/15/2048(a)(b)
 
13,229,000
13,189,313
 
 
39,111,700
Egypt-3.44%
Egypt Government International Bond
 
8.70%, 03/01/2049(a)
 
14,946,000
14,662,273
8.88%, 05/29/2050(a)
 
15,173,000
15,032,748
8.75%, 09/30/2051(a)
 
14,981,000
14,658,741
 
 
44,353,762
 
Principal
Amount
Value
El Salvador-3.12%
El Salvador Government International Bond
 
7.63%, 02/01/2041(a)
$
13,365,000
$13,398,413
7.13%, 01/20/2050(a)
 
14,582,000
13,451,895
9.50%, 07/15/2052(a)
 
11,745,000
13,407,387
 
 
40,257,695
Guatemala-3.19%
Guatemala Government Bond
 
6.55%, 02/06/2037(a)
 
12,750,000
13,595,962
4.65%, 10/07/2041(a)
 
15,889,000
13,752,962
6.88%, 08/15/2055(a)
 
12,921,000
13,825,858
 
 
41,174,782
Hungary-2.92%
Hungary Government International Bond
 
7.63%, 03/29/2041
 
10,868,000
12,661,289
6.75%, 09/25/2052(a)
 
11,647,000
12,405,457
6.75%, 09/23/2055(a)
 
12,060,000
12,557,036
 
 
37,623,782
Indonesia-2.82%
Indonesia Government International Bond
 
3.50%, 02/14/2050
 
17,490,000
12,440,612
4.45%, 04/15/2070
 
15,178,000
11,900,907
3.35%, 03/12/2071
 
19,386,000
11,994,987
 
 
36,336,506
Jordan-3.15%
Jordan Government International Bond
 
7.50%, 01/13/2029(a)
 
12,568,000
13,201,565
5.85%, 07/07/2030(a)
 
13,578,000
13,699,509
7.38%, 10/10/2047(a)
 
13,833,000
13,710,012
 
 
40,611,086
Kazakhstan-2.93%
Kazakhstan Government International
Bond
 
5.50%, 07/01/2037(a)
 
12,629,000
12,847,137
4.88%, 10/14/2044(a)
 
13,661,000
12,366,423
6.50%, 07/21/2045(a)
 
11,538,000
12,546,950
 
 
37,760,510
Mexico-3.02%
Mexico Government International Bond
 
6.34%, 05/04/2053
 
13,689,000
13,012,079
3.75%, 04/19/2071
 
21,787,000
12,882,653
5.75%, 10/12/2110
 
15,720,000
13,100,262
 
 
38,994,994
Morocco-3.05%
Morocco Government International Bond
 
6.50%, 09/08/2033(a)
 
11,946,000
12,879,948
5.50%, 12/11/2042(a)
 
14,092,000
13,340,918
4.00%, 12/15/2050(a)
 
18,464,000
13,186,400
 
 
39,407,266
Nigeria-3.34%
Nigeria Government International Bond
 
7.70%, 02/23/2038(a)
 
14,270,000
14,133,804
7.63%, 11/28/2047(a)
 
15,342,000
14,381,810
9.25%, 01/21/2049(a)(b)
 
13,362,000
14,573,426
 
 
43,089,040
See accompanying notes which are an integral part of this schedule.

Invesco Emerging Markets Sovereign Debt ETF (PCY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Oman-3.06%
Oman Government International Bond
 
6.50%, 03/08/2047(a)
$
12,283,000
$12,995,484
6.75%, 01/17/2048(a)
 
12,323,000
13,325,632
7.00%, 01/25/2051(a)
 
11,802,000
13,189,299
 
 
39,510,415
Pakistan-3.34%
Pakistan Government International Bond
 
7.38%, 04/08/2031(a)
 
20,835,000
21,018,083
8.88%, 04/08/2051(a)
 
22,001,000
22,140,519
 
 
43,158,602
Panama-3.27%
Panama Government International Bond
 
6.40%, 02/14/2035(b)
 
13,325,000
13,969,930
6.88%, 01/31/2036
 
12,993,000
13,994,436
7.88%, 03/01/2057
 
12,339,000
14,247,226
 
 
42,211,592
Peru-2.94%
Peruvian Government International Bond
 
5.88%, 08/08/2054
 
13,021,000
12,806,154
6.20%, 06/30/2055
 
12,112,000
12,402,082
3.60%, 01/15/2072
 
20,190,000
12,781,784
 
 
37,990,020
Philippines-2.93%
Philippine Government International Bond
 
4.20%, 03/29/2047
 
15,085,000
12,440,372
5.95%, 10/13/2047
 
11,899,000
12,343,068
5.90%, 02/04/2050(b)
 
12,476,000
13,001,518
 
 
37,784,958
Qatar-2.96%
Qatar Government International Bond
 
4.63%, 06/02/2046(a)
 
13,958,000
12,737,862
5.10%, 04/23/2048(a)
 
13,137,000
12,805,702
4.82%, 03/14/2049(a)
 
13,635,000
12,637,925
 
 
38,181,489
Romania-3.25%
Romanian Government International Bond
 
5.13%, 06/15/2048(a)
 
16,698,000
14,010,436
4.00%, 02/14/2051(a)
 
19,990,000
13,965,292
7.63%, 01/17/2053(a)
 
12,524,000
13,970,480
 
 
41,946,208
Saudi Arabia-2.94%
Saudi Government International Bond
 
5.75%, 01/16/2054(a)(b)
 
13,177,000
12,794,738
4.50%, 04/22/2060(a)
 
15,782,000
12,396,456
3.45%, 02/02/2061(a)
 
20,201,000
12,702,637
 
 
37,893,831
Serbia-3.06%
Serbia International Bond
 
2.13%, 12/01/2030(a)
 
15,335,000
13,527,373
6.50%, 09/26/2033(a)
 
11,818,000
12,734,432
6.00%, 06/12/2034(a)
 
12,675,000
13,179,757
 
 
39,441,562
South Africa-3.19%
Republic of South Africa Government
International Bond
 
5.75%, 09/30/2049
 
16,350,000
13,490,840
 
Principal
Amount
Value
South Africa-(continued)
7.30%, 04/20/2052
$
13,664,000
$13,501,806
7.95%, 11/19/2054(a)
 
13,400,000
14,103,034
 
 
41,095,680
Trinidad-3.04%
Trinidad & Tobago Government
International Bond
 
4.50%, 06/26/2030(a)
 
13,675,000
13,233,024
5.95%, 01/14/2031(a)
 
12,839,000
13,074,211
6.40%, 06/26/2034(a)(b)
 
12,874,000
12,971,327
 
 
39,278,562
Turkey-3.06%
Turkey Government International Bond
 
4.88%, 04/16/2043
 
17,249,000
13,017,968
6.63%, 02/17/2045
 
14,684,000
13,377,423
5.75%, 05/11/2047
 
16,152,000
13,034,745
 
 
39,430,136
United Arab Emirates-2.97%
Finance Department Government of
Sharjah
 
6.13%, 03/06/2036(a)(b)
 
12,510,000
12,864,864
4.00%, 07/28/2050(a)
 
19,288,000
12,898,593
4.38%, 03/10/2051(a)(b)
 
17,767,000
12,524,630
 
 
38,288,087
Uzbekistan-3.15%
Republic of Uzbekistan International Bond
 
3.70%, 11/25/2030(a)(b)
 
14,692,000
13,766,377
3.90%, 10/19/2031(a)
 
14,791,000
13,765,882
6.90%, 02/28/2032(a)
 
12,152,000
13,089,598
 
 
40,621,857
Total U.S. Dollar Denominated Bonds & Notes
(Cost $1,330,342,915)
1,268,883,776
 
Shares
 
Money Market Funds-0.35%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(c)(d)
(Cost $4,545,794)
 
4,545,794
4,545,794
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-98.69%
(Cost $1,334,888,709)
1,273,429,570
Investments Purchased with Cash Collateral from Securities
on Loan
Money Market Funds-7.87%
Invesco Private Government Fund,
3.65%(c)(d)(e)
 
28,283,454
28,283,454
Invesco Private Prime Fund, 3.80%(c)(d)(e)
 
73,274,707
73,296,689
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $101,580,143)
101,580,143
TOTAL INVESTMENTS IN SECURITIES-106.56%
(Cost $1,436,468,852)
1,375,009,713
OTHER ASSETS LESS LIABILITIES-(6.56)%
(84,630,628
)
NET ASSETS-100.00%
$1,290,379,085
See accompanying notes which are an integral part of this schedule.

Invesco Emerging Markets Sovereign Debt ETF (PCY)—(continued)
January 31, 2026
(Unaudited)
Notes to Schedule of Investments:
(a)
Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be
resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at
January 31, 2026 was $878,502,131, which represented 68.08% of the Fund’s Net Assets.
(b)
All or a portion of this security was out on loan at January 31, 2026.
(c)
Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in
which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in
affiliates for the three months ended January 31, 2026.
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Investments in
Affiliated Money
Market Funds:
Invesco Government &
Agency Portfolio,
Institutional Class
$3,047,458
$23,917,739
$(22,419,403
)
$-
$-
$4,545,794
$37,539
Investments
Purchased with Cash
Collateral from
Securities on Loan:
Invesco Private
Government Fund
22,344,225
97,948,564
(92,009,335
)
-
-
28,283,454
245,661
*
Invesco Private Prime
Fund
58,029,735
107,636,725
(92,369,771
)
805
(805
)
73,296,689
640,487
*
Total
$83,421,418
$229,503,028
$(206,798,509
)
$805
$(805
)
$106,125,937
$923,687
*
Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from
borrowers, if any.
(d)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(e)
The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return
of the securities loaned.
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Schedule of Investments
Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-96.84%
Angola-0.23%
Azule Energy Finance PLC, 8.13%,
01/23/2030(a)
$
450,000
$455,746
Argentina-2.83%
Banco Macro S.A., 8.00%, 06/23/2029(a)
 
200,000
206,500
Pampa Energia S.A., 7.88%, 12/16/2034(a)
 
300,000
305,940
Pluspetrol S.A.
 
8.13%, 05/18/2031(a)
 
207,000
209,846
8.50%, 05/30/2032(a)
 
280,000
288,160
Tecpetrol S A, 7.63%, 11/03/2030(a)
 
310,000
310,636
Telecom Argentina S.A.
 
9.50%, 07/18/2031(a)
 
370,000
395,530
9.25%, 05/28/2033(a)
 
430,000
454,606
Transportadora de Gas del Sur S.A., 7.75%,
11/20/2035(a)
 
210,000
210,888
Vista Energy Argentina S.A.U.
 
8.50%, 06/10/2033(a)
 
390,000
406,575
7.63%, 12/10/2035(a)
 
240,000
240,480
YPF S.A.
 
6.95%, 07/21/2027(a)
 
260,000
262,815
9.00%, 06/30/2029(a)
 
285,942
297,136
9.50%, 01/17/2031(a)
 
410,000
434,944
8.75%, 09/11/2031(a)
 
435,000
450,209
7.00%, 09/30/2033(a)
 
230,000
226,131
8.25%, 01/17/2034(a)
 
719,000
733,778
7.00%, 12/15/2047(a)
 
255,000
228,170
 
 
5,662,344
Australia-1.33%
Fortescue Treasury Pty Ltd.
 
4.50%, 09/15/2027(a)
 
232,000
232,190
4.38%, 04/01/2031(a)
 
420,000
406,182
6.13%, 04/15/2032(a)
 
316,000
329,375
Infrabuild Australia Pty Ltd., 14.50%,
11/15/2028(a)
 
293,000
307,470
Mineral Resources Ltd.
 
8.00%, 11/01/2027(a)
 
293,000
299,904
9.25%, 10/01/2028(a)
 
414,000
435,242
8.50%, 05/01/2030(a)
 
342,000
354,838
7.00%, 04/01/2031(a)
 
289,000
303,986
 
 
2,669,187
Austria-0.17%
ams-OSRAM AG, 12.25%, 03/30/2029(a)
 
320,000
341,623
Azerbaijan-0.18%
State Oil Co. of the Azerbaijan Republic (The),
6.95%, 03/18/2030(a)
 
340,000
367,737
Bahrain-1.10%
Bank of Bahrain and Kuwait B.S.C., 6.88%,
06/06/2029(a)
 
200,000
206,335
Bapco Energies B.S.C. Closed
 
7.50%, 10/25/2027(a)
 
570,000
588,731
8.38%, 11/07/2028(a)
 
200,000
214,936
Bapco Energies Sukuk Ltd.
 
5.25%, 04/08/2029(a)
 
200,000
198,735
6.63%, 05/25/2033(a)(b)
 
400,000
421,823
6.25%, 01/29/2035(a)(b)
 
350,000
360,538
GFH Senior Sukuk Ltd., 7.50%,
11/06/2029(a)
 
200,000
203,033
 
 
2,194,131
 
Principal
Amount
Value
Belgium-0.20%
Telenet Finance Luxembourg Notes S.a.r.l.,
5.50%, 03/01/2028(a)(b)
$
400,000
$399,947
Brazil-11.61%
3R Lux S.a.r.l., 9.75%, 02/05/2031(a)
 
200,000
208,391
Acu Petroleo (Luxembourg) S.a.r.l., 7.50%,
01/13/2032(a)
 
217,058
223,706
Adecoagro S.A., 7.50%, 07/29/2032(a)
 
210,000
205,714
Aegea Finance S.a.r.l.
 
9.00%, 01/20/2031(a)
 
328,000
348,792
7.63%, 01/20/2036(a)
 
315,000
308,045
Amaggi (Luxembourg) International S.a.r.l.,
5.25%, 01/28/2028(a)
 
360,000
358,313
AXIA Energia
 
4.63%, 02/04/2030(a)
 
350,000
339,417
6.50%, 01/11/2035(a)
 
460,000
479,573
B3 S.A. - Brasil, Bolsa, Balcao, 4.13%,
09/20/2031(a)
 
260,000
246,721
Banco Bradesco S.A.
 
4.38%, 03/18/2027(a)
 
220,000
220,204
6.50%, 01/22/2030(a)
 
440,000
462,194
Banco BTG Pactual S.A.
 
6.25%, 04/08/2029(a)
 
170,000
175,756
5.75%, 01/22/2030(a)
 
200,000
203,200
Banco do Brasil S.A.
 
3.25%, 09/30/2026(a)(b)
 
460,000
457,209
4.88%, 01/11/2029(a)
 
220,000
219,479
6.25%, 04/18/2030(a)
 
290,000
301,391
6.00%, 03/18/2031(a)(b)
 
340,000
349,559
Banco Votorantim S.A., 5.88%,
04/08/2028(a)
 
200,000
203,800
Braskem America Finance Co., 7.13%,
07/22/2041(a)
 
235,000
94,078
BRF S.A.
 
4.88%, 01/24/2030(a)
 
260,000
252,456
5.75%, 09/21/2050(a)
 
360,000
298,485
Caixa Economica Federal, 5.63%,
05/13/2030(a)
 
400,000
406,002
Constellation Oil Services Holding S.A., 9.38%,
11/07/2029(a)
 
300,000
313,920
Cosan (Luxembourg) S.A., 5.50%,
09/20/2029(a)
 
180,000
182,813
CSN Inova Ventures, 6.75%, 01/28/2028(a)
 
580,000
555,196
CSN Resources S.A.
 
