Schedule of Investments
Invesco AAA CLO Floating Rate Note ETF (ICLO)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Asset-Backed Securities-101.02%
522 Funding CLO Ltd.
 
Series 2019-5A, Class BR, 5.52% (3
mo. Term SOFR + 1.85%),
04/15/2035(a)(b)
$
500,000
$500,554
Series 2020-6A, Class A1R2, 4.87% (3
mo. Term SOFR + 1.20%),
10/23/2034(a)(b)
 
130,000
130,204
ABPCI Direct Lending Fund CLO V Ltd.
(Cayman Islands)
 
Series 2019-5A, Class A1RR, 5.87% (3
mo. Term SOFR + 2.20%),
01/20/2036(a)(b)
 
1,300,000
1,305,134
Series 2019-5A, Class A1Z, 5.67% (3
mo. Term SOFR + 2.00%),
01/20/2036(a)(b)
 
1,500,000
1,504,806
AGL CLO 14 Ltd. (Cayman Islands),
Series 2021-14A, Class AR, 4.80% (3
mo. Term SOFR + 1.13%),
12/02/2034(a)(b)
 
1,000,000
1,001,750
AGL CLO 20 Ltd. (Jersey), Series 2022-
20A, Class BR, 5.42% (3 mo. Term
SOFR + 1.75%), 10/20/2037(a)(b)
 
250,000
250,766
AGL CLO 29 Ltd. (Jersey), Series 2024-
29A, Class A1, 5.24% (3 mo. Term
SOFR + 1.57%), 04/21/2037(a)(b)
 
4,000,000
4,008,984
AGL CLO 37 Ltd. (Cayman Islands),
Series 2024-37A, Class A1, 4.91% (3
mo. Term SOFR + 1.24%),
04/22/2038(a)(b)
 
2,500,000
2,504,242
AGL Core CLO 31 Ltd. (Cayman Islands),
Series 2024-31A, Class A, 5.07% (3
mo. Term SOFR + 1.40%),
07/20/2037(a)(b)
 
2,200,000
2,207,973
AGL Core CLO 4 Ltd. (Cayman Islands),
Series 2020-4A, Class AR2, 5.05% (3
mo. Term SOFR + 1.38%),
10/20/2037(a)(b)
 
1,250,000
1,253,523
AIMCO CLO Ltd. (Cayman Islands)
 
Series 2019-10A, Class ARR, 5.08% (3
mo. Term SOFR + 1.41%),
07/22/2037(a)(b)
 
250,000
250,934
Series 2020-11A, Class A2R, 5.17% (3
mo. Term SOFR + 1.50%),
07/17/2037(a)(b)
 
4,250,000
4,255,057
Series 2021-16A, Class AR, 5.07% (3
mo. Term SOFR + 1.40%),
07/17/2037(a)(b)
 
1,250,000
1,254,976
Series 2025-23A, Class B, 5.07% (3
mo. Term SOFR + 1.40%),
04/20/2038(a)(b)
 
1,000,000
1,001,586
Antares CLO Ltd. (Cayman Islands)
 
Series 2018-3A, Class A2R, 5.68% (3
mo. Term SOFR + 1.80%),
07/20/2036(a)(b)
 
1,400,000
1,402,073
Series 2021-1A, Class A1R, 5.09% (3
mo. Term SOFR + 1.42%),
10/25/2038(a)(b)
 
5,200,000
5,206,864
Apidos CLO XXVIII (Cayman Islands),
Series 2017-28A, Class A1BR, 5.22%
(3 mo. Term SOFR + 1.55%),
10/20/2038(a)(b)
 
2,000,000
2,007,886
 
Principal
Amount
Value
Apidos Loan Fund Ltd. (Cayman Islands),
Series 2024-1A, Class A1R, 4.92% (3
mo. Term SOFR + 1.25%),
10/25/2038(a)(b)
$
300,000
$301,110
Ares LIII CLO Ltd. (Cayman Islands),
Series 2019-53A, Class A1R2, 4.76%
(3 mo. Term SOFR + 1.09%),
10/24/2036(a)(b)
 
15,000,000
15,024,075
ARES LX CLO Ltd. (Cayman Islands),
Series 2021-60A, Class AR, 4.85% (3
mo. Term SOFR + 1.18%),
07/18/2034(a)(b)
 
8,000,000
8,014,672
Bain Capital Credit CLO Ltd. (Cayman
Islands)
 
Series 2021-7A, Class A1R, 4.65% (3
mo. Term SOFR + 0.98%),
01/22/2035(a)(b)
 
1,000,000
1,000,286
Series 2022-1A, Class A1R, 4.91% (3
mo. Term SOFR + 1.24%),
10/18/2038(a)(b)
 
2,600,000
2,612,350
Series 2023-3A, Class A1R, 4.98% (3
mo. Term SOFR + 1.31%),
10/24/2038(a)(b)
 
4,000,000
4,024,196
Ballyrock CLO 14 Ltd. (Cayman Islands),
Series 2020-14A, Class A1A, 5.05% (3
mo. Term SOFR + 1.38%),
07/20/2037(a)(b)
 
1,500,000
1,505,286
Ballyrock CLO 16 Ltd. (Cayman Islands),
Series 2021-16A, Class A1R, 4.82% (3
mo. Term SOFR + 1.15%),
04/20/2038(a)(b)
 
1,000,000
1,002,478
Barings CLO Ltd. (Cayman Islands)
 
Series 2019-1A, Class AR2, 4.92% (3
mo. Term SOFR + 1.25%),
10/15/2038(a)(b)
 
2,000,000
2,008,316
Series 2022-3A, Class BR, 5.42% (3
mo. Term SOFR + 1.75%),
10/20/2037(a)(b)
 
1,500,000
1,504,545
Barings Euro CLO DAC (Ireland),
Series 2024-1A, Class AR, 3.28% (3
mo. EURIBOR + 1.27%),
04/20/2039(a)(b)(c)
EUR
12,000,000
14,282,944
Benefit Street Partners CLO XXIX Ltd.
(Jersey), Series 2022-29A, Class AR,
4.85% (3 mo. Term SOFR + 1.18%),
01/25/2038(a)(b)
$
2,500,000
2,506,750
Benefit Street Partners CLO XXXVII Ltd.
(Cayman Islands), Series 2024-37A,
Class A, 5.02% (3 mo. Term SOFR +
1.35%), 01/25/2038(a)(b)
 
2,500,000
2,511,667
BlackRock CLO L.P., Series 2025-2A,
Class A, 5.05% (3 mo. Term SOFR +
1.27%), 11/21/2033(a)(b)
 
14,030,000
14,047,580
Blackrock MT. Lassen CLO XV LLC,
Series 2025-1A, Class A1, 5.32% (3
mo. Term SOFR + 1.65%),
07/15/2037(a)(b)
 
7,500,000
7,523,805
Broad River Bsl Funding CLO Ltd.
(Cayman Islands), Series 2020-1A,
Class AR, 5.10% (3 mo. Term SOFR +
1.43%), 07/20/2034(a)(b)
 
1,670,000
1,670,950
See accompanying notes which are an integral part of this schedule.

Invesco AAA CLO Floating Rate Note ETF (ICLO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Cairn CLO XIII DAC (Ireland),
Series 2021-13A, Class B, 3.63% (3
mo. EURIBOR + 1.60%),
10/20/2033(a)(b)(c)
EUR
4,500,000
$5,339,476
Carlyle US CLO Ltd. (Cayman Islands)
 
Series 2019-3A, Class A2RR, 5.72% (3
mo. Term SOFR + 2.05%),
04/20/2037(a)(b)
$
886,731
886,776
Series 2019-3A, Class BR3, 5.12% (3
mo. Term SOFR + 1.45%),
04/20/2039(a)(b)
 
1,000,000
1,000,500
Series 2021-4A, Class A1, 5.04% (3
mo. Term SOFR + 1.37%),
04/20/2034(a)(b)
 
1,300,000
1,301,894
Series 2021-4A, Class B1, 5.58% (3
mo. Term SOFR + 1.91%),
04/20/2034(a)(b)
 
1,000,000
1,001,608
Series 2021-6A, Class A1R, 4.96% (3
mo. Term SOFR + 1.29%),
01/15/2038(a)(b)
 
2,000,000
2,006,796
Series 2022-3A, Class AR, 5.22% (3
mo. Term SOFR + 1.55%),
04/20/2037(a)(b)
 
3,000,000
3,002,784
Series 2024-1A, Class A, 5.20% (3
mo. Term SOFR + 1.53%),
04/15/2037(a)(b)
 
450,000
451,288
CBAMR Ltd. (Cayman Islands)
 
Series 2019-9A, Class AR, 5.30% (3
mo. Term SOFR + 1.63%),
07/15/2037(a)(b)
 
1,000,000
1,003,133
Series 2021-14A, Class A1R, 4.95% (3
mo. Term SOFR + 1.28%),
10/20/2038(a)(b)
 
1,600,000
1,610,114
Cedar Funding II CLO Ltd. (Cayman
Islands)
 
Series 2013-1A, Class AR3, 4.98% (3
mo. Term SOFR + 1.31%),
07/22/2038(a)(b)
 
2,500,000
2,507,285
Series 2013-1A, Class BR3, 5.42% (3
mo. Term SOFR + 1.75%),
07/22/2038(a)(b)
 
1,200,000
1,209,803
Cedar Funding IX CLO Ltd. (Cayman
Islands), Series 2018-9A, Class AR,
5.09% (3 mo. Term SOFR + 1.42%),
07/20/2037(a)(b)
 
6,000,000
6,024,150
Cedar Funding XI CLO Ltd. (Cayman
Islands), Series 2019-11A, Class A1R2,
4.85% (3 mo. Term SOFR + 1.06%),
05/29/2032(a)(b)
 
691,552
692,627
Cedar Funding XIV CLO Ltd. (Cayman
Islands), Series 2021-14A, Class AR,
5.05% (3 mo. Term SOFR + 1.38%),
10/15/2037(a)(b)
 
5,000,000
5,016,405
Cerberus Loan Funding XL LLC,
Series 2023-1A, Class A, 6.07% (3
mo. Term SOFR + 2.40%),
03/22/2035(a)(b)
 
1,550,000
1,556,930
Cerberus Loan Funding XLI LLC,
Series 2023-2A, Class A1, 6.22% (3
mo. Term SOFR + 2.55%),
07/15/2035(a)(b)
 
512,000
514,567
 
Principal
Amount
Value
CIFC Funding Ltd. (Cayman Islands)
 
Series 2014-4RA, Class A1A2, 4.66%
(3 mo. Term SOFR + 0.99%),
01/17/2035(a)(b)
$
740,000
$741,197
Series 2014-5A, Class A1R3, 5.05% (3
mo. Term SOFR + 1.38%),
07/17/2037(a)(b)
 
1,300,000
1,304,362
Series 2017-1A, Class ARR, 5.22% (3
mo. Term SOFR + 1.55%),
04/21/2037(a)(b)
 
3,900,000
3,909,321
Series 2017-5A, Class AR, 5.08% (3
mo. Term SOFR + 1.41%),
07/17/2037(a)(b)
 
1,300,000
1,304,460
Series 2020-3A, Class A1R2, 4.88% (3
mo. Term SOFR + 1.21%),
10/20/2038(a)(b)
 
1,500,000
1,504,500
Series 2023-2A, Class A, 5.42% (3
mo. Term SOFR + 1.75%),
01/21/2037(a)(b)
 
5,000,000
5,000,250
Clover CLO LLC, Series 2021-3A,
Class AR, 4.74% (3 mo. Term SOFR +
1.07%), 01/25/2035(a)(b)
 
1,470,000
1,471,632
Contego CLO IV DAC (Ireland), Series 4A,
Class A2RR, 3.75% (3 mo. EURIBOR +
1.75%), 10/23/2039(a)(b)(c)
EUR
1,000,000
1,193,134
Eaton Vance CLO Ltd. (Cayman Islands),
Series 2013-1A, Class AR4, 5.01% (3
mo. Term SOFR + 1.34%),
10/15/2038(a)(b)
$
2,200,000
2,207,678
Elmwood CLO 19 Ltd. (Cayman Islands),
Series 2022-6A, Class AR2, 4.91% (3
mo. Term SOFR + 1.24%),
10/17/2038(a)(b)
 
2,100,000
2,109,458
Elmwood CLO 21 Ltd. (Cayman Islands),
Series 2022-8A, Class AR2, 4.89% (3
mo. Term SOFR + 1.22%),
10/15/2038(a)(b)
 
3,500,000
3,515,715
Elmwood CLO 24 Ltd. (Cayman Islands),
Series 2023-3A, Class AR, 4.99% (3
mo. Term SOFR + 1.32%),
01/17/2038(a)(b)
 
1,000,000
1,004,700
Elmwood CLO 26 Ltd. (Cayman Islands),
Series 2024-1A, Class B, 5.67% (3 mo.
Term SOFR + 2.00%),
04/18/2037(a)(b)
 
1,100,000
1,103,321
Elmwood CLO 29 Ltd. (Cayman Islands),
Series 2024-5A, Class AR1, 5.19% (3
mo. Term SOFR + 1.52%),
04/20/2037(a)(b)
 
520,000
521,191
Elmwood CLO III Ltd. (Cayman Islands)
 
Series 2019-3A, Class A1RR, 5.05% (3
mo. Term SOFR + 1.38%),
07/18/2037(a)(b)
 
6,000,000
6,022,122
Series 2019-3A, Class A2RR, 5.27% (3
mo. Term SOFR + 1.60%),
07/18/2037(a)(b)
 
325,000
325,897
Elmwood CLO VI Ltd. (Cayman Islands),
Series 2020-3A, Class ARR, 5.05% (3
mo. Term SOFR + 1.38%),
07/18/2037(a)(b)
 
1,000,000
1,003,844
See accompanying notes which are an integral part of this schedule.

Invesco AAA CLO Floating Rate Note ETF (ICLO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Elmwood CLO VIII Ltd. (Cayman Islands),
Series 2021-1A, Class AR, 5.22% (3
mo. Term SOFR + 1.55%),
04/20/2037(a)(b)
$
1,800,000
$1,803,532
Elmwood CLO X Ltd. (Cayman Islands),
Series 2021-3A, Class BR2, 5.32% (3
mo. Term SOFR + 1.65%),
07/20/2038(a)(b)
 
1,000,000
1,005,057
Empower CLO Ltd. (Cayman Islands)
 
Series 2022-1A, Class A1R, 5.06% (3
mo. Term SOFR + 1.39%),
10/20/2037(a)(b)
 
3,750,000
3,762,026
Series 2023-1A, Class BR, 5.67% (3
mo. Term SOFR + 2.00%),
04/25/2038(a)(b)
 
1,000,000
1,006,523
Series 2024-1A, Class A1, 5.27% (3
mo. Term SOFR + 1.60%),
04/25/2037(a)(b)
 
4,800,000
4,813,200
Series 2025-1A, Class B, 5.47% (3 mo.
Term SOFR + 1.80%),
07/20/2038(a)(b)
 
1,750,000
1,757,528
Flatiron CLO 21 Ltd. (Cayman Islands),
Series 2021-1A, Class A1R, 5.03% (3
mo. Term SOFR + 1.36%),
10/19/2037(a)(b)
 
1,945,000
1,952,325
Flatiron CLO 25 Ltd. (Cayman Islands),
Series 2024-2A, Class A, 5.02% (3
mo. Term SOFR + 1.35%),
10/17/2037(a)(b)
 
3,500,000
3,510,801
Galaxy XXII CLO Ltd. (Cayman Islands)
 
Series 2016-22A, Class AR4, 4.68% (3
mo. Term SOFR + 1.02%),
04/16/2034(a)(b)
 
2,250,000
2,251,179
Series 2016-22A, Class ARR, 4.91% (3
mo. Term SOFR + 1.24%),
04/16/2034(a)(b)
 
1,635,251
1,635,333
Galaxy XXIV CLO Ltd. (Cayman Islands),
Series 2017-24A, Class AR, 5.21% (3
mo. Term SOFR + 1.54%),
04/15/2037(a)(b)
 
1,250,000
1,253,249
GoldenTree Loan Management US CLO
12 Ltd. (Cayman Islands),
Series 2022-12A, Class AJR, 5.20% (3
mo. Term SOFR + 1.53%),
07/20/2037(a)(b)
 
2,075,000
2,080,078
GoldenTree Loan Management US CLO 8
Ltd. (Cayman Islands), Series 2020-8A,
Class ARR, 4.82% (3 mo. Term SOFR
+ 1.15%), 10/20/2034(a)(b)
 
600,000
600,787
GoldenTree Loan Management US CLO 9
Ltd., Series 2021-9A, Class AR, 5.17%
(3 mo. Term SOFR + 1.50%),
04/20/2037(a)(b)
 
6,300,000
6,317,086
Golub Capital Partners CLO 19B-R3 Ltd.
(Cayman Islands), Series 2017-19RA,
Class A1, 5.04% (3 mo. Term SOFR +
1.15%), 10/20/2036(a)(b)
 
4,500,000
4,505,143
Golub Capital Partners CLO 49(M) Ltd.
(Cayman Islands), Series 2020-49A,
Class A1R, 5.19% (3 mo. Term SOFR +
1.52%), 07/20/2038(a)(b)
 
4,000,000
4,006,128
 
Principal
Amount
Value
Golub Capital Partners CLO 53(B) Ltd.
(Cayman Islands), Series 2021-53A,
Class AR, 4.65% (3 mo. Term SOFR +
0.98%), 07/20/2034(a)(b)
$
500,000
$500,159
Golub Capital Partners CLO 54(M) L.P.
(Cayman Islands), Series 2021-54A,
Class A1R, 5.13% (3 mo. Term SOFR +
1.47%), 08/05/2037(a)(b)
 
2,400,000
2,403,492
Golub Capital Partners CLO 61(M),
Series 2022-61A, Class A1A, 4.90% (3
mo. Term SOFR + 1.23%),
07/25/2035(a)(b)
 
5,000,000
5,002,755
Golub Capital Partners CLO 69(M),
Series 2023-69A, Class AR, 5.27% (3
mo. Term SOFR + 1.40%),
11/09/2038(a)(b)
 
2,000,000
2,005,394
Golub Capital Partners CLO 71(M),
Series 2024-71A, Class A, 5.82% (3
mo. Term SOFR + 1.95%),
02/09/2037(a)(b)
 
1,000,000
1,002,379
Golub Capital Partners CLO 78(M),
Series 2025-78A, Class A1, 5.05% (3
mo. Term SOFR + 1.38%),
04/21/2039(a)(b)
 
3,500,000
3,510,458
Hartwick Park CLO Ltd. (Jersey),
Series 2023-1A, Class AR, 4.83% (3
mo. Term SOFR + 1.16%),
01/20/2037(a)(b)
 
1,495,000
1,499,623
Ivy Hill Middle Market Credit Fund IX Ltd.
(Cayman Islands), Series 9A,
Class A1R3, 5.19% (3 mo. Term SOFR
+ 1.52%), 07/23/2037(a)(b)
 
1,200,000
1,204,844
Ivy Hill Middle Market Credit Fund VII Ltd.
(Cayman Islands), Series 7A,
Class AR3, 5.27% (3 mo. Term SOFR +
1.60%), 10/15/2036(a)(b)
 
500,000
501,434
Madison Park Funding XIX Ltd. (Cayman
Islands), Series 2015-19A, Class AR3,
5.27% (3 mo. Term SOFR + 1.60%),
01/22/2037(a)(b)
 
1,000,000
1,001,000
Magnetite XL Ltd. (Cayman Islands),
Series 2024-40A, Class A1, 5.12% (3
mo. Term SOFR + 1.45%),
07/15/2037(a)(b)
 
2,500,000
2,502,995
Magnetite Xlii Ltd., Series 2024-42A,
Class A1, 4.98% (3 mo. Term SOFR +
1.31%), 01/25/2038(a)(b)
 
1,500,000
1,503,834
Magnetite XVII Ltd. (Cayman Islands),
Series 2016-17A, Class AR2, 5.17% (3
mo. Term SOFR + 1.50%),
04/20/2037(a)(b)
 
3,100,000
3,107,102
Magnetite XXI Ltd. (Cayman Islands),
Series 2019-21A, Class AR, 4.95% (3
mo. Term SOFR + 1.28%),
04/20/2034(a)(b)
 
2,500,000
2,502,942
Magnetite XXVII Ltd. (Cayman Islands)
 
Series 2020-27A, Class ARR, 4.90% (3
mo. Term SOFR + 1.23%),
10/20/2038(a)(b)
 
1,250,000
1,255,938
Series 2020-27A, Class BRR, 5.22% (3
mo. Term SOFR + 1.55%),
10/20/2038(a)(b)
 
1,000,000
1,006,825
See accompanying notes which are an integral part of this schedule.

Invesco AAA CLO Floating Rate Note ETF (ICLO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Magnetite XXXIX Ltd., Series 2023-39A,
Class AR, 4.84% (3 mo. Term SOFR +
1.17%), 01/25/2037(a)(b)
$
1,000,000
$1,001,543
Magnetite XXXVII Ltd. (Cayman Islands),
Series 2023-37A, Class A1R, 4.87% (3
mo. Term SOFR + 1.20%),
10/25/2038(a)(b)
 
5,000,000
5,020,000
Milford Park CLO Ltd. (Cayman Islands),
Series 2022-1A, Class AR, 4.83% (3
mo. Term SOFR + 1.16%),
01/20/2038(a)(b)
 
5,000,000
5,005,645
Neuberger Berman CLO XVI-S Ltd.
(Cayman Islands), Series 2017-16SA,
Class A1R, 4.85% (3 mo. Term SOFR +
1.18%), 04/15/2039(a)(b)
 
500,000
501,562
Neuberger Berman Loan Advisers CLO
33 Ltd. (Cayman Islands),
Series 2019-33A, Class AR2, 4.89% (3
mo. Term SOFR + 1.22%),
04/16/2039(a)(b)
 
4,350,000
4,361,775
Neuberger Berman Loan Advisers CLO
39 Ltd. (Cayman Islands),
Series 2020-39A, Class A1R, 5.20% (3
mo. Term SOFR + 1.53%),
04/20/2038(a)(b)
 
3,000,000
3,009,261
Neuberger Berman Loan Advisers CLO
40 Ltd. (Cayman Islands),
Series 2021-40A, Class AR, 4.90% (3
mo. Term SOFR + 1.23%),
10/16/2037(a)(b)
 
6,000,000
6,010,830
Neuberger Berman Loan Advisers CLO
47 Ltd. (Cayman Islands),
Series 2022-47A, Class AR, 4.76% (3
mo. Term SOFR + 1.09%),
04/16/2035(a)(b)
 
6,250,000
6,260,812
Neuberger Berman Loan Advisers NBLA
CLO 52 Ltd. (Jersey), Series 2022-
52A, Class AR, 5.02% (3 mo. Term
SOFR + 1.35%), 10/24/2038(a)(b)
 
2,500,000
2,510,667
New Mountain CLO 8 Ltd. (Cayman
Islands), Series CLO-8A, Class A1,
5.13% (3 mo. Term SOFR + 1.27%),
10/20/2038(a)(b)
 
5,000,000
5,022,180
OCP CLO Ltd. (Cayman Islands)
 
Series 2015-9A, Class AR3, 4.77% (3
mo. Term SOFR + 1.10%),
01/15/2037(a)(b)
 
3,500,000
3,502,079
Series 2016-12A, Class A1R3, 5.04%
(3 mo. Term SOFR + 1.37%),
10/18/2037(a)(b)
 
1,000,000
1,005,396
Series 2017-13A, Class AR2, 5.01% (3
mo. Term SOFR + 1.34%),
11/26/2037(a)(b)
 
1,500,000
1,506,314
Series 2019-17A, Class AR2, 5.07% (3
mo. Term SOFR + 1.40%),
07/20/2037(a)(b)
 
4,000,000
4,013,520
Series 2019-17A, Class BR2, 5.42% (3
mo. Term SOFR + 1.75%),
07/20/2037(a)(b)
 
1,250,000
1,253,456
 
Principal
Amount
Value
Series 2020-20A, Class A1R, 5.20% (3
mo. Term SOFR + 1.53%),
04/18/2037(a)(b)
$
1,000,000
$1,002,123
Series 2024-31A, Class A1, 5.30% (3
mo. Term SOFR + 1.63%),
04/20/2037(a)(b)
 
3,250,000
3,258,047
OHA Credit Funding 12-R Ltd. (Cayman
Islands), Series 2022-12RA, Class B1,
5.27% (3 mo. Term SOFR + 1.60%),
07/20/2037(a)(b)
 
1,000,000
1,003,144
OHA Credit Funding 15-R Ltd. (Cayman
Islands), Series 2023-15RA, Class A,
4.96% (3 mo. Term SOFR + 1.29%),
07/20/2038(a)(b)
 
1,275,000
1,281,375
OHA Credit Funding 17 Ltd. (Bermuda),
Series 2024-17A, Class A, 5.15% (3
mo. Term SOFR + 1.48%),
04/20/2037(a)(b)
 
2,000,000
2,002,486
OHA Credit Funding 4 Ltd. (Cayman
Islands), Series 2019-4A, Class AR2,
4.96% (3 mo. Term SOFR + 1.29%),
01/22/2038(a)(b)
 
2,331,000
2,338,506
OHA Credit Funding 8 Ltd. (Cayman
Islands), Series 2021-8A, Class B1R,
5.22% (3 mo. Term SOFR + 1.55%),
01/20/2038(a)(b)
 
2,250,000
2,256,590
OHA Credit Partners VII Ltd. (Cayman
Islands), Series 2012-7A, Class AR4,
5.03% (3 mo. Term SOFR + 1.14%),
02/20/2038(a)(b)
 
2,250,000
2,252,077
Palmer Square CLO Ltd. (Cayman
Islands)
 
Series 2015-1A, Class A1A5, 4.92% (3
mo. Term SOFR + 1.05%),
05/21/2034(a)(b)
 
1,795,000
1,795,951
Series 2021-1A, Class A1AR, 4.82%
(3 mo. Term SOFR + 1.15%),
04/20/2038(a)(b)
 
2,500,000
2,505,247
Park Blue CLO Ltd. (Cayman Islands)
 
Series 2022-1A, Class A1R, 5.09% (3
mo. Term SOFR + 1.42%),
10/20/2037(a)(b)
 
6,400,000
6,427,290
Series 2022-2A, Class A1R, 5.09% (3
mo. Term SOFR + 1.42%),
07/20/2037(a)(b)
 
1,910,000
1,915,361
Series 2025-7A, Class A1, 4.89% (3
mo. Term SOFR + 1.22%),
04/25/2038(a)(b)
 
7,250,000
7,254,843
Peace Park CLO Ltd. (Cayman Islands),
Series 2021-1A, Class BR, 5.25% (3
mo. Term SOFR + 1.58%),
10/20/2038(a)(b)
 
1,000,000
1,003,003
Peebles Park CLO Ltd. (Jersey),
Series 2024-1A, Class A, 5.17% (3
mo. Term SOFR + 1.50%),
04/21/2037(a)(b)
 
2,400,000
2,407,339
Pikes Peak CLO 4 (Cayman Islands),
Series 2019-4A, Class ARR, 4.88% (3
mo. Term SOFR + 1.21%),
07/15/2034(a)(b)
 
1,500,000
1,503,549
See accompanying notes which are an integral part of this schedule.

Invesco AAA CLO Floating Rate Note ETF (ICLO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Regatta 30 Funding Ltd. (Cayman
Islands), Series 2024-4A, Class A2,
5.22% (3 mo. Term SOFR + 1.55%),
01/25/2038(a)(b)
$
487,500
$489,277
Regatta XVII Funding Ltd. (Cayman
Islands), Series 2020-1A, Class AR,
5.05% (3 mo. Term SOFR + 1.38%),
10/15/2037(a)(b)
 
4,600,000
4,620,626
Regatta XX Funding Ltd. (Cayman
Islands), Series 2021-2A, Class AR,
4.85% (3 mo. Term SOFR + 1.18%),
01/15/2038(a)(b)
 
1,350,000
1,351,007
Regatta XXII Funding Ltd. (Cayman
Islands), Series 2022-2A, Class A1R2,
4.93% (3 mo. Term SOFR + 1.26%),
01/15/2039(a)(b)
 
2,000,000
2,005,280
RR 24 Ltd. (Bermuda), Series 2022-24A,
Class A1A2, 4.98% (3 mo. Term SOFR
+ 1.31%), 01/15/2037(a)(b)
 
900,000
903,847
RR 26 Ltd. (Cayman Islands),
Series 2023-26A, Class A1R, 4.79% (3
mo. Term SOFR + 1.12%),
04/15/2038(a)(b)
 
10,000,000
10,010,380
RR 29 Ltd. (Cayman Islands),
Series 2024-29RA, Class A1R, 5.06%
(3 mo. Term SOFR + 1.39%),
07/15/2039(a)(b)
 
1,500,000
1,503,498
RR 38 Ltd. (Cayman Islands),
Series 2025-38A, Class A1A, 4.82% (3
mo. Term SOFR + 1.15%),
04/15/2040(a)(b)
 
1,300,000
1,300,664
RR 5 Ltd. (Cayman Islands), Series 2018-
5A, Class A1R, 5.17% (3 mo. Term
SOFR + 1.50%), 07/15/2039(a)(b)
 
2,200,000
2,207,370
Shackleton CLO Ltd. (Cayman Islands),
Series 2019-14A, Class A1R, 4.87% (3
mo. Term SOFR + 1.20%),
07/20/2034(a)(b)
 
1,250,000
1,252,723
Signal Peak CLO 10 Ltd. (Cayman
Islands), Series 2021-10A, Class A1R,
4.86% (3 mo. Term SOFR + 1.19%),
01/24/2038(a)(b)
 
4,500,000
4,509,697
Signal Peak CLO 14 Ltd. (Cayman
Islands), Series 2024-14A, Class A,
4.97% (3 mo. Term SOFR + 1.30%),
01/22/2038(a)(b)
 
2,000,000
2,009,000
Signal Peak CLO 9 Ltd. (Cayman Islands),
Series 2021-9A, Class A1R, 5.03% (3
mo. Term SOFR + 1.36%),
01/21/2038(a)(b)
 
1,300,000
1,305,448
Sona Fios CLO IV DAC (Ireland),
Series 4A, Class A, 3.30% (3 mo.
EURIBOR + 1.27%),
04/20/2038(a)(b)(c)
EUR
2,000,000
2,382,461
Symphony CLO 40 Ltd. (Bermuda)
 
Series 2023-40A, Class AR, 4.98% (3
mo. Term SOFR + 1.31%),
01/05/2038(a)(b)
$
1,500,000
1,507,189
Series 2023-40A, Class BR, 5.37% (3
mo. Term SOFR + 1.70%),
01/05/2038(a)(b)
 
1,500,000
1,503,539
 
Principal
Amount
Value
Symphony CLO XIX Ltd. (Cayman Islands)
 
Series 2018-19A, Class A, 4.89% (3
mo. Term SOFR + 1.22%),
04/16/2031(a)(b)
$
361,859
$362,338
Series 2018-19A, Class B, 5.28% (3
mo. Term SOFR + 1.61%),
04/16/2031(a)(b)
 
900,000
900,765
Symphony CLO XX Ltd. (Cayman Islands),
Series 2018-20A, Class AR2, 4.77% (3
mo. Term SOFR + 1.10%),
01/16/2032(a)(b)
 
1,342,853
1,347,489
Symphony CLO XXII Ltd. (Cayman
Islands), Series 2020-22A, Class BR,
5.35% (3 mo. Term SOFR + 1.68%),
04/18/2033(a)(b)
 
750,000
750,674
Symphony CLO XXV Ltd. (Cayman
Islands), Series 2021-25A, Class BR,
5.17% (3 mo. Term SOFR + 1.50%),
04/19/2034(a)(b)
 
3,500,000
3,505,026
Symphony CLO XXXII Ltd. (Cayman
Islands), Series 2022-32A, Class BR,
5.32% (3 mo. Term SOFR + 1.65%),
10/23/2035(a)(b)
 
3,500,000
3,508,494
Symphony Loan Funding CLO 1 Ltd.
(Cayman Islands), Series 2024-1A,
Class B, 5.52% (3 mo. Term SOFR +
1.85%), 01/22/2038(a)(b)
 
1,000,000
1,004,675
Texas Debt Capital CLO Ltd. (Cayman
Islands), Series 2023-1A, Class A1R,
4.97% (3 mo. Term SOFR + 1.30%),
07/20/2038(a)(b)
 
3,550,000
3,566,397
TICP CLO VII Ltd. (Cayman Islands),
Series 2017-7A, Class ASR2, 4.97% (3
mo. Term SOFR + 1.30%),
04/15/2033(a)(b)
 
3,408,115
3,412,546
Valley Stream Park CLO Ltd. (Jersey),
Series 2022-1A, Class ARR, 4.86% (3
mo. Term SOFR + 1.19%),
01/20/2037(a)(b)
 
1,112,000
1,113,390
Whetstone Park CLO Ltd., Series 2021-
1A, Class A1R, 4.74% (3 mo. Term
SOFR + 1.07%), 01/20/2035(a)(b)
 
10,500,000
10,519,614
Total Asset-Backed Securities
(Cost $410,264,811)
410,773,774
 
Shares
 
Money Market Funds-2.95%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(d)(e)
(Cost $12,007,233)
 
12,007,233
12,007,233
TOTAL INVESTMENTS IN SECURITIES-103.97%
(Cost $422,272,044)
422,781,007
OTHER ASSETS LESS LIABILITIES-(3.97)%
(16,126,259
)
NET ASSETS-100.00%
$406,654,748
See accompanying notes which are an integral part of this schedule.

Invesco AAA CLO Floating Rate Note ETF (ICLO)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
BR
-Bearer Shares
EUR
-Euro
EURIBOR
-Euro Interbank Offered Rate
SOFR
-Secured Overnight Financing Rate
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 $410,773,774, which represented 101.01% of the Fund’s Net Assets.
(b)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on January 31, 2026.
(c)
Foreign denominated security. Principal amount is denominated in the currency indicated.
(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
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional
Class
$539,116
$42,375,965
$(30,907,848
)
$-
$-
$12,007,233
$28,496
(e)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
Open Forward Foreign Currency Contracts
Settlement Date
Counterparty
Contract to
Unrealized
Appreciation
(Depreciation)
Deliver
Receive
Currency Risk
 
 
 
3/30/2026
BNP Paribas
EUR
2,658,768
USD
3,187,212
$15,183
3/30/2026
Canadian Imperial Bank of Commerce
EUR
2,658,768
USD
3,187,868
15,839
3/30/2026
Goldman Sachs International
EUR
2,630,079
USD
3,152,039
14,237
3/30/2026
State Street Bank & Trust
EUR
34,870
USD
41,797
196
Subtotal—Appreciation
45,455
Currency Risk
 
 
 
2/27/2026
BNP Paribas
USD
3,182,586
EUR
2,658,768
(15,819
)
2/27/2026
Canadian Imperial Bank of Commerce
EUR
7,947,614
USD
9,326,891
(139,239
)
2/27/2026
Canadian Imperial Bank of Commerce
USD
3,183,239
EUR
2,658,768
(16,472
)
2/27/2026
Goldman Sachs International
USD
3,147,460
EUR
2,630,079
(14,864
)
Subtotal—Depreciation
(186,394
)
Total Forward Foreign Currency Contracts
$(140,939
)
Abbreviations:
EUR
-Euro
USD
-U.S. Dollar
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(a)
Invesco Active U.S. Real Estate ETF (PSR)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-99.97%
Apartments -9.76%
AvalonBay Communities, Inc.
 
10,114
$1,796,954
Camden Property Trust
 
12,099
1,319,396
UDR, Inc.
 
40,173
1,492,427
 
 
4,608,777
Data Centers -12.06%
Digital Realty Trust, Inc.
 
20,804
3,452,424
Equinix, Inc.
 
2,731
2,241,960
 
 
5,694,384
Diversified-2.53%
W.P. Carey, Inc.
 
17,140
1,195,515
Free Standing-2.09%
Essential Properties Realty Trust, Inc.
 
32,579
989,098
Gaming REITs-4.14%
Gaming and Leisure Properties, Inc.
 
43,648
1,953,248
Health Care-17.01%
American Healthcare REIT, Inc.(b)
 
15,632
733,297
CareTrust REIT, Inc.(b)
 
16,119
601,883
Healthcare Realty Trust, Inc.
 
65,310
1,096,555
Omega Healthcare Investors, Inc.
 
27,567
1,209,640
Ventas, Inc.
 
10,602
823,457
Welltower, Inc.
 
18,932
3,566,032
 
 
8,030,864
Industrial-12.45%
EastGroup Properties, Inc.
 
6,660
1,209,722
First Industrial Realty Trust, Inc.
 
11,187
649,182
Prologis, Inc.
 
30,767
4,016,939
 
 
5,875,843
Infrastructure REITs-12.49%
American Tower Corp.
 
21,851
3,917,447
Crown Castle, Inc.
 
22,795
1,978,834
 
 
5,896,281
Lodging Resorts-0.93%
Ryman Hospitality Properties, Inc.
 
4,627
438,177
Office-2.10%
Vornado Realty Trust
 
31,120
992,106
Regional Malls-2.00%
Simon Property Group, Inc.
 
4,929
942,967
Self Storage-5.98%
CubeSmart
 
57,619
2,162,441
Extra Space Storage, Inc.
 
4,775
658,807
 
 
2,821,248
 
Shares
Value
Shopping Centers-5.97%
Brixmor Property Group, Inc.
 
34,023
$911,476
Tanger, Inc.
 
58,264
1,906,398
 
 
2,817,874
Single Family Homes-2.19%
American Homes 4 Rent, Class A
 
32,987
1,033,153
Specialty-6.14%
Iron Mountain, Inc.
 
15,833
1,458,694
Lamar Advertising Co., Class A
 
4,031
517,218
Outfront Media, Inc.
 
37,974
923,528
 
 
2,899,440
Timber REITs-2.13%
Weyerhaeuser Co.
 
39,087
1,007,663
Total Common Stocks & Other Equity Interests
(Cost $45,713,885)
47,196,638
 
Money Market Funds-0.11%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(c)(d)
(Cost $52,854)
 
52,854
52,854
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral from
securities on loan)-100.08%
(Cost $45,766,739)
47,249,492
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-1.30%
Invesco Private Government Fund, 3.65%(c)(d)(e)
 
171,254
171,254
Invesco Private Prime Fund, 3.80%(c)(d)(e)
 
444,339
444,472
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $615,726)
615,726
TOTAL INVESTMENTS IN SECURITIES-101.38%
(Cost $46,382,465)
47,865,218
OTHER ASSETS LESS LIABILITIES-(1.38)%
(651,763
)
NET ASSETS-100.00%
$47,213,455
Investment Abbreviations:
REIT
-Real Estate Investment Trust
Notes to Schedule of Investments:
(a)
Property type classifications used in this report are generally according to FTSE National Association of Real Estate Investment Trusts ("NAREIT") Equity REITs
Index, which is exclusively owned by NAREIT.
(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.
See accompanying notes which are an integral part of this schedule.

Invesco Active U.S. Real Estate ETF (PSR)—(continued)
January 31, 2026
(Unaudited)
 
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
$127,342
$562,102
$(636,590
)
$-
$-
$52,854
$947
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private Government
Fund
187,263
2,433,736
(2,449,745
)
-
-
171,254
2,078
*
Invesco Private Prime Fund
491,339
6,060,354
(6,107,221
)
-
-
444,472
5,857
*
Total
$805,944
$9,056,192
$(9,193,556
)
$-
$-
$668,580
$8,882
*
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(a)
Invesco Comstock Contrarian Equity ETF (CSTK)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-98.71%
Aerospace & Defense-1.54%
Textron, Inc.
 
19,757
$1,739,802
Air Freight & Logistics-2.57%
FedEx Corp.
 
9,021
2,907,017
Banks-14.75%
Bank of America Corp.
 
82,715
4,400,438
Citizens Financial Group, Inc.
 
44,071
2,775,592
Fifth Third Bancorp
 
41,741
2,096,233
Huntington Bancshares, Inc.
 
130,368
2,278,833
M&T Bank Corp.
 
5,907
1,308,814
Wells Fargo & Co.
 
42,527
3,848,268
 
 
16,708,178
Beverages-1.51%
Coca-Cola Co. (The)
 
22,836
1,708,361
Broadline Retail-1.94%
eBay, Inc.
 
24,078
2,196,395
Building Products-2.65%
Johnson Controls International PLC
 
25,154
2,999,866
Capital Markets-2.85%
State Street Corp.
 
24,641
3,224,521
Chemicals-1.55%
International Flavors & Fragrances, Inc.
 
25,120
1,753,627
Communications Equipment-3.16%
Cisco Systems, Inc.
 
45,688
3,578,284
Consumer Staples Distribution & Retail-2.27%
Sysco Corp.
 
30,727
2,576,459
Containers & Packaging-1.11%
International Paper Co.
 
31,106
1,254,194
Electrical Equipment-3.60%
Eaton Corp. PLC
 
5,529
1,943,001
Emerson Electric Co.
 
14,538
2,136,505
 
 
4,079,506
Entertainment-1.35%
Walt Disney Co. (The)
 
13,545
1,527,876
Health Care Equipment & Supplies-3.54%
Becton, Dickinson and Co.
 
8,666
1,763,357
GE HealthCare Technologies, Inc.
 
13,004
1,026,926
Medtronic PLC
 
11,880
1,223,165
 
 
4,013,448
Health Care Providers & Services-6.17%
CVS Health Corp.
 
42,292
3,151,600
Elevance Health, Inc.
 
6,488
2,243,161
Humana, Inc.
 
3,554
693,741
UnitedHealth Group, Inc.
 
3,154
904,977
 
 
6,993,479
Hotels, Restaurants & Leisure-2.97%
Domino’s Pizza, Inc.
 
3,703
1,519,452
Starbucks Corp.
 
20,088
1,847,092
 
 
3,366,544
Household Products-2.40%
Clorox Co. (The)
 
11,223
1,265,842
Kimberly-Clark Corp.
 
14,563
1,456,155
 
 
2,721,997
 
Shares
Value
Insurance-3.76%
Allstate Corp. (The)
 
5,826
$1,159,316
American International Group, Inc.
 
23,623
1,768,890
MetLife, Inc.
 
16,931
1,335,517
 
 
4,263,723
Interactive Media & Services-6.38%
Alphabet, Inc., Class A
 
14,172
4,790,136
Meta Platforms, Inc., Class A
 
3,408
2,441,832
 
 
7,231,968
IT Services-2.19%
Cognizant Technology Solutions Corp.,
Class A
 
30,272
2,484,120
Machinery-2.19%
Caterpillar, Inc.
 
3,765
2,474,960
Media-0.92%
Comcast Corp., Class A
 
35,055
1,042,886
Multi-Utilities-3.38%
Dominion Energy, Inc.
 
22,050
1,326,748
Sempra
 
28,761
2,502,495
 
 
3,829,243
Oil, Gas & Consumable Fuels-6.65%
Chevron Corp.
 
22,251
3,936,202
ConocoPhillips
 
18,518
1,930,131
Exxon Mobil Corp.
 
11,827
1,672,338
 
 
7,538,671
Pharmaceuticals-6.94%
Bristol-Myers Squibb Co.
 
21,343
1,174,932
Johnson & Johnson
 
13,388
3,042,423
Merck & Co., Inc.
 
33,080
3,647,732
 
 
7,865,087
Semiconductors & Semiconductor Equipment-4.55%
Intel Corp.(b)
 
26,375
1,225,646
NXP Semiconductors N.V. (Netherlands)
 
11,819
2,672,749
QUALCOMM, Inc.
 
8,269
1,253,498
 
 
5,151,893
Software-2.39%
Microsoft Corp.
 
6,293
2,707,815
Textiles, Apparel & Luxury Goods-1.14%
NIKE, Inc., Class B
 
20,884
1,290,840
Tobacco-2.29%
Philip Morris International, Inc.
 