8.88%, 12/05/2030(a)
 
300,000
289,574
4.63%, 06/10/2031(a)
 
380,000
298,552
5.88%, 04/08/2032(a)
 
220,000
178,894
Eldorado Intl. Finance GmbH, 8.50%,
12/01/2032(a)
 
218,000
226,655
FS Luxembourg S.a.r.l., 8.63%,
06/25/2033(a)
 
210,000
217,268
Gol Finance, Inc., 14.38%, 06/06/2030(a)
 
900,000
932,625
Itau Unibanco Holding S.A., 6.00%,
02/27/2030(a)
 
400,000
417,274
Klabin Austria GmbH
 
5.75%, 04/03/2029(a)
 
330,000
336,666
3.20%, 01/12/2031(a)
 
200,000
181,619
7.00%, 04/03/2049(a)
 
297,000
307,705
LD Celulose International GmbH, 7.95%,
01/26/2032(a)(b)
 
270,000
284,534
MARB BondCo PLC, 3.95%, 01/29/2031(a)(b)
 
505,000
457,508
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Brazil-(continued)
MC Brazil Downstream Trading S.a.r.l., 7.25%,
06/30/2031(a)
$
714,061
$635,114
Minerva (Luxembourg) S.A.
 
4.38%, 03/18/2031(a)(b)
 
438,000
408,535
8.88%, 09/13/2033(a)
 
500,000
546,586
Movida Europe S.A., 7.85%, 04/11/2029(a)
 
200,000
194,093
MV24 Capital B.V., 6.75%, 06/01/2034(a)
 
347,015
351,651
Oceanica Lux S.a.r.l., 13.00%, 10/02/2029(a)
 
300,000
312,000
Petrobras Global Finance B.V.
 
7.38%, 01/17/2027
 
235,000
242,366
6.00%, 01/27/2028
 
398,000
407,515
5.13%, 09/10/2030
 
350,000
346,657
5.60%, 01/03/2031
 
277,000
279,527
6.50%, 07/03/2033
 
340,000
355,206
6.00%, 01/13/2035
 
335,000
333,869
6.25%, 01/10/2036
 
350,000
344,312
6.88%, 01/20/2040
 
268,000
272,936
6.75%, 01/27/2041
 
253,000
254,356
7.25%, 03/17/2044
 
296,000
307,202
5.50%, 06/10/2051(b)
 
211,000
175,361
6.85%, 06/05/2115
 
507,000
481,189
Prio Luxembourg Holding S.a.r.l., 6.75%,
10/15/2030(a)
 
290,000
289,203
Rede D’Or Finance S.a.r.l.
 
4.95%, 01/17/2028(a)
 
220,000
220,474
4.50%, 01/22/2030(a)
 
360,000
351,370
6.45%, 09/09/2035(a)
 
200,000
204,730
Rumo Luxembourg S.a.r.l.
 
5.25%, 01/10/2028(a)
 
220,000
220,142
4.20%, 01/18/2032(a)
 
200,000
184,815
Sabesp Lux S.a.r.l., 5.63%, 08/20/2030(a)
 
210,000
210,788
Samarco Mineracao S.A., 9.00% PIK Rate,
0.50% Cash Rate, 06/30/2031(a)(c)
 
2,011,031
2,020,167
Simpar Europe S.A., 5.20%, 01/26/2031(a)
 
230,000
191,188
Usiminas International S.a.r.l., 7.50%,
01/27/2032(a)
 
200,000
207,725
XP, Inc., 6.75%, 07/02/2029(a)
 
220,000
228,325
Yinson Bergenia Production B.V., 8.50%,
01/31/2045(a)
 
480,000
522,285
Yinson Boronia Production B.V., 8.95%,
07/31/2042(a)
 
539,600
599,989
 
 
23,242,964
Cameroon-0.10%
Golar LNG Ltd., 7.50%, 10/02/2030(a)
 
200,000
200,311
Canada-10.83%
1011778 BC ULC/New Red Finance, Inc.
 
3.88%, 01/15/2028(a)
 
703,000
692,909
4.38%, 01/15/2028(a)
 
317,000
315,320
3.50%, 02/15/2029(a)
 
387,000
373,213
6.13%, 06/15/2029(a)
 
500,000
512,949
5.63%, 09/15/2029(a)
 
225,000
229,089
4.00%, 10/15/2030(a)
 
1,262,000
1,204,846
Air Canada, 3.88%, 08/15/2026(a)
 
563,000
561,192
Algonquin Power & Utilities Corp., 4.75%,
01/18/2082(b)(d)
 
292,000
290,064
AltaGas Ltd., 7.20%, 10/15/2054(a)(d)
 
366,000
380,845
Baffinland Iron Mines Corp./Baffinland Iron
Mines L.P., 8.75%, 07/15/2026(a)
 
220,000
191,682
 
Principal
Amount
Value
Canada-(continued)
Bell Canada
 
6.88%, 09/15/2055(d)
$
410,000
$425,056
7.00%, 09/15/2055(d)
 
613,000
643,147
Bombardier, Inc.
 
6.00%, 02/15/2028(a)
 
195,000
195,414
7.50%, 02/01/2029(a)
 
337,000
350,274
8.75%, 11/15/2030(a)
 
310,000
332,604
7.25%, 07/01/2031(a)
 
350,000
372,020
7.00%, 06/01/2032(a)
 
305,000
320,545
6.75%, 06/15/2033(a)
 
320,000
336,525
7.45%, 05/01/2034(a)
 
209,000
234,235
Brookfield Residential Properties,
Inc./Brookfield Residential U.S. LLC
 
6.25%, 09/15/2027(a)
 
240,000
240,174
4.88%, 02/15/2030(a)
 
190,000
177,536
Capstone Copper Corp., 6.75%,
03/31/2033(a)
 
240,000
248,833
Champion Iron Canada, Inc., 7.88%,
07/15/2032(a)
 
210,000
224,790
Dye & Durham Ltd., 8.63%, 04/15/2029(a)
 
228,000
205,283
Emera, Inc., Series 16-A, 6.75%,
06/15/2076(d)
 
570,000
574,165
Garda World Security Corp.
 
6.00%, 06/01/2029(a)
 
200,000
196,946
6.50%, 01/15/2031(a)
 
275,000
282,070
8.25%, 08/01/2032(a)
 
300,000
306,735
8.38%, 11/15/2032(a)
 
500,000
513,708
goeasy Ltd.
 
9.25%, 12/01/2028(a)
 
224,000
230,467
7.63%, 07/01/2029(a)
 
300,000
297,291
Great Canadian Gaming Corp., 8.75%,
11/15/2029(a)
 
300,000
305,254
Hudbay Minerals, Inc., 6.13%, 04/01/2029(a)
 
232,000
234,307
Ivanhoe Mines Ltd., 7.88%, 01/23/2030(a)
 
400,000
417,069
Jones Deslauriers Insurance Management,
Inc., 8.50%, 03/15/2030(a)
 
376,000
393,376
Kronos Acquisition Holdings, Inc., 8.25%,
06/30/2031(a)
 
300,000
211,875
Mattamy Group Corp., 4.63%, 03/01/2030(a)
 
230,000
224,771
Methanex Corp.
 
5.13%, 10/15/2027
 
305,000
306,014
5.25%, 12/15/2029(b)
 
295,000
296,848
New Flyer Holdings, Inc., 9.25%,
07/01/2030(a)
 
244,000
263,049
Northriver Midstream Finance L.P., 6.75%,
07/15/2032(a)
 
250,000
254,533
NOVA Chemicals Corp.
 
5.25%, 06/01/2027(a)
 
507,000
509,635
4.25%, 05/15/2029(a)
 
220,000
214,705
9.00%, 02/15/2030(a)
 
275,000
293,612
Open Text Corp.
 
3.88%, 02/15/2028(a)
 
400,000
387,483
3.88%, 12/01/2029(a)
 
391,000
363,141
Open Text Holdings, Inc.
 
4.13%, 02/15/2030(a)
 
452,000
420,290
4.13%, 12/01/2031(a)
 
253,000
227,515
RB Global Holdings, Inc.
 
6.75%, 03/15/2028(a)(b)
 
210,000
214,165
7.75%, 03/15/2031(a)
 
408,000
425,804
Rogers Communications, Inc.
 
7.00%, 04/15/2055(b)(d)
 
450,000
466,975
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Canada-(continued)
7.13%, 04/15/2055(b)(d)
$
410,000
$430,122
5.25%, 03/15/2082(a)(d)
 
302,000
301,849
Saturn Oil & Gas, Inc., 9.63%, 06/15/2029(a)
 
218,000
223,183
South Bow Canadian Infrastructure Holdings
Ltd., 7.50%, 03/01/2055(d)
 
450,000
475,973
Superior Plus L.P./Superior General Partner,
Inc., 4.50%, 03/15/2029(a)
 
230,000
224,840
Taseko Mines Ltd., 8.25%, 05/01/2030(a)
 
200,000
212,538
TELUS Corp.
 
6.63%, 10/15/2055(b)(d)
 
290,000
296,729
7.00%, 10/15/2055(b)(d)
 
330,000
345,291
6.38%, 06/09/2056(d)
 
350,000
353,743
6.63%, 06/09/2056(d)
 
330,000
331,582
Toucan FinCo Ltd./Toucan FinCo Can,
Inc./Toucan FinCo US LLC, 9.50%,
05/15/2030(a)(b)
 
400,000
386,391
Wrangler Holdco Corp., 6.63%,
04/01/2032(a)
 
200,000
208,248
 
 
21,680,837
Cayman Islands-0.24%
Global Aircraft Leasing Co. Ltd., 8.75%,
09/01/2027(a)(b)
 
463,000
479,844
Chile-1.04%
AES Andes S.A., 8.15%, 06/10/2055(a)(d)
 
200,000
212,982
Agrosuper S.A., 4.60%, 01/20/2032(a)
 
220,000
211,286
Falabella S.A., 3.38%, 01/15/2032(a)
 
290,000
261,615
Inversiones CMPC S.A., 6.70%,
12/09/2057(a)(d)
 
250,000
253,125
LATAM Airlines Group S.A.
 
7.88%, 04/15/2030(a)
 
600,000
630,258
7.63%, 01/07/2031(a)
 
300,000
315,375
Telefonica Moviles Chile S.A., 3.54%,
11/18/2031(a)
 
280,000
199,992
 
 
2,084,633
China-2.44%
CFAMC III Co. Ltd.
 
4.75%, 04/27/2027(a)
 
300,000
301,429
4.25%, 11/07/2027(a)
 
500,000
498,536
CFAMC IV Co. Ltd., 4.50%, 05/29/2029(a)
 
200,000
199,493
Fortune Star (BVI) Ltd.
 
5.05%, 01/27/2027(a)
 
220,000
216,251
8.50%, 05/19/2028(a)
 
200,000
206,993
Franshion Brilliant Ltd.
 
4.25%, 07/23/2029(a)
 
200,000
185,258
6.00%(a)(d)(e)
 
220,000
219,930
Greentown China Holdings Ltd., 8.45%,
02/24/2028(a)
 
200,000
204,867
Industrial and Commercial Bank of China Ltd.,
3.20%(a)(d)(e)
 
2,682,000
2,665,826
Longfor Group Holdings Ltd., 4.50%,
01/16/2028(a)
 
200,000
185,735
 
 
4,884,318
Colombia-4.09%
AI Candelaria (Spain) S.A., 5.75%,
06/15/2033(a)
 
295,000
263,879
Banco Davivienda S.A., 8.13%,
07/02/2035(a)(d)
 
200,000
209,000
Banco de Bogota S.A., 6.25%, 05/12/2026(a)
 
490,000
492,760
 
Principal
Amount
Value
Colombia-(continued)
Colombia Telecomunicaciones S.A. E.S.P.,
4.95%, 07/17/2030(a)
$
207,000
$193,796
Ecopetrol S.A.
 
8.63%, 01/19/2029
 
339,000
363,392
6.88%, 04/29/2030
 
591,000
597,897
4.63%, 11/02/2031
 
410,000
368,689
7.75%, 02/01/2032
 
480,000
493,187
8.88%, 01/13/2033
 
660,000
709,824
8.38%, 01/19/2036
 
550,000
569,386
7.38%, 09/18/2043
 
208,000
191,623
5.88%, 05/28/2045
 
570,000
431,100
5.88%, 11/02/2051(b)
 
230,000
166,210
Empresas Publicas de Medellin E.S.P.
 
4.25%, 07/18/2029(a)
 
400,000
376,875
4.38%, 02/15/2031(a)(b)
 
260,000
236,914
EnfraGen Energia Sur S.A./EnfraGen Spain
S.A./Prime Energia S.p.A., 5.38%,
12/30/2030(a)
 
295,000
275,434
Gran Tierra Energy, Inc., 9.50%,
10/15/2029(a)
 
300,000
239,997
Grupo Aval Ltd., 4.38%, 02/04/2030(a)
 
450,000
423,430
Grupo Nutresa S.A.
 
8.00%, 05/12/2030(a)
 
600,000
639,885
9.00%, 05/12/2035(a)
 
600,000
670,500
SierraCol Energy Andina LLC/SierraCol Energy
Arauca/Colombia Energy Development,
9.00%, 11/14/2030(a)
 
270,000
270,446
 
 
8,184,224
Costa Rica-0.11%
Instituto Costarricense de Electricidad, 6.38%,
05/15/2043(a)
 
220,000
219,087
Czech Republic-0.21%
Czechoslovak Group A.S., 6.50%,
01/10/2031(a)
 
400,000
417,880
Denmark-0.58%
GENMAB A/S/GENMAB FINANCE LLC, 7.25%,
12/15/2033(a)
 
1,100,000
1,164,960
Dominican Republic-0.10%
Aeropuertos Dominicanos Siglo XXI S.A.,
7.00%, 06/30/2034(a)
 
200,000
209,955
Finland-0.18%
Amer Sports Co., 6.75%, 02/16/2031(a)
 
340,000
354,404
France-2.87%
Altice France S.A.
 
9.50%, 11/01/2029(a)
 
657,221
674,862
6.88%, 10/15/2030(a)
 
345,338
339,793
6.50%, 04/15/2032(a)
 
826,401
807,646
6.88%, 07/15/2032(a)
 
677,433
661,902
Calderys Financing LLC, 11.25%,
06/01/2028(a)
 
310,000
323,380
Electricite de France S.A., 9.13%(a)(d)(e)
 
670,000
793,391
Forvia SE
 
8.00%, 06/15/2030(a)
 
200,000
213,620
6.75%, 09/15/2033(a)
 
200,000
205,210
Iliad Holding S.A.S.U.
 
7.00%, 10/15/2028(a)
 
350,000
354,282
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
France-(continued)
8.50%, 04/15/2031(a)
$
420,000
$450,007
7.00%, 04/15/2032(a)
 
350,000
359,173
Opal Bidco SAS, 6.50%, 03/31/2032(a)
 
550,000
561,584
 
 
5,744,850
Georgia-0.10%
Georgian Railway JSC, 4.00%, 06/17/2028(a)
 
220,000
210,555
Germany-1.68%
Cerdia Finanz GmbH, 9.38%, 10/03/2031(a)
 
350,000
357,777
IHO Verwaltungs GmbH, 7.75% PIK Rate,
8.50% Cash Rate, 11/15/2030(a)(c)
 
200,000
210,419
Mercer International, Inc., 5.13%,
02/01/2029
 
339,000
209,768
TK Elevator U.S. Newco, Inc., 5.25%,
07/15/2027(a)
 
650,000
651,200
ZF North America Capital, Inc.
 
6.88%, 04/14/2028(a)
 
331,000
341,954
7.13%, 04/14/2030(a)
 
270,000
276,553
6.75%, 04/23/2030(a)
 
365,000
366,219
7.50%, 03/24/2031(a)
 
650,000
666,626
6.88%, 04/23/2032(a)
 
280,000
279,384
 
 
3,359,900
Ghana-0.28%
Kosmos Energy Ltd., 8.75%, 10/01/2031(a)
 
200,000
126,360
Tullow Oil PLC, 10.25%, 05/15/2026(a)
 
550,000
426,250
 
 
552,610
Greece-0.10%
Danaos Corp., 6.88%, 10/15/2032(a)
 
200,000
206,706
Guatemala-0.74%
Central American Bottling Corp./CBC Bottling
Holdco S.L./Beliv Holdco S.L., 5.25%,
04/27/2029(a)
 
459,000
456,931
CT Trust, 5.13%, 02/03/2032(a)
 
300,000
286,348
Energuate Trust 2.0, 6.35%, 09/15/2035(a)
 
255,000
255,036
Investment Energy Resources Ltd., 6.25%,
04/26/2029(a)
 
290,000
292,144
Mobiliare Latam S.A. / Mobiliare Latam Mexico
S.A. de CV, 6.75%, 11/10/2032(a)
 
200,000
198,255
 
 
1,488,714
Hong Kong-1.46%
China CITIC Bank International Ltd.
 
3.25%(a)(d)(e)
 
270,000
269,204
4.80%(a)(d)(e)
 
270,000
272,304
Melco Resorts Finance Ltd.
 
5.63%, 07/17/2027(a)
 
270,000
270,297
5.75%, 07/21/2028(a)
 
380,000
380,303
5.38%, 12/04/2029(a)
 
490,000
485,386
7.63%, 04/17/2032(a)
 
450,000
472,266
6.50%, 09/24/2033(a)
 
200,000
199,707
Nanyang Commercial Bank Ltd., 6.50%(a)(d)(e)
 
290,000
297,486
Seaspan Corp., 5.50%, 08/01/2029(a)
 
287,000
273,214
 
 
2,920,167
Hungary-0.34%
OTP Bank Nyrt.
 
8.75%, 05/15/2033(a)(d)
 
240,000
256,127
7.30%, 07/30/2035(a)(d)
 
400,000
421,490
 
 
677,617
 
Principal
Amount
Value
India-3.31%
Biocon Biologics Global PLC, 6.67%,
10/09/2029(a)
$
370,000
$375,960
Continuum Green Energy India Pvt./Co-
Issuers, 7.50%, 06/26/2033(a)
 
206,965
217,076
Delhi International Airport Ltd.
 
6.13%, 10/31/2026(a)
 
200,000
201,663
6.45%, 06/04/2029(a)
 
220,000
229,985
Diamond II Ltd., 7.95%, 07/28/2026(a)
 
200,000
200,163
Greenko Power II Ltd., 4.30%, 12/13/2028(a)
 
304,000
291,441
Greenko Wind Projects (Mauritius) Ltd.,
7.25%, 09/27/2028(a)
 
400,000
409,183
IRB Infrastructure Developers Ltd., 7.11%,
03/11/2032(a)
 
400,000
418,035
JSW Steel Ltd.
 
3.95%, 04/05/2027(a)
 
206,000
204,575
5.05%, 04/05/2032(a)
 
220,000
219,751
Muthoot Finance Ltd.
 
7.13%, 02/14/2028(a)
 
260,000
266,464
6.38%, 04/23/2029(a)
 
250,000
255,971
6.38%, 03/02/2030(a)
 
315,000
323,359
Periama Holdings LLC, 5.95%, 04/19/2026(a)
 
340,000
341,094
ReNew Wind Energy AP2/ReNew Power Pvt
Ltd. other 9 Subsidiaries, 4.50%,
07/14/2028(a)
 
260,000
251,382
Shriram Finance Ltd.
 
6.63%, 04/22/2027(a)
 
400,000
408,956
6.15%, 04/03/2028(a)
 
200,000
206,096
UPL Corp. Ltd., 4.63%, 06/16/2030(a)
 
200,000
191,166
Vedanta Resources Finance II PLC
 
10.88%, 09/17/2029(a)
 
500,000
535,879
9.48%, 07/24/2030(a)
 
200,000
211,133
11.25%, 12/03/2031(a)
 
200,000
221,817
9.13%, 10/15/2032(a)
 
200,000
209,657
9.85%, 04/24/2033(a)
 
400,000
431,431
 
 
6,622,237
Indonesia-0.22%
Nickel Industries Ltd., 9.00%, 09/30/2030(a)
 
426,000
447,581
Israel-2.58%
Energean Israel Finance Ltd.
 
5.38%, 03/30/2028(a)
 
220,000
217,951
5.88%, 03/30/2031(a)(b)
 
320,000
311,254
8.50%, 09/30/2033(a)(b)
 
380,000
407,503
Leviathan Bond Ltd.
 
6.50%, 06/30/2027(a)
 
210,000
212,329
6.75%, 06/30/2030(a)
 
299,000
307,036
Teva Pharmaceutical Finance Co. LLC, 6.15%,
02/01/2036
 
320,000
336,917
Teva Pharmaceutical Finance Netherlands III
B.V.
 
3.15%, 10/01/2026(b)
 
745,000
739,457
4.75%, 05/09/2027
 
285,000
285,218
6.75%, 03/01/2028
 
520,000
540,301
5.13%, 05/09/2029(b)
 
420,000
424,263
8.13%, 09/15/2031
 
188,000
215,898
4.10%, 10/01/2046
 
871,000
667,010
Teva Pharmaceutical Finance Netherlands IV
B.V., 5.75%, 12/01/2030
 
280,000
290,129
Teva Pharmaceuticals Finance Netherlands
B.V., 6.00%, 12/01/2032
 
200,000
209,507
 
 
5,164,773
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Italy-0.94%
Efesto Bidco S.p.A. Efesto US LLC, Series XR,
7.50%, 02/15/2032(a)
$
410,000
$419,219
FiberCop S.p.A.
 
6.38%, 11/15/2033(a)
 
200,000
203,052
6.00%, 09/30/2034(a)
 
200,000
195,218
7.20%, 07/18/2036(a)
 
200,000
202,864
7.72%, 06/04/2038(a)
 
200,000
205,919
Kedrion S.p.A., 6.50%, 09/01/2029(a)
 
400,000
395,128
Telecom Italia Capital S.A., 7.20%,
07/18/2036(b)
 
236,000
256,094
 
 
1,877,494
Ivory Coast-0.10%
Endeavour Mining PLC, 7.00%,
05/28/2030(a)
 
200,000
206,725
Jamaica-0.44%
Digicel International Finance Ltd./Difl US LLC,
8.63%, 08/01/2032(a)
 
840,000
873,929
Japan-5.59%
Kioxia Holdings Corp.
 
6.25%, 07/24/2030(a)
 
467,000
482,860
6.63%, 07/24/2033(a)
 
467,000
488,065
Nissan Motor Co. Ltd.
 
4.35%, 09/17/2027(a)
 
1,070,000
1,059,312
7.50%, 07/17/2030(a)
 
400,000
420,349
4.81%, 09/17/2030(a)(b)
 
1,070,000
1,011,091
7.75%, 07/17/2032(a)(b)
 
280,000
295,758
8.13%, 07/17/2035(a)
 
530,000
566,476
Rakuten Group, Inc.
 
11.25%, 02/15/2027(a)
 
750,000
799,618
9.75%, 04/15/2029(a)(b)
 
875,000
981,097
5.13%(a)(d)(e)
 
320,000
319,802
6.25%(a)(d)(e)
 
430,000
416,129
8.13%(a)(d)(e)
 
200,000
207,363
SoftBank Group Corp.
 
4.00%, 07/06/2026(a)
 
300,000
298,247
5.13%, 09/19/2027(a)
 
550,000
546,326
4.63%, 07/06/2028(a)(b)
 
360,000
352,475
6.50%, 04/10/2029(a)
 
200,000
200,650
6.88%, 01/10/2031(a)
 
200,000
199,133
5.25%, 07/06/2031(a)(b)
 
610,000
588,354
7.00%, 07/08/2031(a)
 
200,000
203,426
7.25%, 07/10/2032(a)
 
250,000
251,569
7.50%, 07/10/2035(a)
 
210,000
218,309
7.63%, 04/29/2061(a)(d)
 
400,000
372,435
8.25%, 10/29/2065(a)(d)
 
370,000
344,955
6.88%(a)(b)(d)(e)
 
590,000
577,277
 
 
11,201,076
Jersey-0.20%
Aston Martin Capital Holdings Ltd., 10.00%,
03/31/2029(a)
 
450,000
401,976
Luxembourg-1.30%
Albion Financing 1 S.a.r.l./Aggreko Holdings,
Inc., 7.00%, 05/21/2030(a)
 
580,000
604,869
Altice Financing S.A.
 
5.00%, 01/15/2028(a)
 
510,000
370,723
5.75%, 08/15/2029(a)
 
820,000
590,748
Altice France Lux 3/Altice Holdings 1,
10.00%, 01/15/2033(a)
 
394,000
381,039
INEOS Finance PLC, 7.50%, 04/15/2029(a)
 
300,000
251,521
 
Principal
Amount
Value
Luxembourg-(continued)
Maxam Prill S.a.r.l., 7.75%, 07/15/2030(a)
$
210,000
$218,897
SES Americom Inc., 5.30%, 03/25/2044(a)
 
222,000
178,660
 
 
2,596,457
Macau-1.83%
Champion Path Holdings Ltd., 4.85%,
01/27/2028(a)
 
220,000
214,201
MGM China Holdings Ltd.
 
5.88%, 05/15/2026(a)
 
340,000
340,275
4.75%, 02/01/2027(a)
 
340,000
338,780
7.13%, 06/26/2031(a)
 
200,000
212,463
Studio City Finance Ltd.
 
6.50%, 01/15/2028(a)
 
220,000
220,262
5.00%, 01/15/2029(a)
 
483,000
468,351
Wynn Macau Ltd.
 
5.50%, 10/01/2027(a)
 
318,000
318,133
5.63%, 08/26/2028(a)
 
570,000
569,345
5.13%, 12/15/2029(a)(b)
 
428,000
426,212
6.75%, 02/15/2034(a)
 
550,000
557,985
 
 
3,666,007
Mauritius Island-0.13%
Axian Telecom Holding and Management Ltd.,
7.25%, 07/11/2030(a)
 
250,000
253,641
Mexico-3.62%
Borr IHC Ltd./Borr Finance LLC
 
10.00%, 11/15/2028(a)
 
467,317
480,335
10.38%, 11/15/2030(a)
 
360,437
368,953
CEMEX S.A.B. de C.V.
 
5.13%(a)(d)(e)
 
450,000
449,549
7.20%(a)(d)(e)
 
420,000
440,895
Grupo Aeromexico S.A.B. de C.V., 8.63%,
11/15/2031(a)
 
200,000
207,000
Grupo Aeromexico, S.A.B. De C.V., 8.25%,
11/15/2029(a)
 
200,000
206,000
Nemak S.A.B. de C.V., 3.63%, 06/28/2031(a)
 
220,000
191,672
Petroleos Mexicanos
 
6.50%, 03/13/2027
 
100,000
101,888
5.35%, 02/12/2028
 
50,000
50,448
6.50%, 01/23/2029
 
80,000
81,594
8.75%, 06/02/2029
 
225,000
241,724
6.84%, 01/23/2030
 
260,000
266,853
5.95%, 01/28/2031
 
310,000
302,615
6.70%, 02/16/2032
 
610,000
609,396
10.00%, 02/07/2033
 
160,000
186,624
6.63%, 06/15/2035
 
245,000
233,595
6.50%, 06/02/2041
 
120,000
104,706
5.50%, 06/27/2044
 
50,000
38,298
6.38%, 01/23/2045
 
94,000
76,517
5.63%, 01/23/2046
 
40,000
30,319
6.75%, 09/21/2047
 
468,000
386,227
6.35%, 02/12/2048
 
120,000
95,241
7.69%, 01/23/2050
 
790,000
711,277
6.95%, 01/28/2060
 
330,000
268,995
Saavi Energia S.a.r.l., 8.88%, 02/10/2035(a)
 
590,000
639,501
Total Play Telecomunicaciones S.A. de C.V.,
11.13%, 12/31/2032(a)
 
500,000
481,250
 
 
7,251,472
Moldova-0.10%
Aragvi Finance International DAC, 11.13%,
11/20/2029(a)
 
200,000
203,672
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Morocco-0.41%
OCP S.A.
 
3.75%, 06/23/2031(a)
$
340,000
$317,049
6.88%, 04/25/2044(a)
 
220,000
227,700
5.13%, 06/23/2051(a)
 
340,000
276,228
 
 
820,977
Netherlands-1.36%
Sunrise FinCo I B.V., 4.88%, 07/15/2031,
(Acquired 08/25/2023 - 07/31/2025;
Cost $463,080)(a)(b)(f)
 
520,000
498,672
Trivium Packaging Finance B.V.
 
8.25%, 07/15/2030(a)
 
257,000
274,395
12.25%, 01/15/2031(a)
 
260,000
284,706
VZ Secured Financing B.V.
 
5.00%, 01/15/2032(a)(b)
 
671,000
606,324
7.50%, 01/15/2033(a)
 
480,000
481,794
Ziggo B.V., 4.88%, 01/15/2030(a)
 
416,000
393,028
Ziggo Bond Co. B.V., 5.13%, 02/28/2030(a)
 
209,000
183,800
 
 
2,722,719
Nigeria-0.74%
Access Bank PLC, 6.13%, 09/21/2026(a)(b)
 
229,000
228,443
IHS Holding Ltd.
 