14,475
2,597,394
Total Common Stocks & Other Equity Interests
(Cost $96,124,455)
111,828,154
 
Money Market Funds-1.25%
 
 
 
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(c)(d)
(Cost $1,415,563)
 
1,415,563
1,415,563
TOTAL INVESTMENTS IN SECURITIES-99.96%
(Cost $97,540,018)
113,243,717
OTHER ASSETS LESS LIABILITIES-0.04%
44,089
NET ASSETS-100.00%
$113,287,806
See accompanying notes which are an integral part of this schedule.

Invesco Comstock Contrarian Equity ETF (CSTK)—(continued)
January 31, 2026
(Unaudited)
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(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
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional Class
$2,024,441
$678,458
$(1,287,336
)
$-
$-
$1,415,563
$15,322
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private Government
Fund
55,727
378,196
(433,923
)
-
-
-
769
*
Invesco Private Prime Fund
141,148
971,033
(1,112,182
)
-
1
-
2,065
*
Total
$2,221,316
$2,027,687
$(2,833,441
)
$-
$1
$1,415,563
$18,156
*
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.
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(a)
Invesco Core Fixed Income ETF (GTOC)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Treasury Securities-37.79%
U.S. Treasury Bills-0.43%(b)
3.53%–4.10%, 05/14/2026(c)
$
805,000
$796,970
U.S. Treasury Bonds-9.07%
4.63%, 11/15/2045
 
2,714,600
2,640,585
4.75%, 08/15/2055
 
14,475,300
14,160,915
 
 
16,801,500
U.S. Treasury Notes-28.29%
3.38%, 12/31/2027
 
16,389,200
16,342,465
3.50%, 01/15/2029
 
8,575,400
8,550,947
3.63%, 12/31/2030
 
16,126,800
16,002,069
3.88%, 12/31/2032
 
2,437,300
2,415,974
4.00%, 11/15/2035
 
9,312,000
9,122,122
 
 
52,433,577
Total U.S. Treasury Securities
(Cost $70,329,319)
70,032,047
U.S. Government Sponsored Agency Mortgage-Backed
Securities-30.25%
Collateralized Mortgage Obligations-0.37%
Freddie Mac Multifamily Structured
Pass-Through Ctfs.
 
Series K519, Class AS, 4.27% (30 Day
Average SOFR + 0.48%), 03/25/2029(d)
 
266,784
266,607
Series K530, Class A2, 4.79%,
09/25/2029(e)
 
100,000
102,710
Series KF153, Class AS, 4.47% (30 Day
Average SOFR + 0.68%), 02/25/2033(d)
 
301,356
303,098
Series KF81, Class AL, 4.26% (30 Day
Average SOFR + 0.47%), 06/25/2027(d)
 
6,634
6,636
 
 
679,051
Federal Home Loan Mortgage Corp. (FHLMC)-0.80%
4.50%, 04/01/2035
 
1,500,000
1,491,019
Federal National Mortgage Association (FNMA)-1.62%
4.29%, 10/01/2030
 
1,500,000
1,513,288
3.93%, 12/01/2030
 
1,500,000
1,488,965
 
 
3,002,253
Uniform Mortgage-Backed Securities-27.46%
TBA, 4.50%, 02/01/2041 to 02/01/2056(f)
 
5,569,027
5,487,894
TBA, 5.00%, 02/01/2041 to 02/01/2056(f)
 
8,277,290
8,293,513
TBA, 2.00%, 02/01/2056(f)
 
7,353,445
5,967,362
TBA, 2.50%, 02/01/2056(f)
 
8,661,458
7,353,450
TBA, 3.00%, 02/01/2056(f)
 
5,646,070
5,005,239
TBA, 3.50%, 02/01/2056(f)
 
3,383,316
3,129,792
TBA, 4.00%, 02/01/2056(f)
 
6,418,952
6,131,158
TBA, 5.50%, 02/01/2056(f)
 
4,257,384
4,317,272
TBA, 6.00%, 02/01/2056(f)
 
3,610,922
3,698,074
TBA, 6.50%, 02/01/2056(f)
 
1,445,000
1,496,591
 
 
50,880,345
Total U.S. Government Sponsored Agency Mortgage-
Backed Securities
(Cost $55,996,458)
56,052,668
U.S. Dollar Denominated Bonds & Notes-29.87%
Aerospace & Defense-0.24%
Howmet Aerospace, Inc., 4.55%,
11/15/2032
 
268,000
269,370
 
Principal
Amount
Value
Aerospace & Defense-(continued)
Lockheed Martin Corp.
 
4.15% 08/15/2028
$
83,000
$83,686
4.40% 08/15/2030
 
31,000
31,328
Textron, Inc., 4.95%, 03/15/2036
 
69,000
68,437
 
 
452,821
Agricultural & Farm Machinery-0.23%
Deere Funding Canada Corp., 4.15%,
10/09/2030
 
214,000
213,751
John Deere Capital Corp., 4.38%,
10/15/2030
 
214,000
216,394
 
 
430,145
Agricultural Products & Services-0.10%
Cargill, Inc.
 
4.13% 10/23/2030(g)
 
109,000
108,478
5.38% 10/23/2055(g)
 
73,675
70,791
 
 
179,269
Apparel, Accessories & Luxury Goods-0.06%
Gildan Activewear, Inc. (Canada)
 
4.70% 10/07/2030(g)
 
52,000
51,859
5.40% 10/07/2035(g)
 
57,000
56,958
 
 
108,817
Application Software-0.03%
Roper Technologies, Inc.
 
4.25% 09/15/2028
 
16,000
16,094
4.45% 09/15/2030
 
23,350
23,412
5.10% 09/15/2035
 
17,640
17,621
 
 
57,127
Asset Management & Custody Banks-0.22%
Ares Strategic Income Fund, 5.55%,
04/15/2031(g)
 
131,000
129,570
Bank of New York Mellon Corp. (The), 4.40%
(SOFR + 0.68%), 06/09/2028(d)
 
31,000
31,100
Brookfield Asset Management Ltd. (Canada),
6.08%, 09/15/2055
 
19,000
19,561
Carlyle Group, Inc. (The), 5.05%,
09/19/2035
 
59,000
58,094
Northern Trust Corp.
 
4.15% 11/19/2030
 
51,000
51,039
5.12% 11/19/2040(h)
 
77,000
76,647
State Street Corp., 4.78%, 10/23/2036(h)
 
40,000
39,534
 
 
405,545
Automobile Manufacturers-0.43%
American Honda Finance Corp., 4.15%,
01/08/2029
 
203,000
203,519
Daimler Truck Finance North America LLC
(Germany), 4.15%, 01/12/2029(g)
 
265,000
265,023
Honda Motor Co. Ltd. (Japan)
 
4.44% 07/08/2028
 
31,000
31,303
5.34% 07/08/2035
 
25,000
25,522
Hyundai Capital America, 4.88%,
06/23/2027(g)
 
23,000
23,253
PACCAR Financial Corp., Series R, 3.90%,
02/05/2029
 
246,000
246,299
 
 
794,919
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Automotive Parts & Equipment-0.07%
BMW US Capital LLC (Germany)
 
4.15% 08/11/2027(g)
$
100,000
$100,382
4.50% 08/11/2030(g)
 
23,000
23,102
 
 
123,484
Broadcasting-0.02%
Paramount Global, 5.85%, 09/01/2043
 
49,000
39,522
Building Products-0.14%
CRH America Finance, Inc.
 
4.40% 02/09/2031
 
113,000
113,105
5.00% 02/09/2036
 
113,000
112,940
5.60% 02/09/2056
 
26,000
25,594
 
 
251,639
Cable & Satellite-0.03%
Charter Communications Operating LLC/
Charter Communications Operating Capital
Corp.
 
5.85% 12/01/2035(i)
 
37,000
36,840
6.70% 12/01/2055
 
26,000
25,126
 
 
61,966
Cargo Ground Transportation-0.42%
Fedex Freight Holding Co., Inc.
 
4.30% 03/15/2029(g)
 
113,000
113,148
4.65% 03/15/2031(g)
 
405,300
405,170
4.95% 03/15/2033(g)
 
33,000
32,918
5.25% 03/15/2036(g)
 
148,000
146,703
Penske Truck Leasing Co. L.P./PTL Finance
Corp., 4.55%, 01/15/2031(g)
 
88,000
87,849
 
 
785,788
Commercial & Residential Mortgage Finance-0.07%
Aviation Capital Group LLC
 
4.25% 04/30/2029(g)
 
42,000
41,858
4.80% 10/24/2030(g)
 
89,000
89,255
 
 
131,113
Construction Machinery & Heavy Transportation Equipment-0.07%
Westinghouse Air Brake Technologies Corp.
 
4.90% 05/29/2030
 
48,000
49,066
5.50% 05/29/2035
 
69,000
71,677
 
 
120,743
Consumer Electronics-0.14%
Tyco Electronics Group S.A. (Switzerland)
 
4.50% 02/09/2031
 
96,000
96,919
4.88% 02/09/2036
 
170,000
169,298
 
 
266,217
Consumer Finance-1.19%
American Express Co.
 
4.73% 04/25/2029(h)
 
119,000
120,806
4.35% 07/20/2029(h)
 
135,000
135,855
4.51% (SOFR + 0.81%), 07/20/2029(d)
 
468,000
469,721
4.92% 07/20/2033(h)
 
156,000
158,077
4.80% 10/24/2036(h)
 
245,000
240,262
Capital One Financial Corp.
 
4.49% 09/11/2031(h)
 
65,900
65,482
4.72% 01/30/2032(h)
 
194,000
194,101
5.20% 09/11/2036(h)
 
40,000
39,459
5.40% 01/30/2037(h)
 
299,000
298,568
 
Principal
Amount
Value
Consumer Finance-(continued)
General Motors Financial Co., Inc., 4.20%,
10/27/2028
$
481,000
$482,334
Synchrony Financial, 5.02%, 07/29/2029(h)
 
8,000
8,095
 
 
2,212,760
Distillers & Vintners-0.02%
Constellation Brands, Inc., 4.95%,
11/01/2035
 
33,000
32,618
Distributors-0.09%
Genuine Parts Co., 4.95%, 08/15/2029
 
156,000
158,565
Diversified Banks-7.08%
Banco Santander S.A. (Spain)
 
5.08% 11/06/2030
 
400,000
400,514
5.13% 11/06/2035
 
200,000
199,740
Bank of America Corp., Series RR,
4.38%(h)(j)
 
430,000
428,034
Banque Federative du Credit Mutuel S.A.
(France), 4.59%, 10/16/2028(g)
 
523,000
529,073
BPCE S.A. (France), 6.35%,
01/13/2047(g)(h)
 
250,000
250,065
Citigroup, Inc.
 
4.50% 09/11/2031(h)
 
108,300
108,422
6.63% (h)(j)
 
324,200
330,238
Cooperatieve Rabobank U.A. (Netherlands),
3.96%, 10/17/2028
 
695,000
697,987
Fifth Third Bancorp
 
4.57% 04/29/2032(h)
 
182,000
181,879
5.14% 01/29/2037(h)
 
198,000
196,716
HSBC Holdings PLC (United Kingdom),
5.13%, 11/06/2036(h)
 
200,000
199,842
JPMorgan Chase & Co.
 
5.10% 04/22/2031(h)
 
119,000
122,767
4.26% 10/22/2031(h)
 
127,000
126,394
4.35% 01/22/2032(h)
 
160,000
159,614
5.72% 09/14/2033(h)
 
42,500
44,860
4.81% 10/22/2036(h)
 
130,700
128,897
4.90% 01/22/2037(h)
 
209,000
207,491
KeyCorp, 5.31%, 01/28/2037(h)
 
75,000
75,114
Lloyds Banking Group PLC (United Kingdom)
 
4.43% 11/04/2031(h)
 
211,000
210,390
4.94% 11/04/2036(h)
 
297,000
292,612
6.63% (h)(i)(j)
 
200,000
198,512
Macquarie Bank Ltd. (Australia)
 
3.92% 02/03/2028(g)
 
241,000
241,501
4.19% (SOFR + 0.48%), 02/03/2028(d)(g)
 
214,000
214,185
Mitsubishi UFJ Financial Group, Inc. (Japan),
5.62%, 04/24/2036(h)
 
879,000
918,667
Mizuho Financial Group, Inc. (Japan)
 
4.71% 07/08/2031(h)
 
547,000
553,832
4.95% (SOFR + 1.25%), 07/08/2031(d)
 
358,000
363,541
5.32% 07/08/2036(h)
 
587,000
601,798
Morgan Stanley Private Bank N.A.
 
4.47% 07/06/2028(h)
 
615,000
619,035
4.21% 02/08/2030(h)
 
250,000
250,130
4.48% (SOFR + 0.77%), 02/08/2030(d)
 
550,000
550,245
Pinnacle Bank, 5.96%, 01/15/2036(h)
 
88,600
89,320
PNC Financial Services Group, Inc. (The)
 
4.08% 01/26/2029(h)
 
117,000
117,192
4.32% (SOFR + 0.62%), 01/26/2029(d)
 
193,000
193,344
5.37% 07/21/2036(h)
 
91,000
93,208
5.42% 01/25/2041(h)
 
120,000
119,934
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Banks-(continued)
Royal Bank of Canada (Canada), 6.50%,
05/24/2086(h)
$
536,000
$535,870
Standard Chartered PLC (United Kingdom),
4.62% (SOFR + 0.92%), 01/13/2030(d)(g)
 
829,000
830,762
Toronto-Dominion Bank (The) (Canada),
4.93%, 10/15/2035
 
65,000
64,855
Truist Bank, 4.47% (SOFR + 0.77%),
07/24/2028(d)
 
500,000
501,697
U.S. Bancorp, 4.48%, 01/26/2032(h)
 
205,500
205,994
UBS AG (Switzerland), 4.29% (SOFR +
0.50%), 05/17/2027(d)
 
270,000
270,394
Wells Fargo & Co.
 
4.18% 01/23/2030(h)
 
83,000
83,081
5.15% 04/23/2031(h)
 
34,000
35,019
5.39% 04/24/2034(h)
 
54,000
55,864
4.96% 01/23/2037(h)
 
200,000
198,444
5.43% 01/23/2047(h)
 
281,000
275,576
Series BB, 3.90% (h)(j)
 
22,000
21,987
Westpac Banking Corp. (Australia), 4.52%
(SOFR + 0.82%), 07/01/2030(d)
 
23,000
23,238
 
 
13,117,874
Diversified Capital Markets-0.28%
Deutsche Bank AG (Germany), 4.47%,
12/10/2031(h)
 
211,200
211,010
UBS Group AG (Switzerland), 5.53%,
05/06/2047(g)(h)
 
314,000
310,928
 
 
521,938
Diversified Financial Services-1.88%
Aircastle Ltd./Aircastle Ireland DAC, 5.00%,
09/15/2030(g)
 
479,000
485,563
Apollo Global Management, Inc., 5.15%,
08/12/2035
 
27,000
26,899
Atlas Warehouse Lending Co. L.P.
 
4.63% 11/15/2028(g)
 
138,700
139,352
5.25% 01/15/2033(g)
 
124,300
124,519
Avolon Holdings Funding Ltd. (Ireland)
 
4.70% 01/30/2031(g)
 
197,200
196,193
4.95% 10/15/2032(g)
 
186,000
184,600
Blackstone Reg Finance Co. L.L.C.
 
4.30% 11/03/2030
 
76,000
75,728
4.95% 02/15/2036
 
19,000
18,801
Citadel Securities Global Holdings LLC,
6.20%, 06/18/2035(g)
 
849,000
892,893
LPL Holdings, Inc., 5.15%, 06/15/2030
 
112,000
114,288
Pershing Square Holdings Ltd., 5.50%,
10/28/2032(g)
 
1,118,000
1,119,478
Voya Global Funding, 4.60%, 11/24/2030(g)
 
104,400
105,072
 
 
3,483,386
Diversified Metals & Mining-0.05%
BHP Billiton Finance (USA) Ltd. (Australia),
5.75%, 09/05/2055
 
41,500
42,506
Glencore Funding LLC (Australia), 5.19%,
04/01/2030(g)
 
48,000
49,433
Rio Tinto Finance (USA) PLC (Australia),
5.75%, 03/14/2055
 
4,000
4,079
 
 
96,018
Diversified REITs-0.02%
ERP Operating L.P., 4.95%, 06/15/2032
 
34,000
34,846
 
Principal
Amount
Value
Electric Utilities-1.96%
AEP Texas, Inc., 5.70%, 05/15/2034
$
13,000
$13,580
Alabama Power Co., Series C, 4.30%,
03/15/2031
 
205,500
205,761
American Electric Power Co., Inc.
 
Series C, 5.80% 03/15/2056(h)
 
335,600
335,739
Series D, 6.05% 03/15/2056(h)
 
80,000
79,470
Arizona Public Service Co., 5.90%,
08/15/2055
 
82,400
83,945
Consolidated Edison Co. of New York, Inc.,
5.75%, 11/15/2055
 
47,000
46,995
Constellation Energy Generation LLC
 
3.90% 01/08/2028
 
237,000
236,804
5.88% 01/15/2066
 
32,500
31,730
Duke Energy Florida LLC, 4.20%,
12/01/2030
 
62,800
62,687
Entergy Corp., 5.88%, 06/15/2056(h)
 
52,000
52,069
Evergy Metro, Inc., 5.13%, 08/15/2035
 
27,000
27,283
Evergy Missouri West, Inc., 5.25%,
12/15/2035(g)
 
56,000
56,259
Exelon Corp., 5.45%, 03/15/2034
 
27,000
28,034
Florida Power & Light Co.
 
4.70% 02/15/2036
 
97,000
95,907
5.60% 02/15/2066
 
84,000
82,604
Louisville Gas and Electric Co., 5.85%,
08/15/2055
 
7,000
7,100
National Rural Utilities Cooperative Finance
Corp.
 
5.00% 08/15/2034
 
137,000
139,580
5.75% 04/20/2056(k)
 
358,000
358,000
Series D, 4.15% 08/25/2028
 
192,000
192,981
NextEra Energy Capital Holdings, Inc.,
4.69%, 09/01/2027
 
175,000
177,055
Niagara Mohawk Power Corp., 4.65%,
10/03/2030(g)
 
48,000
48,347
NRG Energy, Inc.
 
4.73% 10/15/2030(g)
 
263,000
263,111
5.41% 10/15/2035(g)
 
124,000
123,503
PPL Electric Utilities Corp., 5.55%,
08/15/2055
 
16,000
15,841
Union Electric Co., 5.25%, 04/15/2035
 
27,000
27,782
Virginia Electric and Power Co.
 
Series C, 4.90% 09/15/2035
 
62,000
61,652
Series D, 5.60% 09/15/2055
 
110,000
107,112
Vistra Operations Co. LLC
 
4.30% 10/15/2028(g)
 
179,000
179,101
4.60% 10/15/2030(g)
 
72,000
71,810
4.70% 01/31/2031(g)
 
54,000
53,950
5.35% 01/31/2036(g)
 
102,500
101,997
Wisconsin Electric Power Co., 3.95%,
03/01/2029
 
143,000
142,922
Wisconsin Public Service Corp., 4.25%,
01/15/2031
 
123,000
122,924
 
 
3,633,635
Electrical Components & Equipment-0.04%
Molex Electronic Technologies LLC
 
4.75% 04/30/2028(g)
 
33,000
33,461
5.25% 04/30/2032(g)
 
33,000
33,889
 
 
67,350
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Electronic Components-0.11%
Amphenol Corp.
 
4.13% 11/15/2030
$
80,000
$79,526
4.40% 02/15/2033
 
125,000
123,603
 
 
203,129
Electronic Manufacturing Services-0.04%
Jabil, Inc., 4.75%, 02/01/2033
 
81,000
79,810
Fertilizers & Agricultural Chemicals-0.20%
Mosaic Co. (The)
 
4.35% 01/15/2029
 
295,000
295,994
4.60% 11/15/2030
 
79,000
79,248
 
 
375,242
Financial Exchanges & Data-0.23%
Intercontinental Exchange, Inc.
 
3.95% 12/01/2028
 
187,000
187,147
4.20% 03/15/2031
 
173,000
172,722
MSCI, Inc., 5.25%, 09/01/2035
 
17,000
17,065
Nasdaq, Inc.
 
5.35% 06/28/2028
 
17,000
17,517
5.95% 08/15/2053
 
26,000
26,935
 
 
421,386
Food Distributors-0.15%
Bunge Ltd. Finance Corp.
 
4.55% 08/04/2030
 
245,000
246,983
5.15% 08/04/2035
 
27,000
27,405
 
 
274,388
Food Retail-0.04%
Alimentation Couche-Tard, Inc. (Canada),
5.08%, 09/29/2035(g)
 
79,000
79,207
Forest Products-0.05%
Georgia-Pacific LLC
 
4.40% 06/30/2028(g)
 
48,000
48,522
4.95% 06/30/2032(g)
 
48,000
49,400
 
 
97,922
Gas Utilities-0.05%
Atmos Energy Corp., 5.20%, 08/15/2035(i)
 
23,000
23,686
Southern Natural Gas Co. L.L.C., 5.45%,
08/01/2035(g)
 
59,000
60,136
 
 
83,822
Gold-0.07%
Fortitude Global Funding, 4.63%,
10/06/2028(g)
 
121,000
121,277
Health Care Distributors-0.07%
Cardinal Health, Inc.
 
4.50% 09/15/2030
 
15,600
15,724
5.15% 09/15/2035
 
17,900
18,145
McKesson Corp.
 
4.65% 05/30/2030
 
72,000
73,185
4.95% 05/30/2032
 
31,000
31,896
 
 
138,950
Health Care Equipment-0.03%
GE HealthCare Technologies, Inc., 4.80%,
01/15/2031
 
48,000
48,748
 
Principal
Amount
Value
Health Care Facilities-0.09%
Ascension Health
 
Series 2025, 4.29% 11/15/2030
$
109,000
$109,131
Series 2025, 4.92% 11/15/2035
 
61,000
61,069
 
 
170,200
Health Care REITs-0.05%
National Health Investors, Inc., 5.35%,
02/01/2033
 
13,000
13,024
Omega Healthcare Investors, Inc., 5.20%,
07/01/2030
 
31,000
31,532
Ventas Realty L.P., 5.00%, 02/15/2036
 
47,200
46,764
 
 
91,320
Health Care Services-0.31%
Cigna Group (The), 4.50%, 09/15/2030
 
112,400
113,182
CommonSpirit Health
 
4.35% 09/01/2030
 
76,000
75,608
4.83% 09/01/2035
 
116,000
114,050
4.98% 09/01/2035
 
69,000
68,008
5.58% 09/01/2045
 
33,000
32,301
5.66% 09/01/2055
 
21,000
20,411
CVS Health Corp.
 
5.00% 09/15/2032
 
16,000
16,269
5.45% 09/15/2035
 
32,000
32,573
6.20% 09/15/2055
 
28,000
28,298
6.25% 09/15/2065
 
16,000
15,983
HCA, Inc.
 
4.30% 11/15/2030
 
16,000
15,918
5.45% 09/15/2034
 
32,000
32,859
 
 
565,460
Health Care Supplies-0.02%
Solventum Corp., 5.45%, 02/25/2027
 
43,000
43,625
Highways & Railtracks-0.03%
Burlington Northern Santa Fe LLC
 
5.55% 03/15/2056
 
36,400
36,035
5.80% 03/15/2056
 
16,000
16,425
 
 
52,460
Home Improvement Retail-0.26%
Home Depot, Inc. (The)
 
3.75% 09/15/2028
 
238,000
238,221
3.95% 09/15/2030
 
156,000
155,338
4.65% 09/15/2035
 
84,000
83,101
 
 
476,660
Homebuilding-0.02%
Toll Brothers Finance Corp., 5.60%,
06/15/2035
 
27,000
28,071
Hotel & Resort REITs-0.01%
Phillips Edison Grocery Center Operating
Partnership I L.P., 5.25%, 08/15/2032
 
23,000
23,585
Hotels, Resorts & Cruise Lines-0.01%
Marriott International, Inc., 4.20%,
07/15/2027
 
23,000
23,084
Industrial Conglomerates-0.33%
Siemens Funding B.V. (Germany), 4.90%,
05/28/2032(g)
 
587,000
605,017
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Insurance Brokers-0.10%
Willis North America, Inc.
 
4.55% 03/15/2031
$
98,000
$97,957
5.15% 03/15/2036
 
81,800
81,472
 
 
179,429
Integrated Oil & Gas-0.00%
Occidental Petroleum Corp., 4.40%,
04/15/2046
 
10,000
7,960
Integrated Telecommunication Services-1.09%
AT&T, Inc., 6.05%, 08/15/2056
 
32,000
32,050
NTT Finance Corp. (Japan), 5.50%,
07/16/2035(g)
 
679,000
701,670
Orange S.A. (France), 4.00%,
01/13/2029(g)
 
389,000
389,262
TELUS Corp. (Canada)
 
6.38% 06/09/2056(h)
 
133,600
135,029
6.63% 06/09/2056(h)
 
289,800
291,189
Verizon Communications, Inc.
 
5.25% 04/02/2035
 
129,000
130,727
5.00% 01/15/2036
 
99,000
97,903
5.75% 11/30/2045
 
167,000
166,064
5.88% 11/30/2055
 
38,296
37,830
6.00% 11/30/2065
 
47,800
47,320
 
 
2,029,044
Interactive Media & Services-0.43%
Alphabet, Inc.
 
4.38% 11/15/2032
 
14,000
14,051
4.70% 11/15/2035
 
47,000
46,806
5.35% 11/15/2045
 
91,000
89,831
5.45% 11/15/2055
 
39,000
38,066
5.30% 05/15/2065
 
19,000
17,772
Meta Platforms, Inc.
 
4.88% 11/15/2035
 
254,400
251,735
5.63% 11/15/2055
 
139,000
132,354
5.75% 11/15/2065
 
225,000
212,918
 
 
803,533
Internet Services & Infrastructure-0.81%
Beignet Investor LLC, 6.58%,
05/30/2049(g)
 
1,443,000
1,503,493
Investment Banking & Brokerage-2.49%
Brookfield Finance, Inc. (Canada), 5.33%,
01/15/2036
 
142,000
142,389
Charles Schwab Corp. (The)
 
4.34% 11/14/2031(h)
 
244,000
243,895
4.91% 11/14/2036(h)
 
205,000
203,262
Goldman Sachs Group, Inc. (The)
 
4.15% 01/21/2029(h)
 
299,000
299,279
5.73% 04/25/2030(h)
 
47,000
49,082
4.37% 10/21/2031(h)
 
187,400
186,373
4.52% 01/21/2032(h)
 
279,000
278,956
4.94% 10/21/2036(h)
 
700
691
5.07% 01/21/2037(h)
 
130,000
129,493
5.39% 02/02/2041(h)
 
558,000
553,008
5.54% 01/21/2047(h)
 
215,000
211,913
 
Principal
Amount
Value
Investment Banking & Brokerage-(continued)
Morgan Stanley
 
4.24% 01/09/2030(h)
$
380,000
$380,771
4.49% 01/16/2032(h)
 
302,000
301,867
5.66% 04/17/2036(h)
 
26,000
27,172
5.07% 01/30/2037(h)
 
491,000
489,287
5.31% 01/18/2041(h)
 
150,000
148,218
Series I, 4.36% 10/22/2031(h)
 
194,300
193,274
Series I, 4.89% 10/22/2036(h)
 
155,100
152,748
Nomura Holdings, Inc. (Japan), 5.49%,
06/29/2035
 
561,500
577,528
Raymond James Financial, Inc., 4.90%,
09/11/2035
 
54,000
53,494
 
 
4,622,700
IT Consulting & Other Services-0.67%
International Business Machines Corp.
 
4.00% 02/03/2029
 
120,000
120,121
4.30% 02/03/2031
 
350,000
349,812
4.95% 02/03/2036
 
563,000
561,380
5.80% 02/03/2056
 
210,000
209,489
 
 
1,240,802
Life & Health Insurance-0.98%
American National Group, Inc., 6.00%,
07/15/2035
 
23,000
23,198
Constellation Global Funding, 4.85%,
10/22/2030(g)
 
251,000
249,063
Corebridge Global Funding, 4.56% (SOFR +
0.86%), 12/15/2028(d)(g)
 
701,000
704,337
Equitable America Global Funding, 4.65%,
06/09/2028(g)
 
23,000
23,281
Jackson National Life Global Funding,
4.70%, 06/05/2028(g)
 
424,500
429,895
Lincoln Financial Global Funding
 
4.63% 05/28/2028(g)
 
23,000
23,244
4.63% 08/18/2030(g)
 
31,000
31,144
Lincoln National Corp., 5.35%, 11/15/2035
 
126,000
126,487
Protective Life Corp.
 
4.70% 01/15/2031(g)
 
87,000
87,362
5.35% 12/15/2035(g)
 
113,800
114,386
 
 
1,812,397
Multi-Utilities-0.17%
CenterPoint Energy, Inc., 5.95%,
04/01/2056(h)
 
29,000
29,232
Dominion Energy, Inc.
 
6.00% 02/15/2056(h)
 
61,000
61,682
6.20% 02/15/2056(h)
 
138,000
138,538
NiSource, Inc.
 
5.25% 03/30/2028
 
48,000
49,225
5.35% 04/01/2034
 
27,000
27,841
 
 
306,518
Office REITs-0.09%
COPT Defense Properties L.P., 4.50%,
10/15/2030
 
19,000
18,970
Cousins Properties L.P., 5.38%,
02/15/2032
 
23,000
23,744
Piedmont Operating Partnership L.P., 5.63%,
01/15/2033
 
115,000
115,650
 
 
158,364
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Oil & Gas Exploration & Production-0.17%
Antero Resources Corp., 5.40%,
02/01/2036
$
200,700
$199,512
EOG Resources, Inc.
 
4.40% 07/15/2028
 
48,000
48,580
5.35% 01/15/2036
 
37,000
38,001
5.95% 07/15/2055
 
36,000
36,918
 
 
323,011
Oil & Gas Storage & Transportation-0.75%
Energy Transfer L.P.
 
4.55% 01/15/2031
 
272,000
271,799
5.35% 01/15/2036
 
179,000
178,875
6.30% 01/15/2056
 
24,000
24,009
Enterprise Products Operating LLC
 
4.30% 06/20/2028
 
73,000
73,646
4.60% 01/15/2031
 
35,200
35,656
5.20% 01/15/2036
 
89,000
90,587
Florida Gas Transmission Co. LLC, 5.75%,
07/15/2035(g)
 
27,000
27,977
Gulfstream Natural Gas System L.L.C.,
5.60%, 07/23/2035(g)
 
46,000
47,077
Kinder Morgan, Inc., 5.15%, 06/01/2030
 
48,000
49,673
MPLX L.P.
 
4.80% 02/15/2031
 
48,000
48,536
5.00% 01/15/2033
 
23,000
23,063
5.40% 09/15/2035
 
69,000
69,595
Southern Co. Gas Capital Corp.
 
Series A, 4.05% 09/15/2028
 
14,000
14,016
Series B, 5.10% 09/15/2035
 
66,400
66,731
Western Midstream Operating L.P.
 
4.80% 03/01/2031
 
188,600
188,733
5.50% 12/15/2035
 
65,800
65,540
Williams Cos., Inc. (The), 6.00%,
03/15/2055
 
112,500
114,089
 
 
1,389,602
Other Specialty Retail-0.02%
VSP Optical Group, Inc., 5.45%,
12/01/2035(g)
 
32,000
32,130
Packaged Foods & Meats-0.01%
Mars, Inc., 5.70%, 05/01/2055(g)
 
19,000
18,950
Passenger Airlines-0.11%
American Airlines Pass-Through Trust,
4.90%, 05/11/2038
 
118,000
116,966
Delta Air Lines, Inc.
 
4.95% 07/10/2028
 
43,000
43,749
5.25% 07/10/2030
 
48,000
49,172
 
 
209,887
Passenger Ground Transportation-0.04%
Uber Technologies, Inc.
 
4.15% 01/15/2031
 
53,400
52,954
4.80% 09/15/2035
 
23,000
22,767
 
 
75,721
Pharmaceuticals-1.27%
Eli Lilly and Co.
 
5.55% 10/15/2055
 
17,600
17,635
5.65% 10/15/2065
 
17,500
17,509
EMD Finance LLC (Germany), 4.38%,
10/15/2030(g)
 
31,000
31,050
 
Principal
Amount
Value
Pharmaceuticals-(continued)
Merck & Co., Inc.
 
4.15% 03/15/2031
$
275,000
$274,070
4.45% 12/04/2032
 
63,000
63,174
4.75% 12/04/2035
 
192,000
190,431
5.55% 12/04/2055
 
97,000
95,372
5.70% 12/04/2065
 
61,000
60,152
Pfizer, Inc.
 
4.20% 11/15/2030
 
142,000
142,390
4.50% 11/15/2032
 
159,000
159,552
5.60% 11/15/2055
 
108,000
107,387
5.70% 11/15/2065
 
116,000
114,428
Takeda U.S. Financing, Inc.
 
5.20% 07/07/2035
 
561,500
568,653
5.90% 07/07/2055
 
361,500
367,253
Zoetis, Inc., 4.15%, 08/17/2028
 
147,000
147,882
 
 
2,356,938
Property & Casualty Insurance-0.11%
American International Group, Inc., 4.85%,
05/07/2030
 
23,000
23,570
CNA Financial Corp., 5.20%, 08/15/2035
 
84,000
84,260
Hanover Insurance Group, Inc. (The), 5.50%,
09/01/2035
 
23,000
23,323
Travelers Cos., Inc. (The)
 
5.05% 07/24/2035
 
23,000
23,313
5.70% 07/24/2055
 
51,000
51,966
 
 
206,432
Real Estate Development-0.07%
Essential Properties L.P., 5.40%,
12/01/2035
 
9,400
9,436
Prologis Targeted U.S. Logistics Fund L.P.
 
4.25% 01/15/2031(g)
 
49,000
48,641
4.75% 01/15/2036(g)
 
65,000
63,352
 
 
121,429
Regional Banks-0.48%
Citizens Financial Group, Inc., 5.30%,
01/29/2036(h)
 
35,000
35,174
Huntington Bancshares, Inc.
 
4.62% 01/28/2032(h)(i)
 
430,000
430,806
5.61% 01/28/2041(h)
 
206,000
205,081
Truist Financial Corp., 4.60%,
01/27/2032(h)
 
185,000
185,513
Webster Financial Corp., 5.78%,
09/11/2035(h)
 
32,000
32,235
 
 
888,809
Reinsurance-0.16%
RGA Global Funding
 
4.35% 08/25/2028(g)
 
147,000
147,949
5.00% 08/25/2032(g)
 
156,000
157,504
 
 
305,453
Renewable Electricity-0.06%
Southern Power Co.
 
Series A, 4.25% 10/01/2030
 
54,000
53,884
Series B, 4.90% 10/01/2035
 
49,000
48,170
 
 
102,054
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Restaurants-0.18%
McDonald’s Corp.
 
4.40% 02/12/2031
$
95,000
$95,706
5.00% 02/13/2036
 
232,000
233,978
 
 
329,684
Retail REITs-0.11%
Brixmor Operating Partnership L.P., 4.85%,
02/15/2033
 
27,000
26,962
Kimco Realty OP LLC, 5.30%, 02/01/2036
 
27,000
27,624
Kite Realty Group L.P.
 
4.95% 12/15/2031
 
31,000
31,476
5.50% 03/01/2034
 
27,000
27,794
Realty Income Corp., 4.50%, 02/01/2033
 
90,000
89,192
 
 
203,048
Self-Storage REITs-0.03%
Americold Realty Operating Partnership L.P.,
5.60%, 05/15/2032
 
23,000
23,313
Extra Space Storage L.P., 4.95%,
01/15/2033
 
23,000
23,142
 
 
46,455
Semiconductors-1.19%
AP Grange Holdings LLC, 6.50%,
03/20/2045(g)(k)
 
80,000
88,131
Broadcom, Inc.
 
5.15% 11/15/2031
 
156,000
161,767
5.20% 07/15/2035
 
23,000
23,511
4.80% 02/15/2036
 
89,000
87,886
4.90% 02/15/2038
 
74,000
72,462
Foundry JV Holdco LLC
 
5.90% 01/25/2030(g)
 
205,000
215,003
5.50% 01/25/2031(g)
 
213,000
220,723
6.15% 01/25/2032(g)
 
200,000
213,103
5.90% 01/25/2033(g)
 
214,000
224,642
5.88% 01/25/2034(g)
 
200,000
206,925
6.25% 01/25/2035(g)
 
204,000
217,163
6.20% 01/25/2037(g)
 
201,000
212,634
6.40% 01/25/2038(g)
 
217,000
232,580
Micron Technology, Inc., 5.65%,
11/01/2032
 
31,000
32,733
 
 
2,209,263
Soft Drinks & Non-alcoholic Beverages-0.46%
PepsiCo, Inc.
 
4.10% 01/15/2029
 
399,000
401,928
4.60% 02/07/2030
 
156,000
159,551
5.00% 07/23/2035
 
294,000
299,212
 
 
860,691
Sovereign Debt-0.05%
Israel Government International Bond
(Israel), 5.00%, 01/13/2036
 
93,500
92,146
Specialty Chemicals-0.35%
Sherwin-Williams Co. (The)
 
4.30% 08/15/2028
 
404,000
406,955
4.50% 08/15/2030
 
130,000
131,220
5.15% 08/15/2035
 
110,000
111,705
 
 
649,880
 
Principal
Amount
Value
Systems Software-0.12%
Oracle Corp.
 
4.45% 09/26/2030
$
79,700
$77,827
5.20% 09/26/2035
 
43,000
41,003
5.88% 09/26/2045
 
62,000
55,791
5.38% 09/27/2054
 
26,000
20,907
5.95% 09/26/2055
 
32,000
28,243
 
 
223,771
Tobacco-0.11%
B.A.T. Capital Corp. (United Kingdom)
 
4.63% 03/22/2033
 
47,000
46,589
7.08% 08/02/2053
 
28,000
31,698
Philip Morris International, Inc.
 
4.00% 10/29/2030
 
80,000
79,167
4.63% 10/29/2035
 
41,000
40,059
 
 
197,513
Trading Companies & Distributors-0.04%
Ferguson Enterprises, Inc., 4.35%,
03/15/2031
 
80,000
79,733
Water Utilities-0.01%
American Water Capital Corp., 5.70%,
09/01/2055
 
27,000
26,917
Wireless Telecommunication Services-0.09%
T-Mobile USA, Inc.
 
4.95% 11/15/2035
 
89,000
88,260
5.70% 01/15/2056
 
83,000
80,242
 
 
168,502
Total U.S. Dollar Denominated Bonds & Notes
(Cost $55,502,533)
55,353,727
 
Asset-Backed Securities-19.42%
ALA Trust, Series 2025-OANA, Class B,
5.52% (1 mo. Term SOFR + 1.84%),
06/15/2040(d)(g)
 
100,000
100,910
Angel Oak Mortgage Trust
 
Series 2024-10, Class A1, 5.35%,
10/25/2069(g)
 
341,908
344,552
Series 2024-2, Class A1, 5.99%,
01/25/2069(g)
 
103,954
105,097
Series 2025-2, Class A1, 5.64%,
02/25/2070(g)
 
1,322,141
1,337,476
Ares LIII CLO Ltd. (Cayman Islands),
Series 2019-53A, Class A1R2, 4.76% (3
mo. Term SOFR + 1.09%),
10/24/2036(d)(g)
 
1,800,000
1,802,889
Bain Capital Credit CLO Ltd. (Cayman
Islands), Series 2021-3A, Class AR, 4.73%
(3 mo. Term SOFR + 1.06%),
07/24/2034(d)(g)
 
250,000
250,217
Beechwood Park CLO Ltd. (Jersey),
Series 2019-1A, Class A1RR, 4.74% (3
mo. Term SOFR + 1.07%),
01/17/2035(d)(g)
 
1,780,000
1,783,079
Benchmark Mortgage Trust, Series 2026-
V20, Class AM, 5.44%, 02/15/2059
 
145,000
149,639
BlackRock CLO L.P., Series 2025-2A,
Class A, 5.05% (3 mo. Term SOFR +
1.27%), 11/21/2033(d)(g)
 
1,500,000
1,501,879
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
BSTN Commercial Mortgage Trust,
Series 2025-1C, Class A, 5.55%,
06/15/2044(e)(g)
$
100,000
$102,851
BX Trust
 
Series 2025-VOLT, Class A, 5.38% (1 mo.
Term SOFR + 1.70%), 12/15/2044(d)(g)
 
800,000
805,105
Series 2025-VOLT, Class B, 5.78% (1 mo.
Term SOFR + 2.10%), 12/15/2044(d)(g)
 
925,000
931,563
Carlyle Global Market Strategies CLO Ltd.
(Cayman Islands), Series 2015-5A,
Class A1R4, 4.55% (3 mo. Term SOFR +
0.88%), 01/20/2032(d)(g)
 
822,119
822,733
COLT Mortgage Loan Trust
 
Series 2024-INV2, Class A1, 6.42%,
05/25/2069(g)
 
251,572
255,704
Series 2025-3, Class A1, 5.35%,
03/25/2070(g)
 
269,519
271,726
Series 2025-4, Class A1, 5.79%,
04/25/2070(g)
 
500,436
508,041
Series 2025-8, Class A1, 5.48%,
08/25/2070(g)
 
122,425
123,951
Compass Datacenters Issuer II LLC,
Series 2025-2A, Class A1, 4.93%,
11/25/2050(g)
 
1,430,148
1,425,666
Cross Mortgage Trust
 
Series 2024-H2, Class A1, 6.09%,
04/25/2069(g)
 
117,190
118,538
Series 2025-H5, Class A1, 5.51%,
07/25/2070(e)(g)
 
1,636,853
1,657,049
DB Master Finance LLC
 
Series 2025-1A, Class A2I, 4.89%,
08/20/2055(g)
 
520,000
520,106
Series 2025-1A, Class A2II, 5.17%,
08/20/2055(g)
 
260,000
260,228
EFMT, Series 2025-NQM5, Class A1, 5.03%,
11/25/2070(e)(g)
 
233,414
234,787
GCAT Trust, Series 2025-NQM4, Class A1A,
5.53%, 06/25/2070(g)
 
134,822
136,681
GGP Trust, Series 2026-TY, Class A, 4.67%,
03/05/2043(e)(g)
 
275,000
275,000
GS Mortgage-Backed Securities Corp. Trust,
Series 2025-NQM6, Class A1, 5.02%,
02/25/2066(g)
 
1,085,883
1,090,444
GS Mortgage-Backed Securities Trust
 
Series 2025-HE1, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
10/25/2055(d)(g)
 
1,290,963
1,298,980
Series 2025-HE2, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
12/25/2065(d)(g)
 
2,304,584
2,321,449
Series 2025-NQM5, Class A1, 5.01%,
07/25/2065(g)
 
1,653,792
1,661,666
Series 2026-NQM1, Class A1, 4.87%,
03/25/2066(e)(g)
 
120,000
120,234
Hilton Grand Vacations Trust, Series 2025-
1A, Class A, 4.88%, 05/27/2042(g)
 
36,777
37,302
IP Mortgage Trust, Series 2025-IP, Class A,
5.25%, 06/10/2042(e)(g)
 
100,000
101,883
 
Principal
Amount
Value
 
J.P. Morgan Mortgage Trust
 
Series 2025-NQM3, Class A1, 5.50%,
11/25/2065(e)(g)
$
805,474
$815,081
Series 2025-NQM4, Class A1, 4.95%,
03/25/2066(e)(g)
 
921,968
925,993
Jersey Mike’s Funding, Series 2025-1A,
Class A2, 5.61%, 08/16/2055(g)
 
149,625
152,859
Jersey Mike’s Funding LLC, Series 2024-1A,
Class A2, 5.64%, 02/15/2055(g)
 
74,438
76,074
JP Morgan Mortgage Trust, Series 2024-
VIS1, Class A1, 5.99%, 07/25/2064(e)(g)
 
321,169
324,653
Metronet Infrastructure Issuer LLC,
Series 2025-4A, Class A2, 5.16%,
12/20/2055(g)
 
160,000
161,678
Morgan Stanley Bank of America Merrill
Lynch Trust, Series 2025-5C2, Class B,
5.69%, 11/15/2058(e)
 
1,671,000
1,708,525
Morgan Stanley Residential Mortgage Loan
Trust
 
Series 2025-NQM1, Class A1, 5.74%,
11/25/2069(e)(g)
 
122,225
123,931
Series 2025-NQM8, Class A1, 4.96%,
09/25/2070(e)(g)
 
767,059
770,733
Neuberger Berman Loan Advisers CLO 38
Ltd. (Cayman Islands), Series 2020-38A,
Class AR2, 4.63% (3 mo. Term SOFR +
0.96%), 10/20/2036(d)(g)
 
250,000
250,176
New Residential Mortgage Loan Trust,
Series 2025-NQM2, Class A1, 5.57%,
04/25/2065(g)
 
548,800
556,925
NextGear Floorplan Master Owner Trust,
Series 2025-2A, Class A2, 4.23%,
10/15/2030(g)
 
240,000
241,099
Palmer Square Loan Funding Ltd. (Cayman
Islands), Series 2025-3A, Class A1, 4.66%
(3 mo. Term SOFR + 0.95%),
01/15/2034(d)(g)
 
1,000,000
1,000,334
RCKT Mortgage Trust
 
Series 2025-CES6, Class A1A, 5.47%,
06/25/2055(g)
 
127,139
128,655
Series 2026-CES1, Class A1A, 4.83%,
01/25/2056(g)
 
185,000
185,186
RR 16 Ltd. (Cayman Islands), Series 2021-
16A, Class A1R, 4.72% (3 mo. Term SOFR
+ 1.05%), 07/15/2036(d)(g)
 
800,000
800,512
SHRN Trust, Series 2025-MF18, Class C,
5.38% (1 mo. Term SOFR + 1.70%),
10/15/2040(d)(g)
 
500,000
502,403
Sonic Capital LLC, Series 2020-1A,
Class A2I, 3.85%, 01/20/2050(g)
 
614,792
609,393
Switch ABS Issuer LLC, Series 2025-2A,
Class A21, 5.12%, 10/25/2055(g)
 
760,000
758,828
Symphony CLO XXIV Ltd. (Cayman Islands),
Series 2020-24A, Class A1R, 4.80% (3
mo. Term SOFR + 1.13%),
10/23/2035(d)(g)
 
200,000
200,170
Thayer Park, CLO Ltd., Series 2017-1A,
Class A1RR, 4.67% (3 mo. Term SOFR +
1.00%), 04/20/2034(d)(g)
 
855,000
856,539
Vantage Data Centers Issuer LLC,
Series 2025-2A, Class A2, 5.24%,
11/15/2055(g)
 
700,000
695,941
See accompanying notes which are an integral part of this schedule.