6.25%, 11/29/2028(a)
 
420,000
418,616
7.88%, 05/29/2030(a)
 
350,000
361,103
8.25%, 11/29/2031(a)
 
200,000
209,041
Seplat Energy PLC, 9.13%, 03/21/2030(a)
 
250,000
262,949
 
 
1,480,152
Norway-0.41%
Odfjell Rig III Ltd., 7.25%, 03/08/2031(a)
 
284,000
292,602
Seadrill Finance Ltd., 8.38%, 08/01/2030(a)
 
200,000
209,681
TGS ASA, 8.50%, 01/15/2030(a)
 
300,000
316,685
 
 
818,968
Oman-1.10%
AL Jawaher Assets Co. Spc, 4.66%,
10/29/2030(a)
 
200,000
197,634
Mazoon Assets Co. SAOC
 
5.20%, 11/08/2027(a)
 
220,000
221,840
5.50%, 02/14/2029(a)
 
200,000
204,808
5.25%, 10/09/2031(a)
 
400,000
407,124
OmGrid Funding Ltd., 5.20%, 05/16/2027(a)
 
220,000
221,277
OQ SAOC, 5.13%, 05/06/2028(a)
 
140,000
141,157
Oryx Funding Ltd., 5.80%, 02/03/2031(a)
 
270,000
278,176
OTEL Sukuk Ltd., 5.38%, 01/24/2031(a)
 
200,000
204,106
Oztel Holdings SPC Ltd., 6.63%,
04/24/2028(a)
 
310,000
322,759
 
 
2,198,881
Pakistan-0.11%
Pakistan Water & Power Development
Authority, 7.50%, 06/04/2031(a)
 
235,000
230,234
Panama-0.81%
AES Panama Generation Holdings S.R.L.,
4.38%, 05/31/2030(a)
 
579,709
546,573
C&W Senior Finance Ltd., 9.00%,
01/15/2033(a)
 
250,000
260,321
Empresa de Transmision Electrica S.A.,
5.13%, 05/02/2049(a)
 
245,000
190,204
 
Principal
Amount
Value
Panama-(continued)
Sable International Finance Ltd., 7.13%,
10/15/2032(a)
$
421,000
$426,058
Telecomunicaciones Digitales S.A., 4.50%,
01/30/2030(a)
 
220,000
209,726
 
 
1,632,882
Peru-1.02%
Compania de Minas Buenaventura S.A.A.,
6.80%, 02/04/2032(a)
 
250,000
260,819
Minsur S.A., 4.50%, 10/28/2031(a)
 
200,000
192,339
Peru LNG S.r.l., 5.38%, 03/22/2030(a)
 
315,042
307,812
Petroleos del Peru S.A.
 
4.75%, 06/19/2032(a)
 
490,000
370,332
5.63%, 06/19/2047(a)
 
900,000
604,913
Volcan Compania Minera S.A.A., 8.50%,
10/28/2032(a)
 
300,000
310,995
 
 
2,047,210
Poland-0.19%
Canpack S.A./Canpack US LLC, 3.88%,
11/15/2029(a)
 
400,000
382,827
Puerto Rico-0.31%
LCPR Senior Secured Financing DAC
 
6.75%, 10/15/2027(a)
 
535,000
373,663
5.13%, 07/15/2029(a)
 
370,000
247,261
 
 
620,924
Russia-0.01%
O1 Properties Finance PLC, 0.50% PIK Rate,
7.75% Cash Rate, 09/27/2028(a)(g)
 
500,000
19,664
Saudi Arabia-0.53%
Arabian Centres Sukuk III Ltd., 9.50%,
03/06/2029(a)
 
200,000
208,372
Arabian Centres Sukuk IV Ltd., 8.88%,
12/04/2030(a)
 
218,000
223,960
Dar Al-Arkan Sukuk Co. Ltd.
 
8.00%, 02/25/2029(a)(b)
 
300,000
314,569
7.25%, 07/02/2030(a)
 
300,000
306,922
 
 
1,053,823
Serbia-0.15%
Telecommunications Co. Telekom Srbija AD
Belgrade, 7.00%, 10/28/2029(a)
 
300,000
301,973
Singapore-0.10%
Puma International Financing S.A., 7.75%,
04/25/2029(a)
 
200,000
207,472
South Africa-1.59%
Bidvest Group (UK) PLC (The), 6.20%,
09/17/2032(a)
 
210,000
214,304
Eskom Holdings, 8.45%, 08/10/2028(a)
 
220,000
235,998
Liquid Telecommunications Financing PLC,
5.50%, 09/04/2026(a)
 
280,000
268,274
MTN (Mauritius) Investments Ltd., 6.50%,
10/13/2026(a)
 
220,000
222,475
Sasol Financing USA LLC
 
4.38%, 09/18/2026
 
190,000
188,866
6.50%, 09/27/2028
 
300,000
300,170
8.75%, 05/03/2029(a)(b)
 
500,000
513,925
5.50%, 03/18/2031
 
337,000
297,499
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
South Africa-(continued)
Stillwater Mining Co.
 
4.00%, 11/16/2026(a)
$
260,000
$258,905
4.50%, 11/16/2029(a)
 
227,000
218,636
Transnet, 8.25%, 02/06/2028(a)
 
450,000
475,078
 
 
3,194,130
Spain-0.14%
Grifols S.A., 4.75%, 10/15/2028(a)
 
288,000
283,893
Sweden-0.18%
Stena International S.A., 7.25%,
01/15/2031(a)
 
350,000
359,860
Switzerland-0.59%
Consolidated Energy Finance S.A.
 
5.63%, 10/15/2028(a)
 
190,000
156,988
12.00%, 02/15/2031(a)
 
250,000
210,287
VistaJet Malta Finance PLC/Vista
Management Holding, Inc.
 
7.88%, 05/01/2027(a)
 
195,000
195,432
9.50%, 06/01/2028(a)
 
200,000
208,209
6.38%, 02/01/2030(a)
 
430,000
408,337
 
 
1,179,253
Tanzania-0.18%
HTA Group Ltd., 7.50%, 06/04/2029(a)
 
350,000
362,021
Thailand-0.67%
Bangkok Bank PCL, 3.73%, 09/25/2034(a)(d)
 
540,000
515,696
GC Treasury Center Co. Ltd.
 
6.50%(a)(d)(e)
 
252,000
254,731
7.13%(a)(d)(e)
 
210,000
215,672
Kasikornbank PCL, 3.34%, 10/02/2031(a)(d)
 
360,000
356,061
 
 
1,342,160
Togo-0.11%
Ecobank Transnational, Inc., 10.13%,
10/15/2029(a)
 
200,000
216,015
Trinidad-0.23%
Heritage Petroleum Co. Ltd., 9.00%,
08/12/2029(a)
 
220,000
226,347
Trinidad Generation Unlimited, 7.75%,
06/16/2033(a)
 
230,000
241,047
 
 
467,394
Turkey-7.19%
Akbank T.A.S.
 
6.80%, 02/06/2026(a)
 
200,000
200,223
7.50%, 01/20/2030(a)
 
200,000
211,370
6.80%, 06/22/2031(a)(d)
 
240,000
240,803
Akbank Turk A.S., 7.88%, 09/04/2035(a)(d)
 
200,000
205,653
Anadolu Efes Biracilik ve Malt Sanayii A.S.,
3.38%, 06/29/2028(a)
 
220,000
206,703
Aydem Yenilenebilir Enerji A.S., 9.88%,
09/30/2030(a)
 
200,000
200,892
Eldorado Gold Corp., 6.25%, 09/01/2029(a)
 
195,000
196,133
Eregli Demir ve Celik Fabrikalari T.A.S., 8.38%,
07/23/2029(a)
 
525,000
555,931
Ford Otomotiv Sanayi A.S., 7.13%,
04/25/2029(a)
 
200,000
207,848
GDZ Elektrik Dagitim AS, 9.00%,
10/15/2029(a)
 
200,000
200,396
Limak Cimento Sanayi ve Ticaret A.S., 9.75%,
07/25/2029(a)
 
400,000
408,463
 
Principal
Amount
Value
Turkey-(continued)
Limak Yenilenebilir Enerji AS, 9.63%,
08/12/2030(a)
$
200,000
$198,837
Mersin Uluslararasi Liman Isletmeciligi A.S.,
8.25%, 11/15/2028(a)
 
200,000
208,696
Pegasus Hava Tasimaciligi A.S., 8.00%,
09/11/2031(a)
 
200,000
211,330
QNB Bank A.S., 7.25%, 05/21/2029(a)
 
200,000
210,667
Sisecam UK PLC
 
8.25%, 05/02/2029(a)
 
400,000
412,610
8.63%, 05/02/2032(a)
 
275,000
285,060
T.C. Ziraat Bankasi A.S.
 
5.38%, 03/02/2026(a)
 
270,000
270,292
9.50%, 08/01/2026(a)
 
220,000
226,119
8.00%, 01/16/2029(a)
 
200,000
212,963
TT Varlik Kiralama A.S., 6.50%,
10/30/2030(a)
 
250,000
252,318
Turk Telekomunikasyon A.S.
 
7.38%, 05/20/2029(a)
 
200,000
208,475
6.95%, 10/07/2032(a)
 
247,000
252,241
Turkcell Iletisim Hizmetleri A.S.
 
7.45%, 01/24/2030(a)
 
200,000
209,835
7.65%, 01/24/2032(a)
 
200,000
212,879
Turkiye Cumhuriyeti Ziraat Bankasi A.S.
 
7.25%, 02/04/2030(a)
 
400,000
415,107
8.99%, 08/02/2034(a)(d)
 
200,000
212,591
Turkiye Garanti Bankasi A.S.
 
8.38%, 02/28/2034(a)(d)
 
200,000
207,921
8.13%, 01/03/2035(a)(d)
 
400,000
414,287
8.13%, 01/08/2036(a)(d)
 
200,000
206,484
7.63%, 04/15/2036(a)(d)
 
290,000
292,692
Turkiye Ihracat Kredi Bankasi A.S.
 
5.75%, 07/06/2026(a)
 
340,000
342,485
9.00%, 01/28/2027(a)
 
200,000
209,643
7.50%, 02/06/2028(a)
 
200,000
209,460
6.88%, 07/03/2028(a)
 
200,000
207,079
6.38%, 10/03/2030(a)
 
200,000
200,903
Turkiye Is Bankasi A.S.
 
7.75%, 06/12/2029(a)
 
200,000
211,529
7.38%, 04/02/2036(a)(d)
 
200,000
199,330
Turkiye Vakiflar Bankasi T.A.O.
 
5.50%, 10/01/2026(a)
 
235,000
236,997
9.00%, 10/12/2028(a)
 
270,000
293,531
6.88%, 01/07/2030(a)
 
200,000
204,765
7.25%, 07/31/2030(a)
 
400,000
413,132
8.99%, 10/05/2034(a)(d)
 
400,000
423,777
Ulker Biskuvi Sanayi A.S., 7.88%,
07/08/2031(a)
 
400,000
421,943
Vestel Elektronik Sanayi ve Ticaret A.S.,
9.75%, 05/15/2029(a)
 
200,000
150,340
WE Soda Investments Holding PLC
 
9.50%, 10/06/2028(a)
 
480,000
496,328
9.38%, 02/14/2031(a)
 
250,000
259,374
Yapi Ve Kredi Bankasi A.S.
 
9.25%, 10/16/2028(a)
 
290,000
317,584
7.13%, 10/10/2029(a)
 
150,000
155,706
7.25%, 03/03/2030(a)
 
200,000
207,369
9.25%, 01/17/2034(a)(d)
 
220,000
233,583
7.55%, 06/11/2036(a)(d)
 
327,000
326,510
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Turkey-(continued)
Ziraat Katilim Varlik Kiralama A.S., 9.38%,
11/12/2026(a)
$
210,000
$218,415
Zorlu Enerji Elektrik Uretim A.S., 11.00%,
04/23/2030(a)
 
550,000
513,791
 
 
14,409,393
Ukraine-0.09%
Ukraine Railways Via Rail Capital Markets PLC,
8.25%, 07/09/2026(a)(g)
 
236,403
174,941
United Arab Emirates-1.06%
Alpha Star Holding IX Ltd., 7.00%,
08/26/2028(a)(b)
 
475,000
486,565
Alpha Star Holding VIII Ltd., 8.38%,
04/12/2027(a)
 
200,000
206,382
Arada Sukuk 2 Ltd., 8.00%, 06/24/2029(a)
 
200,000
207,696
Binghatti Sukuk 2 SPV Ltd.
 
7.75%, 07/02/2029(a)
 
200,000
199,927
8.13%, 08/07/2030(a)
 
200,000
202,476
Binghatti Sukuk SPC Ltd., 9.63%,
02/28/2027(a)
 
200,000
205,694
Ittihad International II Ltd., 7.38%,
11/13/2030(a)
 
200,000
208,671
MAF Global Securities Ltd., 5.75%(a)(d)(e)
 
200,000
197,609
Omniyat Sukuk 1 Ltd., 8.38%, 05/06/2028(a)
 
200,000
206,244
 
 
2,121,264
United Kingdom-6.72%
Allwyn Entertainment Financing (UK) PLC,
7.88%, 04/30/2029(a)(b)
 
292,000
304,173
Ardonagh Finco Ltd., 7.75%, 02/15/2031(a)
 
550,000
568,902
Ardonagh Group Finance Ltd., 8.88%,
02/15/2032(a)
 
700,000
722,385
Belron UK Finance PLC, 5.75%,
10/15/2029(a)
 
600,000
611,743
Brightstar Lottery PLC/ Brightstar Global
Solutions Corp., 5.75%, 01/15/2033(a)
 
327,000
327,324
British Telecommunications PLC, 4.25%,
11/23/2081(a)(d)
 
240,000
239,097
California Buyer Ltd./Atlantica Sustainable
Infrastructure PLC, 6.38%, 02/15/2032(a)
 
300,000
299,488
Connect Finco S.a.r.l./Connect US Finco LLC,
9.00%, 09/15/2029(a)
 
800,000
850,094
EG Global Finance PLC, 12.00%,
11/30/2028(a)
 
400,000
433,202
Froneri Lux Finco S.a.r.l., 6.00%,
08/01/2032(a)(b)
 
250,000
253,401
Global Auto Holdings Ltd./AAG FH UK Ltd.
 
8.38%, 01/15/2029(a)
 
200,000
198,914
11.50%, 08/15/2029(a)
 
200,000
212,165
8.75%, 01/15/2032(a)
 
300,000
289,972
Howden UK Refinance PLC/Howden UK
Refinance 2 PLC/Howden US Refinance LLC
 
7.25%, 02/15/2031(a)
 
485,000
501,942
8.13%, 02/15/2032(a)
 
200,000
204,003
Ithaca Energy (North Sea) PLC, 8.13%,
10/15/2029(a)(b)
 
450,000
470,164
Jaguar Land Rover Automotive PLC
 
4.50%, 10/01/2027(a)
 
220,000
218,083
5.88%, 01/15/2028(a)
 
220,000
220,153
Merlin Entertainments Group U.S. Holdings,
Inc., 7.38%, 02/15/2031(a)
 
200,000
169,512
 
Principal
Amount
Value
United Kingdom-(continued)
Panama Infrastructure Receivable Purchaser
PLC, 0.00%, 04/05/2032(a)(h)
$
550,000
$430,078
Trident Energy Finance PLC, 12.50%,
11/30/2029(a)
 
400,000
417,297
Virgin Media Finance PLC, 5.00%,
07/15/2030(a)
 
420,000
367,349
Virgin Media Secured Finance PLC
 
5.50%, 05/15/2029(a)
 
581,000
573,352
4.50%, 08/15/2030(a)
 
410,000
379,074
Virgin Media Vendor Financing Notes IV DAC,
5.00%, 07/15/2028(a)
 
220,000
220,000
VMED O2 UK Financing I PLC
 
4.25%, 01/31/2031(a)
 
561,000
507,947
4.75%, 07/15/2031(a)
 
580,000
530,409
7.75%, 04/15/2032(a)
 
400,000
411,858
6.75%, 01/15/2033(a)
 
400,000
390,564
Vodafone Group PLC
 
7.00%, 04/04/2079(d)
 
921,000
971,697
4.13%, 06/04/2081(d)
 
500,000
470,718
5.13%, 06/04/2081(d)
 
413,000
328,064
Zegona Finance PLC, 8.63%, 07/15/2029(a)
 
350,000
370,046
 
 
13,463,170
United States-3.65%
Ardagh Group S.A.
 
9.50%, 12/01/2030(a)
 
945,000
1,021,805
12.00% PIK, 1.00% Cash, 12.00%,
12/01/2030(a)(c)
 
300,000
284,625
Avianca Midco 2 PLC
 
9.00%, 12/01/2028(a)(b)
 
448,000
457,520
9.63%, 02/14/2030(a)
 
550,000
563,937
Brightstar Lottery PLC, 5.25%,
01/15/2029(a)
 
327,000
326,642
CNG Holdings, Inc., 14.50%, 06/30/2026(a)
 
300,000
275,250
Constellium SE, 3.75%, 04/15/2029(a)
 
150,000
145,278
Dresdner Funding Trust I, 8.15%,
06/30/2031(a)
 
550,000
606,713
EUSHI Finance, Inc., 6.25%, 04/01/2056(d)
 
315,000
317,081
Garrett Motion Holdings, Inc./Garrett LX I
S.a.r.l., 7.75%, 05/31/2032(a)
 
325,000
344,263
GFL Environmental, Inc.
 
4.00%, 08/01/2028(a)
 
287,000
282,629
4.75%, 06/15/2029(a)
 
310,000
308,184
4.38%, 08/15/2029(a)(b)
 
310,000
303,917
6.75%, 01/15/2031(a)
 
400,000
418,952
ION Platform Finance US, Inc., 7.88%,
09/30/2032(a)
 
617,000
541,889
ION Platform Finance US, Inc./ION Platform
Finance S.a.r.l.
 
8.75%, 05/01/2029(a)
 
288,000
274,798
9.50%, 05/30/2029(a)
 
320,000
309,060
Methanex US Operations, Inc., 6.25%,
03/15/2032(a)
 
325,000
335,344
Playtika Holding Corp., 4.25%,
03/15/2029(a)
 
231,000
200,820
 
 
7,318,707
Uzbekistan-0.66%
JSC Uzbekneftegaz, 8.75%, 05/07/2030(a)
 
300,000
325,031
Navoi Mining and Metallurgical Combinat
 
6.70%, 10/17/2028(a)
 
200,000
207,541
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Uzbekistan-(continued)
6.75%, 05/14/2030(a)
$
200,000
$211,073
6.95%, 10/17/2031(a)
 
250,000
268,997
Uzbekneftegaz JSC, 4.75%, 11/16/2028(a)
 
310,000
302,175
 
 
1,314,817
Zambia-1.03%
First Quantum Minerals Ltd.
 
8.63%, 06/01/2031(a)
 
981,000
1,031,719
8.00%, 03/01/2033(a)
 
550,000
590,871
7.25%, 02/15/2034(a)
 
420,000
441,560
 
 
2,064,150
Total U.S. Dollar Denominated Bonds & Notes
(Cost $188,703,232)
193,952,165
 
Shares
 
Common Stocks & Other Equity Interests-0.12%
Spain-0.00%
Codere Online Luxembourg S.A., Wts., expiring
10/15/2034(a)(i)(j)
 
10
47
United States-0.12%
Hornbeck Offshore Services, Inc.(i)(k)
 
323
16,634
Hornbeck Offshore Services, Inc., Wts.,
TBA(i)(k)
 
3,246
167,169
Hornbeck Offshore Services, Inc., Wts.,
TBA(i)(k)
 
2,673
47,446
Premier Brands Group Holdings Co.(i)(l)
 
3,222
6,446
TRU Taj LLC/TRU Taj Finance, Inc.(i)
 
2,156
1,079
 
 
238,774
Total Common Stocks & Other Equity Interests
(Cost $178,938)
238,821
 
Shares
Value
Money Market Funds-2.43%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(m)(n)
(Cost $4,865,550)
 
4,865,550
$4,865,550
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-99.39%
(Cost $193,747,720)
199,056,536
Investments Purchased with Cash Collateral from Securities
on Loan
Money Market Funds-6.76%
Invesco Private Government Fund,
3.65%(m)(n)(o)
 
3,764,279
3,764,279
Invesco Private Prime Fund, 3.80%(m)(n)(o)
 
9,770,390
9,773,321
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $13,537,600)
13,537,600
TOTAL INVESTMENTS IN SECURITIES-106.15%
(Cost $207,285,320)
212,594,136
OTHER ASSETS LESS LIABILITIES-(6.15)%
(12,318,267
)
NET ASSETS-100.00%
$200,275,869
Investment Abbreviations:
PIK-Pay-in-Kind
TBA-To Be Announced
Wts.-Warrants
Notes to Schedule of Investments:
(a)
Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be
resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at
January 31, 2026 was $170,189,725, which represented 84.98% of the Fund’s Net Assets.
(b)
All or a portion of this security was out on loan at January 31, 2026.
(c)
All or a portion of this security is Pay-in-Kind. Pay-in-Kind securities pay interest income in the form of securities.
(d)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(e)
Perpetual bond with no specified maturity date.
(f)
Restricted security. The value of this security at January 31, 2026 represented less than 1% of the Fund’s Net Assets.
(g)
Defaulted security. Currently, the issuer is in default with respect to principal and/or interest payments. The aggregate value of these securities at January 31,
2026 was $194,605, which represented less than 1% of the Fund’s Net Assets.
(h)
Denotes a zero coupon security issued at a substantial discount from its value at maturity.
(i)
Non-income producing security.
(j)
Security valued using significant unobservable inputs (Level 3). See Note1.
(k)
Acquired as part of the Hornbeck Offshore Services, Inc. reorganization.
(l)
Acquired as part of the Nine West Holding, Inc. reorganization.
(m)
Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in
which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in
affiliates for the three months ended January 31, 2026.
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2026
(Unaudited)
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
(Depreciation)
Realized
Gain
Value
January 31, 2026
Dividend Income
Investments in
Affiliated Money Market
Funds:
Invesco Government &
Agency Portfolio,
Institutional Class
$1,938,406
$13,323,731
$(10,396,587
)
$-
$-
$4,865,550
$19,771
Investments Purchased
with Cash Collateral
from Securities on
Loan:
Invesco Private
Government Fund
3,704,605
5,823,288
(5,763,614
)
-
-
3,764,279
36,183
*
Invesco Private Prime
Fund
9,632,369
14,044,429
(13,903,477
)
(40
)
40
9,773,321
97,952
*
Total
$15,275,380
$33,191,448
$(30,063,678
)
$(40
)
$40
$18,403,150
$153,906
*
Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from
borrowers, if any.
(n)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(o)
The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return
of the securities loaned.
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Schedule of Investments
Invesco International Corporate Bond ETF (PICB)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Non-U.S. Dollar Denominated Bonds & Notes-98.47%(a)
Australia-2.76%
APA Infrastructure Ltd., 3.50%,
03/22/2030(b)
GBP
549,000
$720,340
Australia and New Zealand Banking
Group Ltd., 4.95%, 02/05/2029
AUD
750,000
527,231
BHP Billiton Finance Ltd., Series 12,
4.30%, 09/25/2042
GBP
850,000
983,930
Commonwealth Bank of Australia,
4.90%, 08/17/2028
AUD
900,000
632,721
National Australia Bank Ltd.
 
2.13%, 05/24/2028(b)
EUR
300,000
353,918
4.85%, 03/22/2029
AUD
1,000,000
700,816
3.13%, 02/28/2030(b)
EUR
400,000
481,119
5.10%, 10/16/2035(b)
AUD
800,000
545,364
Scentre Group Trust 1, 5.35%,
09/18/2035(b)
AUD
1,000,000
677,663
Sydney Airport Finance Co. Pty. Ltd.,
4.38%, 05/03/2033(b)
EUR
200,000
251,046
Westpac Banking Corp.
 
5.00%, 01/15/2029
AUD
800,000
563,248
5.10%, 05/14/2029
AUD
1,200,000
846,444
4.50%, 10/30/2030(b)
AUD
1,000,000
686,476
 
 
7,970,316
Belgium-0.13%
Belfius Bank S.A., 4.13%, 09/12/2029
EUR
300,000
373,143
Canada-19.25%
Bank of Montreal
 
3.65%, 04/01/2027
CAD
1,720,000
1,281,868
4.31%, 06/01/2027
CAD
2,150,000
1,616,894
4.71%, 12/07/2027
CAD
2,150,000
1,635,994
3.19%, 03/01/2028
CAD
2,250,000
1,669,850
5.04%, 05/29/2028
CAD
1,700,000
1,310,274
4.54%, 12/18/2028
CAD
1,700,000
1,302,051
4.42%, 07/17/2029
CAD
1,800,000
1,378,349
Bank of Nova Scotia (The)
 
4.68%, 02/01/2029
CAD
1,800,000
1,386,391
3.50%, 04/17/2029(b)
EUR
300,000
365,938
Bell Canada
 
3.80%, 08/21/2028
CAD
1,050,000
786,234
4.55%, 02/09/2030
CAD
900,000
690,245
2.50%, 05/14/2030
CAD
850,000
606,955
3.00%, 03/17/2031
CAD
850,000
605,881
5.85%, 11/10/2032
CAD
1,050,000
857,307
5.15%, 08/24/2034
CAD
900,000
704,149
Brookfield Finance II, Inc., 5.43%,
12/14/2032(b)
CAD
850,000
677,119
Canadian Imperial Bank of Commerce
 
4.95%, 06/29/2027
CAD
1,850,000
1,403,713
5.05%, 10/07/2027
CAD
1,500,000
1,144,792
5.50%, 01/14/2028
CAD
1,100,000
849,262
CDP Financial, Inc.
 
3.00%, 04/11/2029(b)
EUR
400,000
483,347
4.10%, 06/13/2030(b)
AUD
1,400,000
952,946
2.75%, 02/13/2032(b)
EUR
250,000
295,299
3.25%, 09/30/2035(b)
EUR
250,000
297,096
Cenovus Energy, Inc., 3.50%,
02/07/2028
CAD
1,250,000
928,165
CI Financial Corp., 4.63%,
12/12/2031(b)
EUR
200,000
243,611
 
Principal
Amount
Value
Canada-(continued)
Coastal Gaslink Pipeline L.P.
 
Series J, 5.86%, 03/30/2049
CAD
850,000
$702,120
Series K, 5.86%, 06/30/2049
CAD
850,000
702,578
Federation des caisses Desjardins du
Quebec
 
4.41%, 05/19/2027
CAD
900,000
677,963
5.47%, 11/17/2028
CAD
1,100,000
861,154
3.80%, 09/24/2029
CAD
1,100,000
825,599
First Nations Finance Authority, 1.71%,
06/16/2030
CAD
900,000
627,863
Hydro One, Inc.
 
4.25%, 01/04/2035
CAD
930,000
700,548
Series 64, 3.90%, 11/21/2033
CAD
1,100,000
815,258
National Bank of Canada
 
5.22%, 06/14/2028
CAD
1,500,000
1,162,980
5.02%, 02/01/2029
CAD
1,350,000
1,048,786
OMERS Finance Trust, 3.25%,
01/28/2035(b)
EUR
250,000
298,173
Ontario Teachers’ Finance Trust
 
2.85%, 12/04/2031(b)
EUR
200,000
238,006
1.85%, 05/03/2032(b)
EUR
400,000
446,376
0.90%, 05/20/2041(b)
EUR
400,000
319,952
Original Wempi, Inc., 7.79%,
10/04/2027
CAD
500,000
392,265
Rogers Communications, Inc.
 
3.65%, 03/31/2027
CAD
1,400,000
1,041,365
4.25%, 04/15/2032
CAD
850,000
639,356
6.75%, 11/09/2039
CAD
1,220,000
1,060,535
Royal Bank of Canada
 
4.61%, 07/26/2027
CAD
1,700,000
1,288,066
4.64%, 01/17/2028
CAD
1,700,000
1,295,849
4.63%, 05/01/2028
CAD
2,150,000
1,643,472
2.13%, 04/26/2029(b)
EUR
300,000
350,567
5.23%, 06/24/2030
CAD
1,200,000
952,725
TELUS Corp.
 
5.25%, 11/15/2032
CAD
1,000,000
791,471
Series CY, 3.30%, 05/02/2029
CAD
850,000
628,165
Toronto-Dominion Bank (The)
 
4.21%, 06/01/2027
CAD
2,400,000
1,804,497
5.38%, 10/21/2027
CAD
1,750,000
1,345,632
4.48%, 01/18/2028
CAD
1,800,000
1,367,330
5.49%, 09/08/2028
CAD
1,300,000
1,016,460
4.68%, 01/08/2029
CAD
2,150,000
1,653,141
3.63%, 12/13/2029(b)
EUR
350,000
427,312
1.95%, 04/08/2030(b)
EUR
373,000
425,882
3.56%, 04/16/2031(b)
EUR
300,000
363,462
3.13%, 08/03/2032(b)
EUR
300,000
352,751
3.36%, 09/22/2032(b)
EUR
300,000
355,953
TransCanada PipeLines Ltd.
 
3.80%, 04/05/2027
CAD
1,750,000
1,302,559
5.28%, 07/15/2030(b)
CAD
1,050,000
828,516
4.58%, 02/20/2035
CAD
900,000
677,863
4.34%, 10/15/2049(b)
CAD
900,000
591,980
 
 
55,498,260
Denmark-2.15%
Carlsberg Breweries A/S
 
3.00%, 08/28/2029(b)
EUR
250,000
299,717
3.25%, 02/28/2032(b)
EUR
300,000
357,824
3.50%, 02/28/2035(b)
EUR
350,000
412,182
5.50%, 02/28/2039(b)
GBP
400,000
542,469
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Denmark-(continued)
DSV Finance B.V.
 
3.13%, 11/06/2028(b)
EUR
300,000
$361,554
3.25%, 11/06/2030(b)
EUR
400,000
481,445
Novo Nordisk Finance (Netherlands)
B.V.
 