Invesco Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
VDCM Commercial Mortgage Trust
 
Series 2025-AZ, Class A, 5.23%,
07/13/2044(e)(g)
$
50,000
$50,562
Series 2025-AZ, Class B, 5.48%,
07/13/2044(e)(g)
 
150,000
151,882
Voya CLO Ltd. (Cayman Islands),
Series 2021-1A, Class AR, 4.67% (3 mo.
Term SOFR + 1.00%), 07/15/2034(d)(g)
 
350,000
350,131
WEST Trust, Series 2025-ROSE, Class A,
5.28%, 04/10/2035(e)(g)
 
150,000
152,418
Whetstone Park CLO Ltd., Series 2021-1A,
Class A1R, 4.74% (3 mo. Term SOFR +
1.07%), 01/20/2035(d)(g)
 
300,000
300,560
Zayo Issuer LLC, Series 2025-2A, Class A2,
5.95%, 06/20/2055(g)
 
650,000
668,337
Total Asset-Backed Securities
(Cost $35,895,280)
35,977,003
 
Agency Credit Risk Transfer Notes-0.26%
Freddie Mac, Series 2025-DNA4, Class A1,
STACR®, 4.60% (30 Day Average SOFR +
0.90%), 10/25/2045(d)(g)(l)
(Cost $488,125)
 
488,125
488,556
 
Shares
 
Money Market Funds-10.02%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(m)(n)
(Cost $18,570,802)
 
18,570,802
18,570,802
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-127.61%
(Cost $236,782,517)
236,474,803
 
Shares
Value
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-0.38%
Invesco Private Government Fund,
3.65%(m)(n)(o)
 
201,437
$201,437
Invesco Private Prime Fund, 3.80%(m)(n)(o)
 
512,724
512,878
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $714,315)
714,315
TOTAL INVESTMENTS IN SECURITIES-127.99%
(Cost $237,496,832)
237,189,118
OTHER ASSETS LESS LIABILITIES-(27.99)%
(51,874,471
)
NET ASSETS-100.00%
$185,314,647
Investment Abbreviations:
Ctfs.
-Certificates
REIT
-Real Estate Investment Trust
SOFR
-Secured Overnight Financing Rate
STACR®
-Structured Agency Credit Risk
TBA
-To Be Announced
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Security traded on a discount basis. The interest rate shown represents the discount rate at the time of purchase by the Fund.
(c)
All or a portion of the value was pledged as collateral to cover margin requirements for futures contracts.
(d)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on January 31, 2026.
(e)
Interest rate is redetermined periodically based on the cash flows generated by the pool of assets backing the security, less any applicable fees. The rate
shown is the rate in effect on January 31, 2026.
(f)
Security purchased on a forward commitment basis. This security is subject to dollar roll transactions.
(g)
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 $50,618,987, which represented 27.32% of the Fund’s Net Assets.
(h)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(i)
All or a portion of this security was out on loan at January 31, 2026.
(j)
Perpetual bond with no specified maturity date.
(k)
Security valued using significant unobservable inputs (Level 3). See Note1.
(l)
Principal payments are determined by the delinquency and principal payment experience on the STACR® reference pool. Freddie Mac transfers credit risk from
the mortgages in the reference pool to credit investors who invest in the STACR® debt notes.
(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 Core Fixed Income ETF (GTOC)—(continued)
January 31, 2026
(Unaudited)
 
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
$35,553,401
$124,332,799
$(141,315,398
)
$-
$-
$18,570,802
$208,972
Investments
Purchased with Cash
Collateral from
Securities on Loan:
Invesco Private
Government Fund
459,793
1,147,302
(1,405,658
)
-
-
201,437
1,989
*
Invesco Private Prime
Fund
1,314,677
1,917,993
(2,719,793
)
22
(21
)
512,878
5,556
*
Total
$37,327,871
$127,398,094
$(145,440,849
)
$22
$(21
)
$19,285,117
$216,517
*
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.
Open Futures Contracts(a)
Long Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
Interest Rate Risk
 
U.S. Treasury 2 Year Notes
107
March-2026
$22,308,664
$(19,621
)
$(19,621
)
Short Futures Contracts
 
 
 
 
 
Interest Rate Risk
 
U.S. Treasury 5 Year Notes
58
March-2026
(6,317,922
)
6,638
6,638
U.S. Treasury 10 Year Notes
66
March-2026
(7,380,656
)
40,177
40,177
U.S. Treasury 10 Year Ultra Notes
8
March-2026
(913,250
)
3,000
3,000
U.S. Treasury Long Bonds
4
March-2026
(460,500
)
(4,000
)
(4,000
)
U.S. Treasury Ultra Bonds
11
March-2026
(1,291,813
)
2,406
2,406
Subtotal—Short Futures Contracts
 
48,221
48,221
Total Futures Contracts
$28,600
$28,600
(a)
Futures contracts collateralized by $14,900 cash held with Morgan Stanley & Co. LLC, the futures commission merchant.
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(a)
Invesco Global Equity Net Zero ETF (IQSZ)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-99.69%
Advertising-0.07%
Informa PLC (United Kingdom)
 
8,939
$108,182
Aerospace & Defense-0.20%
Aselsan Elektronik Sanayi Ve Ticaret A.S.
(Turkey)
 
10,452
73,128
Howmet Aerospace, Inc.
 
1,169
243,245
 
 
316,373
Agricultural Products & Services-0.16%
Archer-Daniels-Midland Co.
 
3,671
247,095
Air Freight & Logistics-0.71%
Deutsche Post AG (Germany)
 
4,934
276,952
FedEx Corp.
 
1,378
444,061
Nippon Express Holdings, Inc., Class H (Japan)
 
7,375
168,063
United Parcel Service, Inc., Class B
 
2,103
223,381
 
 
1,112,457
Airport Services-0.31%
Aena S.M.E. S.A. (Spain)(b)
 
12,099
377,129
Grupo Aeroportuario del Sureste S.A.B. de
C.V., ADR (Mexico)
 
302
104,229
 
 
481,358
Apparel Retail-0.89%
Fast Retailing Co. Ltd. (Japan)
 
300
114,831
Industria de Diseno Textil S.A. (Spain)
 
2,822
184,294
Ross Stores, Inc.
 
1,847
348,436
TJX Cos., Inc. (The)
 
5,028
753,245
 
 
1,400,806
Apparel, Accessories & Luxury Goods-0.83%
adidas AG (Germany)
 
545
96,981
ANTA Sports Products Ltd. (China)
 
8,105
80,993
Hermes International S.C.A. (France)
 
43
103,833
Kering S.A. (France)
 
521
163,235
LVMH Moet Hennessy Louis Vuitton SE
(France)
 
656
424,922
Ralph Lauren Corp.
 
927
327,611
Tapestry, Inc.
 
840
106,605
 
 
1,304,180
Application Software-1.64%
Adobe, Inc.(c)
 
1,176
344,862
Atlassian Corp., Class A(c)
 
1,539
181,879
Autodesk, Inc.(c)
 
818
206,848
DocuSign, Inc.(c)
 
3,249
170,702
Intuit, Inc.
 
689
343,755
Palantir Technologies, Inc., Class A(c)
 
3,142
460,586
Salesforce, Inc.
 
1,882
399,530
Synopsys, Inc.(c)
 
218
101,395
Workday, Inc., Class A(c)
 
586
102,919
Zoom Communications, Inc., Class A(c)
 
2,808
258,617
 
 
2,571,093
Asset Management & Custody Banks-1.23%
Ameriprise Financial, Inc.
 
288
151,831
Bank of New York Mellon Corp. (The)
 
6,571
787,994
Brookfield Corp. (Canada)
 
3,237
148,374
Northern Trust Corp.
 
1,743
260,456
St. James’s Place PLC (United Kingdom)
 
5,854
122,611
State Street Corp.
 
3,532
462,198
 
 
1,933,464
 
Shares
Value
Automobile Manufacturers-1.84%
Ford Motor Co.
 
14,125
$196,055
Geely Automobile Holdings Ltd. (China)
 
79,478
163,655
General Motors Co.
 
3,736
313,824
Kia Corp. (South Korea)
 
1,475
156,945
Subaru Corp. (Japan)
 
5,122
110,316
Tesla, Inc.(c)
 
4,222
1,817,191
Toyota Motor Corp. (Japan)
 
5,668
128,885
 
 
2,886,871
Automotive Parts & Equipment-0.35%
Aisin Corp. (Japan)
 
7,694
138,285
Aptiv PLC(c)
 
1,605
121,579
Hyundai Mobis Co. Ltd. (South Korea)
 
427
133,419
Sumitomo Electric Industries Ltd. (Japan)
 
3,400
149,333
 
 
542,616
Automotive Retail-0.09%
O’Reilly Automotive, Inc.(c)
 
1,379
135,707
Biotechnology-1.35%
AbbVie, Inc.
 
3,432
765,370
Amgen, Inc.
 
1,721
588,376
Biogen, Inc.(c)
 
602
108,294
Gilead Sciences, Inc.
 
3,139
445,581
Incyte Corp.(c)
 
2,063
206,444
 
 
2,114,065
Brewers-0.25%
Anheuser-Busch InBev S.A./N.V. (Belgium)
 
3,034
219,189
Asahi Group Holdings Ltd. (Japan)
 
7,412
77,847
Heineken N.V. (Netherlands)
 
1,179
97,679
 
 
394,715
Broadline Retail-3.36%
Alibaba Group Holding Ltd. (China)
 
24,608
523,661
Amazon.com, Inc.(c)
 
16,437
3,933,374
eBay, Inc.
 
2,984
272,201
Naspers Ltd. (South Africa)
 
2,668
164,533
Prosus N.V. (Netherlands)(c)
 
3,016
174,053
Wesfarmers Ltd. (Australia)
 
3,304
191,746
 
 
5,259,568
Building Products-0.73%
Allegion PLC
 
1,492
246,762
Carlisle Cos., Inc.
 
233
79,427
Daikin Industries Ltd. (Japan)
 
900
108,197
Johnson Controls International PLC
 
2,845
339,295
Trane Technologies PLC
 
864
363,381
 
 
1,137,062
Cable & Satellite-0.20%
Comcast Corp., Class A
 
10,508
312,613
Commodity Chemicals-0.08%
Orica Ltd. (Australia)
 
7,266
130,219
Communications Equipment-1.01%
Arista Networks, Inc.(c)
 
2,046
290,000
Ciena Corp.(c)
 
1,103
277,747
Cisco Systems, Inc.
 
9,545
747,564
Nokia OYJ (Finland)
 
23,081
149,202
Telefonaktiebolaget LM Ericsson, Class B
(Sweden)
 
10,856
118,306
 
 
1,582,819
Computer & Electronics Retail-0.12%
Best Buy Co., Inc.
 
2,802
182,410
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Construction & Engineering-2.26%
ACS Actividades de Construccion y Servicios
S.A. (Spain)
 
4,919
$553,896
AECOM
 
1,662
160,267
AtkinsRealis Group, Inc. (Canada)
 
1,422
100,348
Bouygues S.A. (France)
 
8,457
458,792
Eiffage S.A. (France)
 
2,420
360,206
EMCOR Group, Inc.
 
389
280,364
Ferrovial SE
 
2,033
137,817
Gamuda Bhd. (Malaysia)
 
81,232
91,332
HOCHTIEF AG (Germany)
 
322
135,519
Shimizu Corp. (Japan)
 
14,017
249,734
Skanska AB, Class B (Sweden)
 
4,066
124,264
Stantec, Inc. (Canada)
 
886
88,289
United Integrated Services Co. Ltd. (Taiwan)
 
3,641
103,827
Vinci S.A. (France)
 
3,763
543,025
WSP Global, Inc. (Canada)
 
777
151,039
 
 
3,538,719
Construction Machinery & Heavy Transportation Equipment-0.75%
Cummins, Inc.
 
748
432,957
HD Hyundai Heavy Industries Co. Ltd. (South
Korea)
 
261
103,886
HD Korea Shipbuilding & Offshore Engineering
Co. Ltd. (South Korea)
 
402
115,146
KION Group AG (Germany)
 
1,538
109,031
Komatsu Ltd. (Japan)
 
3,931
150,948
Samsung Heavy Industries Co. Ltd. (South
Korea)(c)
 
5,276
107,531
Weichai Power Co. Ltd., H Shares (China)
 
47,589
161,359
 
 
1,180,858
Construction Materials-0.12%
CRH PLC
 
1,539
188,389
Consumer Electronics-0.28%
Panasonic Holdings Corp. (Japan)
 
12,509
172,063
Sony Group Corp. (Japan)
 
11,688
258,531
 
 
430,594
Consumer Finance-0.25%
American Express Co.
 
1,091
384,218
Consumer Staples Merchandise Retail-0.91%
Carrefour S.A. (France)
 
6,597
108,445
Dollar Tree, Inc.(c)
 
2,169
255,053
Wal-Mart de Mexico S.A.B. de C.V., Series V
(Mexico)
 
55,927
178,804
Walmart, Inc.
 
7,463
889,142
 
 
1,431,444
Copper-0.18%
Freeport-McMoRan, Inc.
 
1,809
108,956
Southern Copper Corp. (Mexico)
 
923
175,665
 
 
284,621
Data Processing & Outsourced Services-0.16%
Broadridge Financial Solutions, Inc.
 
769
151,578
SS&C Technologies Holdings, Inc.
 
1,272
104,164
 
 
255,742
Diversified Banks-8.81%
ABN AMRO Bank N.V., CVA (Netherlands)(b)
 
3,142
116,182
Absa Group Ltd. (South Africa)
 
9,693
153,845
AIB Group PLC (Ireland)(c)
 
9,673
108,518
ANZ Group Holdings Ltd. (Australia)
 
4,440
113,636
Banco Bilbao Vizcaya Argentaria S.A. (Spain)
 
10,667
271,750
 
Shares
Value
Diversified Banks-(continued)
Banco Bradesco S.A., ADR (Brazil)
 
31,393
$127,142
Banco Santander S.A. (Spain)
 
46,438
595,075
Bank of America Corp.
 
20,049
1,066,607
Bank of China Ltd., H Shares (China)
 
156,956
93,760
Bank of Montreal (Canada)
 
811
111,018
Bank Polska Kasa Opieki S.A. (Poland)
 
1,732
105,833
Barclays PLC (United Kingdom)
 
41,105
275,120
BOC Hong Kong (Holdings) Ltd. (China)
 
15,227
80,210
CaixaBank S.A. (Spain)
 
6,163
81,648
Canadian Imperial Bank of Commerce
(Canada)
 
2,282
212,064
Citigroup, Inc.
 
9,883
1,143,562
CTBC Financial Holding Co. Ltd. (Taiwan)
 
61,297
98,758
Danske Bank A/S (Denmark)
 
3,090
158,010
E.Sun Financial Holding Co. Ltd. (Taiwan)
 
98,573
104,382
First Abu Dhabi Bank PJSC (United Arab
Emirates)
 
20,433
103,524
First Financial Holding Co. Ltd. (Taiwan)
 
155,128
141,619
Grupo Financiero Banorte S.A.B. de C.V.,
Class O (Mexico)
 
15,200
173,117
Hana Financial Group, Inc. (South Korea)
 
2,542
176,623
HSBC Holdings PLC (United Kingdom)
 
24,604
435,275
ICICI Bank Ltd., ADR (India)
 
26,223
768,072
Industrial & Commercial Bank of China Ltd., H
Shares (China)
 
267,000
221,544
ING Groep N.V. (Netherlands)
 
12,969
383,855
Itau Unibanco Holding S.A., ADR (Brazil)
 
32,262
277,130
JPMorgan Chase & Co.
 
4,558
1,394,247
Jyske Bank A/S (Denmark)
 
1,404
205,073
KB Financial Group, Inc. (South Korea)
 
1,333
124,768
Lloyds Banking Group PLC (United Kingdom)
 
90,216
135,095
Malayan Banking Bhd. (Malaysia)
 
41,029
122,795
Mitsubishi UFJ Financial Group, Inc. (Japan)
 
8,994
163,413
Mizuho Financial Group, Inc. (Japan)
 
3,374
146,967
National Australia Bank Ltd. (Australia)
 
4,691
141,765
NatWest Group PLC (United Kingdom)
 
26,366
241,006
Nordea Bank Abp (Finland)
 
19,140
371,134
Shinhan Financial Group Co. Ltd. (South
Korea)
 
3,435
200,754
Standard Chartered PLC (United Kingdom)
 
5,223
134,019
Sumitomo Mitsui Financial Group, Inc. (Japan)
 
3,472
122,577
Sumitomo Mitsui Trust Group, Inc. (Japan)
 
6,778
227,111
Toronto-Dominion Bank (The) (Canada)
 
10,274
965,528
U.S. Bancorp
 
7,994
448,543
UniCredit S.p.A. (Italy)
 
1,088
95,159
Wells Fargo & Co.
 
7,020
635,240
Westpac Banking Corp. (Australia)
 
4,042
109,260
Woori Financial Group, Inc. (South Korea)
 
5,718
119,614
 
 
13,801,947
Diversified Capital Markets-0.45%
Deutsche Bank AG (Germany)
 
8,462
335,131
UBS Group AG (Switzerland)
 
7,652
363,468
 
 
698,599
Diversified Chemicals-0.14%
Mitsubishi Chemical Group Corp. (Japan)
 
17,869
118,357
Sumitomo Chemical Co. Ltd. (Japan)
 
32,800
100,105
 
 
218,462
Diversified Metals & Mining-0.91%
Anglo American PLC (South Africa)
 
3,091
143,731
BHP Group Ltd. (Australia)
 
15,590
540,195
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Diversified Metals & Mining-(continued)
CMOC Group Ltd., H Shares (China)
 
48,000
$134,949
Grupo Mexico S.A.B. de C.V., Class B (Mexico)
 
28,371
317,369
Rio Tinto PLC (Australia)
 
1,737
158,926
Saudi Arabian Mining Co. (Saudi Arabia)(c)
 
1
20
Teck Resources Ltd., Class B (Canada)
 
2,339
126,230
 
 
1,421,420
Diversified Real Estate Activities-0.15%
Daiwa House Industry Co. Ltd. (Japan)
 
2,888
98,725
Mitsubishi Estate Co. Ltd. (Japan)
 
5,561
142,187
 
 
240,912
Diversified Support Services-0.41%
Brambles Ltd. (Australia)
 
12,524
195,579
Elis S.A. (France)
 
6,460
188,243
ISS A/S (Denmark)
 
6,767
257,583
 
 
641,405
Drug Retail-0.06%
Clicks Group Ltd. (South Africa)
 
4,583
91,967
Electric Utilities-1.47%
Acciona S.A. (Spain)
 
494
106,554
American Electric Power Co., Inc.
 
888
106,360
CLP Holdings Ltd. (Hong Kong)
 
14,000
132,376
Constellation Energy Corp.
 
311
87,291
Edison International
 
2,781
173,201
Enel S.p.A. (Italy)
 
45,241
501,661
Eversource Energy
 
1,551
107,221
Exelon Corp.
 
4,710
210,914
Iberdrola S.A. (Spain)
 
11,147
251,525
Iberdrola S.A., Rts., expiring 03/31/2026
(Spain)(c)
 
7,570
2,334
NRG Energy, Inc.
 
3,443
525,505
Tenaga Nasional Bhd. (Malaysia)
 
29,600
104,728
 
 
2,309,670
Electrical Components & Equipment-0.95%
ABB Ltd. (Switzerland)
 
4,112
355,415
Acuity, Inc.
 
380
117,511
Eaton Corp. PLC
 
391
137,405
Emerson Electric Co.
 
2,028
298,035
NKT A/S (Denmark)(c)
 
1,177
154,503
Rockwell Automation, Inc.
 
724
305,275
Schneider Electric SE (France)
 
409
117,686
 
 
1,485,830
Electronic Components-0.27%
Delta Electronics, Inc. (Taiwan)
 
6,340
241,949
Murata Manufacturing Co. Ltd. (Japan)
 
8,900
181,395
 
 
423,344
Electronic Equipment & Instruments-0.39%
Halma PLC (United Kingdom)
 
5,419
263,944
Hexagon AB, Class B (Sweden)
 
9,306
105,580
Keysight Technologies, Inc.(c)
 
1,143
247,265
 
 
616,789
Electronic Manufacturing Services-0.42%
Flex Ltd.(c)
 
3,976
250,647
Hon Hai Precision Industry Co. Ltd. (Taiwan)
 
19,779
136,721
Jabil, Inc.
 
1,141
270,634
 
 
658,002
Fertilizers & Agricultural Chemicals-0.44%
CF Industries Holdings, Inc.
 
2,888
269,248
 
Shares
Value
Fertilizers & Agricultural Chemicals-(continued)
Corteva, Inc.
 
4,231
$308,017
Yara International ASA (Brazil)
 
2,568
118,419
 
 
695,684
Financial Exchanges & Data-0.68%
Hong Kong Exchanges & Clearing Ltd. (Hong
Kong)
 
1,522
83,935
Moody’s Corp.
 
189
97,441
Nasdaq, Inc.
 
4,533
439,203
S&P Global, Inc.
 
648
342,008
Singapore Exchange Ltd. (Singapore)
 
7,704
107,008
 
 
1,069,595
Food Retail-0.35%
Empire Co. Ltd., Class A (Canada)
 
2,566
84,286
George Weston Ltd. (Canada)
 
1,397
97,975
J Sainsbury PLC (United Kingdom)
 
43,323
190,370
Koninklijke Ahold Delhaize N.V. (Netherlands)
 
2,245
88,098
Tesco PLC (United Kingdom)
 
14,381
83,919
 
 
544,648
Footwear-0.06%
Asics Corp. (Japan)
 
3,868
93,415
Gas Utilities-0.29%
ENN Energy Holdings Ltd. (China)
 
12,700
109,365
Italgas S.p.A. (Italy)
 
20,007
241,240
Tokyo Gas Co. Ltd. (Japan)
 
2,181
97,075
 
 
447,680
Gold-0.67%
Agnico Eagle Mines Ltd. (Canada)
 
1,691
323,228
Franco-Nevada Corp. (Canada)
 
420
98,860
Gold Fields Ltd., ADR (South Africa)
 
2,362
118,383
Lundin Gold, Inc. (Canada)
 
2,031
153,103
Newmont Corp.
 
3,189
358,284
 
 
1,051,858
Health Care Distributors-0.23%
Cardinal Health, Inc.
 
1,707
366,800
Health Care Equipment-0.92%
Boston Scientific Corp.(c)
 
3,178
297,238
Edwards Lifesciences Corp.(c)
 
1,210
98,445
Medtronic PLC
 
3,271
336,782
Olympus Corp. (Japan)
 
9,200
110,246
ResMed, Inc.
 
510
131,738
Smith & Nephew PLC (United Kingdom)
 
6,281
107,354
Stryker Corp.
 
721
266,453
Zimmer Biomet Holdings, Inc.
 
997
86,809
 
 
1,435,065
Health Care Facilities-0.28%
Rede D’Or Sao Luiz S.A. (Brazil)(b)
 
23,948
193,897
Universal Health Services, Inc., Class B
 
1,214
244,329
 
 
438,226
Health Care Services-0.39%
Cigna Group (The)
 
504
138,151
CVS Health Corp.
 
2,924
217,897
Fresenius Medical Care AG (Germany)
 
3,218
145,397
Fresenius SE & Co. KGaA (Germany)
 
1,924
108,015
 
 
609,460
Health Care Supplies-0.10%
EssilorLuxottica S.A. (France)
 
514
157,698
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Heavy Electrical Equipment-0.48%
GE Vernova, Inc.
 
400
$290,548
Mitsubishi Electric Corp. (Japan)
 
4,813
150,951
Siemens Energy AG, Class A (Germany)(c)
 
836
142,955
Vestas Wind Systems A/S (Denmark)
 
5,698
173,351
 
 
757,805
Home Improvement Retail-0.49%
Kingfisher PLC (United Kingdom)
 
24,279
112,206
Lowe’s Cos., Inc.
 
2,460
656,968
 
 
769,174
Homefurnishing Retail-0.20%
Williams-Sonoma, Inc.
 
1,507
308,408
Hotel & Resort REITs-0.22%
Host Hotels & Resorts, Inc.
 
18,476
342,360
Hotels, Resorts & Cruise Lines-1.54%
Airbnb, Inc., Class A(c)
 
1,546
200,006
Amadeus IT Group S.A. (Spain)
 
1,426
95,956
Booking Holdings, Inc.
 
163
815,300
Carnival Corp.(c)
 
11,418
342,768
Expedia Group, Inc.
 
1,945
515,114
H World Group Ltd., ADR (China)
 
2,175
103,334
Royal Caribbean Cruises Ltd.
 
443
143,820
Trip.com Group Ltd. (China)
 
1,300
79,813
TUI AG (Germany)(c)
 
10,377
111,041
 
 
2,407,152
Household Products-0.77%
Colgate-Palmolive Co.
 
2,673
241,345
Essity AB, Class B (Sweden)
 
6,864
204,502
Procter & Gamble Co. (The)
 
3,287
498,868
Reckitt Benckiser Group PLC (United
Kingdom)
 
3,204
268,069
 
 
1,212,784
Human Resource & Employment Services-0.07%
Recruit Holdings Co. Ltd. (Japan)
 
2,100
110,974
Independent Power Producers & Energy Traders-0.07%
AES Corp. (The)
 
7,462
109,318
Industrial Conglomerates-0.76%
CITIC Ltd. (China)
 
66,000
105,512
CK Hutchison Holdings Ltd. (Hong Kong)
 
25,500
205,677
Hitachi Ltd. (Japan)
 
6,992
243,410
PT Astra International Tbk (Indonesia)
 
452,500
171,575
Samsung C&T Corp. (South Korea)
 
490
102,143
Siemens AG (Germany)
 
867
263,071
Smiths Group PLC (United Kingdom)
 
3,092
106,488
 
 
1,197,876
Industrial Gases-0.17%
Linde PLC
 
588
268,698
Industrial Machinery & Supplies & Components-1.48%
Daifuku Co. Ltd. (Japan)
 
3,850
138,560
Dover Corp.
 
441
88,857
FANUC Corp. (Japan)
 
3,933
158,440
GEA Group AG (Germany)
 
1,393
99,965
Kone OYJ, Class B (Finland)
 
2,548
183,776
Konecranes OYJ (Finland)
 
1,178
139,227
Parker-Hannifin Corp.
 
668
625,141
Pentair PLC
 
1,654
174,282
Sandvik AB (Sweden)
 
10,236
406,705
 
Shares
Value
Industrial Machinery & Supplies & Components-(continued)
Schindler Holding AG, PC (Switzerland)
 
355
$137,508
Xylem, Inc.
 
1,205
166,133
 
 
2,318,594
Industrial REITs-0.12%
Prologis, Inc.
 
1,437
187,615
Insurance Brokers-0.11%
Willis Towers Watson PLC
 
521
165,402
Integrated Oil & Gas-2.44%
BP PLC
 
39,611
251,872
Chevron Corp.
 
2,807
496,558
Exxon Mobil Corp.
 
8,434
1,192,568
OMV AG (Austria)
 
2,459
146,614
Petroleo Brasileiro S.A., Preference Shares
(Brazil)
 
65,586
473,021
Saudi Arabian Oil Co. (Saudi Arabia)(b)
 
50,188
345,004
Shell PLC (United Kingdom)
 
11,852
456,884
Suncor Energy, Inc. (Canada)
 
8,760
465,574
 
 
3,828,095
Integrated Telecommunication Services-0.87%
AT&T, Inc.
 
20,663
541,577
Chunghwa Telecom Co. Ltd. (Taiwan)
 
26,000
110,251
Deutsche Telekom AG (Germany)
 
3,092
104,139
NTT, Inc. (Japan)
 
112,800
113,718
Orange S.A. (France)
 
6,033
112,561
Telenor ASA (Norway)
 
9,301
157,260
Verizon Communications, Inc.
 
5,016
223,312
 
 
1,362,818
Interactive Home Entertainment-0.13%
Electronic Arts, Inc.
 
963
196,375
Interactive Media & Services-6.22%
Alphabet, Inc., Class A
 
9,502
3,211,676
Alphabet, Inc., Class C
 
8,479
2,870,396
LY Corp. (Japan)
 
33,386
85,759
Meta Platforms, Inc., Class A
 
3,639
2,607,344
Tencent Holdings Ltd. (China)
 
12,631
971,140
 
 
9,746,315
Internet Services & Infrastructure-0.25%
MongoDB, Inc.(c)
 
245
90,976
Okta, Inc.(c)(d)
 
1,219
102,981
Shopify, Inc., Class A (Canada)(c)
 
1,493
196,990
 
 
390,947
Investment Banking & Brokerage-1.67%
Goldman Sachs Group, Inc. (The)
 
1,221
1,142,136
Morgan Stanley
 
6,258
1,143,962
Nomura Holdings, Inc. (Japan)
 
35,560
323,301
 
 
2,609,399
IT Consulting & Other Services-0.97%
Accenture PLC, Class A
 
913
240,704
Amdocs Ltd.
 
1,002
82,104
Cognizant Technology Solutions Corp.,
Class A
 
1,754
143,933
Infosys Ltd., ADR (India)(d)
 
29,252
514,250
International Business Machines Corp.
 
1,384
424,473
NEC Corp. (Japan)
 
3,180
108,150
 
 
1,513,614
Leisure Products-0.05%
Bandai Namco Holdings, Inc. (Japan)
 
2,996
77,994
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Life & Health Insurance-1.90%
Aflac, Inc.
 
900
$99,855
Cathay Financial Holding Co. Ltd. (Taiwan)
 
44,000
104,829
Dai-ichi Life Holdings, Inc. (Japan)
 
11,902
105,007
Discovery Ltd. (South Africa)
 
7,565
111,103
Fubon Financial Holding Co. Ltd. (Taiwan)
 
35,000
100,505
Great-West Lifeco, Inc. (Canada)
 
2,245
105,672
Japan Post Holdings Co. Ltd. (Japan)
 
18,611
224,669
Japan Post Insurance Co. Ltd. (Japan)
 
4,086
126,962
Legal & General Group PLC (United Kingdom)
 
32,036
116,648
MetLife, Inc.
 
4,870
384,146
NN Group N.V. (Netherlands)
 
1,556
123,787
Phoenix Group Holdings PLC (United
Kingdom)
 
10,860
110,387
Ping An Insurance (Group) Co. of China Ltd., H
Shares (China)
 
22,338
207,257
Poste Italiane S.p.A. (Italy)(b)
 
14,276
377,368
Power Corp. of Canada (Canada)
 
3,436
174,242
Principal Financial Group, Inc.
 
1,118
105,897
Prudential Financial, Inc.
 
2,306
256,220
Prudential PLC (Hong Kong)
 
9,051
149,089
 
 
2,983,643
Life Sciences Tools & Services-0.28%
Illumina, Inc.(c)
 
946
136,990
IQVIA Holdings, Inc.(c)
 
565
130,035
Thermo Fisher Scientific, Inc.
 
307
177,633
 
 
444,658
Managed Health Care-0.15%
UnitedHealth Group, Inc.
 
829
237,865
Marine Ports & Services-0.08%
International Container Terminal Services, Inc.
(Philippines)
 
11,390
124,754
Marine Transportation-0.40%
A.P. Moller - Maersk A/S, Class B(d)
 
70
173,729
Evergreen Marine Corp. Taiwan Ltd. (Taiwan)
 
32,253
190,493
Orient Overseas International Ltd. (Hong
Kong)(d)
 
9,367
153,508
SITC International Holdings Co. Ltd. (China)
 
31,000
115,795
 
 
633,525
Metal, Glass & Plastic Containers-0.36%
CCL Industries, Inc., Class B (Canada)
 
1,603
97,140
Crown Holdings, Inc.
 
4,532
474,410
 
 
571,550
Movies & Entertainment-0.76%
Netflix, Inc.(c)
 
6,569
548,446
Walt Disney Co. (The)
 
5,713
644,426
 
 
1,192,872
Multi-line Insurance-0.62%
Allianz SE (Germany)
 
684
302,273
Assicurazioni Generali S.p.A. (Italy)
 
2,339
95,755
AXA S.A. (France)
 
8,813
403,323
Mapfre S.A. (Spain)
 
37,493
172,181
 
 
973,532
Multi-Utilities-0.32%
ENGIE S.A. (France)
 
9,012
270,042
National Grid PLC (United Kingdom)
 
6,676
113,746
NiSource, Inc.
 
2,782
123,215
 
 
507,003
 
Shares
Value
Oil & Gas Equipment & Services-0.14%
Baker Hughes Co., Class A
 
2,354
$131,918
Technip Energies N.V. (France)
 
2,294
90,227
 
 
222,145
Oil & Gas Exploration & Production-1.11%
Aker BP ASA (Norway)
 
4,709
139,077
ConocoPhillips
 
2,627
273,812
Devon Energy Corp.
 
8,703
349,948
EOG Resources, Inc.
 
3,943
442,129
EQT Corp.
 
2,522
145,595
Expand Energy Corp.
 
870
97,797
Var Energi ASA (Norway)
 
29,431
107,965
Woodside Energy Group Ltd. (Australia)
 
10,302
182,994
 
 
1,739,317
Oil & Gas Refining & Marketing-0.56%
Idemitsu Kosan Co. Ltd. (Japan)
 
14,300
121,732
ORLEN S.A. (Poland)
 
10,913
333,236
Valero Energy Corp.
 
2,297
416,745
 
 
871,713
Oil & Gas Storage & Transportation-0.20%
Enbridge, Inc. (Canada)
 
3,504
171,998
Williams Cos., Inc. (The)
 
2,148
144,474
 
 
316,472
Other Specialty Retail-0.08%
Avolta AG (Switzerland)(c)
 
1,984
121,937
Packaged Foods & Meats-0.74%
Danone S.A. (France)
 
2,249
176,871
Nestle S.A. (Switzerland)
 
4,722
452,360
Orkla ASA (Norway)
 
17,218
205,537
Tyson Foods, Inc., Class A
 
3,180
207,750
WH Group Ltd. (Hong Kong)
 
98,545
116,328
 
 
1,158,846
Passenger Airlines-0.56%
ANA Holdings, Inc. (Japan)
 
5,500
107,128
China Airlines Ltd. (Taiwan)
 
233,664
164,380
Delta Air Lines, Inc.
 
1,481
97,583
Eva Airways Corp. (Taiwan)
 
80,000
94,691
LATAM Airlines Group S.A. (Chile)
 
6,247,512
205,208
United Airlines Holdings, Inc.(c)
 
2,028
207,505
 
 
876,495
Passenger Ground Transportation-0.23%
Uber Technologies, Inc.(c)
 
4,411
353,101
Personal Care Products-0.22%
L’Oreal S.A. (France)
 
756
348,596
Pharmaceuticals-4.28%
Astellas Pharma, Inc. (Japan)
 
8,000
111,640
AstraZeneca PLC (United Kingdom)
 
1,957
365,656
Bayer AG (Germany)
 
2,641
140,194
Bristol-Myers Squibb Co.
 
7,896
434,675
Chugai Pharmaceutical Co. Ltd. (Japan)
 
2,032
116,446
Eli Lilly and Co.
 
1,252
1,298,512
GSK PLC
 
13,265
344,033
Johnson & Johnson
 
6,017
1,367,363
Merck & Co., Inc.
 
3,957
436,338
Novartis AG
 
4,690
698,565
Novo Nordisk A/S, Class B (Denmark)
 
2,644
157,578
Pfizer, Inc.
 
10,366
274,077
Roche Holding AG (Switzerland)
 
1,117
509,923
Sanofi S.A.
 
1,912
181,001
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Pharmaceuticals-(continued)
Shionogi & Co. Ltd. (Japan)
 
7,694
$158,927
Zoetis, Inc.
 
880
109,842
 
 
6,704,770
Precious Metals & Minerals-0.06%
Valterra Platinum Ltd. (South Africa)
 
988
89,413
Property & Casualty Insurance-1.61%
Allstate Corp. (The)
 
2,272
452,105
American International Group, Inc.
 
6,381
477,809
Hartford Insurance Group, Inc. (The)
 
3,789
511,742
Progressive Corp. (The)
 
649
134,992
QBE Insurance Group Ltd. (Australia)
 
16,861
232,487
Sompo Holdings, Inc. (Japan)
 
3,850
133,196
Travelers Cos., Inc. (The)
 
2,044
581,539
 
 
2,523,870
Publishing-0.08%
New York Times Co. (The), Class A
 
1,627
119,275
Rail Transportation-0.83%
Central Japan Railway Co. (Japan)
 
13,418
375,550
East Japan Railway Co. (Japan)
 
10,748
270,695
Seibu Holdings, Inc. (Japan)
 
5,096
135,462
Tokyu Corp. (Japan)
 
8,231
93,229
Union Pacific Corp.
 
1,084
254,849
West Japan Railway Co. (Japan)
 
8,591
176,121
 
 
1,305,906
Real Estate Services-0.07%
CBRE Group, Inc., Class A(c)
 
665
113,269
Regional Banks-0.26%
Citizens Financial Group, Inc.
 
1,934
121,803
Truist Financial Corp.
 
5,502
282,913
 
 
404,716
Research & Consulting Services-0.13%
TransUnion
 
1,004
79,336
Verisk Analytics, Inc.
 
582
126,562
 
 
205,898
Restaurants-0.59%
Aramark
 
2,145
82,561
DoorDash, Inc., Class A(c)
 
493
100,878
McDonald’s Corp.
 
1,715
540,225
Skylark Holdings Co. Ltd. (Japan)
 
4,800
98,123
Yum! Brands, Inc.
 
613
95,321
 
 
917,108
Retail REITs-0.20%
Klepierre S.A. (France)
 
2,822
109,108
Regency Centers Corp.
 
1,323
96,407
Unibail-Rodamco-Westfield (France)
 
1,000
110,966
 
 
316,481
Semiconductor Materials & Equipment-2.02%
Advantest Corp. (Japan)
 
918
152,317
Applied Materials, Inc.
 
1,448
466,719
ASML Holding N.V. (Netherlands)
 
790
1,136,896
KLA Corp.
 
342
488,355
Lam Research Corp.
 
3,257
760,379
Tokyo Electron Ltd. (Japan)
 
597
159,592
 
 
3,164,258
Semiconductors-9.52%
Analog Devices, Inc.
 
1,887
586,630
 
Shares
Value
Semiconductors-(continued)
ASE Technology Holding Co. Ltd. (Taiwan)
 
18,719
$174,033
Broadcom, Inc.
 
2,464
816,323
Intel Corp.(c)
 
4,578
212,740
Marvell Technology, Inc.
 
2,492
196,669
MediaTek, Inc. (Taiwan)
 
3,220
178,615
Micron Technology, Inc.
 
2,727
1,131,378
NVIDIA Corp.
 
40,313
7,705,024
QUALCOMM, Inc.
 
3,579
542,541
Realtek Semiconductor Corp. (Taiwan)
 
7,840
119,950
SK hynix, Inc. (South Korea)
 
1,098
685,566
Taiwan Semiconductor Manufacturing Co. Ltd.,
ADR (Taiwan)
 
7,367
2,435,235
United Microelectronics Corp. (Taiwan)
 
64,337
128,015
 
 
14,912,719
Soft Drinks & Non-alcoholic Beverages-0.47%
Coca-Cola Co. (The)
 
6,338
474,146
PepsiCo, Inc.
 
1,690
259,635
 
 
733,781
Specialized Finance-0.10%
Mitsubishi HC Capital, Inc. (Japan)
 
17,866
156,421
Specialty Chemicals-0.13%
Ecolab, Inc.
 
727
205,007
Steel-0.33%
Fortescue Ltd. (Australia)
 
9,191
133,897
Nucor Corp.
 
667
118,539
Steel Dynamics, Inc.
 
684
122,826
voestalpine AG (Austria)
 
2,939
140,066
 
 
515,328
Systems Software-3.80%
Fortinet, Inc.(c)
 
1,427
115,958
Microsoft Corp.
 
12,139
5,223,291
Oracle Corp.
 
2,252
370,634
Palo Alto Networks, Inc.(c)
 
437
77,336
ServiceNow, Inc.(c)
 
1,429
167,207
 
 
5,954,426
Technology Distributors-0.07%
TD SYNNEX Corp.
 
660
104,722
Technology Hardware, Storage & Peripherals-5.46%
Apple, Inc.
 
24,904
6,462,090
Catcher Technology Co. Ltd. (Taiwan)
 
12,941
82,650
Dell Technologies, Inc., Class C
 
749
85,716
King Slide Works Co. Ltd. (Taiwan)
 
1,050
103,367
Logitech International S.A., Class R
(Switzerland)
 
950
82,163
Pegatron Corp. (Taiwan)
 
35,318
77,883
Pure Storage, Inc., Class A(c)
 
1,607
111,751
Samsung Electronics Co. Ltd. (South Korea)
 
9,226
1,019,240
Seagate Technology Holdings PLC
 
355
144,730
Western Digital Corp.
 
1,515
379,098
 
 
8,548,688
Trading Companies & Distributors-1.06%
Fastenal Co.
 
2,552
110,655
ITOCHU Corp. (Japan)
 
8,600
110,459
Marubeni Corp. (Japan)
 
7,481
248,785
Mitsubishi Corp. (Japan)
 
14,678
391,205
Mitsui & Co. Ltd. (Japan)
 
6,100
199,903
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Trading Companies & Distributors-(continued)
Sumitomo Corp. (Japan)
 
9,661
$393,596
Toyota Tsusho Corp. (Japan)
 
5,670
207,166
 
 
1,661,769
Transaction & Payment Processing Services-1.31%
Global Payments, Inc.
 
1,817
130,352
Mastercard, Inc., Class A
 
1,660
894,391
PayPal Holdings, Inc.
 
1,377
72,554
Visa, Inc., Class A
 
2,975
957,444
 
 
2,054,741
Wireless Telecommunication Services-0.35%
MTN Group Ltd. (South Africa)
 
11,724
131,134
SoftBank Corp. (Japan)
 
305,781
416,983
 
 
548,117
Total Common Stocks & Other Equity Interests
(Cost $136,012,066)
156,187,158
Preferred Stocks-0.08%
Technology Hardware, Storage & Peripherals-0.08%
Samsung Electronics Co. Ltd. (South Korea),
Preference Shares, 0.00%
(Cost $55,701)
 
1,434
116,155
Money Market Funds-0.07%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(e)(f)
(Cost $115,210)
 
115,210
115,210
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-99.84%
(Cost $136,182,977)
156,418,523
 
Shares
Value
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-0.54%
Invesco Private Government Fund,
3.65%(e)(f)(g)
 
236,309
$236,309
Invesco Private Prime Fund, 3.80%(e)(f)(g)
 
613,880
614,064
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $850,373)
850,373
TOTAL INVESTMENTS IN SECURITIES-100.38%
(Cost $137,033,350)
157,268,896
OTHER ASSETS LESS LIABILITIES-(0.38)%
(602,135
)
NET ASSETS-100.00%
$156,666,761
Investment Abbreviations:
ADR
-American Depositary Receipt
CVA
-Dutch Certificates
PC
-Participation Certificate
REIT
-Real Estate Investment Trust
Rts.
-Rights
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(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 $1,409,580, which represented less than 1% of the Fund’s Net Assets.
(c)
Non-income producing security.
(d)
All or a portion of this security was out on loan at January 31, 2026.
(e)
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
$18,704
$1,733,296
$(1,636,790
)
$-
$-
$115,210
$1,062
See accompanying notes which are an integral part of this schedule.

Invesco Global Equity Net Zero ETF (IQSZ)—(continued)
January 31, 2026
(Unaudited)
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private Government
Fund
$-
$2,973,592
$(2,737,283
)
$-
$-
$236,309
$3,643
*
Invesco Private Prime Fund
820,018
5,030,069
(5,236,022
)
5
(6
)
614,064
10,134
*
Total
$838,722
$9,736,957
$(9,610,095
)
$5
$(6
)
$965,583
$14,839
*
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.
(f)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(g)
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(a)
Invesco High Yield Systematic Bond ETF (GTOQ)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-97.37%
Advertising-0.74%
Advantage Sales & Marketing, Inc., 6.50%,
11/15/2028(b)
$
126,000
$106,952
Belo Corp., 7.25%, 09/15/2027
 
480,000
498,809
Clear Channel Outdoor Holdings, Inc.
 
7.75% 04/15/2028(b)
 
80,000
80,071
7.50% 06/01/2029(b)
 
60,000
59,416
Dotdash Meredith, Inc., 7.63%,
06/15/2032(b)
 
400,000
365,015
 
 
1,110,263
Aerospace & Defense-0.62%
Efesto Bidco S.p.A. Efesto US LLC (Italy),
Series XR, 7.50%, 02/15/2032(b)
 
200,000
204,497
Moog, Inc., 4.25%, 12/15/2027(b)
 
260,000
258,794
TransDigm, Inc.
 
6.75% 08/15/2028(b)
 
200,000
203,616
6.88% 12/15/2030(b)
 
250,000
260,550
 
 
927,457
Agricultural & Farm Machinery-0.17%
Titan International, Inc., 7.00%,
04/30/2028(c)
 
260,000
261,287
Air Freight & Logistics-0.69%
Clue Opco LLC, 9.50%, 10/15/2031(b)(c)
 
86,000
91,427
Global Infrastructure Solutions, Inc., 7.50%,
04/15/2032(b)
 
240,000
257,252
Rand Parent LLC, 8.50%, 02/15/2030(b)(c)
 
528,000
552,088
Star Leasing Co. LLC, 7.63%,
02/15/2030(b)
 
140,000
134,102
 
 
1,034,869
Alternative Carriers-0.22%
Windstream Services LLC/Windstream
Escrow Finance Corp., 8.25%,
10/01/2031(b)
 
320,000
335,405
Apparel Retail-0.34%
Gap, Inc. (The), 3.88%, 10/01/2031(b)
 
159,000
147,524
Victoria’s Secret & Co., 4.63%,
07/15/2029(b)(c)
 
300,000
293,545
William Carter Co. (The), 7.38%,
02/15/2031(b)
 
75,000
77,630
 
 
518,699
Apparel, Accessories & Luxury Goods-0.39%
V.F. Corp., 6.45%, 11/01/2037
 
300,000
291,238
VF Corp., 2.95%, 04/23/2030(c)
 
320,000
292,179
 
 
583,417
Application Software-1.47%
Cloud Software Group, Inc.
 
6.50% 03/31/2029(b)
 
400,000
397,913
9.00% 09/30/2029(b)
 
180,000
181,971
8.25% 06/30/2032(b)
 
75,000
76,358
6.63% 08/15/2033(b)(c)
 
500,000
479,808
Fair Isaac Corp., 4.00%, 06/15/2028(b)
 
240,000
236,192
NCR Voyix Corp., 5.00%, 10/01/2028(b)
 
300,000
296,417
Open Text Corp. (Canada), 3.88%,
02/15/2028(b)
 
200,000
193,741
 
Principal
Amount
Value
Application Software-(continued)
Open Text Holdings, Inc. (Canada), 4.13%,
02/15/2030(b)
$
140,000
$130,178
SS&C Technologies, Inc., 5.50%,
09/30/2027(b)
 
220,000
219,939
 
 
2,212,517
Asset Management & Custody Banks-0.49%
BlackRock TCP Capital Corp., 6.95%,
05/30/2029
 
200,000
198,154
Prospect Capital Corp.
 
3.36% 11/15/2026(c)
 
200,000
195,742
3.44% 10/15/2028(c)
 
390,000
347,089
 
 
740,985
Automobile Manufacturers-1.83%
Allison Transmission, Inc., 4.75%,
10/01/2027(b)
 
450,000
450,212
Global Auto Holdings Ltd./AAG FH UK Ltd.
(United Kingdom), 8.75%,
01/15/2032(b)(c)
 
400,000
386,630
Nissan Motor Acceptance Corp., 2.75%,
03/09/2028(b)
 
220,000
209,845
Nissan Motor Co. Ltd. (Japan)
 
4.35% 09/17/2027(b)
 
500,000
495,005
7.50% 07/17/2030(b)(c)
 
300,000
315,262
4.81% 09/17/2030(b)(c)
 
400,000
377,978
Winnebago Industries, Inc., 6.25%,
07/15/2028(b)
 
520,000
521,544
 
 
2,756,476
Automotive Parts & Equipment-2.60%
Adient Global Holdings Ltd., 7.00%,
04/15/2028(b)
 
440,000
450,272
American Axle & Manufacturing, Inc.
 
6.38% 10/15/2032(b)
 
250,000
255,191
7.75% 10/15/2033(b)
 
100,000
102,927
ANGI Group LLC, 3.88%, 08/15/2028(b)
 
173,000
158,433
Avis Budget Car Rental LLC/Avis Budget
Finance, Inc.
 
5.75% 07/15/2027(b)
 
220,000
221,144
4.75% 04/01/2028(b)
 
240,000
235,105
Forvia SE (France), 8.00%, 06/15/2030(b)(c)
 
400,000
427,240
IHO Verwaltungs GmbH (Germany), 7.75%
PIK, 1.00% Cash 7.75%,
11/15/2030(b)(d)
 
400,000
420,839
Kronos Acquisition Holdings, Inc. (Canada),
8.25%, 06/30/2031(b)
 
80,000
56,500
Tenneco, Inc., 8.00%, 11/17/2028(b)
 
400,000
402,580
United Rentals (North America), Inc., 3.88%,
11/15/2027
 
274,000
271,860
ZF North America Capital, Inc. (Germany)
 
6.88% 04/14/2028(b)(c)
 
300,000
309,929
7.13% 04/14/2030(b)
 
600,000
614,562
 
 
3,926,582
Automotive Retail-1.15%
Advance Auto Parts, Inc.
 
5.95% 03/09/2028
 
360,000
368,724
7.00% 08/01/2030(b)(c)
 
475,000
483,369
3.50% 03/15/2032
 
100,000
86,481
Ken Garff Automotive LLC, 4.88%,
09/15/2028(b)
 
320,000
318,153
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Automotive Retail-(continued)
Sonic Automotive, Inc., 4.63%,
11/15/2029(b)
$
45,000
$44,264
Velocity Vehicle Group LLC, 8.00%,
06/01/2029(b)(c)
 
450,000
440,823
 
 
1,741,814
Broadcasting-1.44%
AMC Networks, Inc., 10.25%,
01/15/2029(b)
 
400,000
417,379
Gray Media, Inc.
 
10.50% 07/15/2029(b)(c)
 
188,000
202,031
5.38% 11/15/2031(b)
 
50,000
37,186
iHeartCommunications, Inc.
 
5.25% 08/15/2027(b)
 
100,000
95,500
4.75% 01/15/2028(b)
 
50,000
45,539
9.13% 05/01/2029(b)
 
80,000
75,668
Paramount Global
 
6.25% 02/28/2057(e)
 
370,000
336,561
6.38% 03/30/2062(c)(e)
 
380,000
358,302
Univision Communications, Inc., 8.50%,
07/31/2031(b)
 
200,000
208,690
Urban One, Inc., 7.63%, 04/01/2031(b)
 
41,000
18,421
Ziggo Bond Co. B.V. (Netherlands), 5.13%,
02/28/2030(b)(c)
 
420,000
369,358
 
 
2,164,635
Broadline Retail-2.42%
Go Daddy Operating Co. LLC/GD Finance Co.,
Inc., 3.50%, 03/01/2029(b)
 
100,000
95,085
Kohl’s Corp., 10.00%, 06/01/2030(b)
 
240,000
263,160
Macy’s Retail Holdings LLC
 
5.88% 03/15/2030(b)
 
58,000
58,656
6.13% 03/15/2032(b)
 
230,000
232,663
6.70% 07/15/2034(b)
 
737,000
718,142
Nordstrom, Inc.
 
4.00% 03/15/2027
 
399,000
396,240
6.95% 03/15/2028
 
384,000
397,730
4.38% 04/01/2030
 
79,000
75,498
4.25% 08/01/2031
 
450,000
416,553
QVC, Inc., 4.38%, 09/01/2028
 
50,000
22,125
Rakuten Group, Inc. (Japan)
 
11.25% 02/15/2027(b)
 
200,000
213,231
9.75% 04/15/2029(b)
 
680,000
762,452
 
 
3,651,535
Building Products-3.02%
Adams Homes, Inc., 9.25%, 10/15/2028(b)
 
206,000
215,708
Builders FirstSource, Inc.
 
4.25% 02/01/2032(b)
 
140,000
133,553
6.75% 05/15/2035(b)
 
300,000
315,564
Griffon Corp., 5.75%, 03/01/2028
 
640,000
640,145
James Hardie International Finance DAC,
5.00%, 01/15/2028(b)
 
620,000
619,642
JELD-WEN, Inc., 4.88%, 12/15/2027(b)
 
360,000
316,669
LBM Acquisition LLC, 9.50%, 06/15/2031(b)
 
450,000
474,466
MasterBrand, Inc., 7.00%, 07/15/2032(b)
 
420,000
435,893
Park River Holdings, Inc., 8.00%,
03/15/2031(b)
 
100,000
103,119
Specialty Building Products Holdings LLC/
SBP Finance Corp., 7.75%,
10/15/2029(b)(c)
 
450,000
448,848
 
Principal
Amount
Value
Building Products-(continued)
Standard Industries, Inc.
 
4.75% 01/15/2028(b)
$
250,000
$248,834
4.38% 07/15/2030(b)
 
108,000
104,240
3.38% 01/15/2031(b)
 
261,000
241,035
STL Holding Co. LLC, 8.75%, 02/15/2029(b)
 
240,000
253,286
 
 
4,551,002
Cable & Satellite-5.14%
Altice Financing S.A. (Luxembourg), 5.75%,
08/15/2029(b)
 
200,000
144,085
Cable One, Inc., 4.00%, 11/15/2030(b)(c)
 
520,000
378,921
CCO Holdings LLC/CCO Holdings Capital
Corp.
 
5.13% 05/01/2027(b)
 
509,000
509,448
5.00% 02/01/2028(b)
 
420,000
417,887
4.50% 05/01/2032
 
245,000
220,073
4.50% 06/01/2033(b)(c)
 
260,000
227,710
4.25% 01/15/2034(b)
 
100,000
84,567
CSC Holdings LLC
 
5.75% 01/15/2030(b)
 
300,000
118,173
4.13% 12/01/2030(b)
 
400,000
242,906
4.63% 12/01/2030(b)
 
200,000
74,788
4.50% 11/15/2031(b)
 
450,000
273,397
Directv Financing LLC, 8.88%,
02/01/2030(b)(c)
 
350,000
354,851
Directv Financing LLC/Directv Financing
Co-Obligor, Inc.
 
5.88% 08/15/2027(b)
 
256,000
257,379
10.00% 02/15/2031(b)
 
500,000
515,444
DISH DBS Corp.
 
5.25% 12/01/2026(b)
 
159,000
154,644
5.75% 12/01/2028(b)
 
210,000
203,394
DISH Network Corp., 11.75%,
11/15/2027(b)
 
587,000
607,820
EchoStar Corp.
 
10.75% 11/30/2029
 
300,000
329,029
6.75% PIK Rate, 2.00% Cash Rate,
11/30/2030(d)
 
180,000
183,418
Radiate Holdco LLC/Radiate Finance, Inc.,
9.25% PIK, 1.00% Cash 9.25%,
03/25/2030(b)(d)
 
33,424
23,815
Sirius XM Radio LLC
 
5.00% 08/01/2027(b)
 
250,000
249,707
4.00% 07/15/2028(b)
 
320,000
312,753
Telenet Finance Luxembourg Notes S.a.r.l.
(Belgium), 5.50%, 03/01/2028(b)
 
600,000
599,994
Virgin Media Finance PLC (United Kingdom),
5.00%, 07/15/2030(b)(c)
 
600,000
524,785
Virgin Media Vendor Financing Notes IV DAC
(United Kingdom), 5.00%, 07/15/2028(b)
 
200,000
200,000
VZ Secured Financing B.V. (Netherlands),
5.00%, 01/15/2032(b)
 
600,000
542,168
 
 
7,751,156
Casinos & Gaming-2.37%
Affinity Interactive, 6.88%, 12/15/2027(b)
 
187,000
112,324
Churchill Downs, Inc., 4.75%,
01/15/2028(b)
 
345,000
344,536
Great Canadian Gaming Corp. (Canada),
8.75%, 11/15/2029(b)
 
260,000
264,553
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Casinos & Gaming-(continued)
Melco Resorts Finance Ltd. (Hong Kong)
 
5.38% 12/04/2029(b)(c)
$
600,000
$594,350
6.50% 09/24/2033(b)(c)
 
320,000
319,532
MGM Resorts International, 4.63%,
09/01/2026
 
240,000
240,249
Studio City Finance Ltd. (Macau)
 
6.50% 01/15/2028(b)
 
200,000
200,238
5.00% 01/15/2029(b)(c)
 
260,000
252,114
Voyager Parent LLC, 9.25%,
07/01/2032(b)(c)
 
520,000
552,682
Wynn Las Vegas LLC/Wynn Las Vegas
Capital Corp., 5.25%, 05/15/2027(b)
 
100,000
100,609
Wynn Macau Ltd. (Macau)
 
5.50% 10/01/2027(b)
 
200,000
200,083
5.63% 08/26/2028(b)
 
400,000
399,541
 
 
3,580,811
Commercial Printing-0.49%
Deluxe Corp., 8.13%, 09/15/2029(b)
 
450,000
472,744
R.R. Donnelley & Sons Co., 9.50%,
08/01/2029(b)
 
260,000
270,792
 
 
743,536
Commodity Chemicals-0.15%
Methanex Corp. (Canada), 5.13%,
10/15/2027
 
220,000
220,731
Communications Equipment-0.28%
Viasat, Inc., 5.63%, 04/15/2027(b)(c)
 
420,000
420,485
Construction & Engineering-0.50%
Baldwin Insurance Group Holdings LLC/
Baldwin Insurance Group Holdings Finance,
7.13%, 05/15/2031(b)(c)
 
550,000
565,944
Brand Industrial Services, Inc., 10.38%,
08/01/2030(b)
 
100,000
95,999
Brookfield Residential Properties,
Inc./Brookfield Residential U.S. LLC
(Canada), 6.25%, 09/15/2027(b)
 
88,000
88,064
 
 
750,007
Construction Machinery & Heavy Transportation Equipment-1.24%
New Flyer Holdings, Inc. (Canada), 9.25%,
07/01/2030(b)
 
280,000
301,860
Terex Corp.
 
5.00% 05/15/2029(b)
 
200,000
199,489
6.25% 10/15/2032(b)(c)
 
220,000
225,402
Trinity Industries, Inc., 7.75%,
07/15/2028(b)
 
640,000
661,015
Wabash National Corp., 4.50%,
10/15/2028(b)(c)
 
515,000
479,923
 
 
1,867,689
Construction Materials-0.65%
Smyrna Ready Mix Concrete LLC
 
6.00% 11/01/2028(b)
 
400,000
401,505
8.88% 11/15/2031(b)(c)
 
250,000
266,671
Williams Scotsman, Inc., 4.63%,
08/15/2028(b)
 
320,000
319,062
 
 
987,238
Consumer Finance-2.39%
Ally Financial, Inc., 6.65%, 01/17/2040(e)
 
350,000
350,004
 
Principal
Amount
Value
Consumer Finance-(continued)
goeasy Ltd. (Canada)
 
7.63% 07/01/2029(b)(c)
$
265,000
$262,607
6.88% 05/15/2030(b)(c)
 
280,000
266,531
7.38% 10/01/2030(b)
 
120,000
115,875
6.88% 02/15/2031(b)
 
100,000
94,079
Navient Corp.
 
5.00% 03/15/2027
 
116,000
115,319
4.88% 03/15/2028
 
100,000
98,079
9.38% 07/25/2030
 
100,000
107,753
11.50% 03/15/2031
 
240,000
261,259
5.63% 08/01/2033
 
422,000
368,690
OneMain Finance Corp.
 
6.63% 01/15/2028(c)
 
280,000
287,523
6.75% 03/15/2032
 
640,000
654,909
PRA Group, Inc., 8.88%, 01/31/2030(b)(c)
 
620,000
624,979
 
 
3,607,607
Diversified Chemicals-0.83%
Chemours Co. (The)
 
5.38% 05/15/2027(c)
 
433,000
436,078
5.75% 11/15/2028(b)
 
160,000
158,771
INEOS Finance PLC (Luxembourg)
 
6.75% 05/15/2028(b)(c)
 
325,000
285,158
7.50% 04/15/2029(b)
 
200,000
167,681
SNF Group SACA (France), 3.13%,
03/15/2027(b)
 
200,000
197,087
 
 
1,244,775
Diversified Financial Services-3.27%
Burford Capital Global Finance LLC
 
6.25% 04/15/2028(b)
 
200,000
199,794
7.50% 07/15/2033(b)
 
200,000
193,337
Compass Group Diversified Holdings LLC,
5.25%, 04/15/2029(b)(c)
 
702,601
655,508
EG Global Finance PLC (United Kingdom),
12.00%, 11/30/2028(b)
 
200,000
216,601
Freedom Mortgage Holdings LLC, 9.25%,
02/01/2029(b)
 
150,000
157,120
Global Aircraft Leasing Co. Ltd. (Cayman
Islands), 8.75%, 09/01/2027(b)
 
770,000
798,013
Jefferies Finance LLC/JFIN Co-Issuer Corp.,
5.00%, 08/15/2028(b)
 
600,000
582,162
Midcap Financial Issuer Trust, 6.50%,
05/01/2028(b)
 
400,000
401,066
Provident Funding Associates L.P./PFG
Finance Corp., 9.75%, 09/15/2029(b)
 
120,000
125,960
Resorts World Las Vegas LLC/RWLV Capital,
Inc.
 
4.63% 04/16/2029(b)
 
400,000
365,229
8.45% 07/27/2030(b)
 
200,000
203,358
4.63% 04/06/2031(b)
 
200,000
171,536
United Wholesale Mortgage LLC, 5.75%,
06/15/2027(b)
 
197,000
197,319
UWM Holdings LLC, 6.25%, 03/15/2031(b)
 
300,000
298,292
VistaJet Malta Finance PLC/Vista
Management Holding, Inc. (Switzerland),
9.50%, 06/01/2028(b)
 
360,000
374,776
 
 
4,940,071
Diversified Metals & Mining-0.96%
Algoma Steel, Inc. (Canada), 9.13%,
04/15/2029(b)
 
200,000
171,710
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Metals & Mining-(continued)
Champion Iron Canada, Inc. (Canada),
7.88%, 07/15/2032(b)(c)
$
525,000
$561,974
Mineral Resources Ltd. (Australia)
 
9.25% 10/01/2028(b)
 
321,000
337,471
8.50% 05/01/2030(b)
 
360,000
373,513
 
 
1,444,668
Diversified REITs-0.44%
Global Net Lease, Inc., 4.50%,
09/30/2028(b)
 
116,000
113,682
Iron Mountain Information Management
Services, Inc., 5.00%, 07/15/2032(b)
 
76,000
72,757
Uniti Group L.P./Uniti Fiber Holdings,
Inc./CSL Capital LLC, 6.00%,
01/15/2030(b)
 
40,000
38,132
Uniti Group L.P./Uniti Group Finance 2019,
Inc./CSL Capital LLC, 4.75%,
04/15/2028(b)
 
150,000
149,755
Uniti Group L.P./Uniti Group Finance,
Inc./CSL Capital LLC, 6.50%,
02/15/2029(b)
 
300,000
292,046
 
 
666,372
Diversified Support Services-1.78%
CPI CG, Inc., 10.00% CPI, 07/15/2029(b)
 
150,000
159,625
Crown Americas LLC/Crown Americas
Capital Corp. V, 4.25%, 09/30/2026
 
95,000
94,780
Dcli Bidco LLC, 7.75%, 11/15/2029(b)(c)
 
575,000
585,512
Kingpin Intermediate Holdings LLC, 7.25%,
10/15/2032(b)(c)
 
450,000
431,612
Neptune Bidco US, Inc., 9.29%,
04/15/2029(b)
 
707,000
726,507
Prime Security Services Borrower LLC/Prime
Finance, Inc., 3.38%, 08/31/2027(b)
 
500,000
490,115
Sabre GLBL, Inc.
 
10.75% 11/15/2029(b)
 
8,000
6,535
10.75% 03/15/2030(b)
 
134,000
107,625
11.13% 07/15/2030(b)
 
100,000
81,000
 
 
2,683,311
Education Services-0.40%
Adtalem Global Education, Inc., 5.50%,
03/01/2028(b)
 
475,000
474,267
Grand Canyon University, 5.13%,
10/01/2028
 
125,000
125,316
 
 
599,583
Electric Utilities-2.50%
DPL LLC, 4.35%, 04/15/2029
 
320,000
316,476
Edison International
 
8.13% 06/15/2053(e)
 
450,000
465,986
7.88% 06/15/2054(e)
 
200,000
208,439
NRG Energy, Inc., 3.38%, 02/15/2029(b)(c)
 
320,000
306,794
Pattern Energy Operations L.P./Pattern
Energy Operations, Inc., 4.50%,
08/15/2028(b)
 
250,000
248,283
PG&E Corp.
 
5.00% 07/01/2028
 
480,000
479,207
7.38% 03/15/2055(c)(e)
 
310,000
320,123
Vistra Operations Co. LLC
 
5.63% 02/15/2027(b)
 
163,000
163,193
5.00% 07/31/2027(b)
 
100,000
100,131
 
Principal
Amount
Value
Electric Utilities-(continued)
XPLR Infrastructure Operating Partners L.P.
 
4.50% 09/15/2027(b)(c)
$
390,000
$386,729
7.25% 01/15/2029(b)(c)
 
500,000
516,202
8.38% 01/15/2031(b)(c)
 
240,000
252,234
 
 
3,763,797
Electrical Components & Equipment-1.32%
Atkore, Inc., 4.25%, 06/01/2031(b)
 
170,000
162,331
EnerSys, 4.38%, 12/15/2027(b)
 
920,000
914,037
Nissan Motor Acceptance Co. LLC
 
6.95% 09/15/2026(b)
 
260,000
263,584
7.05% 09/15/2028(b)
 
150,000
155,651
5.63% 09/29/2028(b)
 
500,000
501,977
 
 
1,997,580
Electronic Components-0.15%
Imola Merger Corp., 4.75%, 05/15/2029(b)
 
100,000
98,447
Sensata Technologies, Inc., 4.38%,
02/15/2030(b)
 
130,000
127,244
 
 
225,691
Environmental & Facilities Services-0.16%
GFL Environmental, Inc., 4.00%,
08/01/2028(b)
 
250,000
246,193
Fertilizers & Agricultural Chemicals-0.69%
Consolidated Energy Finance S.A.
(Switzerland)
 
5.63% 10/15/2028(b)
 
167,000
137,984
12.00% 02/15/2031(b)
 
200,000
168,230
FMC Corp., 8.45%, 11/01/2055(e)
 
400,000
321,122
Nufarm Australia Ltd./Nufarm Americas, Inc.
(Australia), 5.00%, 01/27/2030(b)(c)
 
440,000
405,870
 
 
1,033,206
Financial Exchanges & Data-0.16%
Coinbase Global, Inc., 3.38%,
10/01/2028(b)
 
260,000
248,386
Food Distributors-0.21%
American Builders & Contractors Supply Co.,
Inc., 3.88%, 11/15/2029(b)(c)
 
320,000
308,994
Food Retail-1.19%
Albertson’s Cos., Inc./Safeway, Inc./New
Albertson’s L.P./Albertson’s LLC
 
4.63% 01/15/2027(b)
 
928,000
927,901
5.88% 02/15/2028(b)
 
250,000
250,250
3.50% 03/15/2029(b)
 
200,000
192,073
BCPE Flavor Debt Merger Sub LLC and BCPE
Flavor Issuer, Inc., 9.50%,
07/01/2032(b)(c)
 
440,000
419,708
 
 
1,789,932
Footwear-0.15%
Beach Acquisition Bidco LLC, 10.00% PIK,
0.75% Cash10.00%, 07/15/2033(b)(d)
 
210,810
232,082
Gas Utilities-0.34%
AmeriGas Partners L.P./AmeriGas Finance
Corp., 9.38%, 06/01/2028(b)
 
200,000
206,895
Ferrellgas L.P./Ferrellgas Finance Corp.,
9.25%, 01/15/2031(b)
 
300,000
310,342
 
 
517,237
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Health Care Distributors-0.14%
Accendra Health, Inc.
 
4.50% 03/31/2029(b)
$
60,000
$39,526
6.63% 04/01/2030(b)(c)
 
300,000
169,001
 
 
208,527
Health Care Equipment-0.37%
HAH Group Holding Co. LLC, 9.75%,
10/01/2031(b)
 
100,000
94,525
Miter Brands Acquisition Holdco, Inc./MIWD
Borrower LLC, 6.75%, 04/01/2032(b)
 
200,000
205,538
Varex Imaging Corp., 7.88%, 10/15/2027(b)
 
250,000
255,138
 
 
555,201
Health Care Facilities-0.53%
Encompass Health Corp., 4.50%,
02/01/2028(c)
 
220,000
219,089
LifePoint Health, Inc.
 
9.88% 08/15/2030(b)
 
110,000
118,149
11.00% 10/15/2030(b)
 
130,000
141,937
Tenet Healthcare Corp., 4.63%,
06/15/2028(c)
 
320,000
319,280
 
 
798,455
Health Care REITs-0.17%
MPT Operating Partnership L.P./MPT Finance
Corp.
 
5.00% 10/15/2027
 
148,000
144,791
4.63% 08/01/2029
 
131,000
112,423
 
 
257,214
Health Care Services-1.92%
Avantor Funding, Inc., 4.63%,
07/15/2028(b)
 
200,000
198,567
Community Health Systems, Inc.
 
6.00% 01/15/2029(b)
 
160,000
159,680
6.88% 04/15/2029(b)
 
100,000
92,040
5.25% 05/15/2030(b)
 
200,000
188,734
10.88% 01/15/2032(b)
 
360,000
388,004
CVS Health Corp.
 
6.75% 12/10/2054(c)(e)
 
300,000
312,019
7.00% 03/10/2055(e)
 
400,000
418,836
DaVita, Inc., 4.63%, 06/01/2030(b)
 
320,000
308,059
MPH Acquisition Holdings LLC, 5.75%,
12/31/2030(b)
 
100,002
85,584
Prime Healthcare Services, Inc., 9.38%,
09/01/2029(b)(c)
 
500,000
521,005
Team Health Holdings, Inc., 8.38%,
06/30/2028(b)
 
220,000
222,862
 
 
2,895,390
Health Care Supplies-0.26%
DENTSPLY SIRONA, Inc., 8.38%,
09/12/2055(c)(e)
 
400,000
395,140
Health Care Technology-0.56%
athenahealth Group, Inc., 6.50%,
02/15/2030(b)
 
244,000
236,858
Cogent Communications Group LLC/Cogent
Finance, Inc.
 
7.00% 06/15/2027(b)
 
280,000
278,569
6.50% 07/01/2032(b)
 
75,000
68,963
U.S. Acute Care Solutions LLC, 9.75%,
05/15/2029(b)
 
260,000
261,464
 
 
845,854
 
Principal
Amount
Value
Home Furnishings-0.60%
Somnigroup International, Inc., 4.00%,
04/15/2029(b)
$
250,000
$242,710
Wayfair LLC
 
7.25% 10/31/2029(b)
 
200,000
209,273
7.75% 09/15/2030(b)(c)
 
430,000
457,449
 
 
909,432
Homebuilding-0.76%
Beazer Homes USA, Inc., 5.88%,
10/15/2027
 
200,000
199,396
Dream Finders Homes, Inc., 8.25%,
08/15/2028(b)
 
200,000
206,360
LGI Homes, Inc.
 
8.75% 12/15/2028(b)(c)
 
380,000
396,247
4.00% 07/15/2029(b)
 
202,000
185,576
7.00% 11/15/2032(b)
 
35,000
34,170
Tri Pointe Homes, Inc., 5.25%, 06/01/2027
 
118,000
118,401
 
 
1,140,150
Hotel & Resort REITs-0.41%
Park Intermediate Holdings LLC/PK Domestic
Property LLC/PK Finance Co-Issuer,
7.00%, 02/01/2030(b)
 
300,000
309,278
RLJ Lodging Trust L.P., 4.00%,
09/15/2029(b)
 
100,000
95,210
Service Properties Trust
 
4.95% 02/15/2027
 
107,000
106,587
4.95% 10/01/2029
 
67,000
59,149
8.88% 06/15/2032
 
50,000
49,669
 
 
619,893
Hotels, Resorts & Cruise Lines-0.40%
Carnival Corp., 6.65%, 01/15/2028
 
200,000
208,027
Travel + Leisure Co., Series J, 6.00%,
04/01/2027(c)
 
388,000
393,983
 
 
602,010
Household Appliances-0.81%
Whirlpool Corp.
 
2.40% 05/15/2031
 
300,000
251,717
4.70% 05/14/2032(c)
 
600,000
546,704
5.75% 03/01/2034(c)
 
450,000
424,052
 
 
1,222,473
Housewares & Specialties-0.48%
Newell Brands, Inc.
 
8.50% 06/01/2028(b)
 
200,000
209,831
6.63% 05/15/2032(c)
 
330,000
323,413
7.38% 04/01/2036
 
200,000
193,709
 
 
726,953
Human Resource & Employment Services-0.65%
AMN Healthcare, Inc., 4.00%,
04/15/2029(b)(c)
 
1,020,000
976,190
Independent Power Producers & Energy Traders-1.06%
AES Corp. (The)
 
7.60% 01/15/2055(e)
 
200,000
202,913
6.95% 07/15/2055(c)(e)
 
540,000
528,310
Calpine Corp., 4.50%, 02/15/2028(b)
 
160,000
159,944
VoltaGrid LLC, 7.38%, 11/01/2030(b)
 
700,000
709,363
 
 
1,600,530
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Industrial Machinery & Supplies & Components-0.41%
Park-Ohio Industries, Inc., 8.50%,
08/01/2030(b)(c)
$
595,000
$611,520
Insurance Brokers-0.76%
Alliant Holdings Intermediate LLC/Alliant
Holdings Co-Issuer, 7.00%,
01/15/2031(b)
 
100,000
103,740
Howden UK Refinance PLC/Howden UK
Refinance 2 PLC/Howden US
Refinance LLC (United Kingdom), 7.25%,
02/15/2031(b)
 
675,000
698,579
HUB International Ltd., 7.38%,
01/31/2032(b)
 
130,000
136,257
Panther Escrow Issuer LLC, 7.13%,
06/01/2031(b)
 
200,000
206,109
 
 
1,144,685
Integrated Telecommunication Services-2.02%
Altice France S.A. (France)
 
6.88% 10/15/2030(b)
 
152,439
149,991
6.50% 04/15/2032(b)
 
152,439
148,979
APLD ComputeCo LLC, 9.25%,
12/15/2030(b)
 
150,000
155,999
FiberCop S.p.A. (Italy)
 
6.00% 09/30/2034(b)
 
200,000
195,218
7.20% 07/18/2036(b)(c)
 
600,000
608,592
7.72% 06/04/2038(b)
 
300,000
308,878
Frontier Florida LLC, Series E, 6.86%,
02/01/2028
 
100,000
103,571
Frontier North, Inc., Series G, 6.73%,
02/15/2028
 
500,000
516,563
Grubhub Holdings, Inc., 13.00% PIK, 1.00%
Cash 13.00%, 07/31/2030(b)(c)(d)
 
78,010
64,228
Iliad Holding S.A.S. (France), 7.00%,
10/15/2028(b)(c)
 
320,000
323,915
WULF Compute LLC, 7.75%,
10/15/2030(b)(c)
 
450,000
469,778
 
 
3,045,712
Interactive Home Entertainment-0.44%
Jacobs Entertainment, Inc., 6.75%,
02/15/2029(b)
 
400,000
395,192
Playtika Holding Corp., 4.25%,
03/15/2029(b)
 
300,000
260,805
 
 
655,997
Interactive Media & Services-1.56%
Cars.com, Inc., 6.38%, 11/01/2028(b)
 
100,000
100,115
Cumulus Media New Holdings, Inc., 6.75%,
07/01/2026(b)
 
37,000
22,570
Match Group Holdings II LLC, 4.63%,
06/01/2028(b)
 
250,000
247,811
Nexstar Media, Inc., 5.63%, 07/15/2027(b)
 
100,000
100,076
WarnerMedia Holdings, Inc.
 
3.76% 03/15/2027
 
100,000
99,345
4.05% 03/15/2029
 
300,000
291,186
4.28% 03/15/2032
 
200,000
166,820
4.28% 03/15/2032(c)
 
440,000
387,750
5.05% 03/15/2042
 
400,000
282,000
Ziff Davis, Inc., 4.63%, 10/15/2030(b)(c)
 
700,000
662,558
 
 
2,360,231
 
Principal
Amount
Value
Internet Services & Infrastructure-0.56%
Cogent Communications Group, Inc., 7.00%,
06/15/2027(b)(c)
$
220,000
$219,251
CoreWeave, Inc., 9.25%, 06/01/2030(b)(c)
 
450,000
443,575
Getty Images, Inc., 9.75%, 03/01/2027(b)
 
200,000
187,801
 
 
850,627
Investment Banking & Brokerage-0.09%
Icahn Enterprises L.P./Icahn Enterprises
Finance Corp., 5.25%, 05/15/2027
 
140,000
138,584
IT Consulting & Other Services-0.67%
Conduent Business Services LLC/Conduent
State & Local Solutions, Inc., 6.00%,
11/01/2029(b)
 
250,000
202,952
EquipmentShare.com, Inc., 9.00%,
05/15/2028(b)
 
640,000
669,629
Unisys Corp., 10.63%, 01/15/2031(b)
 
150,000
142,436
 
 
1,015,017
Leisure Facilities-0.36%
Six Flags Entertainment Corp./Canada’s
Wonderland Co./Magnum Management
Corp.
 
5.38% 04/15/2027
 
100,000
100,057
6.50% 10/01/2028(c)
 
300,000
300,961
Speedway Motorsports LLC/Speedway
Funding II, Inc., 4.88%, 11/01/2027(b)
 
144,000
144,175
 
 
545,193
Life & Health Insurance-0.94%
American National Group, Inc., 7.00%,
12/01/2055(e)
 
175,000
176,863
APH Somerset Investor 2 LLC/APH2
Somerset Investor 2 LLC/APH3 Somerset
Investor 2 LLC, 7.88%, 11/01/2029(b)
 
555,000
563,849
Constellation Insurance, Inc., 6.80%,
01/24/2030(b)
 
200,000
204,245
Nassau Cos. of New York (The), 7.88%,
07/15/2030(b)(c)
 
500,000
476,994
 
 
1,421,951
Life Sciences Tools & Services-0.50%
Charles River Laboratories International, Inc.,
4.25%, 05/01/2028(b)(c)
 
500,000
494,008
Fortrea Holdings, Inc., 7.50%,
07/01/2030(b)
 
260,000
264,834
 
 
758,842
Marine Transportation-0.43%
Seaspan Corp. (Hong Kong), 5.50%,
08/01/2029(b)
 
471,000
448,376
Stena International S.A. (Sweden), 7.63%,
02/15/2031(b)
 
200,000
207,170
 
 
655,546
Metal, Glass & Plastic Containers-0.68%
LABL, Inc., 5.88%, 11/01/2028(b)
 
200,000
92,000
Mauser Packaging Solutions Holding Co.,
9.25%, 04/15/2030(b)
 
58,000
57,101
OI European Group B.V., 4.75%,
02/15/2030(b)
 
220,000
213,062
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Metal, Glass & Plastic Containers-(continued)
Owens-Brockway Glass Container, Inc.
 
7.25% 05/15/2031(b)
$
160,000
$163,039
7.38% 06/01/2032(b)
 
100,000
102,116
Silgan Holdings, Inc., 4.13%, 02/01/2028
 
400,000
396,763
 
 
1,024,081
Mortgage REITs-0.55%
Rithm Capital Corp., 8.00%, 07/15/2030(b)
 
480,000
491,095
Starwood Property Trust, Inc., 7.25%,
04/01/2029(b)
 
320,000
337,880
 
 
828,975
Movies & Entertainment-0.19%
Live Nation Entertainment, Inc.
 
6.50% 05/15/2027(b)
 
75,000
75,384
3.75% 01/15/2028(b)(c)
 
220,000
217,479
 
 
292,863
Multi-Utilities-0.42%
Algonquin Power & Utilities Corp. (Canada),
4.75%, 01/18/2082(e)
 
634,000
629,797
Office REITs-0.98%
Brandywine Operating Partnership L.P.
 
3.95% 11/15/2027
 
200,000
196,284
8.30% 03/15/2028
 
200,000
211,961
8.88% 04/12/2029(c)
 
230,000
247,283
4.55% 10/01/2029
 
100,000
95,260
Hudson Pacific Properties L.P.
 
3.95% 11/01/2027
 
135,000
129,860
5.95% 02/15/2028(c)
 
400,000
393,708
3.25% 01/15/2030
 
240,000
203,806
 
 
1,478,162
Office Services & Supplies-0.40%
ACCO Brands Corp., 4.25%,
03/15/2029(b)(c)
 
571,000
529,233
Pitney Bowes, Inc., 7.25%, 03/15/2029(b)
 
75,000
75,920
 
 
605,153
Oil & Gas Drilling-1.28%
Harvest Midstream I L.P.
 
7.50% 09/01/2028(b)
 
307,000
311,388
7.50% 05/15/2032(b)
 
100,000
104,528
Nabors Industries, Inc., 9.13%,
01/31/2030(b)
 
75,000
79,259
Noble Finance II LLC, 8.00%, 04/15/2030(b)
 
330,000
344,190
Seadrill Finance Ltd. (Norway), 8.38%,
08/01/2030(b)
 
200,000
209,681
Summit Midstream Holdings LLC, 8.63%,
10/31/2029(b)
 
150,000
156,801
Transocean International Ltd.
 
8.50% 05/15/2031(b)
 
195,000
198,624
7.88% 10/15/2032(b)
 
320,000
337,698
Valaris Ltd., 8.38%, 04/30/2030(b)
 
186,000
194,459
 
 
1,936,628
Oil & Gas Equipment & Services-1.14%
Bristow Group, Inc., 6.88%,
03/01/2028(b)(c)
 
400,000
400,674
Oceaneering International, Inc., 6.00%,
02/01/2028
 
680,000
691,331
 
Principal
Amount
Value
Oil & Gas Equipment & Services-(continued)
SESI L.L.C., 7.88%, 09/30/2030(b)(c)
$
275,000
$277,482
Viridien (France), 10.00%, 10/15/2030(b)
 
330,000
355,432
 
 
1,724,919
Oil & Gas Exploration & Production-3.74%
Caturus Energy LLC, 8.50%, 02/15/2030(b)
 
120,000
125,198
Crescent Energy Finance LLC
 
7.75% 07/31/2029(b)
 
100,000
100,320
9.75% 10/15/2030(b)
 
150,000
159,636
7.63% 04/01/2032(b)
 
130,000
129,020
7.38% 01/15/2033(b)
 
130,000
125,879
8.38% 01/15/2034(b)(c)
 
335,000
338,407
Hilcorp Energy I L.P./Hilcorp Finance Co.
 
5.75% 02/01/2029(b)
 
100,000
100,078
6.00% 04/15/2030(b)
 
75,000
73,856
6.25% 04/15/2032(b)
 
150,000
143,962
8.38% 11/01/2033(b)
 
200,000
207,767
6.88% 05/15/2034(b)(c)
 
425,000
409,795
Kraken Oil & Gas Partners LLC, 7.63%,
08/15/2029(b)
 
140,000
140,008
Long Ridge Energy LLC, 8.75%,
02/15/2032(b)(c)
 
700,000
744,007
Moss Creek Resources Holdings, Inc., 8.25%,
09/01/2031(b)
 
290,000
282,207
Murphy Oil Corp., 5.88%, 12/01/2042
 
140,000
122,769
Saturn Oil & Gas, Inc. (Canada), 9.63%,
06/15/2029(b)
 
341,000
349,107
SM Energy Co.
 
8.38% 07/01/2028(b)
 
220,000
226,720
8.63% 11/01/2030(b)
 
130,000
137,575
8.75% 07/01/2031(b)(c)
 
608,000
639,378
7.00% 08/01/2032(b)
 
620,000
621,967
Talos Production, Inc., 9.38%,
02/01/2031(b)(c)
 
435,000
461,074
 
 
5,638,730
Oil & Gas Refining & Marketing-0.97%
CVR Energy, Inc., 8.50%, 01/15/2029(b)(c)
 
260,000
271,126
NuStar Logistics L.P., 5.63%, 04/28/2027
 
325,000
329,063
PBF Holding Co. LLC/PBF Finance Corp.
 