3.13%, 01/21/2029(b)
EUR
200,000
242,139
2.88%, 08/27/2030(b)
EUR
300,000
358,341
3.25%, 01/21/2031(b)
EUR
300,000
363,379
3.38%, 05/21/2034(b)
EUR
300,000
357,612
3.63%, 05/27/2037(b)
EUR
300,000
355,509
Orsted A/S
 
4.88%, 01/12/2032(b)
GBP
700,000
938,926
5.75%, 04/09/2040(b)
GBP
388,000
504,602
5.38%, 09/13/2042(b)
GBP
500,000
611,975
 
 
6,187,674
Finland-0.58%
Nordea Bank Abp
 
0.50%, 11/02/2028(b)
EUR
300,000
337,273
2.50%, 05/23/2029(b)
EUR
200,000
237,050
3.38%, 06/11/2029(b)
EUR
300,000
365,921
2.75%, 05/02/2030(b)
EUR
300,000
356,386
3.63%, 03/15/2034(b)
EUR
300,000
362,641
 
 
1,659,271
France-22.96%
Abertis France SAS, 1.48%,
01/18/2031(b)
EUR
200,000
219,810
Action Logement Services
 
0.38%, 10/05/2031(b)
EUR
200,000
205,458
1.38%, 04/13/2032(b)
EUR
500,000
536,879
0.50%, 10/30/2034(b)
EUR
400,000
371,083
3.75%, 11/25/2035(b)
EUR
100,000
119,608
4.13%, 10/03/2038(b)
EUR
300,000
363,490
0.75%, 07/19/2041(b)(c)
EUR
300,000
221,297
3.63%, 05/25/2043(b)
EUR
300,000
329,636
Aeroports de Paris S.A., 2.75%,
04/02/2030(b)
EUR
400,000
473,831
Airbus SE
 
1.63%, 06/09/2030(b)
EUR
300,000
340,794
2.38%, 04/07/2032(b)
EUR
300,000
346,819
2.38%, 06/09/2040(b)
EUR
300,000
300,327
Autoroutes du Sud de la France S.A.
 
1.38%, 01/22/2030(b)
EUR
300,000
339,234
1.38%, 02/21/2031(b)
EUR
300,000
330,721
Ayvens S.A.
 
3.88%, 01/24/2028(b)
EUR
300,000
366,343
4.88%, 10/06/2028(b)
EUR
200,000
251,672
Banque Federative du Credit Mutuel
 
3.00%, 05/07/2030(b)
EUR
200,000
238,477
3.13%, 03/11/2031(b)
EUR
100,000
118,894
3.63%, 03/07/2035(b)
EUR
300,000
354,607
Banque Federative du Credit Mutuel S.A.
 
3.88%, 01/26/2028(b)
EUR
300,000
366,081
5.38%, 05/25/2028(b)
GBP
500,000
701,762
0.25%, 07/19/2028(b)
EUR
300,000
336,974
0.63%, 11/03/2028(b)
EUR
400,000
449,737
4.13%, 03/13/2029(b)
EUR
400,000
495,089
1.75%, 03/15/2029(b)
EUR
300,000
345,457
1.88%, 06/18/2029(b)
EUR
300,000
344,095
5.00%, 10/22/2029(b)
GBP
500,000
697,269
2.63%, 11/06/2029(b)
EUR
300,000
352,670
 
Principal
Amount
Value
France-(continued)
0.75%, 01/17/2030(b)
EUR
300,000
$327,683
4.38%, 05/02/2030(b)
EUR
300,000
374,612
1.25%, 06/03/2030(b)
EUR
200,000
220,730
0.63%, 02/21/2031(b)
EUR
400,000
419,514
3.25%, 10/17/2031(b)
EUR
300,000
357,385
4.75%, 11/10/2031(b)
EUR
300,000
382,975
1.13%, 01/19/2032(b)
EUR
300,000
314,548
5.13%, 01/13/2033(b)
EUR
400,000
513,585
3.75%, 02/01/2033(b)
EUR
400,000
486,021
4.13%, 06/14/2033(b)
EUR
400,000
496,725
4.38%, 01/11/2034(b)
EUR
300,000
368,045
3.75%, 02/03/2034(b)
EUR
300,000
362,752
BNP Paribas S.A.
 
1.38%, 05/28/2029(b)
EUR
400,000
453,589
3.63%, 09/01/2029(b)
EUR
400,000
488,133
1.63%, 07/02/2031(b)
EUR
400,000
435,278
1.25%, 07/13/2031(b)
GBP
700,000
795,162
2.10%, 04/07/2032(b)
EUR
300,000
331,628
5.75%, 06/13/2032(b)
GBP
800,000
1,136,183
0.63%, 12/03/2032(b)
EUR
500,000
495,658
4.13%, 05/24/2033(b)
EUR
400,000
500,924
4.10%, 02/13/2034(b)
EUR
400,000
493,757
2.00%, 09/13/2036(b)
GBP
600,000
596,290
Bouygues S.A.
 
1.38%, 06/07/2027(b)
EUR
200,000
235,063
2.25%, 06/29/2029(b)
EUR
200,000
235,215
0.50%, 02/11/2030(b)
EUR
300,000
327,097
3.88%, 07/17/2031(b)
EUR
300,000
371,586
4.63%, 06/07/2032(b)
EUR
300,000
384,789
3.25%, 06/30/2037(b)(c)
EUR
300,000
342,274
5.38%, 06/30/2042(b)
EUR
200,000
265,059
BPCE S.A.
 
4.38%, 07/13/2028(b)
EUR
300,000
371,093
1.00%, 10/05/2028(b)
EUR
300,000
344,022
3.88%, 01/11/2029(b)
EUR
200,000
245,115
5.25%, 04/16/2029(b)
GBP
600,000
832,158
0.25%, 01/14/2031(b)
EUR
400,000
415,604
0.75%, 03/03/2031(b)
EUR
300,000
315,954
1.00%, 01/14/2032(b)
EUR
300,000
312,132
4.00%, 11/29/2032(b)
EUR
400,000
495,977
4.50%, 01/13/2033(b)
EUR
300,000
377,470
3.88%, 01/25/2036(b)
EUR
300,000
364,282
Capgemini SE
 
2.00%, 04/15/2029(b)
EUR
300,000
348,644
3.13%, 09/25/2031(b)
EUR
300,000
353,883
2.38%, 04/15/2032(b)
EUR
300,000
338,961
3.50%, 09/25/2034(b)
EUR
400,000
466,776
Cie de Saint-Gobain S.A.
 
3.38%, 04/08/2030(b)
EUR
300,000
363,142
3.88%, 11/29/2030(b)
EUR
400,000
495,511
1.88%, 03/15/2031(b)
EUR
200,000
225,670
3.63%, 04/08/2034(b)
EUR
300,000
360,535
Cie Generale des Etablissements Michelin
S.C.A., 1.75%, 09/03/2030(b)
EUR
300,000
340,411
Credit Agricole Assurances S.A.
 
2.00%, 07/17/2030(b)
EUR
300,000
339,024
1.50%, 10/06/2031(b)
EUR
200,000
215,494
Credit Agricole S.A.
 
0.38%, 04/20/2028(b)
EUR
700,000
795,278
1.13%, 02/24/2029(b)
EUR
300,000
342,433
1.75%, 03/05/2029(b)
EUR
800,000
923,394
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
France-(continued)
2.00%, 03/25/2029(b)
EUR
700,000
$811,956
1.00%, 07/03/2029(b)
EUR
600,000
676,469
2.50%, 08/29/2029(b)
EUR
500,000
591,811
4.88%, 10/23/2029(b)
GBP
700,000
971,889
4.13%, 03/07/2030(b)
EUR
700,000
875,232
3.88%, 04/20/2031(b)
EUR
900,000
1,113,029
0.88%, 01/14/2032(b)
EUR
700,000
728,664
3.13%, 02/26/2032(b)
EUR
300,000
356,766
1.13%, 07/12/2032(b)
EUR
200,000
208,671
4.00%, 01/18/2033(b)
EUR
200,000
248,419
4.38%, 11/27/2033(b)
EUR
400,000
502,881
3.75%, 01/22/2034(b)
EUR
500,000
607,519
3.50%, 09/26/2034(b)
EUR
300,000
354,450
3.88%, 11/28/2034(b)
EUR
400,000
489,903
3.75%, 05/27/2035(b)
EUR
300,000
357,987
4.13%, 02/26/2036(b)
EUR
600,000
735,736
Danone S.A., 1.21%, 11/03/2028(b)
EUR
400,000
459,734
Dassault Systemes SE, 0.38%,
09/16/2029(b)
EUR
300,000
328,700
ENGIE S.A.
 
3.63%, 01/11/2030(b)
EUR
300,000
366,906
0.50%, 10/24/2030(b)
EUR
300,000
319,184
4.00%, 01/11/2035(b)
EUR
300,000
368,450
5.75%, 10/28/2050(b)
GBP
400,000
514,828
5.63%, 04/03/2053(b)
GBP
600,000
752,705
5.00%, 10/01/2060(b)
GBP
1,000,000
1,141,581
EssilorLuxottica S.A.
 
2.88%, 03/05/2029(b)
EUR
300,000
359,970
2.63%, 01/10/2030(b)
EUR
300,000
355,043
0.75%, 11/27/2031(b)
EUR
300,000
314,708
Kering S.A.
 
3.63%, 09/05/2031(b)
EUR
200,000
243,379
3.38%, 03/11/2032(b)
EUR
300,000
357,881
3.88%, 09/05/2035(b)
EUR
300,000
360,691
La Banque Postale S.A., 4.00%,
05/03/2028(b)
EUR
200,000
245,185
LOreal S.A.
 
2.75%, 11/19/2030(b)
EUR
200,000
238,171
3.38%, 01/19/2036(b)
EUR
300,000
354,880
LVMH Moet Hennessy Louis Vuitton
 
2.63%, 03/07/2029(b)
EUR
300,000
357,935
3.25%, 09/07/2029(b)
EUR
300,000
365,068
LVMH Moet Hennessy Louis Vuitton SE
 
0.38%, 02/11/2031(b)
EUR
300,000
317,903
3.50%, 09/07/2033(b)
EUR
400,000
486,030
Orange S.A.
 
1.38%, 03/20/2028(b)
EUR
300,000
349,093
2.00%, 01/15/2029(b)
EUR
300,000
351,798
1.38%, 01/16/2030(b)
EUR
300,000
339,015
1.88%, 09/12/2030(b)
EUR
400,000
454,597
3.13%, 11/13/2031(b)
EUR
300,000
357,171
3.25%, 01/15/2032(b)
GBP
700,000
889,553
0.50%, 09/04/2032(b)
EUR
200,000
200,765
8.13%, 01/28/2033
EUR
350,000
540,581
0.63%, 12/16/2033(b)
EUR
300,000
289,992
5.63%, 01/23/2034
GBP
378,000
542,457
3.50%, 11/13/2034(b)
EUR
400,000
473,573
3.75%, 09/04/2037(b)
EUR
300,000
354,316
3.75%, 05/13/2038(b)
EUR
300,000
350,752
5.38%, 11/22/2050(b)
GBP
500,000
626,360
 
Principal
Amount
Value
France-(continued)
Pernod Ricard S.A., 1.75%,
04/08/2030(b)
EUR
300,000
$341,105
Schneider Electric SE, 3.62%,
09/02/2037(b)
EUR
300,000
356,976
Societe Generale S.A.
 
2.13%, 09/27/2028(b)
EUR
400,000
470,179
4.13%, 11/21/2028(b)
EUR
200,000
248,366
1.75%, 03/22/2029(b)
EUR
300,000
345,035
2.63%, 05/30/2029(b)
EUR
300,000
358,014
1.25%, 06/12/2030(b)
EUR
400,000
441,664
4.25%, 11/16/2032(b)
EUR
300,000
381,036
5.63%, 06/02/2033(b)
EUR
200,000
264,175
6.25%, 06/22/2033(b)
GBP
400,000
590,331
Suez S.A.
 
5.00%, 11/03/2032(b)
EUR
200,000
257,629
2.88%, 05/24/2034(b)
EUR
300,000
335,284
6.63%, 10/05/2043(b)
GBP
500,000
716,025
TotalEnergies Capital Canada Ltd.,
2.13%, 09/18/2029(b)
EUR
400,000
465,524
TotalEnergies Capital International S.A.
 
1.38%, 10/04/2029(b)
EUR
300,000
341,118
3.08%, 07/01/2031(b)
EUR
200,000
238,265
1.99%, 04/08/2032(b)
EUR
400,000
446,004
3.16%, 03/03/2033(b)
EUR
200,000
235,841
3.65%, 07/01/2035(b)
EUR
300,000
356,866
1.62%, 05/18/2040(b)
EUR
300,000
263,463
3.85%, 03/03/2045(b)
EUR
300,000
330,347
Unibail-Rodamco-Westfield SE, 1.38%,
12/04/2031(b)
EUR
300,000
317,999
Vinci S.A.
 
1.63%, 01/18/2029(b)
EUR
400,000
463,642
1.75%, 09/26/2030(b)
EUR
300,000
341,088
Westfield America Management Ltd.,
2.63%, 03/30/2029(b)
GBP
400,000
518,462
 
 
66,198,112
Germany-10.77%
Allianz Finance II B.V., Series 62,
4.50%, 03/13/2043(b)
GBP
700,000
847,018
Amprion GmbH, 3.97%, 09/22/2032(b)
EUR
300,000
369,929
Aroundtown S.A.
 
0.38%, 04/15/2027(b)
EUR
200,000
231,787
3.50%, 05/13/2030(b)
EUR
300,000
356,568
BASF SE, 1.50%, 03/17/2031(b)
EUR
300,000
333,869
Bayer AG
 
0.38%, 01/12/2029(b)
EUR
300,000
334,288
1.13%, 01/06/2030(b)
EUR
400,000
444,692
0.63%, 07/12/2031(b)
EUR
300,000
312,736
1.38%, 07/06/2032(b)
EUR
400,000
423,951
4.63%, 05/26/2033(b)
EUR
400,000
511,488
Bayer Capital Corp. B.V., 2.13%,
12/15/2029(b)
EUR
400,000
463,229
BMW Finance N.V.
 
2.63%, 05/20/2028(b)
EUR
300,000
357,974
1.50%, 02/06/2029(b)
EUR
300,000
345,943
BMW International Investment B.V.,
3.13%, 07/22/2029(b)
EUR
250,000
301,463
BMW US Capital LLC, 3.38%,
02/02/2034(b)
EUR
335,000
396,403
Deutsche Bahn AG
 
1.13%, 12/18/2028(b)
EUR
300,000
344,855
0.63%, 04/15/2036(b)
EUR
350,000
317,480
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Germany-(continued)
0.63%, 12/08/2050(b)
EUR
248,000
$137,693
1.13%, 05/29/2051(b)
EUR
301,000
192,547
Deutsche Boerse AG, 3.88%,
09/28/2033(b)
EUR
300,000
370,883
Deutsche Post AG, 3.50%,
03/25/2036(b)
EUR
300,000
358,275
Deutsche Telekom AG
 
1.75%, 03/25/2031(b)
EUR
300,000
338,754
3.63%, 02/03/2045(b)
EUR
250,000
275,401
Deutsche Telekom International Finance
B.V., 2.00%, 12/01/2029(b)
EUR
200,000
233,153
E.ON International Finance B.V.
 
1.50%, 07/31/2029(b)
EUR
250,000
285,968
6.25%, 06/03/2030(b)
GBP
700,000
1,026,299
6.38%, 06/07/2032
GBP
832,000
1,234,101
4.75%, 01/31/2034(b)
GBP
500,000
667,708
5.88%, 10/30/2037(b)
GBP
750,000
1,041,751
6.75%, 01/27/2039(b)
GBP
600,000
889,720
6.13%, 07/06/2039(b)
GBP
900,000
1,259,138
E.ON SE
 
3.88%, 01/12/2035(b)
EUR
266,000
326,453
4.13%, 03/25/2044(b)
EUR
275,000
327,384
EnBW International Finance B.V.,
3.75%, 11/20/2035(b)
EUR
306,000
367,304
Eurogrid GmbH, 3.73%, 10/18/2035(b)
EUR
300,000
356,630
Grand City Properties S.A., 0.13%,
01/11/2028(b)
EUR
300,000
339,844
Landesbank Hessen-Thueringen
Girozentrale, 3.00%, 03/05/2032(b)
EUR
300,000
355,358
Mercedes-Benz Group AG
 
1.50%, 07/03/2029(b)
EUR
400,000
459,439
0.75%, 09/10/2030(b)
EUR
200,000
217,273
1.13%, 11/06/2031(b)
EUR
300,000
321,602
0.75%, 03/11/2033(b)
EUR
279,000
281,625
2.13%, 07/03/2037(b)(c)
EUR
400,000
410,738
Mercedes-Benz International Finance
B.V.
 
3.25%, 11/15/2030(b)
EUR
328,000
396,409
3.70%, 05/30/2031(b)
EUR
300,000
370,605
Robert Bosch GmbH
 
3.63%, 06/02/2030(b)
EUR
200,000
244,895
4.00%, 06/02/2035(b)
EUR
300,000
366,327
4.38%, 06/02/2043(b)
EUR
400,000
473,880
RWE AG, 2.75%, 05/24/2030(b)
EUR
275,000
325,713
SAP SE, 1.63%, 03/10/2031(b)
EUR
400,000
448,702
Siemens Financieringsmaatschappij N.V.
 
2.63%, 05/27/2029(b)
EUR
300,000
358,274
3.38%, 08/24/2031(b)
EUR
400,000
487,682
3.13%, 05/22/2032(b)
EUR
400,000
480,903
3.00%, 09/08/2033(b)
EUR
300,000
354,252
0.50%, 09/05/2034(b)
EUR
200,000
192,844
3.63%, 05/27/2036(b)
EUR
200,000
241,192
3.38%, 02/22/2037(b)
EUR
300,000
352,051
3.75%, 09/10/2042(b)
GBP
600,000
662,245
3.63%, 02/22/2044(b)
EUR
400,000
449,581
Traton Finance Luxembourg S.A.,
0.75%, 03/24/2029(b)
EUR
400,000
447,091
Volkswagen Bank GmbH, 3.13%,
12/10/2029(b)
EUR
100,000
119,503
Volkswagen Financial Services AG
 
3.25%, 05/19/2027(b)
EUR
300,000
360,227
 
Principal
Amount
Value
Germany-(continued)
0.88%, 01/31/2028(b)
EUR
230,000
$264,398
3.63%, 05/19/2029(b)
EUR
300,000
364,492
Volkswagen Financial Services N.V.,
2.13%, 01/18/2028(b)
GBP
500,000
656,785
Volkswagen International Finance N.V.
 
1.88%, 03/30/2027(b)
EUR
600,000
709,402
0.88%, 09/22/2028(b)
EUR
400,000
454,042
1.63%, 01/16/2030(b)
EUR
300,000
340,676
3.25%, 11/18/2030(b)
EUR
200,000
239,532
4.13%, 11/16/2038(b)
EUR
300,000
357,155
Volkswagen Leasing GmbH, 3.88%,
10/11/2028(b)
EUR
300,000
366,880
Vonovia SE
 
0.25%, 09/01/2028(b)
EUR
400,000
447,454
0.75%, 09/01/2032(b)
EUR
300,000
299,807
Wintershall Dea Finance B.V.
 
1.33%, 09/25/2028(b)
EUR
300,000
341,010
1.82%, 09/25/2031(b)
EUR
300,000
321,093
 
 
31,063,816
Italy-4.68%
ASTM S.p.A.
 
1.50%, 01/25/2030(b)
EUR
325,000
366,056
2.38%, 11/25/2033(b)
EUR
300,000
322,294
Autostrade per l’Italia S.p.A.
 
2.00%, 12/04/2028(b)
EUR
300,000
350,558
2.00%, 01/15/2030(b)
EUR
300,000
343,257
Enel Finance International N.V.
 
3.88%, 03/09/2029(b)
EUR
300,000
369,115
0.88%, 09/28/2034(b)
EUR
370,000
353,247
3.88%, 01/23/2035(b)
EUR
200,000
242,356
0.88%, 06/17/2036(b)
EUR
300,000
269,171
5.75%, 09/14/2040(b)
GBP
1,250,000
1,691,250
Enel S.p.A., 5.75%, 06/22/2037(b)
GBP
439,000
606,332
Eni S.p.A.
 
4.30%, 02/10/2028(b)
EUR
200,000
245,997
3.63%, 01/29/2029(b)
EUR
300,000
367,245
0.63%, 01/23/2030(b)
EUR
300,000
328,116
2.00%, 05/18/2031(b)
EUR
350,000
397,111
4.25%, 05/19/2033(b)
EUR
300,000
375,762
3.88%, 01/15/2034(b)
EUR
300,000
365,824
Intesa Sanpaolo S.p.A.
 
0.75%, 03/16/2028(b)
EUR
400,000
459,452
1.75%, 07/04/2029(b)
EUR
223,000
256,931
4.88%, 05/19/2030(b)
EUR
300,000
384,648
3.63%, 10/16/2030(b)
EUR
300,000
367,315
5.13%, 08/29/2031(b)
EUR
400,000
522,703
6.63%, 05/31/2033(b)
GBP
600,000
903,878
Italgas S.p.A., 3.13%, 02/08/2029(b)
EUR
300,000
361,605
Snam S.p.A.
 
3.25%, 07/01/2032(b)
EUR
300,000
356,810
3.88%, 02/19/2034(b)
EUR
300,000
365,371
5.75%, 11/26/2036(b)
GBP
600,000
835,099
UniCredit S.p.A.
 
0.85%, 01/19/2031(b)
EUR
213,000
229,018
4.00%, 03/05/2034(b)
EUR
300,000
368,614
4.20%, 06/11/2034(b)
EUR
300,000
369,060
3.73%, 06/10/2035(b)
EUR
300,000
358,866
Unipol Assicurazioni S.p.A., 3.25%,
09/23/2030(b)
EUR
300,000
363,701
 
 
13,496,762
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Japan-2.39%
East Japan Railway Co., 5.56%,
09/04/2054(b)
GBP
500,000
$653,661
Mizuho Financial Group, Inc., 0.69%,
10/07/2030(b)
EUR
300,000
322,026
NTT Finance Corp.
 
2.91%, 03/16/2029(b)
EUR
300,000
358,323
0.34%, 03/03/2030(b)
EUR
300,000
322,859
3.68%, 07/16/2033(b)
EUR
350,000
422,778
4.09%, 07/16/2037(b)
EUR
350,000
424,415
Series 17, 0.28%, 12/20/2027
JPY
200,000,000
1,266,076
Series 18, 0.38%, 09/20/2030
JPY
300,000,000
1,802,451
Sumitomo Mitsui Financial Group, Inc.,
0.63%, 10/23/2029(b)
EUR
325,000
357,516
Takeda Pharmaceutical Co. Ltd.
 
3.00%, 11/21/2030(b)
EUR
400,000
475,154
1.38%, 07/09/2032
EUR
300,000
317,832
2.00%, 07/09/2040
EUR
200,000
182,794
 
 
6,905,885
Luxembourg-0.12%
Logicor Financing S.a.r.l., 1.63%,
07/15/2027(b)
EUR
300,000
352,223
Netherlands-3.18%
ABN AMRO Bank N.V.
 
4.38%, 10/20/2028(b)
EUR
300,000
372,889
2.75%, 06/04/2029(b)
EUR
200,000
239,412
0.50%, 09/23/2029(b)
EUR
400,000
437,539
3.13%, 01/21/2030(b)
EUR
200,000
242,006
4.25%, 02/21/2030(b)
EUR
300,000
374,457
4.63%, 11/08/2030(b)
GBP
600,000
820,736
3.88%, 01/15/2032(b)
EUR
300,000
369,137
1.00%, 06/02/2033(b)
EUR
300,000
302,151
1.25%, 01/20/2034(b)
EUR
300,000
302,279
4.50%, 11/21/2034(b)
EUR
300,000
382,719
Cooperatieve Rabobank U.A.
 
4.63%, 05/23/2029(b)
GBP
900,000
1,235,898
4.00%, 01/10/2030(b)
EUR
400,000
495,518
1.13%, 05/07/2031(b)
EUR
300,000
323,516
3.82%, 07/26/2034(b)
EUR
300,000
365,386
3.55%, 10/08/2035(b)
EUR
200,000
235,988
ING Bank N.V., 2.63%, 12/01/2028(b)
EUR
100,000
119,221
ING Groep N.V.
 
1.38%, 01/11/2028(b)
EUR
300,000
349,927
2.00%, 09/20/2028(b)
EUR
400,000
469,061
2.50%, 11/15/2030(b)
EUR
400,000
467,481
Koninklijke KPN N.V., 3.88%,
02/16/2036(b)
EUR
300,000
361,770
Prosus N.V., 1.29%, 07/13/2029(b)
EUR
200,000
224,337
TenneT Holding B.V.
 
4.50%, 10/28/2034(b)
EUR
300,000
386,054
0.88%, 06/16/2035(b)
EUR
300,000
293,122
 
 
9,170,604
New Zealand-0.75%
ASB Bank Ltd., 4.10%, 09/02/2030(b)
NZD
1,000,000
599,706
Bank of New Zealand, 5.87%,
09/01/2028(b)
NZD
850,000
539,715
Westpac New Zealand Ltd.
 
4.34%, 09/24/2029
NZD
900,000
548,474
3.87%, 11/19/2030
NZD
800,000
473,139
 
 
2,161,034
 
Principal
Amount
Value
Norway-2.57%
Equinor ASA
 
6.88%, 03/11/2031(b)
GBP
700,000
$1,062,985
1.38%, 05/22/2032(b)
EUR
300,000
320,980
1.63%, 02/17/2035(b)
EUR
200,000
203,430
Norway Government Bond
 
Series 479, 1.75%, 02/17/2027(b)
NOK
10,000,000
1,018,902
Series 480, 2.00%, 04/26/2028(b)
NOK
9,770,000
977,556
Series 481, 1.75%, 09/06/2029(b)
NOK
5,000,000
483,483
Series 482, 1.38%, 08/19/2030(b)
NOK
5,900,000
549,695
Series 483, 1.25%, 09/17/2031(b)
NOK
1,350,000
121,470
Series 484, 2.13%, 05/18/2032(b)
NOK
3,642,000
339,740
Series 486, 3.00%, 08/15/2033(b)
NOK
4,500,000
436,376
Series 487, 3.63%, 04/13/2034(b)
NOK
5,000,000
503,299
Series 488, 3.63%, 05/31/2039(b)
NOK
2,900,000
283,722
Series 489, 3.75%, 06/12/2035(b)
NOK
5,100,000
514,136
Telenor ASA, 1.13%, 05/31/2029(b)
EUR
300,000
339,204
Var Energi ASA, 3.88%, 03/12/2031(b)
EUR
200,000
241,571
 
 
7,396,549
Portugal-0.12%
EDP Finance B.V., 1.88%,
09/21/2029(b)
EUR
300,000
345,738
Singapore-0.19%
Temasek Financial I Ltd., 5.13%,
07/26/2040(b)
GBP
400,000
548,058
Spain-4.52%
Abertis Infraestructuras S.A.
 
2.38%, 09/27/2027(b)
EUR
300,000
356,984
3.00%, 03/27/2031(b)
EUR
200,000
237,056
Banco Bilbao Vizcaya Argentaria S.A.
 
4.38%, 10/14/2029(b)
EUR
300,000
378,571
3.13%, 07/15/2030(b)
EUR
300,000
359,480
3.50%, 03/26/2031(b)
EUR
300,000
366,119
3.88%, 01/15/2034(b)(c)
EUR
400,000
494,427
3.75%, 08/26/2035(b)
EUR
200,000
239,794
Banco Santander S.A.
 
3.88%, 04/22/2029(b)
EUR
300,000
368,702
5.13%, 01/25/2030(b)
GBP
400,000
561,409
4.25%, 06/12/2030(b)
EUR
200,000
250,731
1.63%, 10/22/2030(b)
EUR
200,000
222,830
5.38%, 01/17/2031(b)
GBP
600,000
851,388
4.88%, 10/18/2031(b)
EUR
600,000
774,997
1.00%, 11/04/2031(b)(c)
EUR
300,000
318,268
3.25%, 05/27/2032(b)
EUR
300,000
357,629
3.50%, 10/02/2032(b)
EUR
300,000
359,583
3.75%, 01/09/2034(b)
EUR
400,000
488,014
3.50%, 02/17/2035(b)
EUR
300,000
354,630
CaixaBank S.A.
 
3.75%, 09/07/2029(b)
EUR
300,000
369,304
4.25%, 09/06/2030(b)
EUR
300,000
377,441
4.38%, 11/29/2033(b)
EUR
200,000
255,821
3.38%, 06/26/2035(b)
EUR
300,000
354,269
Cellnex Finance Co. S.A.
 
1.50%, 06/08/2028(b)
EUR
400,000
463,972
2.00%, 02/15/2033(b)
EUR
300,000
322,123
Cellnex Telecom S.A., 1.75%,
10/23/2030(b)
EUR
300,000
335,830
Iberdrola Finanzas S.A.
 
1.38%, 03/11/2032(b)
EUR
300,000
324,522
5.25%, 10/31/2036(b)
GBP
400,000
547,166
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Spain-(continued)
Santander Consumer Finance S.A.,
3.75%, 01/17/2029(b)
EUR
300,000
$369,046
Telefonica Emisiones S.A.
 
1.72%, 01/12/2028(b)
EUR
300,000
352,535
1.79%, 03/12/2029(b)
EUR
300,000
347,989
0.66%, 02/03/2030(b)
EUR
300,000
327,345
2.59%, 05/25/2031(b)
EUR
300,000
348,976
3.70%, 01/24/2032(b)
EUR
200,000
242,951
3.72%, 01/23/2034(b)
EUR
300,000
355,544
 
 
13,035,446
Sweden-2.05%
Skandinaviska Enskilda Banken AB
 
0.63%, 11/12/2029(b)
EUR
200,000
219,325
3.38%, 03/19/2030(b)
EUR
300,000
363,429
Svenska Handelsbanken AB
 
0.05%, 09/06/2028(b)
EUR
300,000
335,631
1.38%, 02/23/2029(b)
EUR
230,000
263,195
0.50%, 02/18/2030(b)
EUR
300,000
324,130
Swedbank AB, 4.13%, 11/13/2028(b)
EUR
300,000
371,982
Sweden Government Bond
 
Series 1056, 2.25%, 06/01/2032(b)
SEK
1,200,000
134,008
Series 1059, 1.00%, 11/12/2026(b)
SEK
3,500,000
392,462
Series 1060, 0.75%, 05/12/2028(b)
SEK
10,400,000
1,142,823
Series 1061, 0.75%, 11/12/2029(b)
SEK
10,100,000
1,082,831
Series 1062, 0.13%, 05/12/2031(b)
SEK
2,200,000
221,543
Vattenfall AB, 6.88%, 04/15/2039(b)
GBP
700,000
1,067,379
 
 
5,918,738
Switzerland-1.41%
Holcim Finance (Luxembourg) S.A.,
0.50%, 09/03/2030(b)
EUR
300,000
319,890
Lonza Finance International N.V.,
3.88%, 04/24/2036(b)
EUR
300,000
360,183
Richemont International Holding S.A.
 