6.00% 02/15/2028(c)
 
580,000
579,597
7.88% 09/15/2030(b)
 
290,000
290,701
 
 
1,470,487
Oil & Gas Storage & Transportation-3.97%
Buckeye Partners L.P., 3.95%, 12/01/2026
 
351,000
348,664
Energy Transfer L.P.
 
8.00% 05/15/2054(e)
 
100,000
106,918
6.50% 02/15/2056(e)
 
200,000
200,083
Hess Midstream Operations L.P., 5.88%,
03/01/2028(b)
 
550,000
560,702
ITT Holdings LLC, 6.50%, 08/01/2029(b)
 
92,000
88,760
Kinetik Holdings L.P., 6.63%,
12/15/2028(b)
 
100,000
103,027
NGL Energy Operating LLC/NGL Energy
Finance Corp., 8.13%, 02/15/2029(b)
 
280,000
290,722
South Bow Canadian Infrastructure Holdings
Ltd. (Canada), 7.63%, 03/01/2055(e)
 
640,000
667,615
Sunoco L.P./Sunoco Finance Corp.
 
5.88% 03/15/2028
 
100,000
100,273
7.00% 09/15/2028(b)
 
125,000
129,128
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Oil & Gas Storage & Transportation-(continued)
Tallgrass Energy Partners L.P./Tallgrass
Energy Finance Corp., 5.50%,
01/15/2028(b)
$
525,000
$525,102
Venture Global LNG, Inc.
 
8.13% 06/01/2028(b)(c)
 
795,000
814,416
7.00% 01/15/2030(b)
 
300,000
302,055
8.38% 06/01/2031(b)(c)
 
400,000
409,386
9.88% 02/01/2032(b)(c)
 
675,000
714,097
Venture Global Plaquemines LNG LLC,
6.50%, 01/15/2034(b)
 
600,000
622,961
 
 
5,983,909
Other Specialized REITs-0.53%
Iron Mountain, Inc.
 
4.88% 09/15/2027(b)(c)
 
458,000
457,955
5.25% 03/15/2028(b)
 
300,000
300,075
4.50% 02/15/2031(b)
 
50,000
47,815
 
 
805,845
Other Specialty Retail-0.36%
Bath & Body Works, Inc., 6.69%,
01/15/2027
 
200,000
203,187
Dick’s Sporting Goods, Inc., 4.00%,
10/01/2029(b)
 
137,000
135,124
Michaels Cos., Inc. (The), 5.25%,
05/01/2028(b)
 
200,000
197,951
 
 
536,262
Packaged Foods & Meats-0.52%
B&G Foods, Inc., 8.00%, 09/15/2028(b)(c)
 
300,000
283,501
Lamb Weston Holdings, Inc., 4.88%,
05/15/2028(b)
 
200,000
200,989
Viking Baked Goods Acquisition Corp.,
8.63%, 11/01/2031(b)(c)
 
300,000
297,815
 
 
782,305
Paper & Plastic Packaging Products & Materials-1.53%
Cascades, Inc./Cascades USA, Inc. (Canada),
5.38%, 01/15/2028(b)
 
150,000
149,945
Clydesdale Acquisition Holdings, Inc.
 
6.63% 04/15/2029(b)
 
320,000
323,094
6.88% 01/15/2030(b)
 
150,000
152,138
8.75% 04/15/2030(b)(c)
 
300,000
300,467
6.75% 04/15/2032(b)
 
200,000
201,699
Sealed Air Corp.
 
6.13% 02/01/2028(b)
 
45,000
45,697
7.25% 02/15/2031(b)(c)
 
600,000
625,517
6.88% 07/15/2033(b)(c)
 
351,000
369,253
Toucan FinCo Ltd./Toucan FinCo Can,
Inc./Toucan FinCo US LLC (Canada),
9.50%, 05/15/2030(b)
 
150,000
144,896
 
 
2,312,706
Paper Products-0.58%
Clearwater Paper Corp., 4.75%,
08/15/2028(b)
 
600,000
567,774
Domtar Corp., 6.75%, 10/01/2028(b)
 
366,000
304,358
 
 
872,132
Passenger Airlines-1.20%
Allegiant Travel Co., 7.25%, 08/15/2027(b)
 
410,000
414,929
American Airlines, Inc., 7.25%,
02/15/2028(b)(c)
 
730,000
743,629
 
Principal
Amount
Value
Passenger Airlines-(continued)
Avianca Midco 2 PLC, 9.00%,
12/01/2028(b)
$
307,000
$313,524
JetBlue Airways Corp./JetBlue Loyalty L.P.,
9.88%, 09/20/2031(b)(c)
 
330,000
331,807
 
 
1,803,889
Personal Care Products-0.36%
Edgewell Personal Care Co., 4.13%,
04/01/2029(b)(c)
 
560,000
537,396
Pharmaceuticals-2.49%
1261229 BC Ltd., 10.00%, 04/15/2032(b)
 
200,000
205,452
AdaptHealth LLC
 
6.13% 08/01/2028(b)
 
220,000
220,951
4.63% 08/01/2029(b)
 
150,000
144,964
Bausch Health Cos., Inc.
 
4.88% 06/01/2028(b)
 
100,000
92,576
11.00% 09/30/2028(b)
 
275,000
286,109
Elanco Animal Health, Inc., 6.65%,
08/28/2028(c)
 
460,000
480,458
Endo Finance Holdings, Inc., 8.50%,
04/15/2031(b)
 
315,000
333,698
HLF Financing S.a.r.l. LLC/Herbalife
International, Inc., 4.88%,
06/01/2029(b)(c)
 
250,000
237,505
Organon & Co./Organon Foreign Debt
Co-Issuer B.V.
 
4.13% 04/30/2028(b)
 
400,000
392,560
5.13% 04/30/2031(b)
 
400,000
363,561
6.75% 05/15/2034(b)
 
400,000
391,373
P&L Development LLC/PLD Finance Corp.,
3.50% PIK Rate, 9.00% Cash Rate,
05/15/2029(b)(d)
 
27,299
27,897
Perrigo Finance Unlimited Co.
 
5.15% 06/15/2030(c)
 
300,000
291,203
6.13% 09/30/2032(c)
 
300,000
295,319
 
 
3,763,626
Property & Casualty Insurance-0.09%
MBIA, Inc., 5.70%, 12/01/2034
 
140,000
130,870
Real Estate Development-0.91%
Cushman & Wakefield U.S. Borrower LLC,
8.88%, 09/01/2031(b)
 
136,000
145,022
Forestar Group, Inc., 5.00%, 03/01/2028(b)
 
600,000
601,790
Hunt Cos., Inc., 5.25%, 04/15/2029(b)
 
640,000
627,072
 
 
1,373,884
Real Estate Services-0.49%
Newmark Group, Inc., 7.50%, 01/12/2029
 
690,000
734,688
Regional Banks-0.06%
Veritiv Operating Co., 10.50%,
11/30/2030(b)
 
87,000
93,264
Research & Consulting Services-1.50%
Clarivate Science Holdings Corp., 3.88%,
07/01/2028(b)(c)
 
1,050,000
991,806
CoreLogic, Inc., 4.50%, 05/01/2028(b)(c)
 
640,000
628,565
Science Applications International Corp.,
5.88%, 11/01/2033(b)(c)
 
640,000
645,452
 
 
2,265,823
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Restaurants-0.37%
Bloomin’ Brands, Inc./OSI Restaurant
Partners LLC, 5.13%, 04/15/2029(b)
$
475,000
$422,244
Fertitta Entertainment LLC/Fertitta
Entertainment Finance Co., Inc., 6.75%,
01/15/2030(b)
 
150,000
141,948
 
 
564,192
Retail REITs-0.42%
Brookfield Property REIT, Inc./BPR
Cumulus LLC/BPR Nimbus LLC/GGSI
Sellco LLC, 4.50%, 04/01/2027(b)
 
640,000
632,412
Security & Alarm Services-0.48%
Brink’s Co. (The), 4.63%, 10/15/2027(b)
 
100,000
100,227
CoreCivic, Inc., 4.75%, 10/15/2027
 
620,000
619,723
 
 
719,950
Semiconductors-0.29%
ams-OSRAM AG (Austria), 12.25%,
03/30/2029(b)
 
150,000
160,136
Kioxia Holdings Corp. (Japan), 6.63%,
07/24/2033(b)
 
260,000
271,728
 
 
431,864
Single-Family Residential REITs-0.45%
Ashton Woods USA LLC/Ashton Woods
Finance Co., 4.63%, 08/01/2029(b)
 
700,000
671,060
Specialized Consumer Services-0.26%
Sotheby’s, 7.38%, 10/15/2027(b)
 
200,000
199,349
Sotheby’s/Bidfair Holdings, Inc., 5.88%,
06/01/2029(b)
 
200,000
192,781
 
 
392,130
Specialty Chemicals-1.38%
Celanese US Holdings LLC
 
6.50% 04/15/2030
 
200,000
203,611
6.75% 04/15/2033
 
650,000
658,823
7.20% 11/15/2033
 
150,000
158,780
Herens Holdco S.a.r.l. (Luxembourg), 4.75%,
05/15/2028(b)
 
200,000
176,139
Huntsman International LLC, 5.70%,
10/15/2034(c)
 
440,000
411,397
Tronox, Inc., 4.63%, 03/15/2029(b)(c)
 
170,000
130,812
WR Grace Holdings LLC
 
4.88% 06/15/2027(b)
 
250,000
250,000
5.63% 08/15/2029(b)
 
90,000
86,062
 
 
2,075,624
Steel-1.56%
Cleveland-Cliffs, Inc.
 
4.63% 03/01/2029(b)
 
250,000
246,195
6.88% 11/01/2029(b)
 
130,000
135,179
6.75% 04/15/2030(b)
 
130,000
133,092
7.50% 09/15/2031(b)
 
80,000
84,474
7.00% 03/15/2032(b)(c)
 
270,000
277,421
7.38% 05/01/2033(b)
 
220,000
229,713
7.63% 01/15/2034(b)
 
450,000
471,608
SunCoke Energy, Inc., 4.88%,
06/30/2029(b)(c)
 
825,000
778,728
 
 
2,356,410
 
Principal
Amount
Value
Systems Software-0.10%
Gen Digital, Inc., 6.75%, 09/30/2027(b)
$
52,000
$52,475
McAfee Corp., 7.38%, 02/15/2030(b)
 
129,000
102,799
 
 
155,274
Technology Distributors-0.43%
Insight Enterprises, Inc., 6.63%,
05/15/2032(b)
 
640,000
655,719
Technology Hardware, Storage & Peripherals-0.56%
Seagate Data Storage Technology Pte. Ltd.,
4.13%, 01/15/2031(b)
 
420,000
400,550
Xerox Corp., 10.25%, 10/15/2030(b)(c)
 
540,000
447,901
 
 
848,451
Telecom Tower REITs-0.35%
SBA Communications Corp., 3.13%,
02/01/2029(c)
 
550,000
525,614
Tires & Rubber-0.28%
Goodyear Tire & Rubber Co. (The), 4.88%,
03/15/2027(c)
 
430,000
428,907
Tobacco-0.21%
Turning Point Brands, Inc., 7.63%,
03/15/2032(b)
 
300,000
322,540
Trading Companies & Distributors-1.45%
FTAI Aviation Investors LLC, 5.50%,
05/01/2028(b)
 
350,000
350,543
Herc Holdings, Inc.
 
7.00% 06/15/2030(b)
 
200,000
210,037
7.25% 06/15/2033(b)
 
400,000
423,516
6.00% 03/15/2034(b)
 
400,000
402,251
QXO Building Products, Inc., 6.75%,
04/30/2032(b)
 
780,000
804,504
 
 
2,190,851
Transaction & Payment Processing Services-0.29%
NCR Atleos Corp., 9.50%, 04/01/2029(b)
 
401,000
429,959
Water Utilities-0.08%
S&S Holdings LLC, 8.38%, 10/01/2031(b)
 
130,000
124,054
Wireless Telecommunication Services-0.26%
Ontario Gaming GTA L.P./OTG Co-Issuer, Inc.
(Canada), 8.00%, 08/01/2030(b)
 
200,000
192,212
VMED O2 UK Financing I PLC (United
Kingdom), 7.75%, 04/15/2032(b)
 
200,000
205,929
 
 
398,141
Total U.S. Dollar Denominated Bonds & Notes
(Cost $146,029,557)
146,894,944
U.S. Treasury Securities-0.28%
U.S. Treasury Bills-0.28%
3.53%–4.15%, 05/14/2026(f)(g)
(Cost $412,469)
 
417,000
412,840
 
Shares
 
Common Stocks & Other Equity Interests-0.02%
Integrated Telecommunication Services-0.02%
Altice France S.A. (France)(h)
(Cost $31,829)
 
1,810
34,722
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Preferred Stocks-0.00%
Pharmaceuticals-0.00%
Keenova Therapeutics PLC, Pfd., 0.00%,
12/31/2079(i)
(Cost $858)
 
501,204
$858
Money Market Funds-0.47%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(j)(k)
(Cost $718,227)
 
718,227
718,227
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-98.14%
(Cost $147,192,940)
148,061,591
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-27.77%
Invesco Private Government Fund,
3.65%(j)(k)(l)
 
11,641,116
11,641,116
 
Shares
Value
Money Market Funds-(continued)
Invesco Private Prime Fund, 3.80%(j)(k)(l)
 
30,240,770
$30,249,842
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $41,890,958)
41,890,958
TOTAL INVESTMENTS IN SECURITIES-125.91%
(Cost $189,083,898)
189,952,549
OTHER ASSETS LESS LIABILITIES-(25.91)%
(39,090,304
)
NET ASSETS-100.00%
$150,862,245
Investment Abbreviations:
Pfd.
-Preferred
PIK
-Pay-in-Kind
REIT
-Real Estate Investment Trust
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(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 $116,350,741, which represented 77.12% of the Fund’s Net Assets.
(c)
All or a portion of this security was out on loan at January 31, 2026.
(d)
All or a portion of this security is Pay-in-Kind. Pay-in-Kind securities pay interest income in the form of securities.
(e)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(f)
All or a portion of the value was pledged as collateral to cover margin requirements for open futures contracts.
(g)
Security traded on a discount basis. The interest rate shown represents the discount rate at the time of purchase by the Fund.
(h)
Non-income producing security.
(i)
Security valued using significant unobservable inputs (Level 3). See Note1.
(j)
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
$881,378
$7,862,946
$(8,026,097
)
$-
$-
$718,227
$6,474
See accompanying notes which are an integral part of this schedule.

Invesco High Yield Systematic Bond ETF (GTOQ)—(continued)
January 31, 2026
(Unaudited)
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
$10,645,658
$12,234,143
$(11,238,685
)
$-
$-
$11,641,116
$102,967
*
Invesco Private Prime
Fund
29,109,030
26,635,655
(25,494,843
)
64
(64
)
30,249,842
278,741
*
Total
$40,636,066
$46,732,744
$(44,759,625
)
$64
$(64
)
$42,609,185
$388,182
*
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.
(k)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(l)
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.
Open Futures Contracts
Long Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
Interest Rate Risk
 
U.S. Treasury 10 Year Notes
44
March-2026
$4,920,438
$(27,764
)
$(27,764
)
U.S. Treasury 10 Year Ultra
6
March-2026
684,938
(1,758
)
(1,758
)
U.S. Treasury 5 Year Notes
81
March-2026
8,823,305
(25,904
)
(25,904
)
U.S. Treasury Long Bonds
5
March-2026
575,625
(6,266
)
(6,266
)
U.S. Treasury Ultra Bonds
1
March-2026
117,438
(2,197
)
(2,197
)
Subtotal—Long Futures Contracts
 
(63,889
)
(63,889
)
Short Futures Contracts
 
 
 
 
 
Interest Rate Risk
 
U.S. Treasury 2 Year Notes
57
March-2026
(11,884,055
)
6,000
6,000
Total Futures Contracts
$(57,889
)
$(57,889
)
Open Centrally Cleared Credit Default Swap Agreements(a)
Reference Entity
Buy/Sell
Protection
(Pay)/
Receive
Fixed
Rate
Payment
Frequency
Maturity Date
Implied
Credit
Spread(b)
Notional
Value
Upfront
Payments
Paid
(Received)
Value
Unrealized
Appreciation
Credit Risk
 
Markit CDX North
America High Yield
Index, Series 45,
Version 1
Sell
5.00%
Quarterly
12/20/2030
2.966%
USD
1,188,000
$75,759
$106,405
$30,646
(a)
Centrally cleared swap agreements collateralized by $14,873 cash held with the broker.
(b)
Implied credit spreads represent the current level, as of January 31, 2026, at which protection could be bought or sold given the terms of the existing credit
default swap agreement and serve as an indicator of the current status of the payment/performance risk of the credit default swap agreement. An implied
credit spread that has widened or increased since entry into the initial agreement may indicate a deteriorating credit profile and increased risk of default for the
reference entity. A declining or narrowing spread may indicate an improving credit profile or decreased risk of default for the reference entity. Alternatively,
credit spreads may increase or decrease reflecting the general tolerance for risk in the credit markets generally.
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 Growth Focus ETF (MTRA)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-100.23%
Belgium-1.12%
Anheuser-Busch InBev S.A./N.V.
 
23,677
$1,710,526
Brazil-1.11%
MercadoLibre, Inc.(a)
 
790
1,696,754
Canada-3.83%
Dollarama, Inc.
 
29,299
3,970,289
Shopify, Inc., Class A(a)
 
14,127
1,853,886
 
 
5,824,175
China-8.94%
Alibaba Group Holding Ltd., ADR(b)
 
32,150
5,451,354
Contemporary Amperex Technology Co. Ltd.
 
37,500
2,340,627
Pony AI, Inc., ADR(a)(b)
 
50,982
707,630
Tencent Holdings Ltd.
 
66,491
5,112,189
 
 
13,611,800
Denmark-1.39%
Orsted A/S(a)(c)
 
93,625
2,113,886
France-14.33%
Airbus SE
 
12,975
2,981,404
EssilorLuxottica S.A.
 
4,415
1,354,545
Hermes International S.C.A.
 
644
1,555,085
L’Oreal S.A.
 
5,701
2,628,767
LVMH Moet Hennessy Louis Vuitton SE
 
4,063
2,631,793
Sartorius Stedim Biotech
 
18,579
4,166,877
Schneider Electric SE
 
10,157
2,922,597
Societe Generale S.A.
 
40,603
3,570,930
 
 
21,811,998
Germany-4.59%
SAP SE
 
5,822
1,167,271
Siemens AG
 
19,177
5,818,823
 
 
6,986,094
India-4.06%
ICICI Bank Ltd., ADR
 
87,423
2,560,620
Reliance Industries Ltd., GDR(c)
 
59,495
3,611,486
 
 
6,172,106
Italy-2.81%
FinecoBank Banca Fineco S.p.A.
 
112,797
3,001,126
Ryanair Holdings PLC
 
37,483
1,276,764
 
 
4,277,890
Japan-7.00%
Daikin Industries Ltd.
 
18,942
2,277,184
Hitachi Ltd.
 
84,600
2,945,147
Hoya Corp.
 
13,520
2,275,411
Mitsubishi UFJ Financial Group, Inc.
 
90,138
1,637,723
Nintendo Co. Ltd.
 
24,470
1,520,230
 
 
10,655,695
Netherlands-8.03%
argenx SE, ADR(a)
 
1,343
1,128,792
ASML Holding N.V.
 
4,318
6,214,070
 
Shares
Value
Netherlands-(continued)
IMCD N.V.
 
11,743
$1,101,630
Universal Music Group N.V.
 
153,264
3,771,291
 
 
12,215,783
South Korea-0.93%
Samsung Electronics Co. Ltd., GDR(c)
 
515
1,417,754
Switzerland-6.16%
Lonza Group AG
 
5,824
3,972,535
Sika AG
 
7,536
1,451,722
Straumann Holding AG(a)
 
32,673
3,944,883
 
 
9,369,140
Taiwan-6.36%
Taiwan Semiconductor Manufacturing Co. Ltd.
 
175,000
9,676,789
United Kingdom-12.09%
AstraZeneca PLC
 
20,254
3,784,365
BAE Systems PLC
 
140,929
3,836,700
Compass Group PLC
 
79,632
2,394,608
HSBC Holdings PLC
 
234,267
4,144,469
RELX PLC
 
42,839
1,523,059
Rightmove PLC
 
189,152
1,284,098
Trainline PLC(a)(c)
 
510,501
1,434,777
 
 
18,402,076
United States-17.48%
Accenture PLC, Class A
 
11,977
3,157,616
Booking Holdings, Inc.
 
961
4,806,768
EPAM Systems, Inc.(a)
 
23,739
4,951,955
Ferguson Enterprises, Inc.
 
18,609
4,737,551
Illumina, Inc.(a)
 
27,629
4,000,956
ResMed, Inc.
 
19,168
4,951,286
 
 
26,606,132
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-100.23%
(Cost $143,239,778)
152,548,598
Investments Purchased with Cash Collateral from Securities
on Loan
Money Market Funds-4.21%
Invesco Private Government Fund,
3.65%(d)(e)(f)
 
1,787,223
1,787,223
Invesco Private Prime Fund, 3.80%(d)(e)(f)
 
4,612,220
4,613,604
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $6,400,827)
6,400,827
TOTAL INVESTMENTS IN SECURITIES-104.44%
(Cost $149,640,605)
158,949,425
OTHER ASSETS LESS LIABILITIES-(4.44)%
(6,754,710
)
NET ASSETS-100.00%
$152,194,715
See accompanying notes which are an integral part of this schedule.

Invesco International Growth Focus ETF (MTRA)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
ADR-American Depositary Receipt
GDR-Global Depositary Receipt
Notes to Schedule of Investments:
(a)
Non-income producing security.
(b)
All or a portion of this security was out on loan at January 31, 2026.
(c)
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 $8,577,903, which represented 5.64% of the Fund’s Net Assets.
(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
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional
Class
$-
$2,759,958
$(2,759,958
)
$-
$-
$-
$856
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
252,196
6,209,908
(4,674,881
)
-
-
1,787,223
12,387
*
Invesco Private Prime
Fund
654,550
11,646,742
(7,687,689
)
1
-
4,613,604
32,784
*
Total
$906,746
$20,616,608
$(15,122,528
)
$1
$-
$6,400,827
$46,027
*
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.

Schedule of Investments
Invesco MSCI EAFE Income Advantage ETF (EFAA)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-76.24%
Australia-5.46%
ANZ Group Holdings Ltd.
 
34,913
$893,556
APA Group
 
15,390
95,320
Aristocrat Leisure Ltd.
 
6,497
242,818
ASX Ltd.
 
2,273
91,021
BHP Group Ltd.
 
59,432
2,059,325
Brambles Ltd.
 
15,944
248,987
CAR Group Ltd.
 
4,426
85,202
Cochlear Ltd.
 
763
143,076
Coles Group Ltd.
 
15,707
233,468
Commonwealth Bank of Australia
 
19,580
2,039,164
Computershare Ltd.
 
6,089
139,119
CSL Ltd.
 
5,677
719,673
Evolution Mining Ltd.
 
23,762
229,568
Fortescue Ltd.
 
19,814
288,655
Glencore PLC(a)
 
117,629
804,205
Goodman Group
 
23,927
511,364
Insurance Australia Group Ltd.
 
27,679
146,808
Lottery Corp. Ltd. (The)
 
26,045
93,343
Lynas Rare Earths Ltd.(a)
 
10,602
107,365
Macquarie Group Ltd.
 
4,238
625,720
Medibank Pvt. Ltd.
 
32,225
104,023
National Australia Bank Ltd.
 
35,844
1,083,227
Northern Star Resources Ltd.
 
15,903
294,113
Origin Energy Ltd.
 
20,158
166,319
Pro Medicus Ltd.
 
674
86,686
Qantas Airways Ltd.
 
9,040
63,586
QBE Insurance Group Ltd.
 
17,670
243,642
REA Group Ltd.
 
624
82,541
Rio Tinto Ltd.
 
4,345
455,413
Rio Tinto PLC
 
13,210
1,208,642
Santos Ltd.
 
38,004
186,454
Scentre Group
 
61,043
174,037
SGH Ltd.
 
2,381
76,767
Sigma Healthcare Ltd.
 
60,789
131,047
Sonic Healthcare Ltd.
 
5,492
88,357
South32 Ltd.
 
52,654
167,807
Stockland
 
28,344
106,692
Suncorp Group Ltd.
 
12,671
150,062
Telstra Group Ltd.
 
46,489
158,889
Transurban Group
 
36,442
354,621
Vicinity Ltd.
 
47,261
81,116
Washington H Soul Pattinson & Co. Ltd.(b)
 
4,093
110,245
Wesfarmers Ltd.
 
13,278
770,582
Westpac Banking Corp.
 
40,024
1,081,896
WiseTech Global Ltd.
 
2,417
97,425
Woodside Energy Group Ltd.(b)
 
22,247
395,173
Woolworths Group Ltd.
 
14,296
308,648
 
 
18,025,767
Austria-0.22%
Erste Group Bank AG
 
3,601
469,861
OMV AG
 
1,726
102,910
Raiffeisen Bank International AG
 
1,540
77,906
Verbund AG
 
798
58,766
 
 
709,443
Belgium-0.68%
Ageas S.A./N.V.
 
1,747
124,540
Anheuser-Busch InBev S.A./N.V.
 
11,568
835,721
D’Ieteren Group
 
256
58,523
Elia Group S.A./N.V.
 
510
74,106
Financiere de Tubize S.A.
 
243
62,211
 
Shares
Value
Belgium-(continued)
Groupe Bruxelles Lambert N.V.
 
936
$88,888
KBC Group N.V.
 
2,689
380,297
Lotus Bakeries N.V.
 
4
47,330
Sofina S.A.
 
195
57,032
Syensqo S.A.
 
866
73,150
UCB S.A.
 
1,477
451,713
 
 
2,253,511
Brazil-0.03%
Yara International ASA
 
1,936
89,276
Chile-0.07%
Antofagasta PLC
 
4,615
229,332
China-0.14%
BOC Hong Kong (Holdings) Ltd.
 
43,443
228,841
SITC International Holdings Co. Ltd.
 
16,481
61,562
Wharf (Holdings) Ltd. (The)(b)
 
13,195
42,677
Wilmar International Ltd.
 
22,503
60,231
Yangzijiang Shipbuilding Holdings Ltd.
 
30,259
79,664
 
 
472,975
Denmark-1.47%
Carlsberg A/S, Class B
 
1,099
149,959
Coloplast A/S, Class B
 
1,473
126,029
Danske Bank A/S
 
7,817
399,730
Demant A/S(a)
 
1,177
41,351
DSV A/S
 
2,391
674,793
Genmab A/S(a)
 
714
233,469
Novo Nordisk A/S, Class B
 
37,685
2,245,959
Novonesis (Novozymes) B, Class B
 
4,124
253,624
Orsted A/S(a)(c)
 
6,183
139,601
Pandora A/S
 
925
75,149
Rockwool A/S
 
1,168
39,589
Tryg A/S
 
3,934
95,961
Vestas Wind Systems A/S
 
11,818
359,541
 
 
4,834,755
Finland-0.87%
Elisa OYJ
 
1,664
73,874
Fortum OYJ(b)
 
5,248
124,420
Kesko OYJ, Class B
 
3,196
81,131
Kone OYJ, Class B
 
3,979
286,988
Metso OYJ(b)
 
7,763
152,323
Neste OYJ
 
4,952
126,958
Nokia OYJ
 
61,987
400,701
Nordea Bank Abp
 
36,340
704,651
Orion OYJ, Class B
 
1,279
106,155
Sampo OYJ
 
28,331
317,102
Stora Enso OYJ, Class R(b)
 
6,817
78,762
UPM-Kymmene OYJ
 
6,175
170,975
Wartsila OYJ Abp
 
5,887
239,525
 
 
2,863,565
France-7.31%
Accor S.A.
 
2,291
125,039
Aeroports de Paris S.A.
 
403
53,438
Air Liquide S.A.
 
6,769
1,272,178
Airbus SE
 
6,955
1,598,125
Alstom S.A.(a)
 
4,054
129,907
Amundi S.A.(c)
 
736
65,675
AXA S.A.
 
20,296
928,838
bioMerieux
 
495
57,691
BNP Paribas S.A.
 
11,760
1,276,252
Bollore SE
 
8,216
47,013
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
France-(continued)
Bouygues S.A.
 
2,288
$124,124
Bureau Veritas S.A.(b)
 
3,985
128,752
Capgemini SE
 
1,803
281,163
Carrefour S.A.
 
6,892
113,295
Cie de Saint-Gobain S.A.
 
5,254
520,480
Cie Generale des Etablissements Michelin
S.C.A.
 
7,844
292,349
Covivio S.A.
 
695
44,562
Credit Agricole S.A.
 
12,484
271,340
Danone S.A.
 
7,575
595,730
Dassault Aviation S.A.
 
230
87,758
Dassault Systemes SE
 
7,847
216,613
Edenred SE
 
2,809
59,050
Eiffage S.A.
 
804
119,672
ENGIE S.A.
 
21,375
640,497
EssilorLuxottica S.A.
 
3,524
1,081,181
FDJ United
 
1,302
34,584
Gecina S.A.
 
541
49,872
Getlink SE
 
3,540
70,327
Hermes International S.C.A.
 
370
893,450
Ipsen S.A.
 
443
72,633
Kering S.A.
 
869
272,267
Klepierre S.A.
 
2,516
97,277
Legrand S.A.
 
3,069
491,768
L’Oreal S.A.
 
2,812
1,296,631
LVMH Moet Hennessy Louis Vuitton SE
 
2,928
1,896,601
Orange S.A.
 
21,789
406,528
Pernod Ricard S.A.
 
2,362
211,969
Publicis Groupe S.A.
 
2,680
268,833
Renault S.A.
 
2,249
85,184
Rexel S.A.
 
2,624
110,359
Safran S.A.
 
4,216
1,511,806
Sartorius Stedim Biotech
 
342
76,703
Schneider Electric SE
 
6,415
1,845,866
Societe Generale S.A.
 
8,270
727,325
Sodexo S.A.
 
1,037
53,174
STMicroelectronics N.V.
 
7,923
224,542
Thales S.A.
 
1,084
333,044
TotalEnergies SE
 
23,237
1,696,130
Unibail-Rodamco-Westfield
 
1,425
158,127
Veolia Environnement S.A.
 
7,376
277,657
Vinci S.A.
 
5,836
842,172
 
 
24,135,551
Germany-7.10%
adidas AG
 
2,001
356,072
Allianz SE
 
4,518
1,996,593
BASF SE
 
10,443
568,211
Bayer AG
 
11,495
610,196
Bayerische Motoren Werke AG
 
3,284
339,414
Bayerische Motoren Werke AG, Preference
Shares
 
638
66,046
Beiersdorf AG
 
1,138
136,232
Brenntag SE
 
1,435
87,622
Commerzbank AG
 
8,574
353,711
Continental AG
 
1,288
101,720
CTS Eventim AG & Co. KGaA
 
741
62,500
Daimler Truck Holding AG
 
5,560
270,186
Deutsche Bank AG
 
21,658
857,749
Deutsche Boerse AG
 
2,205
560,388
Deutsche Lufthansa AG
 
7,289
75,360
Deutsche Post AG
 
11,234
630,580
Deutsche Telekom AG
 
43,051
1,449,959
 
Shares
Value
Germany-(continued)
Dr. Ing. h.c. F. Porsche AG, Preference
Shares(b)(c)
 
1,331
$65,005
E.ON SE
 
26,272
559,247
Evonik Industries AG
 
2,997
46,592
Fresenius Medical Care AG
 
2,576
116,390
Fresenius SE & Co. KGaA
 
4,944
277,560
GEA Group AG
 
1,712
122,857
Hannover Rueck SE
 
706
200,345
Heidelberg Materials AG
 
1,565
430,163
Henkel AG & Co. KGaA
 
1,215
100,661
Henkel AG & Co. KGaA, Preference Shares
 
1,877
165,496
Hensoldt AG
 
742
73,980
HOCHTIEF AG
 
184
77,439
Infineon Technologies AG
 
15,281
749,684
Knorr-Bremse AG
 
863
100,848
LEG Immobilien SE
 
882
64,007
Mercedes-Benz Group AG
 
8,449
579,536
Merck KGaA
 
1,513
226,244
MTU Aero Engines AG
 
628
280,206
Muenchener Rueckversicherungs-Gesellschaft
AG in Muenchen, Class R
 
1,529
930,053
Nemetschek SE
 
677
59,367
Porsche Automobil Holding SE, Preference
Shares
 
1,791
76,907
Rational AG
 
62
49,862
Rheinmetall AG
 
541
1,150,455
RWE AG
 
7,401
471,698
SAP SE
 
12,218
2,449,626
Sartorius AG, Preference Shares
 
309
86,677
Scout24 SE(c)
 
876
87,532
Siemens AG
 
8,893
2,698,378
Siemens Energy AG, Class A(a)
 
9,071
1,551,125
Siemens Healthineers AG(c)
 
3,958
198,274
Symrise AG
 
1,553
131,217
Talanx AG
 
754
95,448
Volkswagen AG, Preference Shares
 
2,411
293,528
Vonovia SE
 
8,855
260,209
Zalando SE(a)(c)
 
2,627
75,814
 
 
23,424,969
Hong Kong-1.50%
AIA Group Ltd.
 
123,211
1,421,982
CK Asset Holdings Ltd.
 
22,779
133,484
CK Hutchison Holdings Ltd.
 
31,710
255,766
CK Infrastructure Holdings Ltd.
 
7,694
63,212
CLP Holdings Ltd.
 
19,421
183,634
Futu Holdings Ltd., ADR(a)
 
667
108,434
Henderson Land Development Co. Ltd.
 
17,757
70,652
HKT Trust & HKT Ltd.
 
44,466
66,658
Hong Kong & China Gas Co. Ltd. (The)
 
131,406
123,803
Hong Kong Exchanges & Clearing Ltd.
 
14,147
780,179
Hongkong Land Holdings Ltd.
 
12,675
107,546
Link REIT(b)
 
30,535
140,436
MTR Corp. Ltd.
 
18,322
81,041
Power Assets Holdings Ltd.(b)
 
16,179
125,535
Prudential PLC
 
29,984
493,899
Sino Land Co. Ltd.
 
42,635
64,181
Sun Hung Kai Properties Ltd.
 
16,704
268,330
Swire Pacific Ltd., Class A(b)
 
3,239
31,266
Techtronic Industries Co. Ltd.
 
17,663
241,201
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Hong Kong-(continued)
WH Group Ltd.
 
97,455
$115,042
Wharf Real Estate Investment Co. Ltd.
 
20,008
69,484
 
 
4,945,765
Indonesia-0.04%
Jardine Matheson Holdings Ltd.
 
1,908
139,051
Ireland-0.34%
AerCap Holdings N.V.
 
2,062
296,227
AIB Group PLC(a)
 
25,003
280,501
Bank of Ireland Group PLC
 
11,164
227,647
Kerry Group PLC, Class A
 
1,898
169,329
Kingspan Group PLC
 
1,797
157,041
 
 
1,130,745
Israel-0.76%
Azrieli Group Ltd.
 
501
67,388
Bank Hapoalim B.M.
 
14,636
362,906
Bank Leumi le-Israel B.M.
 
17,424
420,115
Check Point Software Technologies Ltd.(a)
 
1,003
180,049
Elbit Systems Ltd.
 
327
231,979
ICL Group Ltd.
 
9,442
51,422
Israel Discount Bank Ltd., Class A
 
14,314
169,143
Mizrahi Tefahot Bank Ltd.
 
1,823
143,038
Nice Ltd.(a)
 
722
76,597
Nova Ltd.(a)
 
345
168,914
Phoenix Finance Ltd.
 
2,679
130,422
Teva Pharmaceutical Industries Ltd., ADR(a)
 
13,418
457,286
Wix.com Ltd.(a)
 
654
56,793
 
 
2,516,052
Italy-2.49%
Assicurazioni Generali S.p.A.
 
9,973
408,279
Banca Mediolanum S.p.A.
 
2,730
64,273
Banca Monte dei Paschi di Siena S.p.A.
 
23,109
240,598
Banco BPM S.p.A.
 
13,296
200,021
BPER Banca S.p.A.
 
17,241
243,694
Coca-Cola HBC AG(a)
 
2,554
139,102
Davide Campari-Milano N.V.(b)
 
7,205
51,538
Enel S.p.A.
 
95,174
1,055,351
Eni S.p.A.
 
23,934
490,965
Ferrari N.V.
 
1,473
493,096
FinecoBank Banca Fineco S.p.A.
 
7,154
190,342
Infrastrutture Wireless Italiane S.p.A.(b)(c)
 
3,556
31,551
Intesa Sanpaolo S.p.A.
 
166,667
1,184,182
Leonardo S.p.A.
 
4,736
317,639
Moncler S.p.A.
 
2,733
159,812
Nexi S.p.A.(b)(c)
 
6,768
29,001
Poste Italiane S.p.A.(c)
 
5,348
141,368
Prysmian S.p.A.
 
3,295
391,687
Recordati Industria Chimica e Farmaceutica
S.p.A.
 
1,344
74,322
Ryanair Holdings PLC
 
9,871
336,231
Snam S.p.A.(b)
 
23,595
162,749
Telecom Italia S.p.A.(a)
 
134,539
91,593
Terna S.p.A.
 
16,464
179,057
UniCredit S.p.A.
 
16,407
1,434,993
Unipol Assicurazioni S.p.A.
 
4,196
93,791
 
 
8,205,235
Ivory Coast-0.04%
Endeavour Mining PLC
 
2,260
129,002
Japan-17.08%
Advantest Corp.
 
8,971
1,488,492
 
Shares
Value
Japan-(continued)
AEON Co. Ltd.
 
26,054
$357,511
AGC, Inc.
 
2,295
84,959
Aisin Corp.
 
5,782
103,920
Ajinomoto Co., Inc.
 
10,548
242,087
ANA Holdings, Inc.(b)
 
1,910
37,203
Asahi Group Holdings Ltd.
 
17,538
184,198
Asahi Kasei Corp.
 
15,172
147,661
Asics Corp.
 
8,168
197,263
Astellas Pharma, Inc.
 
21,182
295,594
Bandai Namco Holdings, Inc.
 
6,849
178,299
Bridgestone Corp.
 
13,396
302,579
Canon, Inc.(b)
 
10,180
310,872
Capcom Co. Ltd.
 
4,169
106,608
Central Japan Railway Co.
 
9,000
251,897
Chiba Bank Ltd. (The)(b)
 
6,626
89,998
Chubu Electric Power Co., Inc.
 
7,955
115,950
Chugai Pharmaceutical Co. Ltd.
 
7,911
453,347
Dai Nippon Printing Co. Ltd.
 
4,562
82,118
Daifuku Co. Ltd.
 
3,751
134,996
Dai-ichi Life Holdings, Inc.
 
41,112
362,717
Daiichi Sankyo Co. Ltd.
 
21,019
386,308
Daikin Industries Ltd.
 
3,131
376,405
Daito Trust Construction Co. Ltd.
 
3,422
69,683
Daiwa House Industry Co. Ltd.
 
6,589
225,242
Daiwa Securities Group, Inc.
 
15,615
152,652
Denso Corp.
 
20,397
283,921
Disco Corp.
 
1,075
459,705
East Japan Railway Co.
 
11,289
284,320
Ebara Corp.
 
5,371
163,133
Eisai Co. Ltd.(b)
 
3,096
86,594
ENEOS Holdings, Inc.
 
31,632
268,218
FANUC Corp.
 
10,961
441,561
Fast Retailing Co. Ltd.
 
2,271
869,270
Fuji Electric Co. Ltd.
 
1,576
112,627
FUJIFILM Holdings Corp.
 
13,111
262,744
Fujikura Ltd.
 
2,969
374,374
Fujitsu Ltd.
 
20,632
575,134
Hankyu Hanshin Holdings, Inc.
 
2,777
77,794
Hikari Tsushin, Inc.
 
223
61,788
Hitachi Ltd.
 
53,612
1,866,374
Honda Motor Co. Ltd.
 
43,218
436,076
Hoya Corp.
 
3,977
669,328
Hulic Co. Ltd.
 
5,435
64,978
Idemitsu Kosan Co. Ltd.
 
8,997
76,589
IHI Corp.
 
11,997
278,465
Inpex Corp.
 
10,341
232,433
Isuzu Motors Ltd.(b)
 
6,209
100,350
ITOCHU Corp.
 
69,515
892,856
Japan Airlines Co. Ltd.
 
1,791
33,951
Japan Exchange Group, Inc.
 
11,622
127,233
Japan Post Bank Co. Ltd.
 
20,903
372,596
Japan Post Holdings Co. Ltd.
 
20,901
252,313
Japan Post Insurance Co. Ltd.
 
2,180
67,738
Japan Tobacco, Inc.
 
14,076
510,379
JFE Holdings, Inc.(b)
 
6,705
90,563
JX Advanced Metals Corp.
 
6,483
105,244
Kajima Corp.
 
4,921
201,407
Kansai Electric Power Co., Inc. (The)
 
11,084
177,418
Kao Corp.
 
5,456
218,961
Kawasaki Heavy Industries Ltd.
 
1,720
144,044
Kawasaki Kisen Kaisha Ltd.(b)
 
4,108
59,553
KDDI Corp.
 
34,287
580,777
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Japan-(continued)
Keyence Corp.
 
2,233
$821,855
Kikkoman Corp.
 
7,982
72,436
Kioxia Holdings Corp.(a)
 
2,238
307,120
Kirin Holdings Co. Ltd.
 
9,049
141,143
Kobe Bussan Co. Ltd.
 
1,808
44,330
Komatsu Ltd.
 
11,161
428,574
Konami Group Corp.
 
1,178
172,573
Kubota Corp.
 
11,489
176,601
Kyocera Corp.
 
15,007
225,877
Kyowa Kirin Co. Ltd.
 
2,893
47,117
Lasertec Corp.(b)
 
972
224,029
LY Corp.
 
32,175
82,649
M3, Inc.
 
5,378
66,574
Makita Corp.
 
2,654
92,514
Marubeni Corp.
 
16,473
547,819
MatsukiyoCocokara & Co.
 
3,950
63,480
MINEBEA MITSUMI, Inc.
 
4,399
90,193
Mitsubishi Chemical Group Corp.
 
14,951
99,030
Mitsubishi Corp.
 
37,718
1,005,277
Mitsubishi Electric Corp.
 
22,222
696,954
Mitsubishi Estate Co. Ltd.
 
12,395
316,922
Mitsubishi HC Capital, Inc.
 
10,302
90,196
Mitsubishi Heavy Industries Ltd.
 
37,519
1,108,288
Mitsubishi UFJ Financial Group, Inc.
 
134,201
2,438,307
Mitsui & Co. Ltd.
 
28,905
947,243
Mitsui Fudosan Co. Ltd.
 
30,885
355,303
Mitsui OSK Lines Ltd.(b)
 
4,061
127,704
Mizuho Financial Group, Inc.
 
29,109
1,267,949
MonotaRO Co. Ltd.
 
2,916
39,461
MS&AD Insurance Group Holdings, Inc.
 
15,008
383,607
Murata Manufacturing Co. Ltd.
 
19,575
398,966
NEC Corp.
 
15,143
515,006
Nexon Co. Ltd.
 
4,349
104,384
Nidec Corp.
 
9,720
139,493
Nintendo Co. Ltd.
 
12,931
803,355
Nippon Building Fund, Inc.(b)
 
92
85,615
Nippon Paint Holdings Co. Ltd.
 
11,061
73,683
Nippon Sanso Holdings Corp.(b)
 
2,044
62,222
Nippon Steel Corp.
 
56,570
236,494
Nippon Yusen K.K.(b)
 
4,814
158,724
Nissan Motor Co. Ltd.(a)(b)
 
26,042
63,680
Nitori Holdings Co. Ltd.(b)
 
4,696
80,533
Nitto Denko Corp.
 
7,953
177,315
Nomura Holdings, Inc.
 
35,219
320,201
Nomura Research Institute Ltd.
 
4,373
133,460
NTT, Inc.
 
349,699
352,545
Obayashi Corp.
 
7,449
168,694
OBIC Co. Ltd.
 
3,796
105,848
Olympus Corp.
 
13,297
159,341
Oriental Land Co. Ltd.
 
12,634
221,893
ORIX Corp.
 
13,596
415,687
Osaka Gas Co. Ltd.
 
4,182
157,512
Otsuka Corp.
 
2,629
52,293
Otsuka Holdings Co. Ltd.
 
5,054
303,556
Pan Pacific International Holdings Corp.
 
22,285
132,367
Panasonic Holdings Corp.
 
27,311
375,667
Rakuten Group, Inc.(a)
 
17,742
106,721
Recruit Holdings Co. Ltd.
 
16,470
870,349
Renesas Electronics Corp.(a)
 
20,752
346,130
Resona Holdings, Inc.
 
24,259
283,780
Ryohin Keikaku Co. Ltd.(b)
 
6,048
121,017
Sanrio Co. Ltd.(b)
 
2,057
63,847
 
Shares
Value
Japan-(continued)
SBI Holdings, Inc.
 
6,697
$151,937
SCREEN Holdings Co. Ltd.
 
972
124,188
Secom Co. Ltd.
 
4,652
170,972
Seibu Holdings, Inc.
 
2,483
66,003
Sekisui Chemical Co. Ltd.
 
4,375
77,633
Sekisui House Ltd.(b)
 
6,951
155,418
Seven & i Holdings Co. Ltd.
 
24,372
350,153
SG Holdings Co. Ltd.(b)
 
3,405
32,885
Shimadzu Corp.
 
2,762
75,099
Shimano, Inc.
 
865
98,919
Shin-Etsu Chemical Co. Ltd.
 
19,700
649,926
Shionogi & Co. Ltd.
 
8,880
183,425
Shiseido Co. Ltd.
 
4,806
82,351
SMC Corp.
 
627
244,550
SoftBank Corp.
 
336,127
458,365
SoftBank Group Corp.
 
44,738
1,225,638
Sompo Holdings, Inc.
 
10,352
358,141
Sony Financial Group, Inc.(a)
 
71,135
71,829
Sony Group Corp.
 
71,960
1,591,710
Subaru Corp.
 
6,879
148,158
Sumitomo Corp.
 
12,736
518,874
Sumitomo Electric Industries Ltd.
 
8,384
368,237
Sumitomo Metal Mining Co. Ltd.
 
2,910
164,972
Sumitomo Mitsui Financial Group, Inc.
 
42,834
1,512,234
Sumitomo Mitsui Trust Group, Inc.
 
7,449
249,594
Sumitomo Realty & Development Co. Ltd.
 
7,154
199,863
Suntory Beverage & Food Ltd.
 
1,638
52,058
Suzuki Motor Corp.(b)
 
18,393
251,603
Sysmex Corp.
 
5,915
56,151
T&D Holdings, Inc.
 
5,381
133,336
Taisei Corp.
 
1,761
176,226
Takeda Pharmaceutical Co. Ltd.
 
18,648
636,830
TDK Corp.
 
22,712
294,008
Terumo Corp.
 
15,640
205,254
TIS, Inc.
 
2,523
73,654
Toho Co. Ltd.
 
1,220
62,397
Tokio Marine Holdings, Inc.
 
21,497
803,845
Tokyo Electron Ltd.
 
5,221
1,395,692
Tokyo Gas Co. Ltd.
 
3,683
163,928
Tokyo Metro Co. Ltd.
 
3,582
38,372
Tokyu Corp.
 
5,826
65,988
TOPPAN Holdings, Inc.
 
2,747
85,129
Toray Industries, Inc.
 
16,220
120,030
Toyota Industries Corp.(b)
 
1,931
247,884
Toyota Motor Corp.
 
110,844
2,520,479
Toyota Tsusho Corp.
 
8,037
293,650
Trend Micro, Inc.(a)
 
1,460
57,458
Tsuruha Holdings, Inc.
 
2,800
44,762
Unicharm Corp.
 
13,056
79,549
West Japan Railway Co.
 
4,803
98,465
Yamaha Motor Co. Ltd.(b)
 
10,675
80,876
Yokogawa Electric Corp.
 
2,629
87,932
Yokohama Financial Group, Inc.
 
12,041
110,022
Zensho Holdings Co. Ltd.
 
1,089
59,212
ZOZO, Inc.
 
5,462
45,259
 
 
56,361,994
Luxembourg-0.14%
ArcelorMittal S.A.
 
5,487
299,069
CVC Capital Partners PLC(c)
 
2,603
46,415
Eurofins Scientific SE
 
1,387
112,606
 
 
458,090
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Macau-0.05%
Galaxy Entertainment Group Ltd.
 
22,585
$114,784
Sands China Ltd.
 
28,485
61,840
 
 
176,624
Mexico-0.04%
Fresnillo PLC
 
2,588
127,814
Netherlands-4.09%
ABN AMRO Bank N.V., CVA(c)
 
6,825
252,368
Adyen N.V.(a)(c)
 
293
436,050
Akzo Nobel N.V.
 
2,002
140,763
argenx SE(a)
 
720
607,696
ASM International N.V.
 
550
463,584
ASML Holding N.V.
 
4,540
6,533,552
ASR Nederland N.V.
 
1,838
133,980
BE Semiconductor Industries N.V.
 
854
166,828
Euronext N.V.(c)
 
894
125,662
EXOR N.V.
 
1,093
90,068
Heineken Holding N.V.
 
1,518
113,241
Heineken N.V.
 
3,368
279,036
IMCD N.V.(b)
 
692
64,918
ING Groep N.V.
 
35,359
1,046,553
JDE Peet’s N.V.
 
2,057
77,721
Koninklijke Ahold Delhaize N.V.
 
10,497
411,923
Koninklijke KPN N.V.
 
45,505
223,670
Koninklijke Philips N.V.
 
9,014
259,784
Magnum Ice Cream Co. N.V. (The)(a)
 
5,804
103,529
Nebius Group N.V., Class A(a)(b)
 
2,482
211,442
NN Group N.V.
 
3,150
250,598
Prosus N.V.(a)
 
15,309
883,481
Randstad N.V.
 
1,318
47,338
Universal Music Group N.V.
 
12,879
316,907
Wolters Kluwer N.V.
 
2,721
256,437
 
 
13,497,129
New Zealand-0.17%
Auckland International Airport Ltd.
 
19,836
99,294
Contact Energy Ltd.
 
10,167
57,561
Fisher & Paykel Healthcare Corp. Ltd.
 
6,872
161,273
Infratil Ltd.
 
11,205
74,879
Meridian Energy Ltd.
 
15,955
54,373
Xero Ltd.(a)
 
1,934
126,801
 
 
574,181
Norway-0.44%
Aker BP ASA
 
3,697
109,188
DNB Bank ASA
 
10,376
298,490
Equinor ASA
 
8,977
242,079
Gjensidige Forsikring ASA
 
2,414
68,934
Kongsberg Gruppen ASA
 
5,144
177,281
Mowi ASA
 
5,446
125,953
Norsk Hydro ASA
 
16,207
144,355
Orkla ASA
 
8,201
97,898
SalMar ASA
 
820
49,008
Telenor ASA
 
7,206
121,838
 
 
1,435,024
Poland-0.01%
InPost S.A.(a)(b)
 
3,069
48,278
Portugal-0.14%
Banco Comercial Portugues S.A., Class R
 
88,430
96,064
EDP S.A.
 
36,719
188,442
 
Shares
Value
Portugal-(continued)
Galp Energia SGPS S.A.
 
4,881
$97,473
Jeronimo Martins SGPS S.A.
 
3,314
78,431
 
 
460,410
Singapore-1.24%
CapitaLand Ascendas REIT
 
45,857
102,872
CapitaLand Integrated Commercial Trust
 
71,222
134,039
CapitaLand Investment Ltd.
 
28,443
69,033
DBS Group Holdings Ltd.
 
24,922
1,161,263
Grab Holdings Ltd., Class A(a)(b)
 
27,752
119,334
Keppel Ltd.
 
17,067
147,183
Oversea-Chinese Banking Corp. Ltd.
 
39,647
663,307
Sea Ltd., ADR(a)
 
4,477
521,526
Sembcorp Industries Ltd.(b)
 
10,818
51,386
Singapore Airlines Ltd.(b)
 
18,284
91,497
Singapore Exchange Ltd.
 
9,995
138,830
Singapore Technologies Engineering Ltd.(b)
 
18,243
140,587
Singapore Telecommunications Ltd.
 
86,972
314,622
United Overseas Bank Ltd.
 
14,716
444,611
 
 
4,100,090
South Africa-0.18%
Anglo American PLC
 
13,098
609,057
South Korea-0.02%
Delivery Hero SE(a)(c)
 
2,351
65,806
Spain-2.87%
Acciona S.A.
 
287
61,905
ACS Actividades de Construccion y Servicios
S.A.
 
2,079
234,102
ACS Actividades de Construccion y Servicios
S.A., Rts., expiring 03-31-2026(a)
 
2,062
1,138
Aena S.M.E. S.A.(c)
 
8,776
273,550
Amadeus IT Group S.A.
 
5,274
354,887
Banco Bilbao Vizcaya Argentaria S.A.
 
67,442
1,718,137
Banco de Sabadell S.A.
 
58,788
231,449
Banco Santander S.A.
 
174,187
2,232,100
Bankinter S.A.
 
7,891
135,188
CaixaBank S.A.
 
45,601
604,126
Cellnex Telecom S.A.(c)
 
5,787
179,642
EDP Renovaveis S.A.
 
3,840
58,547
Endesa S.A.
 
3,715
137,636
Grifols S.A.
 
3,488
44,787
Iberdrola S.A.
 
75,290
1,698,868
Iberdrola S.A., Rts., expiring
03/31/2026(a)(b)
 
70,969
21,884
Industria de Diseno Textil S.A.
 
12,765
833,634
Mapfre S.A.
 
11,280
51,802
Naturgy Energy Group S.A.
 
2,837
89,408
Redeia Corp. S.A.
 
4,748
82,352
Repsol S.A.
 
13,206
261,117
Telefonica S.A.(b)
 
43,126
175,220
 
 
9,481,479
Sweden-2.86%
Addtech AB, Class B
 
3,043
99,420
Alfa Laval AB
 
3,388
197,466
Assa Abloy AB, Class B(b)
 
11,728
477,169
Atlas Copco AB, Class A
 
31,434
652,284
Atlas Copco AB, Class B
 
18,263
330,559
Beijer Ref AB(b)
 
4,783
68,510
Boliden AB(a)
 
3,325
234,292
Epiroc AB, Class A
 
7,711
217,513
Epiroc AB, Class B
 
4,566
114,573
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Sweden-(continued)
EQT AB(b)
 
5,780
$220,753
Essity AB, Class B
 
7,056
210,223
Evolution AB(b)(c)
 
1,554
101,580
Fastighets AB Balder, Class B(a)
 
8,736
66,303
H & M Hennes & Mauritz AB, Class B(b)
 
5,776
116,387
Hexagon AB, Class B
 
24,294
275,625
Holmen AB, Class B(b)
 
854
32,210
Industrivarden AB, Class A
 
1,442
72,536
Industrivarden AB, Class C
 
1,824
91,887
Indutrade AB
 
3,197
75,520
Investment AB Latour, Class B
 
1,734
43,450
Investor AB, Class B
 
21,319
827,184
L E Lundbergforetagen AB, Class B
 
937
56,164
Lifco AB, Class B
 
2,728
94,325
NIBE Industrier AB, Class B(b)
 
17,735
68,363
Saab AB, Class B
 
3,750
294,412
Sagax AB, Class B
 
2,654
58,889
Sandvik AB
 
12,475
495,667
Securitas AB, Class B
 
5,757
95,797
Skandinaviska Enskilda Banken AB, Class A
 
17,717
383,194
Skanska AB, Class B
 
3,984
121,758
SKF AB, Class B
 
3,993
105,055
Spotify Technology S.A.(a)
 
1,827
914,139
Svenska Cellulosa AB S.C.A., Class B(b)
 
7,109
89,567
Svenska Handelsbanken AB, Class A
 
17,067
270,742
Swedbank AB, Class A
 
9,935
388,686
Swedish Orphan Biovitrum AB, Class B(a)
 
2,298
87,812
Tele2 AB, Class B
 
6,406
118,597
Telefonaktiebolaget LM Ericsson, Class B
 
32,751
356,913
Telia Co. AB
 
27,606
126,904
Trelleborg AB, Class B
 
2,373
96,626
Volvo AB, Class B
 
18,593
679,839
 
 
9,428,893
Switzerland-5.71%
ABB Ltd.
 
18,341
1,585,277
Avolta AG(a)
 
1,030
63,304
Banque Cantonale Vaudoise(b)
 
353
47,958
Barry Callebaut AG(b)
 
35
61,981
Belimo Holding AG
 
115
126,274
BKW AG(a)
 
254
48,209
Chocoladefabriken Lindt & Spruengli AG
 
1
148,388
Chocoladefabriken Lindt & Spruengli AG, PC
 
11
158,702
Cie Financiere Richemont S.A.
 
6,290
1,225,707
DSM-Firmenich AG
 
2,020
159,862
EMS-Chemie Holding AG
 
84
65,562
Galderma Group AG, Class A
 
1,808
338,322
Geberit AG
 
395
302,793
Givaudan S.A.
 
108
419,099
Helvetia Baloise Holding AG
 
931
237,041
Julius Baer Group Ltd.
 
2,409
202,009
Kuehne + Nagel International AG, Class R
 
566
131,575
Logitech International S.A., Class R
 
1,787
154,554
Lonza Group AG
 
822
560,684
Nestle S.A.
 
30,151
2,888,415
Partners Group Holding AG
 
264
361,378
Roche Holding AG
 
8,219
3,752,068
Roche Holding AG, BR
 
374
173,507
Sandoz Group AG
 
4,890
388,924
Schindler Holding AG
 
277
102,272
Schindler Holding AG, PC
 
476
184,377
SGS S.A.
 
1,936
233,924
Sika AG
 
1,784
343,667
 
Shares
Value
Switzerland-(continued)
Sonova Holding AG, Class A
 
593
$162,926
Straumann Holding AG(a)
 
1,306
157,684
Swatch Group AG (The), BR(b)
 
339
80,294
Swiss Life Holding AG
 
335
368,776
Swiss Prime Site AG
 
939
160,479
Swisscom AG
 
305
251,405
UBS Group AG
 
37,148
1,764,520
VAT Group AG(c)
 
318
206,441
Zurich Insurance Group AG
 
1,710
1,221,271
 
 
18,839,629
United Kingdom-9.48%
3i Group PLC
 
11,623
535,473
Admiral Group PLC
 
3,048
115,035
Ashtead Group PLC
 
4,935
318,620
Associated British Foods PLC
 
3,770
98,807
AstraZeneca PLC
 
18,144
3,390,121
Auto Trader Group PLC(c)
 
10,126
74,857
Aviva PLC
 
35,772
312,744
BAE Systems PLC
 
35,163
957,290
Barclays PLC
 
163,388
1,093,571
Barratt Redrow PLC
 
15,909
84,953
British American Tobacco PLC
 
25,581
1,549,847
BT Group PLC
 
69,982
184,474
Bunzl PLC
 
3,800
106,867
Centrica PLC
 
55,237
145,051
Coca-Cola Europacific Partners PLC
 
2,434
223,198
Compass Group PLC
 
19,864
597,329
DCC PLC
 
996
63,316
Diageo PLC
 
26,052
601,173
Entain PLC
 
7,392
61,501
Haleon PLC
 
104,223
546,630
Halma PLC
 
4,445
216,503
Hikma Pharmaceuticals PLC
 
1,945
40,915
HSBC Holdings PLC
 
201,443
3,563,773
Imperial Brands PLC
 
8,957
378,325
Informa PLC
 
15,146
183,300
InterContinental Hotels Group PLC
 
1,693
228,725
International Consolidated Airlines Group
S.A.
 
13,830
79,614
Intertek Group PLC
 
1,806
111,110
J Sainsbury PLC
 
20,115
88,389
JD Sports Fashion PLC
 
31,607
35,473
Kingfisher PLC
 
20,349
94,043
Land Securities Group PLC
 
8,282
74,131
Legal & General Group PLC
 
66,669
242,753
Lloyds Banking Group PLC
 
692,778
1,037,409
London Stock Exchange Group PLC
 
5,466
611,427
M&G PLC
 
26,736
113,664
Marks & Spencer Group PLC
 
24,069
121,055
Melrose Industries PLC
 
14,767
127,328
National Grid PLC(b)
 
58,055
989,141
NatWest Group PLC
 
94,024
859,452
Next PLC
 
1,364
248,352
Pearson PLC
 
6,746
88,983
Phoenix Group Holdings PLC
 
8,220
83,553
Reckitt Benckiser Group PLC
 
7,901
661,052
RELX PLC
 
21,355
759,236
Rentokil Initial PLC
 
29,561
184,003
Rolls-Royce Holdings PLC
 
98,486
1,651,082
Sage Group PLC (The)
 
11,273
148,247
Schroders PLC
 
8,483
52,691
Segro PLC
 
15,046
157,205
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
United Kingdom-(continued)
Severn Trent PLC
 
3,172
$127,769
Shell PLC
 
67,783
2,612,974
Smith & Nephew PLC
 
9,435
161,262
Smiths Group PLC
 
3,818
131,491
Spirax Group PLC
 
860
85,938
SSE PLC
 
14,110
470,318
Standard Chartered PLC
 
22,771
584,290
Tesco PLC
 
76,066
443,875
Unilever PLC
 
25,501
1,739,765
United Utilities Group PLC
 
7,977
137,000
Vodafone Group PLC
 
224,103
330,983
Whitbread PLC
 
2,024
75,768
Wise PLC, Class A(a)
 
7,797
100,850
 
 
31,294,074
United States-3.20%
A.P. Moller - Maersk A/S, Class A
 
29
71,375
A.P. Moller - Maersk A/S, Class B(b)
 
44
109,201
Aegon Ltd.
 
15,474
121,981
Alcon AG(b)
 
5,845
474,951
BP PLC
 
184,105
1,170,657
Buzzi S.p.A.
 
943
53,872
CyberArk Software Ltd.(a)
 
591
254,621
Experian PLC
 
10,739
407,896
Ferrovial SE
 
6,011
407,487
GSK PLC
 
47,565
1,233,617
Holcim AG(a)
 
5,968
617,511
Monday.com Ltd.(a)
 
517
59,326
Novartis AG
 
22,247
3,313,643
Oracle Corp.
 
492
33,399
Qiagen N.V.
 
2,407
128,062
Sanofi S.A.
 
12,926
1,223,652
Stellantis N.V.
 
23,593
232,345
Swiss Re AG(a)
 
3,498
561,101
Tenaris S.A.
 
4,390
97,869
 
 
10,572,566
Total Common Stocks & Other Equity Interests
(Cost $211,579,787)
251,636,132
 
 
Principal
Amount
Equity Linked Notes-2.32%
 
 
 
Canada-0.49%
 
 
 
Royal Bank of Canada (iShares MSCI EAFE
ETF), 228.34%, 02/11/2026(c)
 
294,000
248,458
Royal Bank of Canada (iShares MSCI EAFE
ETF), 213.91%, 02/17/2026(c)
 
368,000
325,377
Royal Bank of Canada (iShares MSCI EAFE
ETF), 223.35%, 02/18/2026(c)
 
672,000
625,480
Toronto-Dominion Bank (The) (iShares MSCI
EAFE ETF), 233.00%, 02/20/2026(c)
 
466,000
428,765
 
 
1,628,080
France-0.32%
 
 
 
Societe Generale S.A. (iShares MSCI EAFE
ETF), 222.32%, 02/06/2026(c)
 
463,000
392,886
Societe Generale S.A. (iShares MSCI EAFE
ETF), 238.31%, 02/10/2026(c)
 
388,000
323,087
Societe Generale S.A. (iShares MSCI EAFE
ETF), 206.90%, 03/02/2026(c)
 
339,000
339,000
 
 
1,054,973
 
 
Principal
Amount
Equity Linked Notes-2.32%
 
 
 
Japan-0.45%
 
 
 
Mizuho Markets Cayman L.P. (iShares MSCI
EAFE ETF), 255.20%, 02/05/2026(c)
 
306,000
$191,104
Mizuho Markets Cayman L.P. (iShares MSCI
EAFE ETF), 206.10%, 02/09/2026(c)
 
629,000
539,270
Mizuho Markets Cayman L.P. (iShares MSCI
EAFE ETF), 237.40%, 02/13/2026(c)
 
305,000
275,078
Mizuho Markets Cayman L.P. (iShares MSCI
EAFE ETF), 206.80%, 02/19/2026(c)
 
500,000
458,082
 
 
1,463,534
Switzerland-0.10%
 
 
 
UBS Group AG (iShares MSCI EAFE ETF),
208.82%, 02/27/2026(c)
 
346,000
332,029
United States-0.96%
 
 
 
JPMorgan Chase & Co. (iShares MSCI EAFE
ETF), 238.62%, 02/12/2026(c)
 
202,000
175,673
JPMorgan Chase & Co. (iShares MSCI EAFE
ETF), 183.36%, 03/03/2026(c)
 
404,000
400,150
Morgan Stanley (iShares MSCI EAFE ETF),
210.49%, 02/26/2026(c)
 
539,000
511,737
Morgan Stanley (iShares MSCI EAFE ETF),
201.74%, 03/04/2026(c)
 
315,000
318,506
Morgan Stanley Finance LLC (iShares MSCI
EAFE ETF), 156.67%, 02/23/2026(c)
 
635,000
580,767
Morgan Stanley Finance LLC (iShares MSCI
EAFE ETF), 195.16%, 02/25/2026(c)
 
273,000
260,566
Morgan Stanley Finance LLC (iShares MSCI
EAFE ETF), 183.48%, 03/02/2026(c)
 
216,000
209,551
Wells Fargo & Co. (iShares MSCI EAFE ETF),
206.65%, 02/24/2026(c)
 
756,000
720,354
 
 
3,177,304
Total Equity Linked Notes
(Cost $8,416,000)
7,655,920
 
Shares
 
Money Market Funds-21.34%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(d)(e)
(Cost $70,450,202)
 
70,450,202
70,450,202
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-99.90%
(Cost $290,445,989)
329,742,254
Investments Purchased with Cash Collateral from Securities
on Loan
Money Market Funds-1.71%
Invesco Private Government Fund,
3.65%(d)(e)(f)
 
1,571,412
1,571,412
Invesco Private Prime Fund, 3.80%(d)(e)(f)
 
4,082,030
4,083,255
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $5,654,667)
5,654,667
TOTAL INVESTMENTS IN SECURITIES-101.61%
(Cost $296,100,656)
335,396,921
OTHER ASSETS LESS LIABILITIES-(1.61)%
(5,312,930
)
NET ASSETS-100.00%
$330,083,991
See accompanying notes which are an integral part of this schedule.

Invesco MSCI EAFE Income Advantage ETF (EFAA)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
ADR-American Depositary Receipt
BR-Bearer Shares
CVA-Dutch Certificates
ETF-Exchange-Traded Fund
PC-Participation Certificate
REIT-Real Estate Investment Trust
Rts.-Rights
Notes to Schedule of Investments:
(a)
Non-income producing security.
(b)
All or a portion of this security was out on loan at January 31, 2026.
(c)
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 $10,252,112, which represented 3.11% of the Fund’s Net Assets.
(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 Premier
U.S. Government Money
Portfolio, Institutional
Class
$43,461,647
$36,793,457
$(9,804,902
)
$-
$-
$70,450,202
$512,594
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
2,026,786
2,608,253
(3,063,627
)
-
-
1,571,412
17,406
*
Invesco Private Prime
Fund
5,273,730
6,717,303
(7,907,778
)
29
(29
)
4,083,255
46,068
*
Total
$50,762,163
$46,119,013
$(20,776,307
)
$29
$(29
)
$76,104,869
$576,068
*
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.

Schedule of Investments(a)
Invesco QQQ Hedged Advantage ETF (QQHG)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-95.57%
Aerospace & Defense-0.72%
Boeing Co. (The)(b)
 
34
$7,946
General Dynamics Corp.
 
35
12,288
General Electric Co.
 
82
25,157
Howmet Aerospace, Inc.
 
106
22,057
Northrop Grumman Corp.
 
10
6,923
RTX Corp.
 
66
13,261
 
 
87,632
Apparel Retail-0.68%
TJX Cos., Inc. (The)
 
550
82,396
Application Software-4.48%
AppFolio, Inc., Class A(b)
 
34
6,456
AppLovin Corp., Class A(b)
 
196
92,729
Bentley Systems, Inc., Class B
 
281
9,869
CCC Intelligent Solutions Holdings, Inc.(b)
 
797
6,041
DocuSign, Inc.(b)
 
131
6,883
Dynatrace, Inc.(b)
 
440
16,760
Elastic N.V.(b)
 
100
6,593
Fair Isaac Corp.(b)
 
4
5,853
Guidewire Software, Inc.(b)
 
95
13,372
HubSpot, Inc.(b)
 
38
10,640
Manhattan Associates, Inc.(b)
 
105
15,856
Nutanix, Inc., Class A(b)
 
164
6,450
Palantir Technologies, Inc., Class A(b)
 
1,494
219,005
Pegasystems, Inc.
 
182
7,952
Procore Technologies, Inc.(b)
 
193
10,903
PTC, Inc.(b)
 
135
21,077
Salesforce, Inc.
 
197
41,821
Samsara, Inc., Class A(b)
 
282
7,910
Tyler Technologies, Inc.(b)
 
73
26,966
Zoom Communications, Inc., Class A(b)
 
106
9,763
 
 
542,899
Asset Management & Custody Banks-0.06%
BlackRock, Inc.
 
6
6,714
Automobile Manufacturers-3.57%
Tesla, Inc.(b)
 
1,004
432,132
Automotive Retail-0.09%
AutoZone, Inc.(b)
 
3
11,113
Biotechnology-2.10%
AbbVie, Inc.
 
209
46,609
Biogen, Inc.(b)
 
144
25,904
BioMarin Pharmaceutical, Inc.(b)
 
353
19,959
Caris Life Sciences, Inc.(b)
 
422
9,773
Exact Sciences Corp.(b)
 
112
11,462
Exelixis, Inc.(b)
 
225
9,306
Halozyme Therapeutics, Inc.(b)
 
144
10,326
Incyte Corp.(b)
 
141
14,110
Ionis Pharmaceuticals, Inc.(b)
 
179
14,798
Moderna, Inc.(b)
 
229
10,092
Natera, Inc.(b)
 
92
21,265
Neurocrine Biosciences, Inc.(b)
 
84
11,429
Revolution Medicines, Inc.(b)
 
86
8,338
Roivant Sciences Ltd.(b)
 
803
17,361
United Therapeutics Corp.(b)
 
32
15,024
Viking Therapeutics, Inc.(b)
 
312
9,060
 
 
254,816
Brewers-0.10%
Molson Coors Beverage Co., Class B
 
246
11,818
 
Shares
Value
Broadcasting-0.10%
Fox Corp., Class A
 
158
$11,499
Broadline Retail-5.15%
Amazon.com, Inc.(b)
 
2,538
607,343
Coupang, Inc. (South Korea)(b)
 
454
9,153
eBay, Inc.
 
77
7,024
 
 
623,520
Building Products-0.26%
Johnson Controls International PLC
 
106
12,642
Trane Technologies PLC
 
45
18,926
 
 
31,568
Casinos & Gaming-0.13%
DraftKings, Inc., Class A(b)
 
201
5,530
Flutter Entertainment PLC (Ireland)(b)
 
63
10,404
 
 
15,934
Communications Equipment-1.11%
Arista Networks, Inc.(b)
 
176
24,946
Ciena Corp.(b)
 
69
17,375
F5, Inc.(b)
 
70
19,293
Lumentum Holdings, Inc.(b)
 
24
9,404
Motorola Solutions, Inc.
 
115
46,292
Ubiquiti, Inc.
 
31
17,094
 
 
134,404
Construction & Engineering-0.21%
Comfort Systems USA, Inc.
 
12
13,705
Quanta Services, Inc.
 
25
11,866
 
 
25,571
Construction Machinery & Heavy Transportation Equipment-0.18%
Caterpillar, Inc.
 
33
21,693
Construction Materials-0.19%
Martin Marietta Materials, Inc.
 
18
11,735
Vulcan Materials Co.
 
39
11,721
 
 
23,456
Consumer Finance-0.06%
American Express Co.
 
20
7,043
Consumer Staples Merchandise Retail-1.01%
BJ’s Wholesale Club Holdings, Inc.(b)
 
346
31,984
Dollar General Corp.
 
143
20,511
Dollar Tree, Inc.(b)
 
182
21,401
Target Corp.
 
453
47,778
 
 
121,674
Copper-0.26%
Freeport-McMoRan, Inc.
 
209
12,588
Southern Copper Corp. (Mexico)
 
100
19,032
 
 
31,620
Data Center REITs-0.14%
Equinix, Inc.
 
21
17,240
Data Processing & Outsourced Services-0.12%
Broadridge Financial Solutions, Inc.
 
76
14,980
Distillers & Vintners-0.11%
Constellation Brands, Inc., Class A
 
84
13,163
Diversified Support Services-0.06%
RB Global, Inc. (Canada)
 
58
6,587
Electric Utilities-0.91%
Alliant Energy Corp.
 
195
12,852
Duke Energy Corp.
 
90
10,922
See accompanying notes which are an integral part of this schedule.

Invesco QQQ Hedged Advantage ETF (QQHG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Electric Utilities-(continued)
NextEra Energy, Inc.
 
199
$17,492
PPL Corp.
 
334
12,107
Southern Co. (The)
 
634
56,623
 
 
109,996
Electrical Components & Equipment-0.43%
AMETEK, Inc.
 
52
11,647
Eaton Corp. PLC
 
51
17,922
Emerson Electric Co.
 
46
6,760
Rockwell Automation, Inc.
 
15
6,325
Vertiv Holdings Co., Class A
 
47
8,751
 
 
51,405
Electronic Components-0.56%
Amphenol Corp., Class A
 
258
37,172
Corning, Inc.
 
291
30,046
 
 
67,218
Electronic Equipment & Instruments-0.33%
Keysight Technologies, Inc.(b)
 
38
8,221
Trimble, Inc.(b)
 
472
31,907
 
 
40,128
Environmental & Facilities Services-1.05%
Republic Services, Inc.
 
184
39,577
Rollins, Inc.
 
632
40,031
Veralto Corp.
 
205
20,291
Waste Management, Inc.
 
123
27,335
 
 
127,234
Financial Exchanges & Data-0.19%
CME Group, Inc., Class A
 
42
12,140
S&P Global, Inc.
 
21
11,084
 
 
23,224
Food Distributors-1.31%
Performance Food Group Co.(b)
 
392
37,416
Sysco Corp.
 
837
70,182
US Foods Holding Corp.(b)
 
609
50,925
 
 
158,523
Food Retail-1.05%
Albertson’s Cos., Inc., Class A
 
790
13,154
Casey’s General Stores, Inc.
 
75
45,487
Kroger Co. (The)
 
658
41,355
Maplebear, Inc.(b)
 
327
12,151
Sprouts Farmers Market, Inc.(b)
 
216
15,317
 
 
127,464
Gas Utilities-0.20%
Atmos Energy Corp.
 
147
24,452
Gold-0.21%
Newmont Corp.
 
133
14,942
Royal Gold, Inc.
 
41
10,796
 
 
25,738
Health Care Distributors-0.13%
McKesson Corp.
 
19
15,793
Health Care Equipment-1.58%
Abbott Laboratories
 
376
41,097
Becton, Dickinson and Co.
 
42
8,546
Boston Scientific Corp.(b)
 
322
30,117
Edwards Lifesciences Corp.(b)
 
192
15,621
Medtronic PLC
 
203
20,901
ResMed, Inc.
 
60
15,499
 
Shares
Value
Health Care Equipment-(continued)
STERIS PLC
 
39
$10,241
Stryker Corp.
 
133
49,151
 
 
191,173
Health Care REITs-0.38%
Ventas, Inc.
 
154
11,961
Welltower, Inc.
 
179
33,717
 
 
45,678
Health Care Technology-0.04%
Veeva Systems, Inc., Class A(b)
 
26
5,302
Heavy Electrical Equipment-0.06%
GE Vernova, Inc.
 
10
7,264
Home Improvement Retail-0.53%
Home Depot, Inc. (The)
 
101
37,833
Lowe’s Cos., Inc.
 
97
25,905
 
 
63,738
Homefurnishing Retail-0.06%
Williams-Sonoma, Inc.
 
34
6,958
Hotels, Resorts & Cruise Lines-0.57%
Hilton Worldwide Holdings, Inc.
 
177
52,836
Royal Caribbean Cruises Ltd.
 
51
16,557
 
 
69,393
Household Products-0.84%
Church & Dwight Co., Inc.
 
134
12,897
Procter & Gamble Co. (The)
 
588
89,241
 
 
102,138
Independent Power Producers & Energy Traders-0.05%
Vistra Corp.
 
36
5,701
Industrial Machinery & Supplies & Components-0.28%
Illinois Tool Works, Inc.
 
37
9,666
Parker-Hannifin Corp.
 
26
24,332
 
 
33,998
Industrial REITs-0.27%
Prologis, Inc.
 
245
31,987
Insurance Brokers-0.05%
Arthur J. Gallagher & Co.
 
23
5,736
Integrated Oil & Gas-0.21%
Chevron Corp.
 
57
10,083
Exxon Mobil Corp.
 
110
15,554
 
 
25,637
Integrated Telecommunication Services-1.31%
AT&T, Inc.
 
2,723
71,370
Verizon Communications, Inc.
 
1,953
86,947
 
 
158,317
Interactive Media & Services-11.45%
Alphabet, Inc., Class C
 
2,599
879,839
Meta Platforms, Inc., Class A
 
708
507,282
 
 
1,387,121
Internet Services & Infrastructure-1.41%
Cloudflare, Inc., Class A(b)
 
65
11,528
MongoDB, Inc.(b)
 
18
6,684
Okta, Inc.(b)
 
150
12,672
Shopify, Inc., Class A (Canada)(b)
 
834
109,446
Snowflake, Inc., Class A(b)
 
83
15,994
See accompanying notes which are an integral part of this schedule.

Invesco QQQ Hedged Advantage ETF (QQHG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Internet Services & Infrastructure-(continued)
Twilio, Inc., Class A(b)
 
57
$6,866
VeriSign, Inc.
 
30
7,327
 
 
170,517
IT Consulting & Other Services-0.62%
Accenture PLC, Class A
 
152
40,073
Gartner, Inc.(b)
 
51
10,690
International Business Machines Corp.
 
79
24,230
 
 
74,993
Life Sciences Tools & Services-0.27%
Danaher Corp.
 
43
9,412
Thermo Fisher Scientific, Inc.
 
40
23,145
 
 
32,557
Managed Health Care-0.08%
UnitedHealth Group, Inc.
 
35
10,043
Movies & Entertainment-2.32%
Netflix, Inc.(b)
 
2,835
236,694
Spotify Technology S.A. (Sweden)(b)
 
15
7,505
TKO Group Holdings, Inc.
 
46
9,319
Walt Disney Co. (The)
 
246
27,749
 
 
281,267
Multi-Sector Holdings-0.25%
Berkshire Hathaway, Inc., Class B(b)
 
64
30,754
Multi-Utilities-0.38%
CenterPoint Energy, Inc.
 
308
12,225
Dominion Energy, Inc.
 
207
12,455
Public Service Enterprise Group, Inc.
 
145
11,942
Sempra
 
112
9,745
 
 
46,367
Oil & Gas Storage & Transportation-0.21%
Kinder Morgan, Inc.
 
422
12,867
Williams Cos., Inc. (The)
 
191
12,846
 
 
25,713
Other Specialty Retail-0.10%
Ulta Beauty, Inc.(b)
 
18
11,653
Packaged Foods & Meats-0.27%
General Mills, Inc.
 
183
8,466
Hershey Co. (The)
 
66
12,853
McCormick & Co., Inc.
 
182
11,253
 
 
32,572
Passenger Ground Transportation-0.11%
Uber Technologies, Inc.(b)
 
167
13,368
Pharmaceuticals-0.60%
Eli Lilly and Co.
 
12
12,446
Johnson & Johnson
 
190
43,177
Merck & Co., Inc.
 
156
17,202
 
 
72,825
Property & Casualty Insurance-0.06%
Progressive Corp. (The)
 
37
7,696
Publishing-0.19%
New York Times Co. (The), Class A
 
161
11,803
News Corp., Class A
 
421
11,380
 
 
23,183
 
Shares
Value
Rail Transportation-0.27%
Norfolk Southern Corp.
 
40
$11,650
Union Pacific Corp.
 
90
21,159
 
 
32,809
Real Estate Services-0.07%
CBRE Group, Inc., Class A(b)
 
48
8,176
Research & Consulting Services-0.10%
Equifax, Inc.
 
58
11,681
Restaurants-1.51%
Chipotle Mexican Grill, Inc.(b)
 
433
16,831
Darden Restaurants, Inc.
 
46
9,170
DoorDash, Inc., Class A(b)
 
327
66,911
McDonald’s Corp.
 
165
51,975
Restaurant Brands International, Inc. (Canada)
 
157
10,517
Texas Roadhouse, Inc.
 
77
13,849
Yum! Brands, Inc.
 
87
13,529
 
 
182,782
Semiconductor Materials & Equipment-5.26%
Amkor Technology, Inc.
 
112
5,413
Applied Materials, Inc.
 
613
197,582
ASML Holding N.V., New York Shares
(Netherlands)
 
85
120,955
Entegris, Inc.
 
93
10,981
Lam Research Corp.
 
957
223,421
MKS, Inc.
 
102
24,012
Onto Innovation, Inc.(b)
 
63
12,729
Qnity Electronics, Inc.
 
182
17,505
Teradyne, Inc.
 
101
24,346
 
 
636,944
Semiconductors-19.42%
Advanced Micro Devices, Inc.(b)
 
1,069
253,064
Allegro MicroSystems, Inc. (Japan)(b)
 
223
8,231
Astera Labs, Inc.(b)
 
35
5,272
Broadcom, Inc.
 
1,134
375,694
Cirrus Logic, Inc.(b)
 
153
19,942
First Solar, Inc.(b)
 
33
7,442
GLOBALFOUNDRIES, Inc.(b)
 
276
11,647
Intel Corp.(b)
 
3,129
145,405
Lattice Semiconductor Corp.(b)
 
186
14,977
MACOM Technology Solutions Holdings, Inc.(b)
 
73
15,991
Marvell Technology, Inc.
 
695
54,849
Micron Technology, Inc.
 
734
304,522
NVIDIA Corp.
 
5,729
1,094,984
ON Semiconductor Corp.(b)
 
171
10,241
Qorvo, Inc.(b)
 
145
11,326
Skyworks Solutions, Inc.
 
231
12,881
Universal Display Corp.
 
48
5,511
 
 
2,351,979
Soft Drinks & Non-alcoholic Beverages-1.13%
Coca-Cola Co. (The)
 
1,831
136,977
Specialty Chemicals-0.32%
Ecolab, Inc.
 
75
21,149
Sherwin-Williams Co. (The)
 
50
17,732
 
 
38,881
Systems Software-6.98%
Microsoft Corp.
 
1,833
788,721
Oracle Corp.
 
47
7,735
See accompanying notes which are an integral part of this schedule.

Invesco QQQ Hedged Advantage ETF (QQHG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Systems Software-(continued)
SentinelOne, Inc., Class A(b)
 
504
$7,046
ServiceNow, Inc.(b)
 
360
42,124
 
 
845,626
Technology Hardware, Storage & Peripherals-7.49%
Apple, Inc.
 
3,446
894,169
Pure Storage, Inc., Class A(b)
 
186
12,935
 
 
907,104
Tobacco-0.45%
Altria Group, Inc.
 
360
22,316
Philip Morris International, Inc.
 
179
32,120
 
 
54,436
Trading Companies & Distributors-0.08%
W.W. Grainger, Inc.
 
9
9,719
Transaction & Payment Processing Services-0.68%
Mastercard, Inc., Class A
 
73
39,332
Visa, Inc., Class A
 
133
42,803
 
 
82,135
Total Common Stocks & Other Equity Interests
(Cost $9,221,545)
11,573,545
 
Shares
Value
Options Purchased-4.80%
(Cost $713,034)
582,100
Money Market Funds-0.06%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(c)(d)
(Cost $7,190)
 
7,190
$7,190
TOTAL INVESTMENTS IN SECURITIES-100.43%
(Cost $9,941,769)
12,162,835
OTHER ASSETS LESS LIABILITIES-(0.43)%
(52,467
)
NET ASSETS-100.00%
$12,110,368
Investment Abbreviations:
REIT
-Real Estate Investment Trust
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(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
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional Class
$-
$171,067
$(163,877
)
$-
$-
$7,190
$255
(d)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
The table below details options purchased.
Open Exchange-Traded Index Options Purchased
Description
Type of
Contract
Expiration Date
Number of
Contracts
Exercise Price
Notional
Value*
Value
Equity Risk
Nasdaq-100 Micro Index
Put
11/20/2026
34
$261
$887,400
$64,600
Nasdaq-100 Micro Index
Put
05/15/2026
39
237
924,300
19,403
Nasdaq-100 Micro Index
Put
06/18/2026
35
235
822,500
21,000
Nasdaq-100 Micro Index
Put
09/18/2026
42
236
991,200
39,900
Nasdaq-100 Micro Index
Put
10/16/2026
38
247
938,600
49,400
Nasdaq-100 Micro Index
Put
03/20/2026
39
255
994,500
26,032
Nasdaq-100 Micro Index
Put
07/17/2026
40
260
1,040,000
58,000
Nasdaq-100 Micro Index
Put
04/17/2026
39
260
1,014,000
40,365
Nasdaq-100 Micro Index
Put
12/18/2026
38
252
957,600
62,700
See accompanying notes which are an integral part of this schedule.

Invesco QQQ Hedged Advantage ETF (QQHG)—(continued)
January 31, 2026
(Unaudited)
Open Exchange-Traded Index Options Purchased—(continued)
Description
Type of
Contract
Expiration Date
Number of
Contracts
Exercise
Price
Notional
Value*
Value
Nasdaq-100 Micro Index
Put
08/21/2026
34
$260
$884,000
$54,400
Nasdaq-100 Micro Index
Put
02/19/2027
38
260
988,000
77,900
Nasdaq-100 Micro Index
Put
01/15/2027
38
255
969,000
68,400
Total Index Options Purchased
$582,100
*
Notional Value is calculated by multiplying the Number of Contracts by the Exercise Price by the multiplier.
Open Exchange-Traded Index Options Written
Description
Type of
Contract
Expiration
Date
Number of
Contracts
Exercise
Price
Notional
Value*
Value
Equity Risk
Nasdaq-100 Micro Index
Put
07/17/2026
20
$171
$(342,000
)
$(4,750
)
Nasdaq-100 Micro Index
Put
03/20/2026
20
148
(296,000
)
(160
)
Nasdaq-100 Micro Index
Put
04/17/2026
20
149
(298,000
)
(370
)
Nasdaq-100 Micro Index
Put
05/15/2026
20
148
(296,000
)
(600
)
Nasdaq-100 Micro Index
Put
06/18/2026
17
155
(263,500
)
(944
)
Nasdaq-100 Micro Index
Put
11/20/2026
17
196
(333,200
)
(7,650
)
Nasdaq-100 Micro Index
Put
08/21/2026
17
173
(294,100
)
(2,380
)
Nasdaq-100 Micro Index
Put
09/18/2026
21
177
(371,700
)
(3,927
)
Nasdaq-100 Micro Index
Put
10/16/2026
19
185
(351,500
)
(5,700
)
Nasdaq-100 Micro Index
Put
12/18/2026
19
189
(359,100
)
(7,600
)
Nasdaq-100 Micro Index
Put
02/19/2027
19
195
(370,500
)
(10,450
)
Nasdaq-100 Micro Index
Put
01/15/2027
19
191
(362,900
)
(8,559
)
Equity Risk
Nasdaq-100 Micro Index
Call
02/06/2026
111
276
(3,063,600
)
(444
)
Nasdaq-100 Micro Index
Call
02/13/2026
117
273
(3,194,100
)
(936
)
Nasdaq-100 Micro Index
Call
02/20/2026
113
274
(3,096,200
)
(1,469
)
Nasdaq-100 Micro Index
Call
02/27/2026
111
273
(3,030,300
)
(2,553
)
Total Exchange-Traded Options Written
$(58,492
)
*
Notional Value is calculated by multiplying the Number of Contracts by the Exercise Price by the multiplier.
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(a)
Invesco QQQ Income Advantage ETF (QQA)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-76.59%
Aerospace & Defense-0.15%
Axon Enterprise, Inc.(b)
 
1,733
$838,044
Apparel Retail-0.25%
Ross Stores, Inc.
 