1.50%, 03/26/2030(b)
EUR
400,000
451,968
2.00%, 03/26/2038(b)
EUR
300,000
300,761
Swisscom Finance B.V.
 
3.50%, 11/29/2031(b)
EUR
400,000
487,067
3.63%, 11/29/2036(b)
EUR
200,000
238,129
UBS AG, 0.50%, 03/31/2031(b)
EUR
400,000
420,561
UBS Group AG
 
0.65%, 09/10/2029(b)
EUR
300,000
330,142
0.88%, 11/03/2031(b)
EUR
400,000
419,108
0.63%, 01/18/2033(b)
EUR
348,000
343,349
0.63%, 02/24/2033(b)
EUR
400,000
393,718
 
 
4,064,876
United Kingdom-14.29%
Anglian Water Services Financing PLC
 
6.00%, 06/20/2039(b)
GBP
503,000
673,200
5.75%, 06/07/2043(b)
GBP
500,000
628,011
6.25%, 09/12/2044(b)
GBP
600,000
791,746
B.A.T. International Finance PLC
 
2.25%, 01/16/2030(b)
EUR
400,000
461,635
6.00%, 11/24/2034(b)
GBP
375,000
538,567
Blend Funding PLC
 
5.26%, 06/11/2032(b)
GBP
550,000
772,636
3.46%, 09/21/2047(b)
GBP
600,000
573,746
2.92%, 04/05/2054(b)
GBP
600,000
483,293
 
Principal
Amount
Value
United Kingdom-(continued)
British Telecommunications PLC
 
3.13%, 11/21/2031(b)
GBP
450,000
$573,271
6.38%, 06/23/2037(b)
GBP
450,000
654,769
Cadent Finance PLC
 
2.63%, 09/22/2038(b)
GBP
600,000
586,058
2.75%, 09/22/2046(b)
GBP
600,000
497,392
CCEP Finance (Ireland) DAC, 0.88%,
05/06/2033(b)
EUR
300,000
301,649
Centrica PLC, 4.25%, 09/12/2044(b)
GBP
500,000
539,712
Clarion Funding PLC, 3.13%,
04/19/2048(b)
GBP
430,000
380,598
Community Finance Co. 1 PLC, 5.02%,
07/31/2034
GBP
500,000
688,046
Diageo Finance PLC
 
3.13%, 02/28/2031(b)
EUR
200,000
239,018
2.50%, 03/27/2032(b)
EUR
300,000
344,217
2.75%, 06/08/2038(b)
GBP
500,000
522,866
easyJet FinCo B.V., 1.88%,
03/03/2028(b)
EUR
400,000
469,718
GlaxoSmithKline Capital PLC
 
5.25%, 12/19/2033
GBP
500,000
716,054
1.63%, 05/12/2035(b)
GBP
700,000
721,802
6.38%, 03/09/2039
GBP
550,000
817,093
Heathrow Funding Ltd.
 
6.45%, 12/10/2031(b)
GBP
800,000
1,182,519
5.88%, 05/13/2041(b)
GBP
600,000
813,633
4.63%, 10/31/2046(b)
GBP
600,000
671,677
High Speed Rail Finance 1 PLC, 4.38%,
11/01/2038(b)
GBP
550,000
704,161
Housing & Care 21, 3.29%,
11/08/2049(b)
GBP
500,000
454,946
HSBC Holdings PLC, 7.00%,
04/07/2038(b)
GBP
600,000
897,511
Imperial Brands Finance Netherlands
B.V.
 
5.25%, 02/15/2031(b)
EUR
300,000
386,607
1.75%, 03/18/2033(b)
EUR
300,000
312,204
Imperial Brands Finance PLC
 
4.88%, 06/07/2032(b)
GBP
500,000
680,673
3.88%, 02/12/2034(b)
EUR
200,000
236,164
Lloyds Bank PLC, 6.50%,
09/17/2040(b)
GBP
760,000
1,141,207
LSEGA Financing PLC, 4.88%,
09/19/2032(b)
GBP
400,000
551,371
Motability Operations Group PLC
 
4.00%, 01/17/2030(b)
EUR
200,000
246,879
3.88%, 01/24/2034(b)
EUR
300,000
362,167
4.25%, 06/17/2035(b)
EUR
300,000
368,073
3.63%, 03/10/2036(b)
GBP
500,000
590,824
2.38%, 07/03/2039(b)
GBP
500,000
473,235
2.13%, 01/18/2042(b)
GBP
500,000
418,373
5.75%, 06/17/2051(b)
GBP
450,000
578,493
5.63%, 01/24/2054(b)
GBP
400,000
506,451
National Grid Electricity Distribution
(West Midlands) PLC, 5.75%,
04/16/2032(b)
GBP
625,000
894,294
National Grid PLC, 4.28%,
01/16/2035(b)
EUR
200,000
248,246
Nationwide Building Society
 
3.00%, 03/03/2030(b)
EUR
200,000
238,886
3.13%, 08/18/2032(b)
EUR
300,000
353,489
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
United Kingdom-(continued)
NatWest Markets PLC
 
5.00%, 11/18/2029(b)
GBP
500,000
$695,333
3.13%, 01/10/2030(b)
EUR
300,000
360,544
3.00%, 09/03/2030(b)
EUR
300,000
357,031
Optivo Finance PLC, 5.25%,
03/13/2043(b)
GBP
400,000
505,611
Places For People Treasury PLC
 
6.25%, 12/06/2041(b)
GBP
400,000
551,939
5.75%, 05/11/2055(b)
GBP
400,000
497,939
Reckitt Benckiser Treasury Services
PLC, 1.75%, 05/19/2032(b)
GBP
500,000
582,364
Rothesay Life PLC
 
7.73%, 05/16/2033(b)
GBP
400,000
611,299
7.02%, 12/10/2034(b)
GBP
500,000
737,235
Sanctuary Capital PLC, 2.38%,
04/14/2050(b)
GBP
450,000
334,097
Santander UK PLC, 3.35%,
03/25/2030(b)
EUR
300,000
362,905
Scottish Hydro Electric Transmission
PLC, 5.50%, 01/15/2044(b)
GBP
450,000
582,284
Scottish Widows Ltd., 7.00%,
06/16/2043(b)
GBP
550,000
794,805
Severn Trent Utilities Finance PLC,
4.88%, 01/24/2042(b)
GBP
500,000
603,053
Standard Chartered PLC
 
5.13%, 06/06/2034(b)
GBP
500,000
670,759
4.38%, 01/18/2038(b)
GBP
500,000
619,805
T.H.F.C. (Funding No.3) PLC, 5.20%,
10/11/2043(b)
GBP
900,000
1,148,093
Unilever Finance Netherlands B.V.,
1.75%, 03/25/2030(b)
EUR
300,000
343,620
University of Oxford, 2.54%,
12/08/2117(b)
GBP
850,000
541,372
Vodafone Group PLC
 
1.63%, 11/24/2030(b)
EUR
200,000
224,624
6.38%, 07/03/2050(b)
GBP
400,000
556,459
5.13%, 12/02/2052(b)
GBP
500,000
584,058
Wellcome Trust Finance PLC, 4.63%,
07/25/2036(b)
GBP
450,000
601,954
Wellcome Trust Ltd. (The)
 
1.50%, 07/14/2071(b)
GBP
620,000
290,940
2.52%, 02/07/2118(b)
GBP
700,000
440,453
WPP Finance 2013, 3.63%,
06/09/2031(b)
EUR
100,000
117,791
Yorkshire Water Finance PLC
 
6.38%, 11/18/2034(b)
GBP
400,000
569,833
2.75%, 04/18/2041(b)
GBP
700,000
626,511
 
 
41,199,891
United States-3.60%
BG Energy Capital PLC, 5.00%,
11/04/2036(b)
GBP
650,000
877,072
BP Capital Markets PLC
 
1.23%, 05/08/2031(b)
EUR
300,000
325,144
2.82%, 04/07/2032(b)
EUR
400,000
465,399
Medtronic Global Holdings S.C.A.
 
0.38%, 10/15/2028
EUR
300,000
337,202
3.00%, 10/15/2028
EUR
300,000
361,501
1.63%, 03/07/2031
EUR
300,000
334,049
3.13%, 10/15/2031
EUR
200,000
239,873
0.75%, 10/15/2032
EUR
200,000
204,294
 
Principal
Amount
Value
United States-(continued)
3.38%, 10/15/2034
EUR
300,000
$357,537
1.50%, 07/02/2039
EUR
300,000
269,547
1.38%, 10/15/2040
EUR
200,000
169,441
1.63%, 10/15/2050
EUR
300,000
209,249
Nestle Finance International Ltd.,
0.38%, 05/12/2032(b)
EUR
250,000
255,891
Nestle Holdings, Inc., 2.50%,
04/04/2032(b)
GBP
500,000
617,387
Robert Bosch Finance LLC, 2.75%,
05/28/2028(b)
EUR
300,000
358,333
Sanofi S.A.
 
1.50%, 04/01/2030(b)
EUR
200,000
228,188
Series 12FX, 1.38%, 03/21/2030(b)
EUR
500,000
567,108
Series 20FX, 1.88%, 03/21/2038(b)
EUR
400,000
399,334
Shell International Finance B.V.
 
0.50%, 11/08/2031(b)
EUR
300,000
310,861
1.88%, 04/07/2032(b)
EUR
300,000
333,281
1.25%, 11/11/2032(b)
EUR
300,000
316,552
0.88%, 11/08/2039(b)
EUR
200,000
159,468
1.75%, 09/10/2052(b)
GBP
400,000
251,966
Stellantis N.V.
 
4.50%, 07/07/2028(b)
EUR
300,000
372,080
0.75%, 01/18/2029(b)
EUR
400,000
448,695
4.38%, 03/14/2030(b)
EUR
300,000
372,151
4.25%, 06/16/2031(b)
EUR
300,000
367,545
2.75%, 04/01/2032(b)
EUR
300,000
336,780
1.25%, 06/20/2033(b)
EUR
300,000
293,563
Toyota Motor Credit Corp., 3.63%,
07/15/2031(b)
EUR
200,000
245,283
 
 
10,384,774
Total Non-U.S. Dollar Denominated Bonds & Notes
(Cost $275,101,456)
283,931,170
 
Shares
 
Money Market Funds-0.33%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(d)(e)
(Cost $946,244)
 
946,244
946,244
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-98.80%
(Cost $276,047,700)
284,877,414
Investments Purchased with Cash Collateral from Securities
on Loan
Money Market Funds-0.20%
Invesco Private Government Fund,
3.65%(d)(e)(f)
 
161,903
161,903
Invesco Private Prime Fund,
3.80%(d)(e)(f)
 
420,561
420,687
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $582,590)
582,590
TOTAL INVESTMENTS IN SECURITIES-99.00%
(Cost $276,630,290)
285,460,004
OTHER ASSETS LESS LIABILITIES-1.00%
2,874,353
NET ASSETS-100.00%
$288,334,357
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
AUD-Australian Dollar
CAD-Canadian Dollar
EUR-Euro
GBP-British Pound Sterling
JPY-Japanese Yen
NOK-Norwegian Krone
NZD-New Zealand Dollar
SEK-Swedish Krona
Notes to Schedule of Investments:
(a)
Foreign denominated security. Principal amount is denominated in the currency indicated.
(b)
Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be
resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at
January 31, 2026 was $220,507,872, which represented 76.48% of the Fund’s Net Assets.
(c)
All or a portion of this security was out on loan at January 31, 2026.
(d)
Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in
which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in
affiliates for the three months ended January 31, 2026.
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Government &
Agency Portfolio,
Institutional Class
$717,695
$5,218,833
$(4,990,284
)
$-
$-
$946,244
$6,670
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private Government
Fund
524,385
807,266
(1,169,748
)
-
-
161,903
3,614
*
Invesco Private Prime Fund
1,359,240
2,043,496
(2,982,048
)
2
(3
)
420,687
9,690
*
Total
$2,601,320
$8,069,595
$(9,142,080
)
$2
$(3
)
$1,528,834
$19,974
*
Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from
borrowers, if any.
(e)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(f)
The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return
of the securities loaned.
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Notes to Quarterly Schedules of Portfolio Holdings
January 31, 2026
(Unaudited)
NOTE 1—Additional Valuation Information
Generally Accepted Accounting Principles ("GAAP") defines fair value as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date, under current market conditions. GAAP establishes a hierarchy that prioritizes the inputs to valuation methods, giving the highest priority to readily available unadjusted quoted prices in an active market for identical assets (Level 1) and the lowest priority to significant unobservable inputs (Level 3), generally when market prices are not readily available. Based on the valuation inputs, the securities or other investments are tiered into one of three levels. Changes in valuation methods may result in transfers in or out of an investment’s assigned level:
Level 1 — Prices are determined using quoted prices in an active market for identical assets.
Level 2 — Prices are determined using other significant observable inputs. Observable inputs are inputs that other market participants may use in pricing a security. These may include quoted prices for similar securities, interest rates, prepayment speeds, credit risk, yield curves, loss severities, default rates, discount rates, volatilities and others. When market movements occur after the close of the relevant foreign securities markets, foreign securities may be fair valued utilizing an independent pricing service.
Level 3 — Prices are determined using significant unobservable inputs. In situations where quoted prices or observable inputs are unavailable (for example, when there is little or no market activity for an investment at the end of the period), unobservable inputs may be used. Unobservable inputs reflect Invesco Capital Management LLC’s assumptions about the factors market participants would use in determining fair value of the securities or instruments and would be based on the best available information.
The following is a summary of the tiered valuation input levels, as of January 31, 2026. The level assigned to the securities valuations may not be an indication of the risk or liquidity associated with investing in those securities. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value received upon actual sale of those investments.
 
Level 1
Level 2
Level 3
Total
Invesco 0-5 Yr US TIPS ETF
Investments in Securities
U.S. Treasury Securities
$-
$67,322,330
$-
$67,322,330
Money Market Funds
108,823
-
-
108,823
Total Investments
$108,823
$67,322,330
$-
$67,431,153
Invesco Emerging Markets Sovereign Debt ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$1,268,883,776
$-
$1,268,883,776
Money Market Funds
4,545,794
101,580,143
-
106,125,937
Total Investments
$4,545,794
$1,370,463,919
$-
$1,375,009,713
Invesco Global ex-US High Yield Corporate Bond ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$193,952,165
$-
$193,952,165
Common Stocks & Other Equity Interests
-
238,774
47
238,821
Money Market Funds
4,865,550
13,537,600
-
18,403,150
Total Investments in Securities
4,865,550
207,728,539
47
212,594,136
Other Investments - Assets
Investments Matured
-
97,495
4,875
102,370
Total Investments
$4,865,550
$207,826,034
$4,922
$212,696,506
Invesco International Corporate Bond ETF
Investments in Securities
Non-U.S. Dollar Denominated Bonds & Notes
$-
$283,931,170
$-
$283,931,170
Money Market Funds
946,244
582,590
-
1,528,834
Total Investments
$946,244
$284,513,760
$-
$285,460,004