7,148
1,348,470
Application Software-4.63%
Adobe, Inc.(b)
 
9,203
2,698,780
AppLovin Corp., Class A(b)
 
6,754
3,195,385
Atlassian Corp., Class A(b)
 
3,670
433,721
Autodesk, Inc.(b)
 
4,661
1,178,627
Cadence Design Systems, Inc.(b)
 
5,985
1,773,714
Datadog, Inc., Class A(b)
 
7,131
922,181
Intuit, Inc.
 
6,117
3,051,894
Palantir Technologies, Inc., Class A(b)
 
50,183
7,356,326
Roper Technologies, Inc.
 
2,369
879,444
Strategy, Inc., Class A(b)
 
5,886
881,193
Synopsys, Inc.(b)
 
4,083
1,899,064
Workday, Inc., Class A(b)
 
4,682
822,300
 
 
25,092,629
Automobile Manufacturers-2.80%
Tesla, Inc.(b)
 
35,205
15,152,584
Automotive Retail-0.34%
O’Reilly Automotive, Inc.(b)
 
18,528
1,823,340
Biotechnology-2.57%
Alnylam Pharmaceuticals, Inc.(b)
 
2,902
981,050
Amgen, Inc.
 
11,830
4,044,441
Gilead Sciences, Inc.
 
27,278
3,872,112
Insmed, Inc.(b)
 
4,688
735,407
Regeneron Pharmaceuticals, Inc.
 
2,265
1,679,384
Vertex Pharmaceuticals, Inc.(b)
 
5,578
2,621,102
 
 
13,933,496
Broadline Retail-4.47%
Amazon.com, Inc.(b)
 
85,071
20,357,490
MercadoLibre, Inc. (Brazil)(b)
 
1,112
2,388,343
PDD Holdings, Inc., ADR (China)(b)
 
14,685
1,483,919
 
 
24,229,752
Cable & Satellite-0.55%
Charter Communications, Inc., Class A(b)
 
2,845
586,411
Comcast Corp., Class A
 
79,909
2,377,293
 
 
2,963,704
Cargo Ground Transportation-0.15%
Old Dominion Freight Line, Inc.
 
4,600
796,720
Communications Equipment-1.26%
Cisco Systems, Inc.
 
86,868
6,803,502
Construction & Engineering-0.20%
Ferrovial SE
 
16,132
1,096,815
Construction Machinery & Heavy Transportation Equipment-0.26%
PACCAR, Inc.
 
11,548
1,419,365
Consumer Staples Merchandise Retail-4.05%
Costco Wholesale Corp.
 
9,736
9,154,274
Walmart, Inc.
 
107,364
12,791,347
 
 
21,945,621
Diversified Support Services-0.47%
Cintas Corp.
 
8,819
1,687,869
Copart, Inc.(b)
 
21,283
863,664
 
 
2,551,533
 
Shares
Value
Electric Utilities-1.04%
American Electric Power Co., Inc.
 
11,743
$1,406,518
Constellation Energy Corp.
 
7,947
2,230,564
Exelon Corp.
 
22,212
994,653
Xcel Energy, Inc.
 
13,005
989,160
 
 
5,620,895
Health Care Equipment-1.20%
Dexcom, Inc.(b)
 
8,573
626,172
GE HealthCare Technologies, Inc.
 
10,015
790,884
IDEXX Laboratories, Inc.(b)
 
1,758
1,178,669
Intuitive Surgical, Inc.(b)
 
7,788
3,926,865
 
 
6,522,590
Hotels, Resorts & Cruise Lines-1.22%
Airbnb, Inc., Class A(b)
 
9,327
1,206,634
Booking Holdings, Inc.
 
706
3,531,299
Marriott International, Inc., Class A
 
5,889
1,856,802
 
 
6,594,735
Human Resource & Employment Services-0.55%
Automatic Data Processing, Inc.
 
8,881
2,192,008
Paychex, Inc.
 
7,884
813,077
 
 
3,005,085
Industrial Conglomerates-0.59%
Honeywell International, Inc.
 
13,946
3,172,994
Industrial Gases-0.86%
Linde PLC
 
10,258
4,687,598
Interactive Home Entertainment-0.37%
Electronic Arts, Inc.
 
5,483
1,118,093
Take-Two Interactive Software, Inc.(b)
 
4,062
894,859
 
 
2,012,952
Interactive Media & Services-8.67%
Alphabet, Inc., Class A
 
46,305
15,651,090
Alphabet, Inc., Class C
 
43,032
14,567,623
Meta Platforms, Inc., Class A
 
23,374
16,747,471
 
 
46,966,184
Internet Services & Infrastructure-0.65%
Shopify, Inc., Class A (Canada)(b)
 
26,858
3,524,575
IT Consulting & Other Services-0.16%
Cognizant Technology Solutions Corp.,
Class A
 
10,576
867,867
Movies & Entertainment-1.71%
Netflix, Inc.(b)
 
93,079
7,771,166
Warner Bros. Discovery, Inc.(b)
 
54,483
1,500,462
 
 
9,271,628
Oil & Gas Equipment & Services-0.22%
Baker Hughes Co., Class A
 
21,649
1,213,210
Oil & Gas Exploration & Production-0.19%
Diamondback Energy, Inc.
 
6,299
1,032,721
Packaged Foods & Meats-0.42%
Kraft Heinz Co. (The)
 
26,024
617,810
Mondelez International, Inc., Class A
 
28,367
1,658,618
 
 
2,276,428
Rail Transportation-0.29%
CSX Corp.
 
40,941
1,545,932
Real Estate Services-0.11%
CoStar Group, Inc.(b)
 
9,274
570,351
See accompanying notes which are an integral part of this schedule.

Invesco QQQ Income Advantage ETF (QQA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Research & Consulting Services-0.32%
Thomson Reuters Corp. (Canada)
 
9,779
$1,081,851
Verisk Analytics, Inc.
 
3,063
666,080
 
 
1,747,931
Restaurants-0.76%
DoorDash, Inc., Class A(b)
 
8,933
1,827,870
Starbucks Corp.
 
25,001
2,298,842
 
 
4,126,712
Semiconductor Materials & Equipment-3.49%
Applied Materials, Inc.
 
17,506
5,642,534
ASML Holding N.V., New York Shares
(Netherlands)
 
1,925
2,739,275
KLA Corp.
 
2,885
4,119,607
Lam Research Corp.
 
27,588
6,440,694
 
 
18,942,110
Semiconductors-16.49%
Advanced Micro Devices, Inc.(b)
 
35,766
8,466,885
Analog Devices, Inc.
 
10,755
3,343,514
ARM Holdings PLC, ADR(b)
 
3,016
317,766
Broadcom, Inc.
 
37,579
12,449,923
Intel Corp.(b)
 
104,872
4,873,402
Marvell Technology, Inc.
 
18,953
1,495,771
Microchip Technology, Inc.
 
11,842
899,045
Micron Technology, Inc.
 
24,725
10,257,908
Monolithic Power Systems, Inc.
 
1,049
1,179,233
NVIDIA Corp.
 
193,391
36,962,822
NXP Semiconductors N.V. (Netherlands)
 
5,518
1,247,840
QUALCOMM, Inc.
 
23,549
3,569,793
Texas Instruments, Inc.
 
19,977
4,306,042
 
 
89,369,944
Soft Drinks & Non-alcoholic Beverages-1.49%
Coca-Cola Europacific Partners PLC (United
Kingdom)
 
10,077
924,061
Keurig Dr Pepper, Inc.
 
29,759
816,587
Monster Beverage Corp.(b)
 
21,481
1,734,806
PepsiCo, Inc.
 
30,064
4,618,731
 
 
8,094,185
Systems Software-6.02%
CrowdStrike Holdings, Inc., Class A(b)
 
5,516
2,434,790
Fortinet, Inc.(b)
 
16,312
1,325,513
Microsoft Corp.
 
59,149
25,451,223
Palo Alto Networks, Inc.(b)
 
15,324
2,711,889
Zscaler, Inc.(b)
 
3,504
700,835
 
 
32,624,250
Technology Hardware, Storage & Peripherals-6.33%
Apple, Inc.
 
117,597
30,514,070
Seagate Technology Holdings PLC
 
4,686
1,910,435
Western Digital Corp.
 
7,516
1,880,729
 
 
34,305,234
Trading Companies & Distributors-0.20%
Fastenal Co.
 
25,172
1,091,458
Transaction & Payment Processing Services-0.20%
PayPal Holdings, Inc.
 
20,517
1,081,041
Wireless Telecommunication Services-0.89%
T-Mobile US, Inc.
 
24,592
4,849,788
Total Common Stocks & Other Equity Interests
(Cost $358,269,379)
415,113,973
 
 
Principal
Amount
Value
Equity Linked Notes-4.66%
 
 
 
Diversified Banks-3.32%
 
 
 
Bank of Montreal (NASDAQ 100 Stock
Index), 166.65%, 03/04/2026(c)
 
$1,058,000
$1,060,002
BNP Paribas S.A. (NASDAQ 100 Stock
Index), 201.29%, 02/06/2026(c)
 
1,053,000
1,035,420
BNP Paribas S.A. (NASDAQ 100 Stock
Index), 191.87%, 02/13/2026(c)
 
1,265,000
1,220,007
Citigroup, Inc. (NASDAQ 100 Stock Index),
199.96%, 02/05/2026(c)
 
1,867,000
1,824,154
Citigroup, Inc. (NASDAQ 100 Stock Index),
196.20%, 02/10/2026(c)
 
1,484,000
1,461,632
JPMorgan Chase & Co. (NASDAQ 100 Stock
Index), 198.28%, 02/18/2026(c)
 
1,093,000
1,089,584
JPMorgan Chase & Co. (NASDAQ 100 Stock
Index), 187.15%, 02/19/2026(c)
 
1,427,000
1,397,337
Mizuho Financial Group, Inc. (NASDAQ 100
Stock Index), 199.80%, 02/26/2026(c)
 
1,095,000
1,088,963
Royal Bank of Canada (NASDAQ 100 Stock
Index), 179.85%, 02/17/2026(c)
 
980,000
957,257
Royal Bank of Canada (NASDAQ 100 Stock
Index), 188.00%, 02/24/2026(c)
 
780,000
783,327
Royal Bank of Canada (NASDAQ 100 Stock
Index), 226.37%, 03/02/2026(c)
 
1,158,000
1,158,000
Societe Generale S.A. (NASDAQ 100 Stock
Index), 188.14%, 02/25/2026(c)
 
1,232,000
1,212,584
Toronto-Dominion Bank (The) (NASDAQ 100
Stock Index), 202.00%, 02/20/2026(c)
 
1,409,000
1,383,480
Wells Fargo & Co. (NASDAQ 100 Stock
Index), 190.29%, 02/27/2026(c)
 
1,374,000
1,356,152
Wells Fargo Bank N.A. (NASDAQ 100 Stock
Index), 199.27%, 02/12/2026(c)
 
1,022,000
990,048
 
 
18,017,947
Diversified Capital Markets-1.08%
 
 
 
UBS Group AG (NASDAQ 100 Stock Index),
180.20%, 02/09/2026(c)
 
1,764,000
1,745,358
UBS Group AG (NASDAQ 100 Stock Index),
210.16%, 02/11/2026(c)
 
1,516,000
1,489,884
UBS Group AG (NASDAQ 100 Stock Index),
183.27%, 02/23/2026(c)
 
937,000
914,361
UBS Group AG (NASDAQ 100 Stock Index),
177.60%, 03/02/2026(c)
 
1,730,000
1,725,326
 
 
5,874,929
Investment Banking & Brokerage-0.26%
 
 
 
Goldman Sachs Group, Inc. (The) (NASDAQ
100 Stock Index), 173.90%,
03/03/2026(c)
 
1,387,000
1,384,496
Total Equity Linked Notes
(Cost $25,631,000)
25,277,372
 
Shares
 
Money Market Funds-18.17%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(d)(e)
(Cost $98,488,490)
 
98,488,490
98,488,490
TOTAL INVESTMENTS IN SECURITIES-99.42%
(Cost $482,388,869)
538,879,835
OTHER ASSETS LESS LIABILITIES-0.58%
3,130,484
NET ASSETS-100.00%
$542,010,319
See accompanying notes which are an integral part of this schedule.

Invesco QQQ Income Advantage ETF (QQA)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
ADR
-American Depositary Receipt
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(c)
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 $25,277,372, which represented 4.66% of the Fund’s Net Assets.
(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
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional
Class
$81,835,754
$38,404,541
$(21,751,805
)
$-
$-
$98,488,490
$844,250
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
100,203
3,051,772
(3,151,975
)
-
-
-
2,332
*
Invesco Private Prime
Fund
405,221
6,134,589
(6,539,810
)
-
-
-
6,157
*
Total
$82,341,178
$47,590,902
$(31,443,590
)
$-
$-
$98,488,490
$852,739
*
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.
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(a)
Invesco S&P 500® Downside Hedged ETF (PHDG)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-69.09%
Communication Services-7.61%
Alphabet, Inc., Class A
 
4,520
$1,527,760
Alphabet, Inc., Class C
 
3,613
1,223,109
AT&T, Inc.
 
5,508
144,365
Charter Communications, Inc., Class A(b)
 
68
14,016
Comcast Corp., Class A
 
2,824
84,014
Electronic Arts, Inc.
 
174
35,482
Fox Corp., Class A
 
162
11,790
Fox Corp., Class B
 
115
7,541
Live Nation Entertainment, Inc.(b)
 
123
17,890
Match Group, Inc.
 
183
5,700
Meta Platforms, Inc., Class A
 
1,692
1,212,318
Netflix, Inc.(b)
 
3,292
274,849
News Corp., Class A
 
291
7,866
News Corp., Class B
 
96
2,986
Omnicom Group, Inc.
 
248
19,106
Paramount Skydance Corp.
 
241
2,702
Take-Two Interactive Software, Inc.(b)
 
135
29,740
TKO Group Holdings, Inc.
 
52
10,534
T-Mobile US, Inc.
 
374
73,757
Trade Desk, Inc. (The), Class A(b)
 
342
10,373
Verizon Communications, Inc.
 
3,276
145,847
Walt Disney Co. (The)
 
1,387
156,454
Warner Bros. Discovery, Inc.(b)
 
1,925
53,014
 
 
5,071,213
Consumer Discretionary-7.21%
Airbnb, Inc., Class A(b)
 
330
42,692
Amazon.com, Inc.(b)
 
7,558
1,808,629
Aptiv PLC(b)
 
168
12,726
AutoZone, Inc.(b)
 
13
48,156
Best Buy Co., Inc.
 
152
9,895
Booking Holdings, Inc.
 
25
125,046
Carnival Corp.(b)
 
844
25,337
Carvana Co.(b)
 
110
44,122
Chipotle Mexican Grill, Inc.(b)
 
1,027
39,920
D.R. Horton, Inc.
 
213
31,703
Darden Restaurants, Inc.
 
90
17,942
Deckers Outdoor Corp.(b)
 
113
13,485
Domino’s Pizza, Inc.
 
24
9,848
DoorDash, Inc., Class A(b)
 
290
59,340
eBay, Inc.
 
351
32,018
Expedia Group, Inc.
 
91
24,100
Ford Motor Co.
 
3,040
42,195
Garmin Ltd.
 
127
25,608
General Motors Co.
 
725
60,900
Genuine Parts Co.
 
108
15,011
Hasbro, Inc.
 
104
9,288
Hilton Worldwide Holdings, Inc.
 
181
54,030
Home Depot, Inc. (The)
 
773
289,558
Las Vegas Sands Corp.
 
236
12,444
Lennar Corp., Class A
 
168
18,371
Lowe’s Cos., Inc.
 
436
116,438
lululemon athletica, Inc.(b)
 
84
14,658
Marriott International, Inc., Class A
 
173
54,547
McDonald’s Corp.
 
553
174,195
MGM Resorts International(b)
 
159
5,333
NIKE, Inc., Class B
 
924
57,112
Norwegian Cruise Line Holdings Ltd.(b)
 
354
7,774
NVR, Inc.(b)
 
2
15,271
O’Reilly Automotive, Inc.(b)
 
656
64,557
Pool Corp.
 
25
6,352
PulteGroup, Inc.
 
151
18,889
 
Shares
Value
Consumer Discretionary-(continued)
Ralph Lauren Corp.
 
30
$10,602
Ross Stores, Inc.
 
253
47,728
Royal Caribbean Cruises Ltd.
 
197
63,956
Starbucks Corp.
 
883
81,192
Tapestry, Inc.
 
159
20,179
Tesla, Inc.(b)
 
2,183
939,585
TJX Cos., Inc. (The)
 
865
129,586
Tractor Supply Co.
 
411
20,912
Ulta Beauty, Inc.(b)
 
35
22,658
Williams-Sonoma, Inc.
 
95
19,442
Wynn Resorts Ltd.
 
66
7,092
Yum! Brands, Inc.
 
216
33,588
 
 
4,804,010
Consumer Staples-3.45%
Altria Group, Inc.
 
1,304
80,835
Archer-Daniels-Midland Co.
 
373
25,107
Brown-Forman Corp., Class B(c)
 
137
3,750
Bunge Global S.A.
 
105
11,957
Campbell’s Co. (The)
 
153
4,281
Church & Dwight Co., Inc.
 
187
17,999
Clorox Co. (The)
 
95
10,715
Coca-Cola Co. (The)
 
3,008
225,028
Colgate-Palmolive Co.
 
626
56,522
Conagra Brands, Inc.
 
372
6,886
Constellation Brands, Inc., Class A
 
110
17,237
Costco Wholesale Corp.
 
344
323,446
Dollar General Corp.
 
171
24,527
Dollar Tree, Inc.(b)
 
147
17,286
Estee Lauder Cos., Inc. (The), Class A
 
191
22,018
General Mills, Inc.
 
414
19,152
Hershey Co. (The)
 
115
22,396
Hormel Foods Corp.
 
226
5,562
J.M. Smucker Co. (The)
 
83
8,703
Kenvue, Inc.
 
1,488
25,891
Keurig Dr Pepper, Inc.
 
1,055
28,949
Kimberly-Clark Corp.
 
258
25,797
Kraft Heinz Co. (The)
 
662
15,716
Kroger Co. (The)
 
474
29,791
Lamb Weston Holdings, Inc.
 
108
4,960
McCormick & Co., Inc.
 
197
12,180
Molson Coors Beverage Co., Class B
 
132
6,341
Mondelez International, Inc., Class A
 
1,002
58,587
Monster Beverage Corp.(b)
 
554
44,741
PepsiCo, Inc.
 
1,062
163,155
Philip Morris International, Inc.
 
1,209
216,943
Procter & Gamble Co. (The)
 
1,815
275,463
Sysco Corp.
 
372
31,192
Target Corp.
 
353
37,231
Tyson Foods, Inc., Class A
 
220
14,373
Walmart, Inc.
 
3,407
405,910
 
 
2,300,627
Energy-2.19%
APA Corp.
 
276
7,289
Baker Hughes Co., Class A
 
767
42,983
Chevron Corp.
 
1,470
260,043
ConocoPhillips
 
960
100,061
Coterra Energy, Inc.
 
592
17,079
Devon Energy Corp.
 
487
19,582
Diamondback Energy, Inc.
 
145
23,773
EOG Resources, Inc.
 
422
47,319
EQT Corp.
 
485
27,999
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500® Downside Hedged ETF (PHDG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Energy-(continued)
Expand Energy Corp.
 
185
$20,796
Exxon Mobil Corp.
 
3,276
463,226
Halliburton Co.
 
654
21,922
Kinder Morgan, Inc.
 
1,521
46,375
Marathon Petroleum Corp.
 
234
41,229
Occidental Petroleum Corp.
 
559
25,373
ONEOK, Inc.
 
489
38,724
Phillips 66
 
313
44,934
SLB Ltd.
 
1,161
56,169
Targa Resources Corp.
 
167
33,564
Texas Pacific Land Corp.
 
45
15,676
Valero Energy Corp.
 
237
42,999
Williams Cos., Inc. (The)
 
949
63,830
 
 
1,460,945
Financials-8.92%
Aflac, Inc.
 
366
40,608
Allstate Corp. (The)
 
203
40,395
American Express Co.
 
417
146,855
American International Group, Inc.
 
419
31,375
Ameriprise Financial, Inc.
 
72
37,958
Aon PLC, Class A
 
167
58,390
Apollo Global Management, Inc.
 
361
48,569
Arch Capital Group Ltd.(b)
 
281
26,987
Ares Management Corp., Class A
 
160
23,947
Arthur J. Gallagher & Co.
 
200
49,874
Assurant, Inc.
 
39
9,287
Bank of America Corp.
 
5,219
277,651
Bank of New York Mellon Corp. (The)
 
542
64,997
Berkshire Hathaway, Inc., Class B(b)
 
1,425
684,755
BlackRock, Inc.
 
112
125,321
Blackstone, Inc., Class A
 
574
81,749
Block, Inc., Class A(b)
 
425
25,683
Brown & Brown, Inc.
 
228
16,439
Capital One Financial Corp.
 
494
108,151
Cboe Global Markets, Inc.
 
81
21,470
Charles Schwab Corp. (The)
 
1,298
134,888
Chubb Ltd.
 
284
87,915
Cincinnati Financial Corp.
 
121
19,468
Citigroup, Inc.
 
1,390
160,837
Citizens Financial Group, Inc.
 
334
21,035
CME Group, Inc., Class A
 
280
80,937
Coinbase Global, Inc., Class A(b)
 
177
34,469
Corpay, Inc.(b)
 
54
16,990
Erie Indemnity Co., Class A
 
20
5,660
Everest Group Ltd.
 
33
10,932
FactSet Research Systems, Inc.
 
29
7,376
Fidelity National Information Services, Inc.
 
402
22,211
Fifth Third Bancorp
 
698
35,054
Fiserv, Inc.(b)
 
418
26,639
Franklin Resources, Inc.
 
239
6,362
Global Payments, Inc.
 
184
13,200
Globe Life, Inc.
 
62
8,694
Goldman Sachs Group, Inc. (The)
 
233
217,951
Hartford Insurance Group, Inc. (The)
 
216
29,173
Huntington Bancshares, Inc.
 
1,590
27,793
Interactive Brokers Group, Inc., Class A
 
346
25,908
Intercontinental Exchange, Inc.
 
443
76,985
Invesco Ltd.(d)
 
346
9,442
Jack Henry & Associates, Inc.
 
56
10,036
JPMorgan Chase & Co.
 
2,115
646,957
KeyCorp
 
722
15,537
KKR & Co., Inc., Class A
 
533
60,901
 
Shares
Value
Financials-(continued)
Loews Corp.
 
132
$13,935
M&T Bank Corp.
 
119
26,367
Marsh & McLennan Cos., Inc.
 
381
71,700
Mastercard, Inc., Class A
 
637
343,209
MetLife, Inc.
 
430
33,918
Moody’s Corp.
 
119
61,352
Morgan Stanley
 
938
171,466
MSCI, Inc.
 
58
35,335
Nasdaq, Inc.
 
350
33,912
Northern Trust Corp.
 
147
21,966
PayPal Holdings, Inc.
 
727
38,306
PNC Financial Services Group, Inc. (The)
 
305
68,106
Principal Financial Group, Inc.
 
155
14,682
Progressive Corp. (The)
 
456
94,848
Prudential Financial, Inc.
 
272
30,222
Raymond James Financial, Inc.
 
137
22,723
Regions Financial Corp.
 
681
19,409
Robinhood Markets, Inc., Class A(b)
 
611
60,782
S&P Global, Inc.
 
241
127,197
State Street Corp.
 
217
28,397
Synchrony Financial
 
280
20,336
T. Rowe Price Group, Inc.
 
170
17,966
Travelers Cos., Inc. (The)
 
173
49,220
Truist Financial Corp.
 
994
51,111
U.S. Bancorp
 
1,208
67,781
Visa, Inc., Class A
 
1,311
421,919
W.R. Berkley Corp.
 
233
15,979
Wells Fargo & Co.
 
2,439
220,705
Willis Towers Watson PLC
 
74
23,493
 
 
5,940,153
Health Care-6.52%
Abbott Laboratories
 
1,351
147,664
AbbVie, Inc.
 
1,373
306,193
Agilent Technologies, Inc.
 
220
29,447
Align Technology, Inc.(b)
 
52
8,478
Amgen, Inc.
 
418
142,906
Baxter International, Inc.
 
399
8,008
Becton, Dickinson and Co.
 
223
45,376
Biogen, Inc.(b)
 
114
20,507
Bio-Techne Corp.
 
121
7,755
Boston Scientific Corp.(b)
 
1,152
107,747
Bristol-Myers Squibb Co.
 
1,582
87,089
Cardinal Health, Inc.
 
185
39,753
Cencora, Inc.
 
151
54,242
Centene Corp.(b)
 
363
15,725
Charles River Laboratories International,
Inc.(b)
 
38
7,998
Cigna Group (The)
 
208
57,015
Cooper Cos., Inc. (The)(b)
 
154
12,533
CVS Health Corp.
 
986
73,477
Danaher Corp.
 
488
106,818
DaVita, Inc.(b)
 
27
2,952
Dexcom, Inc.(b)
 
303
22,131
Edwards Lifesciences Corp.(b)
 
451
36,693
Elevance Health, Inc.
 
173
59,813
Eli Lilly and Co.
 
617
639,922
GE HealthCare Technologies, Inc.
 
354
27,955
Gilead Sciences, Inc.
 
964
136,840
HCA Healthcare, Inc.
 
124
60,545
Henry Schein, Inc.(b)
 
78
5,887
Hologic, Inc.(b)
 
173
12,963
Humana, Inc.
 
93
18,154
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500® Downside Hedged ETF (PHDG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Health Care-(continued)
IDEXX Laboratories, Inc.(b)
 
62
$41,568
Incyte Corp.(b)
 
128
12,809
Insulet Corp.(b)
 
55
14,070
Intuitive Surgical, Inc.(b)
 
275
138,660
IQVIA Holdings, Inc.(b)
 
132
30,380
Johnson & Johnson
 
1,872
425,412
Labcorp Holdings, Inc.
 
64
17,377
McKesson Corp.
 
96
79,796
Medtronic PLC
 
996
102,548
Merck & Co., Inc.
 
1,928
212,601
Mettler-Toledo International, Inc.(b)
 
16
21,972
Moderna, Inc.(b)
 
270
11,899
Molina Healthcare, Inc.(b)
 
40
7,184
Pfizer, Inc.
 
4,417
116,785
Quest Diagnostics, Inc.
 
86
16,085
Regeneron Pharmaceuticals, Inc.
 
78
57,833
ResMed, Inc.
 
113
29,189
Revvity, Inc.
 
88
9,574
Solventum Corp.(b)
 
115
8,852
STERIS PLC
 
76
19,958
Stryker Corp.
 
267
98,672
Thermo Fisher Scientific, Inc.
 
292
168,954
UnitedHealth Group, Inc.
 
704
201,999
Universal Health Services, Inc., Class B
 
43
8,654
Vertex Pharmaceuticals, Inc.(b)
 
197
92,570
Viatris, Inc.
 
895
11,716
Waters Corp.(b)
 
46
17,053
West Pharmaceutical Services, Inc.
 
56
12,943
Zimmer Biomet Holdings, Inc.
 
154
13,409
Zoetis, Inc.
 
342
42,688
 
 
4,345,796
Industrials-5.93%
3M Co.
 
413
63,255
A.O. Smith Corp.
 
88
6,467
Allegion PLC
 
67
11,081
AMETEK, Inc.
 
179
40,092
Automatic Data Processing, Inc.
 
314
77,501
Axon Enterprise, Inc.(b)
 
61
29,498
Boeing Co. (The)(b)
 
608
142,102
Broadridge Financial Solutions, Inc.
 
91
17,937
Builders FirstSource, Inc.(b)
 
86
9,838
C.H. Robinson Worldwide, Inc.
 
92
17,935
Carrier Global Corp.
 
615
36,642
Caterpillar, Inc.
 
364
239,279
Cintas Corp.
 
265
50,718
Comfort Systems USA, Inc.
 
27
30,837
Copart, Inc.(b)
 
692
28,081
CSX Corp.
 
1,447
54,639
Cummins, Inc.
 
107
61,934
Dayforce, Inc.(b)
 
124
8,589
Deere & Co.
 
195
102,960
Delta Air Lines, Inc.
 
504
33,209
Dover Corp.
 
107
21,559
Eaton Corp. PLC
 
302
106,129
EMCOR Group, Inc.
 
35
25,226
Emerson Electric Co.
 
436
64,075
Equifax, Inc.
 
95
19,133
Expeditors International of Washington, Inc.
 
104
16,696
Fastenal Co.
 
892
38,677
FedEx Corp.
 
169
54,460
Fortive Corp.
 
247
13,044
GE Vernova, Inc.
 
211
153,264
 
Shares
Value
Industrials-(continued)
Generac Holdings, Inc.(b)
 
46
$7,730
General Dynamics Corp.
 
197
69,165
General Electric Co.
 
819
251,261
Honeywell International, Inc.
 
493
112,167
Howmet Aerospace, Inc.
 
312
64,921
Hubbell, Inc.
 
41
20,006
Huntington Ingalls Industries, Inc.
 
30
12,615
IDEX Corp.
 
58
11,516
Illinois Tool Works, Inc.
 
205
53,558
Ingersoll Rand, Inc.
 
279
24,019
J.B. Hunt Transport Services, Inc.
 
58
11,758
Jacobs Solutions, Inc.
 
93
12,579
Johnson Controls International PLC
 
475
56,649
L3Harris Technologies, Inc.
 
145
49,713
Leidos Holdings, Inc.
 
99
18,640
Lennox International, Inc.
 
25
12,377
Lockheed Martin Corp.
 
158
100,207
Masco Corp.
 
161
10,640
Nordson Corp.
 
41
11,256
Norfolk Southern Corp.
 
174
50,676
Northrop Grumman Corp.
 
104
71,995
Old Dominion Freight Line, Inc.
 
143
24,768
Otis Worldwide Corp.
 
303
25,882
PACCAR, Inc.
 
408
50,147
Parker-Hannifin Corp.
 
98
91,712
Paychex, Inc.
 
252
25,989
Paycom Software, Inc.
 
38
5,121
Pentair PLC
 
127
13,382
Quanta Services, Inc.
 
116
55,057
Republic Services, Inc.
 
156
33,554
Rockwell Automation, Inc.
 
87
36,684
Rollins, Inc.
 
228
14,442
RTX Corp.
 
1,042
209,369
Snap-on, Inc.
 
40
14,644
Southwest Airlines Co.
 
402
19,103
Stanley Black & Decker, Inc.
 
120
9,439
Textron, Inc.
 
137
12,064
Trane Technologies PLC
 
172
72,340
TransDigm Group, Inc.
 
44
62,812
Uber Technologies, Inc.(b)
 
1,614
129,201
Union Pacific Corp.
 
461
108,381
United Airlines Holdings, Inc.(b)
 
252
25,785
United Parcel Service, Inc., Class B
 
574
60,970
United Rentals, Inc.
 
49
38,321
Veralto Corp.
 
193
19,103
Verisk Analytics, Inc.
 
108
23,486
W.W. Grainger, Inc.
 
34
36,718
Wabtec Corp.
 
133
30,609
Waste Management, Inc.
 
288
64,005
Xylem, Inc.
 
189
26,057
 
 
3,947,450
Information Technology-23.06%
Accenture PLC, Class A
 
482
127,075
Adobe, Inc.(b)
 
325
95,306
Advanced Micro Devices, Inc.(b)
 
1,265
299,463
Akamai Technologies, Inc.(b)
 
112
10,881
Amphenol Corp., Class A
 
951
137,020
Analog Devices, Inc.
 
382
118,756
Apple, Inc.
 
11,480
2,978,830
Applied Materials, Inc.
 
619
199,516
AppLovin Corp., Class A(b)
 
210
99,353
Arista Networks, Inc.(b)
 
802
113,676
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500® Downside Hedged ETF (PHDG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Information Technology-(continued)
Autodesk, Inc.(b)
 
165
$41,724
Broadcom, Inc.
 
3,669
1,215,540
Cadence Design Systems, Inc.(b)
 
211
62,532
CDW Corp.
 
101
12,765
Cisco Systems, Inc.
 
3,061
239,738
Cognizant Technology Solutions Corp.,
Class A
 
375
30,773
Corning, Inc.
 
606
62,570
CrowdStrike Holdings, Inc., Class A(b)
 
195
86,074
Datadog, Inc., Class A(b)
 
253
32,718
Dell Technologies, Inc., Class C
 
234
26,779
EPAM Systems, Inc.(b)
 
43
8,970
F5, Inc.(b)
 
45
12,402
Fair Isaac Corp.(b)
 
18
26,337
First Solar, Inc.(b)
 
83
18,718
Fortinet, Inc.(b)
 
491
39,899
Gartner, Inc.(b)
 
56
11,738
Gen Digital, Inc.
 
436
10,460
GoDaddy, Inc., Class A(b)
 
105
10,555
Hewlett Packard Enterprise Co.
 
1,025
22,058
HP, Inc.
 
726
14,113
Intel Corp.(b)
 
3,483
161,855
International Business Machines Corp.
 
726
222,664
Intuit, Inc.
 
217
108,266
Jabil, Inc.
 
83
19,687
Keysight Technologies, Inc.(b)
 
134
28,988
KLA Corp.
 
102
145,650
Lam Research Corp.
 
976
227,857
Microchip Technology, Inc.
 
420
31,886
Micron Technology, Inc.
 
872
361,775
Microsoft Corp.
 
5,774
2,484,494
Monolithic Power Systems, Inc.
 
37
41,594
Motorola Solutions, Inc.
 
129
51,928
NetApp, Inc.
 
155
14,934
NVIDIA Corp.
 
18,878
3,608,152
NXP Semiconductors N.V. (Netherlands)
 
196
44,323
ON Semiconductor Corp.(b)
 
313
18,746
Oracle Corp.
 
1,307
215,106
Palantir Technologies, Inc., Class A(b)
 
1,775
260,197
Palo Alto Networks, Inc.(b)
 
531
93,971
PTC, Inc.(b)
 
93
14,520
Qnity Electronics, Inc.
 
163
15,677
QUALCOMM, Inc.
 
832
126,123
Roper Technologies, Inc.
 
84
31,183
Salesforce, Inc.
 
740
157,095
Sandisk Corp.(b)
 
108
62,235
Seagate Technology Holdings PLC
 
169
68,900
ServiceNow, Inc.(b)
 
806
94,310
Skyworks Solutions, Inc.
 
116
6,468
Super Micro Computer, Inc.(b)(c)
 
390
11,353
Synopsys, Inc.(b)
 
144
66,977
TE Connectivity PLC (Switzerland)
 
229
51,017
Teledyne Technologies, Inc.(b)
 
36
22,331
Teradyne, Inc.
 
122
29,408
Texas Instruments, Inc.
 
706
152,178
Trimble, Inc.(b)
 
185
12,506
Tyler Technologies, Inc.(b)
 
33
12,190
VeriSign, Inc.
 
65
15,875
Western Digital Corp.
 
266
66,561
Workday, Inc., Class A(b)
 
169
29,681
Zebra Technologies Corp., Class A(b)
 
39
9,164
 
 
15,364,164
 
Shares
Value
Materials-1.36%
Air Products and Chemicals, Inc.
 
173
$47,142
Albemarle Corp.
 
91
15,527
Amcor PLC(c)
 
359
15,886
Avery Dennison Corp.
 
60
11,131
Ball Corp.
 
208
11,829
CF Industries Holdings, Inc.
 
121
11,281
Corteva, Inc.
 
525
38,220
CRH PLC
 
521
63,776
Dow, Inc.
 
552
15,207
DuPont de Nemours, Inc.
 
325
14,274
Ecolab, Inc.
 
198
55,834
Freeport-McMoRan, Inc.
 
1,116
67,217
International Flavors & Fragrances, Inc.
 
199
13,892
International Paper Co.
 
410
16,531
Linde PLC
 
363
165,880
LyondellBasell Industries N.V., Class A
 
200
9,800
Martin Marietta Materials, Inc.
 
47
30,642
Mosaic Co. (The)
 
247
6,792
Newmont Corp.
 
848
95,273
Nucor Corp.
 
178
31,634
Packaging Corp. of America
 
69
15,356
PPG Industries, Inc.
 
174
20,120
Sherwin-Williams Co. (The)
 
179
63,480
Smurfit WestRock PLC
 
406
16,902
Steel Dynamics, Inc.
 
107
19,214
Vulcan Materials Co.
 
103
30,956
 
 
903,796
Real Estate-1.28%
Alexandria Real Estate Equities, Inc.
 
121
6,611
American Tower Corp.
 
364
65,258
AvalonBay Communities, Inc.
 
110
19,544
BXP, Inc.
 
114
7,372
Camden Property Trust
 
83
9,051
CBRE Group, Inc., Class A(b)
 
228
38,835
CoStar Group, Inc.(b)
 
329
20,234
Crown Castle, Inc.
 
338
29,342
Digital Realty Trust, Inc.
 
251
41,654
Equinix, Inc.
 
76
62,391
Equity Residential
 
269
16,764
Essex Property Trust, Inc.
 
50
12,594
Extra Space Storage, Inc.
 
165
22,765
Federal Realty Investment Trust
 
61
6,171
Healthpeak Properties, Inc.
 
540
9,310
Host Hotels & Resorts, Inc.
 
497
9,209
Invitation Homes, Inc.
 
438
11,708
Iron Mountain, Inc.
 
230
21,190
Kimco Realty Corp.
 
526
11,088
Mid-America Apartment Communities, Inc.
 
91
12,221
Prologis, Inc.
 
722
94,264
Public Storage
 
123
33,971
Realty Income Corp.
 
715
43,729
Regency Centers Corp.
 
128
9,327
SBA Communications Corp., Class A
 
83
15,281
Simon Property Group, Inc.
 
254
48,593
UDR, Inc.
 
234
8,693
Ventas, Inc.
 
365
28,350
VICI Properties, Inc.
 
830
23,306
Welltower, Inc.
 
533
100,396
Weyerhaeuser Co.
 
560
14,437
 
 
853,659
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500® Downside Hedged ETF (PHDG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Utilities-1.56%
AES Corp. (The)
 
553
$8,101
Alliant Energy Corp.
 
200
13,182
Ameren Corp.
 
210
21,689
American Electric Power Co., Inc.
 
416
49,826
American Water Works Co., Inc.
 
152
19,628
Atmos Energy Corp.
 
125
20,792
CenterPoint Energy, Inc.
 
507
20,123
CMS Energy Corp.
 
236
16,872
Consolidated Edison, Inc.
 
280
29,856
Constellation Energy Corp.
 
243
68,205
Dominion Energy, Inc.
 
663
39,893
DTE Energy Co.
 
161
21,635
Duke Energy Corp.
 
604
73,295
Edison International
 
299
18,622
Entergy Corp.
 
347
33,274
Evergy, Inc.
 
179
13,735
Eversource Energy
 
291
20,117
Exelon Corp.
 
785
35,152
FirstEnergy Corp.
 
404
19,125
NextEra Energy, Inc.
 
1,618
142,222
NiSource, Inc.
 
371
16,432
NRG Energy, Inc.
 
149
22,742
PG&E Corp.
 
1,708
26,337
Pinnacle West Capital Corp.
 
93
8,701
PPL Corp.
 
575
20,844
Public Service Enterprise Group, Inc.
 
388
31,956
Sempra
 
507
44,114
Southern Co. (The)
 
855
76,360
Vistra Corp.
 
247
39,112
WEC Energy Group, Inc.
 
253
28,000
Xcel Energy, Inc.
 
460
34,988
 
 
1,034,930
Total Common Stocks & Other Equity Interests
(Cost $45,858,095)
46,026,743
 
Shares
Value
Money Market Funds-24.98%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(d)(e)
(Cost $16,644,881)
 
16,644,881
$16,644,881
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral from
securities on loan)-94.07%
(Cost $62,502,976)
62,671,624
Investments Purchased with Cash Collateral from Securities
on Loan
Money Market Funds-0.05%
Invesco Private Government Fund,
3.65%(d)(e)(f)
 
8,392
8,392
Invesco Private Prime Fund, 3.80%(d)(e)(f)
 
23,158
23,165
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $31,557)
31,557
TOTAL INVESTMENTS IN SECURITIES-94.12%
(Cost $62,534,533)
62,703,181
OTHER ASSETS LESS LIABILITIES-5.88%
3,917,378
NET ASSETS-100.00%
$66,620,559
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(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
(Depreciation)
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Invesco Ltd.
$9,622
$20,517
$(21,976
)
$(1,701
)
$2,980
$9,442
$85
Investments in
Affiliated Money
Market Funds:
Invesco Premier
U.S. Government
Money Portfolio,
Institutional Class
16,335,707
112,319,251
(112,010,077
)
-
-
16,644,881
172,405
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500® Downside Hedged ETF (PHDG)—(continued)
January 31, 2026
(Unaudited)
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
(Depreciation)
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Investments
Purchased with Cash
Collateral from
Securities on Loan:
Invesco Private
Government Fund
$44,090
$231,043
$(266,741
)
$-
$-
$8,392
$312
*
Invesco Private Prime
Fund
114,713
543,326
(634,874
)
12
(12
)
23,165
848
*
Total
$16,504,132
$113,114,137
$(112,933,668
)
$(1,689
)
$2,968
$16,685,880
$173,650
*
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.
Open Futures Contracts(a)
Long Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
Equity Risk
 
CBOE Volatility Index
298
February-2026
$5,675,350
$248,176
$248,176
CBOE Volatility Index
217
March-2026
4,317,888
98,117
98,117
E-Mini S&P 500 Index
30
March-2026
10,448,625
28,616
28,616
Total Futures Contracts
$374,909
$374,909
(a)
Futures contracts collateralized by $3,902,621 cash held with Bank of America, N.A., the futures commission merchant.
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(a)
Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-78.26%
Advertising-0.27%
Omnicom Group, Inc.
 
11,493
$885,421
Trade Desk, Inc. (The), Class A(b)
 
22,697
688,400
 
 
1,573,821
Aerospace & Defense-2.07%
Axon Enterprise, Inc.(b)
 
1,561
754,868
Boeing Co. (The)(b)
 
4,482
1,047,533
General Dynamics Corp.
 
2,603
913,887
General Electric Co.
 
3,143
964,241
Howmet Aerospace, Inc.
 
4,632
963,827
Huntington Ingalls Industries, Inc.
 
2,760
1,160,608
L3Harris Technologies, Inc.
 
3,120
1,069,692
Lockheed Martin Corp.
 
1,900
1,205,018
Northrop Grumman Corp.
 
1,610
1,114,539
RTX Corp.
 
5,092
1,023,135
Textron, Inc.
 
10,464
921,460
TransDigm Group, Inc.
 
689
983,575
 
 
12,122,383
Agricultural & Farm Machinery-0.17%
Deere & Co.
 
1,897
1,001,616
Agricultural Products & Services-0.37%
Archer-Daniels-Midland Co.
 
15,284
1,028,766
Bunge Global S.A.
 
9,731
1,108,166
 
 
2,136,932
Air Freight & Logistics-0.68%
C.H. Robinson Worldwide, Inc.
 
5,623
1,096,204
Expeditors International of Washington, Inc.
 
5,876
943,333
FedEx Corp.
 
3,136
1,010,576
United Parcel Service, Inc., Class B
 
8,931
948,651
 
 
3,998,764
Apparel Retail-0.30%
Ross Stores, Inc.
 
4,894
923,253
TJX Cos., Inc. (The)
 
5,711
855,565
 
 
1,778,818
Apparel, Accessories & Luxury Goods-0.46%
lululemon athletica, Inc.(b)
 
4,740
827,130
Ralph Lauren Corp.
 
2,484
877,870
Tapestry, Inc.
 
7,556
958,932
 
 
2,663,932
Application Software-1.76%
Adobe, Inc.(b)
 
2,597
761,570
AppLovin Corp., Class A(b)
 
1,270
600,850
Autodesk, Inc.(b)
 
2,969
750,771
Cadence Design Systems, Inc.(b)
 
2,633
780,316
Datadog, Inc., Class A(b)
 
5,881
760,531
Fair Isaac Corp.(b)
 
513
750,606
Intuit, Inc.
 
1,341
669,052
Palantir Technologies, Inc., Class A(b)
 
4,733
693,810
PTC, Inc.(b)
 
5,067
791,111
Roper Technologies, Inc.
 
2,017
748,771
Salesforce, Inc.
 
3,370
715,417
Synopsys, Inc.(b)
 
1,871
870,230
Tyler Technologies, Inc.(b)
 
1,947
719,222
Workday, Inc., Class A(b)
 
3,992
701,115
 
 
10,313,372
Asset Management & Custody Banks-1.67%
Ameriprise Financial, Inc.
 
1,798
947,888
Ares Management Corp., Class A
 
4,999
748,200
 
Shares
Value
Asset Management & Custody Banks-(continued)
Bank of New York Mellon Corp. (The)
 
7,518
$901,558
BlackRock, Inc.
 
816
913,055
Blackstone, Inc., Class A
 
5,680
808,946
Franklin Resources, Inc.
 
38,180
1,016,352
Invesco Ltd.(c)
 
33,052
901,989
KKR & Co., Inc., Class A
 
6,281
717,667
Northern Trust Corp.
 
6,462
965,617
State Street Corp.
 
6,908
903,981
T. Rowe Price Group, Inc.
 
8,599
908,742
 
 
9,733,995
Automobile Manufacturers-0.46%
Ford Motor Co.
 
66,372
921,244
General Motors Co.
 
11,022
925,848
Tesla, Inc.(b)
 
1,964
845,325
 
 
2,692,417
Automotive Parts & Equipment-0.15%
Aptiv PLC(b)
 
11,326
857,945
Automotive Retail-0.45%
AutoZone, Inc.(b)
 
254
940,890
Carvana Co.(b)
 
1,901
762,510
O’Reilly Automotive, Inc.(b)
 
9,513
936,174
 
 
2,639,574
Biotechnology-1.36%
AbbVie, Inc.
 
3,952
881,336
Amgen, Inc.
 
2,822
964,785
Biogen, Inc.(b)
 
5,018
902,688
Gilead Sciences, Inc.
 
7,335
1,041,203
Incyte Corp.(b)
 
9,356
936,255
Moderna, Inc.(b)(d)
 
30,657
1,351,054
Regeneron Pharmaceuticals, Inc.
 
1,233
914,208
Vertex Pharmaceuticals, Inc.(b)
 
2,007
943,089
 
 
7,934,618
Brewers-0.16%
Molson Coors Beverage Co., Class B
 
18,996
912,568
Broadcasting-0.27%
Fox Corp., Class A
 
7,609
553,783
Fox Corp., Class B
 
5,425
355,717
Paramount Skydance Corp.(d)
 
60,460
677,757
 
 
1,587,257
Broadline Retail-0.32%
Amazon.com, Inc.(b)
 
3,833
917,237
eBay, Inc.
 
10,766
982,074
 
 
1,899,311
Building Products-1.28%
A.O. Smith Corp.
 
13,109
963,380
Allegion PLC
 
5,560
919,568
Builders FirstSource, Inc.(b)
 
8,119
928,814
Carrier Global Corp.
 
16,672
993,318
Johnson Controls International PLC
 
7,687
916,752
Lennox International, Inc.
 
1,754
868,370
Masco Corp.
 
14,035
927,573
Trane Technologies PLC
 
2,232
938,735
 
 
7,456,510
Cable & Satellite-0.32%
Charter Communications, Inc., Class A(b)(d)
 
4,170
859,520
Comcast Corp., Class A
 
34,058
1,013,226
 
 
1,872,746
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Cargo Ground Transportation-0.32%
J.B. Hunt Transport Services, Inc.
 
4,494
$911,024
Old Dominion Freight Line, Inc.
 
5,656
979,619
 
 
1,890,643
Casinos & Gaming-0.39%
Las Vegas Sands Corp.
 
13,386
705,844
MGM Resorts International(b)
 
23,921
802,310
Wynn Resorts Ltd.
 
7,196
773,210
 
 
2,281,364
Commodity Chemicals-0.34%
Dow, Inc.
 
36,193
997,117
LyondellBasell Industries N.V., Class A
 
19,683
964,467
 
 
1,961,584
Communications Equipment-0.64%
Arista Networks, Inc.(b)
 
6,728
953,627
Cisco Systems, Inc.
 
11,091
868,647
F5, Inc.(b)
 
3,443
948,925
Motorola Solutions, Inc.
 
2,404
967,706
 
 
3,738,905
Computer & Electronics Retail-0.13%
Best Buy Co., Inc.
 
12,010
781,851
Construction & Engineering-0.50%
Comfort Systems USA, Inc.
 
877
1,001,621
EMCOR Group, Inc.
 
1,427
1,028,482
Quanta Services, Inc.
 
1,922
912,239
 
 
2,942,342
Construction Machinery & Heavy Transportation Equipment-0.66%
Caterpillar, Inc.
 
1,451
953,829
Cummins, Inc.
 
1,696
981,679
PACCAR, Inc.
 
7,847
964,475
Wabtec Corp.
 
4,129
950,248
 
 
3,850,231
Construction Materials-0.46%
CRH PLC
 
7,115
870,947
Martin Marietta Materials, Inc.
 
1,434
934,896
Vulcan Materials Co.
 
3,000
901,620
 
 
2,707,463
Consumer Electronics-0.15%
Garmin Ltd.
 
4,238
854,550
Consumer Finance-0.41%
American Express Co.
 
2,376
836,756
Capital One Financial Corp.
 
3,745
819,893
Synchrony Financial
 
10,527
764,576
 
 
2,421,225
Consumer Staples Merchandise Retail-0.81%
Costco Wholesale Corp.
 
1,011
950,593
Dollar General Corp.
 
7,076
1,014,911
Dollar Tree, Inc.(b)
 
7,162
842,179
Target Corp.
 
9,406
992,051
Walmart, Inc.
 
7,866
937,155
 
 
4,736,889
Copper-0.20%
Freeport-McMoRan, Inc.
 
19,162
1,154,127
Data Center REITs-0.33%
Digital Realty Trust, Inc.
 
5,585
926,831
Equinix, Inc.
 
1,205
989,220
 
 
1,916,051
 
Shares
Value
Data Processing & Outsourced Services-0.13%
Broadridge Financial Solutions, Inc.
 
3,924
$773,460
Distillers & Vintners-0.30%
Brown-Forman Corp., Class B(d)
 
29,299
801,914
Constellation Brands, Inc., Class A
 
5,995
939,416
 
 
1,741,330
Distributors-0.32%
Genuine Parts Co.
 
6,780
942,352
Pool Corp.
 
3,705
941,404
 
 
1,883,756
Diversified Banks-1.25%
Bank of America Corp.
 
16,456
875,459
Citigroup, Inc.
 
8,018
927,763
Fifth Third Bancorp
 
18,715
939,867
JPMorgan Chase & Co.
 
2,866
876,681
KeyCorp
 
43,374
933,408
PNC Financial Services Group, Inc. (The)
 
4,302
960,637
U.S. Bancorp
 
16,614
932,212
Wells Fargo & Co.
 
9,811
887,797
 
 
7,333,824
Diversified Financial Services-0.14%
Apollo Global Management, Inc.
 
5,974
803,742
Diversified Support Services-0.32%
Cintas Corp.
 
4,803
919,246
Copart, Inc.(b)
 
22,713
921,694
 
 
1,840,940
Electric Utilities-2.66%
Alliant Energy Corp.
 
13,732
905,076
American Electric Power Co., Inc.
 
7,792
933,287
Constellation Energy Corp.
 
2,457
689,631
Duke Energy Corp.
 
7,813
948,108
Edison International
 
15,476
963,845
Entergy Corp.
 
9,541
914,887
Evergy, Inc.
 
12,102
928,586
Eversource Energy
 
13,160
909,751
Exelon Corp.
 
20,561
920,722
FirstEnergy Corp.
 
20,051
949,214
NextEra Energy, Inc.
 
10,947
962,241
NRG Energy, Inc.
 
5,290
807,413
PG&E Corp.
 
59,021
910,104
Pinnacle West Capital Corp.
 
10,288
962,545
PPL Corp.
 
26,757
969,941
Southern Co. (The)
 
10,580
944,900
Xcel Energy, Inc.
 
11,923
906,863
 
 
15,527,114
Electrical Components & Equipment-0.96%
AMETEK, Inc.
 
4,442
994,919
Eaton Corp. PLC
 
2,512
882,767
Emerson Electric Co.
 
6,503
955,681
Generac Holdings, Inc.(b)
 
5,336
896,662
Hubbell, Inc.
 
1,993
972,464
Rockwell Automation, Inc.
 
2,177
917,932
 
 
5,620,425
Electronic Components-0.33%
Amphenol Corp., Class A
 
6,416
924,417
Corning, Inc.
 
9,444
975,093
 
 
1,899,510
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Electronic Equipment & Instruments-0.59%
Keysight Technologies, Inc.(b)
 
4,179
$904,043
Teledyne Technologies, Inc.(b)
 
1,721
1,067,536
Trimble, Inc.(b)
 
10,788
729,269
Zebra Technologies Corp., Class A(b)
 
3,273
769,090
 
 
3,469,938
Electronic Manufacturing Services-0.30%
Jabil, Inc.
 
3,877
919,586
TE Connectivity PLC (Switzerland)
 
3,639
810,696
 
 
1,730,282
Environmental & Facilities Services-0.64%
Republic Services, Inc.
 
4,291
922,951
Rollins, Inc.
 
15,142
959,094
Veralto Corp.
 
9,099
900,619
Waste Management, Inc.
 
4,261
946,965
 
 
3,729,629
Fertilizers & Agricultural Chemicals-0.53%
CF Industries Holdings, Inc.
 
11,693
1,090,138
Corteva, Inc.
 
13,676
995,613
Mosaic Co. (The)
 
37,472
1,030,480
 
 
3,116,231
Financial Exchanges & Data-1.40%
Cboe Global Markets, Inc.
 
3,573
947,059
CME Group, Inc., Class A
 
3,345
966,906
Coinbase Global, Inc., Class A(b)
 
3,232
629,400
FactSet Research Systems, Inc.
 
3,081
783,683
Intercontinental Exchange, Inc.
 
5,555
965,348
Moody’s Corp.
 
1,856
956,879
MSCI, Inc.
 
1,657
1,009,478
Nasdaq, Inc.
 
9,679
937,798
S&P Global, Inc.
 
1,817
958,995
 
 
8,155,546
Food Distributors-0.17%
Sysco Corp.
 
12,092
1,013,914
Food Retail-0.16%
Kroger Co. (The)
 
14,528
913,085
Footwear-0.32%
Deckers Outdoor Corp.(b)
 
8,837
1,054,608
NIKE, Inc., Class B
 
13,529
836,227
 
 
1,890,835
Gas Utilities-0.15%
Atmos Energy Corp.
 
5,330
886,592
Gold-0.18%
Newmont Corp.
 
9,426
1,059,011
Health Care Distributors-0.63%
Cardinal Health, Inc.
 
4,492
965,241
Cencora, Inc.
 
2,613
938,642
Henry Schein, Inc.(b)
 
11,723
884,852
McKesson Corp.
 
1,097
911,837
 
 
3,700,572
Health Care Equipment-2.40%
Abbott Laboratories
 
7,268
794,392
Baxter International, Inc.
 
48,740
978,212
Becton, Dickinson and Co.
 
4,488
913,218
Boston Scientific Corp.(b)
 
9,600
897,888
Dexcom, Inc.(b)
 
13,172
962,083
Edwards Lifesciences Corp.(b)
 
10,600
862,416
GE HealthCare Technologies, Inc.
 
10,536
832,028
 
Shares
Value
Health Care Equipment-(continued)
Hologic, Inc.(b)
 
11,890
$890,918
IDEXX Laboratories, Inc.(b)
 
1,272
852,825
Insulet Corp.(b)
 
3,014
771,011
Intuitive Surgical, Inc.(b)
 
1,609
811,290
Medtronic PLC
 
8,832
909,343
ResMed, Inc.
 
3,542
914,934
STERIS PLC
 
3,434
901,768
Stryker Corp.
 
2,509
927,226
Zimmer Biomet Holdings, Inc.
 
9,563
832,651
 
 
14,052,203
Health Care Facilities-0.30%
HCA Healthcare, Inc.
 
1,897
926,248
Universal Health Services, Inc., Class B
 
3,990
803,028
 
 
1,729,276
Health Care REITs-0.64%
Alexandria Real Estate Equities, Inc.
 
19,154
1,046,574
Healthpeak Properties, Inc.
 
53,515
922,599
Ventas, Inc.
 
11,452
889,477
Welltower, Inc.
 
4,662
878,134
 
 
3,736,784
Health Care Services-0.76%
Cigna Group (The)
 
3,389
928,959
CVS Health Corp.
 
11,271
839,915
DaVita, Inc.(b)
 
7,501
820,159
Labcorp Holdings, Inc.
 
3,396
922,082
Quest Diagnostics, Inc.(d)
 
4,952
926,173
 
 
4,437,288
Health Care Supplies-0.45%
Align Technology, Inc.(b)
 
5,412
882,318
Cooper Cos., Inc. (The)(b)
 
11,029
897,540
Solventum Corp.(b)
 
10,870
836,664
 
 
2,616,522
Heavy Electrical Equipment-0.15%
GE Vernova, Inc.
 
1,238
899,246
Home Improvement Retail-0.33%
Home Depot, Inc. (The)
 
2,527
946,589
Lowe’s Cos., Inc.
 
3,611
964,354
 
 
1,910,943
Homebuilding-0.60%
D.R. Horton, Inc.
 
5,727
852,407
Lennar Corp., Class A
 
7,409
810,174
NVR, Inc.(b)
 
125
954,466
PulteGroup, Inc.
 
6,958
870,376
 
 
3,487,423
Homefurnishing Retail-0.17%
Williams-Sonoma, Inc.
 
4,752
972,497
Hotel & Resort REITs-0.16%
Host Hotels & Resorts, Inc.
 
49,915
924,925
Hotels, Resorts & Cruise Lines-1.32%
Airbnb, Inc., Class A(b)
 
6,975
902,356
Booking Holdings, Inc.
 
170
850,313
Carnival Corp.(b)
 
33,864
1,016,597
Expedia Group, Inc.
 
3,243
858,876
Hilton Worldwide Holdings, Inc.
 
3,274
977,322
Marriott International, Inc., Class A
 
3,097
976,484
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Hotels, Resorts & Cruise Lines-(continued)
Norwegian Cruise Line Holdings Ltd.(b)
 
46,258
$1,015,825
Royal Caribbean Cruises Ltd.
 
3,415
1,108,680
 
 
7,706,453
Household Products-0.83%
Church & Dwight Co., Inc.
 
10,686
1,028,527
Clorox Co. (The)
 
8,678
978,792
Colgate-Palmolive Co.
 
11,448
1,033,640
Kimberly-Clark Corp.(d)
 
8,631
863,014
Procter & Gamble Co. (The)
 
6,368
966,471
 
 
4,870,444
Human Resource & Employment Services-0.56%
Automatic Data Processing, Inc.
 
3,428
846,099
Dayforce, Inc.(b)
 
12,866
891,228
Paychex, Inc.
 
7,886
813,283
Paycom Software, Inc.
 
5,435
732,366
 
 
3,282,976
Independent Power Producers & Energy Traders-0.31%
AES Corp. (The)
 
64,496
944,866
Vistra Corp.
 
5,394
854,140
 
 
1,799,006
Industrial Conglomerates-0.32%
3M Co.
 
5,379
823,847
Honeywell International, Inc.
 
4,640
1,055,693
 
 
1,879,540
Industrial Gases-0.35%
Air Products and Chemicals, Inc.
 
3,760
1,024,600
Linde PLC
 
2,266
1,035,494
 
 
2,060,094
Industrial Machinery & Supplies & Components-1.90%
Dover Corp.
 
4,545
915,772
Fortive Corp.
 
16,238
857,529
IDEX Corp.
 
5,045
1,001,685
Illinois Tool Works, Inc.
 
3,516
918,590
Ingersoll Rand, Inc.(d)
 
10,986
945,785
Nordson Corp.
 
3,766
1,033,880
Otis Worldwide Corp.
 
10,133
865,561
Parker-Hannifin Corp.
 
996
932,096
Pentair PLC
 
8,456
891,009
Snap-on, Inc.
 
2,561
937,607
Stanley Black & Decker, Inc.
 
11,727
922,446
Xylem, Inc.
 
6,425
885,815
 
 
11,107,775
Industrial REITs-0.15%
Prologis, Inc.
 
6,859
895,511
Insurance Brokers-0.77%
Aon PLC, Class A
 
2,619
915,707
Arthur J. Gallagher & Co.
 
3,706
924,165
Brown & Brown, Inc.
 
11,481
827,780
Marsh & McLennan Cos., Inc.
 
4,916
925,142
Willis Towers Watson PLC
 
2,825
896,853
 
 
4,489,647
Integrated Oil & Gas-0.52%
Chevron Corp.
 
5,874
1,039,181
Exxon Mobil Corp.
 
7,452
1,053,713
Occidental Petroleum Corp.
 
21,314
967,443
 
 
3,060,337
 
Shares
Value
Integrated Telecommunication Services-0.33%
AT&T, Inc.
 
36,489
$956,377
Verizon Communications, Inc.
 
22,298
992,707
 
 
1,949,084
Interactive Home Entertainment-0.29%
Electronic Arts, Inc.
 
4,369
890,927
Take-Two Interactive Software, Inc.(b)
 
3,614
796,164
 
 
1,687,091
Interactive Media & Services-0.47%
Alphabet, Inc., Class A
 
1,540
520,520
Alphabet, Inc., Class C
 
1,240
419,777
Match Group, Inc.
 
26,324
819,993
Meta Platforms, Inc., Class A
 
1,364
977,306
 
 
2,737,596
Internet Services & Infrastructure-0.44%
Akamai Technologies, Inc.(b)
 
10,299
1,000,548
GoDaddy, Inc., Class A(b)
 
6,939
697,508
VeriSign, Inc.
 
3,680
898,767
 
 
2,596,823
Investment Banking & Brokerage-0.91%
Charles Schwab Corp. (The)
 
9,283
964,690
Goldman Sachs Group, Inc. (The)
 
996
931,668
Interactive Brokers Group, Inc., Class A
 
13,349
999,573
Morgan Stanley
 
4,947
904,312
Raymond James Financial, Inc.
 
5,326
883,370
Robinhood Markets, Inc., Class A(b)
 
6,562
652,788
 
 
5,336,401
IT Consulting & Other Services-0.73%
Accenture PLC, Class A
 
3,263
860,257
Cognizant Technology Solutions Corp.,
Class A
 
10,696
877,714
EPAM Systems, Inc.(b)
 
4,198
875,703
Gartner, Inc.(b)
 
3,861
809,304
International Business Machines Corp.
 
2,844
872,255
 
 
4,295,233
Leisure Products-0.17%
Hasbro, Inc.
 
10,839
968,031
Life & Health Insurance-0.77%
Aflac, Inc.
 
8,300
920,885
Globe Life, Inc.
 
6,596
924,891
MetLife, Inc.
 
11,145
879,118
Principal Financial Group, Inc.
 
9,859
933,844
Prudential Financial, Inc.
 
7,751
861,214
 
 
4,519,952
Life Sciences Tools & Services-1.50%
Agilent Technologies, Inc.
 
6,204
830,405
Bio-Techne Corp.
 
14,634
937,893
Charles River Laboratories International,
Inc.(b)
 
4,563
960,420
Danaher Corp.
 
3,870
847,104
IQVIA Holdings, Inc.(b)
 
3,989
918,068
Mettler-Toledo International, Inc.(b)
 
627
861,022
Revvity, Inc.
 
8,603
936,007
Thermo Fisher Scientific, Inc.
 
1,547
895,110
Waters Corp.(b)
 
2,249
833,749
West Pharmaceutical Services, Inc.
 
3,338
771,479
 
 
8,791,257
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Managed Health Care-0.74%
Centene Corp.(b)
 
23,012
$996,880
Elevance Health, Inc.
 
2,612
903,073
Humana, Inc.
 
3,461
675,587
Molina Healthcare, Inc.(b)
 
5,542
995,288
UnitedHealth Group, Inc.
 
2,704
775,858
 
 
4,346,686
Metal, Glass & Plastic Containers-0.18%
Ball Corp.
 
18,630
1,059,488
Movies & Entertainment-0.75%
Live Nation Entertainment, Inc.(b)(d)
 
6,410
932,334
Netflix, Inc.(b)
 
9,599
801,421
TKO Group Holdings, Inc.
 
4,519
915,459
Walt Disney Co. (The)
 
8,175
922,140
Warner Bros. Discovery, Inc.(b)
 
30,137
829,973
 
 
4,401,327
Multi-Family Residential REITs-0.94%
AvalonBay Communities, Inc.
 
5,050
897,233
Camden Property Trust
 
8,632
941,319
Equity Residential
 
14,669
914,172
Essex Property Trust, Inc.
 
3,495
880,286
Mid-America Apartment Communities, Inc.
 
6,749
906,391
UDR, Inc.
 
25,266
938,632
 
 
5,478,033
Multi-Sector Holdings-0.15%
Berkshire Hathaway, Inc., Class B(b)
 
1,820
874,565
Multi-Utilities-1.60%
Ameren Corp.
 
9,096
939,435
CenterPoint Energy, Inc.
 
23,742
942,320
CMS Energy Corp.
 
12,719
909,281
Consolidated Edison, Inc.
 
9,334
995,284
Dominion Energy, Inc.
 
15,328
922,286
DTE Energy Co.
 
6,840
919,159
NiSource, Inc.
 
21,533
953,697
Public Service Enterprise Group, Inc.
 
11,308
931,327
Sempra
 
9,990
869,230
WEC Energy Group, Inc.
 
8,591
950,766
 
 
9,332,785
Office REITs-0.14%
BXP, Inc.
 
12,648
817,946
Oil & Gas Equipment & Services-0.54%
Baker Hughes Co., Class A
 
18,525
1,038,141
Halliburton Co.
 
30,647
1,027,288
SLB Ltd.
 
22,287
1,078,245
 
 
3,143,674
Oil & Gas Exploration & Production-1.43%
APA Corp.
 
33,817
893,107
ConocoPhillips
 
9,196
958,499
Coterra Energy, Inc.
 
32,937
950,232
Devon Energy Corp.
 
23,167
931,545
Diamondback Energy, Inc.
 
5,560
911,562
EOG Resources, Inc.
 
7,982
895,022
EQT Corp.
 
15,551
897,759
Expand Energy Corp.
 
7,634
858,138
Texas Pacific Land Corp.
 
2,991
1,041,945
 
 
8,337,809
Oil & Gas Refining & Marketing-0.45%
Marathon Petroleum Corp.
 
4,656
820,341
 
Shares
Value
Oil & Gas Refining & Marketing-(continued)
Phillips 66
 
6,190
$888,636
Valero Energy Corp.
 
5,059
917,854
 
 
2,626,831
Oil & Gas Storage & Transportation-0.67%
Kinder Morgan, Inc.
 
33,471
1,020,531
ONEOK, Inc.
 
12,060
955,031
Targa Resources Corp.
 
4,854
975,557
Williams Cos., Inc. (The)
 
14,707
989,193
 
 
3,940,312
Other Specialized REITs-0.32%
Iron Mountain, Inc.
 
10,404
958,520
VICI Properties, Inc.
 
32,059
900,217
 
 
1,858,737
Other Specialty Retail-0.31%
Tractor Supply Co.
 
16,835
856,565
Ulta Beauty, Inc.(b)
 
1,484
960,682
 
 
1,817,247
Packaged Foods & Meats-1.70%
Campbell’s Co. (The)
 
31,583
883,692
Conagra Brands, Inc.
 
51,030
944,565
General Mills, Inc.
 
19,469
900,636
Hershey Co. (The)
 
4,938
961,676
Hormel Foods Corp.
 
37,488
922,580
J.M. Smucker Co. (The)
 
8,926
935,980
Kraft Heinz Co. (The)
 
36,549
867,673
Lamb Weston Holdings, Inc.
 
15,086
692,900
McCormick & Co., Inc.
 
13,846
856,098
Mondelez International, Inc., Class A
 
16,518
965,808
Tyson Foods, Inc., Class A
 
15,431
1,008,107
 
 
9,939,715
Paper & Plastic Packaging Products & Materials-0.82%
Amcor PLC(d)
 
21,705
960,446
Avery Dennison Corp.
 
5,030
933,115
International Paper Co.
 
22,751
917,321
Packaging Corp. of America
 
4,387
976,327
Smurfit WestRock PLC
 
23,941
996,664
 
 
4,783,873
Passenger Airlines-0.47%
Delta Air Lines, Inc.
 
12,732
838,912
Southwest Airlines Co.
 
22,347
1,061,929
United Airlines Holdings, Inc.(b)
 
8,262
845,368
 
 
2,746,209
Passenger Ground Transportation-0.14%
Uber Technologies, Inc.(b)
 
10,571
846,209
Personal Care Products-0.32%
Estee Lauder Cos., Inc. (The), Class A
 
8,294
956,132
Kenvue, Inc.
 
51,386
894,117
 
 
1,850,249
Pharmaceuticals-1.15%
Bristol-Myers Squibb Co.
 
17,375
956,494
Eli Lilly and Co.
 
899
932,398
Johnson & Johnson
 
4,310
979,447
Merck & Co., Inc.
 
9,114
1,005,001
Pfizer, Inc.
 
34,520
912,709
Viatris, Inc.
 
76,726
1,004,343
Zoetis, Inc.
 
7,536
940,644
 
 
6,731,036
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Property & Casualty Insurance-1.85%
Allstate Corp. (The)
 
4,431
$881,725
American International Group, Inc.
 
10,971
821,509
Arch Capital Group Ltd.(b)
 
9,705
932,068
Assurant, Inc.
 
3,988
949,662
Chubb Ltd.
 
3,002
929,299
Cincinnati Financial Corp.
 
5,471
880,229
Erie Indemnity Co., Class A
 
3,233
914,971
Hartford Insurance Group, Inc. (The)
 
6,828
922,190
Loews Corp.
 
8,672
915,503
Progressive Corp. (The)
 
3,991
830,128
Travelers Cos., Inc. (The)
 
3,197
909,579
W.R. Berkley Corp.
 
13,167
902,993
 
 
10,789,856
Publishing-0.16%
News Corp., Class A
 
24,825
671,020
News Corp., Class B
 
8,189
254,678
 
 
925,698
Rail Transportation-0.46%
CSX Corp.
 
24,002
906,315
Norfolk Southern Corp.
 
3,023
880,419
Union Pacific Corp.
 
3,778
888,208
 
 
2,674,942
Real Estate Services-0.30%
CBRE Group, Inc., Class A(b)
 
5,678
967,134
CoStar Group, Inc.(b)
 
13,117
806,695
 
 
1,773,829
Regional Banks-0.80%
Citizens Financial Group, Inc.
 
15,225
958,870
Huntington Bancshares, Inc.
 
50,681
885,904
M&T Bank Corp.
 
4,348
963,386
Regions Financial Corp.
 
32,507
926,450
Truist Financial Corp.
 
17,957
923,349
 
 
4,657,959
Reinsurance-0.16%
Everest Group Ltd.
 
2,821
934,541
Research & Consulting Services-0.60%
Equifax, Inc.
 
4,136
832,990
Jacobs Solutions, Inc.
 
6,580
890,011
Leidos Holdings, Inc.
 
4,724
889,435
Verisk Analytics, Inc.
 
4,149
902,241
 
 
3,514,677
Restaurants-1.12%
Chipotle Mexican Grill, Inc.(b)
 
26,220
1,019,171
Darden Restaurants, Inc.
 
4,962
989,175
Domino’s Pizza, Inc.
 
2,120
869,900
DoorDash, Inc., Class A(b)
 
4,035
825,642
McDonald’s Corp.
 
2,862
901,530
Starbucks Corp.
 
10,610
975,589
Yum! Brands, Inc.
 
6,187
962,078
 
 
6,543,085
Retail REITs-0.81%
Federal Realty Investment Trust
 
9,135
924,096
Kimco Realty Corp.
 
44,367
935,256
Realty Income Corp.
 
15,704
960,457
Regency Centers Corp.
 
13,240
964,799
Simon Property Group, Inc.
 
4,899
937,228
 
 
4,721,836
 
Shares
Value
Self-Storage REITs-0.32%
Extra Space Storage, Inc.
 
6,854
$945,646
Public Storage
 
3,331
919,989
 
 
1,865,635
Semiconductor Materials & Equipment-0.92%
Applied Materials, Inc.
 
3,231
1,041,416
KLA Corp.
 
721
1,029,545
Lam Research Corp.
 
5,287
1,234,303
Qnity Electronics, Inc.
 
10,326
993,154
Teradyne, Inc.
 
4,359
1,050,737
 
 
5,349,155
Semiconductors-2.25%
Advanced Micro Devices, Inc.(b)
 
4,013
949,998
Analog Devices, Inc.
 
3,164
983,624
Broadcom, Inc.
 
2,148
711,632
First Solar, Inc.(b)
 
3,393
765,189
Intel Corp.(b)
 
21,823
1,014,115
Microchip Technology, Inc.
 
13,112
995,463
Micron Technology, Inc.
 
3,376
1,400,635
Monolithic Power Systems, Inc.
 
912
1,025,225
NVIDIA Corp.
 
4,847
926,407
NXP Semiconductors N.V. (Netherlands)
 
3,862
873,353
ON Semiconductor Corp.(b)
 
16,154
967,463
QUALCOMM, Inc.
 
4,885
740,517
Skyworks Solutions, Inc.(d)
 
12,938
721,423
Texas Instruments, Inc.
 
4,898
1,055,764
 
 
13,130,808
Single-Family Residential REITs-0.15%
Invitation Homes, Inc.
 
33,614
898,502
Soft Drinks & Non-alcoholic Beverages-0.63%
Coca-Cola Co. (The)
 
12,673
948,067
Keurig Dr Pepper, Inc.
 
30,137
826,959
Monster Beverage Corp.(b)
 
12,048
972,997
PepsiCo, Inc.
 
5,951
914,252
 
 
3,662,275
Specialty Chemicals-1.03%
Albemarle Corp.
 
6,689
1,141,344
DuPont de Nemours, Inc.
 
21,726
954,206
Ecolab, Inc.
 
3,451
973,147
International Flavors & Fragrances, Inc.
 
13,605
949,765
PPG Industries, Inc.
 
8,859
1,024,366
Sherwin-Williams Co. (The)
 
2,734
969,586
 
 
6,012,414
Steel-0.32%
Nucor Corp.
 
5,419
963,064
Steel Dynamics, Inc.
 
5,203
934,303
 
 
1,897,367
Systems Software-0.91%
CrowdStrike Holdings, Inc., Class A(b)
 
1,711
755,244
Fortinet, Inc.(b)
 
10,907
886,303
Gen Digital, Inc.
 
32,329
775,573
Microsoft Corp.
 
1,861
800,770
Oracle Corp.
 
3,987
656,180
Palo Alto Networks, Inc.(b)
 
4,620
817,601
ServiceNow, Inc.(b)
 
5,218
610,558
 
 
5,302,229
Technology Distributors-0.13%
CDW Corp.
 
5,957
752,905
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Technology Hardware, Storage & Peripherals-1.56%
Apple, Inc.
 
3,193
$828,519
Dell Technologies, Inc., Class C
 
6,334
724,863
Hewlett Packard Enterprise Co.
 
35,232
758,193
HP, Inc.
 
34,920
678,845
NetApp, Inc.
 
7,460
718,771
Sandisk Corp.(b)
 
3,817
2,199,546
Seagate Technology Holdings PLC
 
2,980
1,214,916
Super Micro Computer, Inc.(b)(d)
 
25,506
742,480
Western Digital Corp.
 
4,891
1,223,875
 
 
9,090,008
Telecom Tower REITs-0.45%
American Tower Corp.
 
4,933
884,388
Crown Castle, Inc.
 
9,815
852,040
SBA Communications Corp., Class A
 
4,703
865,870
 
 
2,602,298
Timber REITs-0.17%
Weyerhaeuser Co.
 
38,644
996,242
Tobacco-0.34%
Altria Group, Inc.
 
15,170
940,388
Philip Morris International, Inc.
 
5,949
1,067,489
 
 
2,007,877
Trading Companies & Distributors-0.47%
Fastenal Co.
 
21,750
943,080
United Rentals, Inc.
 
1,097
857,920
W.W. Grainger, Inc.
 
898
969,786
 
 
2,770,786
Transaction & Payment Processing Services-1.29%
Block, Inc., Class A(b)
 
14,066
850,008
Corpay, Inc.(b)
 
2,853
897,639
Fidelity National Information Services, Inc.
 
13,362
738,251
Fiserv, Inc.(b)
 
13,368
851,943
Global Payments, Inc.
 
11,079
794,808
Jack Henry & Associates, Inc.
 
4,819
863,613
Mastercard, Inc., Class A
 
1,655
891,697
PayPal Holdings, Inc.
 
14,549
766,587
Visa, Inc., Class A
 
2,740
881,814
 
 
7,536,360
Water Utilities-0.15%
American Water Works Co., Inc.
 
6,918
893,321
Wireless Telecommunication Services-0.15%
T-Mobile US, Inc.
 
4,553
897,897
Total Common Stocks & Other Equity Interests
(Cost $415,609,653)
457,439,131
 
 
Principal
Amount
 
Equity Linked Notes-4.96%
 
 
 
Diversified Banks-3.67%
 
 
 
BNP Paribas S.A. (Invesco S&P 500 Equal
Weight ETF), 143.00%, 02/11/2026(e)
 
$1,255,000
1,228,689
BNP Paribas S.A. (Invesco S&P 500 Equal
Weight ETF), 142.45%, 03/04/2026(e)
 
1,096,000
1,115,354
Canadian Imperial Bank of Commerce
(Invesco S&P 500 Equal Weight ETF),
03/02/2026(e)
 
1,262,000
1,262,000
Citigroup Global Markets Holdings, Inc.
(Invesco S&P 500 Equal Weight ETF),
152.13%, 02/26/2026(e)
 
1,908,000
1,930,314
 
 
Principal
Amount
Value
Diversified Banks-(continued)
 
 
 
Citigroup, Inc. (Invesco S&P 500 Equal
Weight ETF), 125.42%, 03/02/2026(e)
 
$1,761,000
$1,768,828
Morgan Stanley Finance LLC (Invesco
S&P 500 Equal Weight ETF), 151.63%,
02/27/2026(e)
 
1,578,000
1,591,716
Royal Bank of Canada (Invesco S&P 500
Equal Weight ETF), 139.05%,
02/10/2026(e)
 
1,674,000
1,610,050
Royal Bank of Canada (Invesco S&P 500
Equal Weight ETF), 129.89%,
03/03/2026(e)
 
2,141,000
2,145,993
Societe Generale S.A. (Invesco S&P 500
Equal Weight ETF), 141.50%,
02/12/2026(e)
 
1,759,000
1,728,628
Societe Generale S.A. (Invesco S&P 500
Equal Weight ETF), 143.01%,
02/13/2026(e)
 
1,664,000
1,636,775
Societe Generale S.A. (Invesco S&P 500
Equal Weight ETF), 130.60%,
02/17/2026(e)
 
1,444,000
1,427,918
Societe Generale S.A. (Invesco S&P 500
Equal Weight ETF), 148.70%,
02/23/2026(e)
 
1,072,000
1,078,630
Toronto-Dominion Bank (The) (Invesco
S&P 500 Equal Weight ETF), 123.80%,
02/06/2026(e)
 
1,522,000
1,450,440
Toronto-Dominion Bank (The) (Invesco
S&P 500 Equal Weight ETF), 146.85%,
02/19/2026(e)
 
1,503,000
1,500,191
 
 
21,475,526
Diversified Capital Markets-0.36%
 
 
 
UBS Group AG (Invesco S&P 500 Equal
Weight ETF), 156.88%, 02/20/2026(e)
 
1,234,000
1,233,354
UBS Group AG (Invesco S&P 500 Equal
Weight ETF), 151.61%, 02/24/2026(e)
 
828,000
849,376
 
 
2,082,730
Investment Banking & Brokerage-0.93%
 
 
 
Goldman Sachs Group, Inc. (The) (Invesco
S&P 500 Equal Weight ETF), 123.72%,
02/09/2026(e)
 
1,253,000
1,232,911
Goldman Sachs Group, Inc. (The) (Invesco
S&P 500 Equal Weight ETF), 155.15%,
02/18/2026(e)
 
1,806,000
1,814,723
Goldman Sachs Group, Inc. (The) (Invesco
S&P 500 Equal Weight ETF), 143.60%,
02/25/2026(e)
 
1,459,000
1,472,997
Morgan Stanley (Invesco S&P 500 Equal
Weight ETF), 129.90%, 02/05/2026(e)
 
1,001,000
889,882
 
 
5,410,513
Total Equity Linked Notes
(Cost $29,220,000)
28,968,769
See accompanying notes which are an integral part of this schedule.

Invesco S&P 500 Equal Weight Income Advantage ETF (RSPA)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Money Market Funds-16.44%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(c)(f)
(Cost $96,083,201)
 
96,083,201
$96,083,201
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-99.66%
(Cost $540,912,854)
582,491,101
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-0.70%
Invesco Private Government Fund,
3.65%(c)(f)(g)
 
1,128,532
1,128,532
 
Shares
Value
Money Market Funds-(continued)
Invesco Private Prime Fund, 3.80%(c)(f)(g)
 
2,983,461
$2,984,356
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $4,112,888)
4,112,888
TOTAL INVESTMENTS IN SECURITIES-100.36%
(Cost $545,025,742)
586,603,989
OTHER ASSETS LESS LIABILITIES-(0.36)%
(2,097,275
)
NET ASSETS-100.00%
$584,506,714
Investment Abbreviations:
ETF
-Exchange-Traded Fund
REIT
-Real Estate Investment Trust
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(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
Invesco Ltd.
$752,759
$178,125
$(147,525
)
$106,194
$12,436
$901,989
$6,845
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional
Class
85,547,006
38,690,431
(28,154,236
)
-
-
96,083,201
850,305
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
1,948,347
7,360,979
(8,180,794
)
-
-
1,128,532
16,083
*
Invesco Private Prime
Fund
5,576,063
13,027,786
(15,619,493
)
130
(130
)
2,984,356
43,415
*
Total
$93,824,175
$59,257,321
$(52,102,048
)
$106,324
$12,306
$101,098,078
$916,648
*
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)
All or a portion of this security was out on loan at January 31, 2026.
(e)
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 $28,968,769, which represented 4.96% of the Fund’s Net Assets.
(f)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(g)
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(a)
Invesco Short Duration High Yield ETF (GTOH)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-91.67%
Advertising-0.53%
Clear Channel Outdoor Holdings, Inc.
 
7.13% 02/15/2031(b)
$
20,000
$20,869
7.50% 03/15/2033(b)
 
20,000
21,264
 
 
42,133
Aerospace & Defense-1.48%
TransDigm, Inc.
 
6.38% 03/01/2029(b)
 
87,000
89,573
6.00% 01/15/2033(b)
 
27,000
27,527
 
 
117,100
Alternative Carriers-0.10%
Lumen Technologies, Inc., 10.00%,
10/15/2032(b)
 
8,000
8,000
Apparel Retail-0.09%
Men’s Wearhouse LLC (The), 9.00%,
02/01/2031(b)
 
7,000
7,287
Saks Global Enterprises LLC, 11.00%,
12/15/2029(b)(c)
 
22,350
112
 
 
7,399
Application Software-1.21%
Cloud Software Group, Inc.
 
9.00% 09/30/2029(b)
 
22,000
22,241
8.25% 06/30/2032(b)
 
34,000
34,615
SS&C Technologies, Inc., 5.50%,
09/30/2027(b)
 
39,000
38,989
 
 
95,845
Automobile Manufacturers-1.27%
Allison Transmission, Inc.
 
3.75% 01/30/2031(b)
 
85,000
80,166
5.88% 12/01/2033(b)
 
20,000
20,295
 
 
100,461
Automotive Parts & Equipment-3.31%
American Axle & Manufacturing, Inc., 7.75%,
10/15/2033(b)
 
40,000
41,171
Clarios Global L.P./Clarios US Finance Co.
 
6.75% 02/15/2030(b)
 
51,000
53,380
6.75% 09/15/2032(b)
 
7,000
7,250
Cougar JV Subsidiary LLC, 8.00%,
05/15/2032(b)
 
44,000
47,051
Forvia SE (France), 8.00%, 06/15/2030(b)
 
32,000
34,179
NESCO Holdings II, Inc., 5.50%, 04/15/2029(b)
 
41,000
40,426
Phinia, Inc.
 
6.75% 04/15/2029(b)
 
8,000
8,280
6.63% 10/15/2032(b)
 
30,000
31,253
 
 
262,990
Automotive Retail-3.34%
Carvana Co., 14.00% PIK Rate, 9.00% Cash
Rate, 06/01/2031(b)(d)
 
40,660
44,765
Group 1 Automotive, Inc.
 
4.00% 08/15/2028(b)
 
77,000
75,340
6.38% 01/15/2030(b)
 
41,000
42,164
LCM Investments Holdings II LLC, 8.25%,
08/01/2031(b)
 
40,000
42,162
Lithia Motors, Inc.
 
5.50% 10/01/2030(b)
 
18,000
18,090
4.38% 01/15/2031(b)
 
44,000
42,380
 
 
264,901
 
Principal
Amount
Value
Broadcasting-1.16%
Discovery Communications LLC, 4.13%,
05/15/2029
$
41,000
$39,862
Gray Media, Inc., 9.63%, 07/15/2032(b)
 
12,000
12,381
Univision Communications, Inc.
 
8.00% 08/15/2028(b)
 
23,000
23,749
9.38% 08/01/2032(b)
 
15,000
16,157
 
 
92,149
Broadline Retail-0.14%
Alibaba Group Holding Ltd. (China), Conv.,
0.00%, 09/15/2030(b)(e)(f)
 
10,000
11,213
Building Products-0.49%
New Enterprise Stone & Lime Co., Inc., 5.25%,
07/15/2028(b)
 
39,000
39,040
Cable & Satellite-3.40%
CCO Holdings LLC/CCO Holdings Capital Corp.
 
5.38% 06/01/2029(b)
 
17,000
16,821
4.75% 03/01/2030(b)
 
41,000
39,193
4.75% 02/01/2032(b)(g)
 
60,000
54,851
4.50% 05/01/2032
 
51,000
45,811
4.50% 06/01/2033(b)
 
46,000
40,287
Directv Financing LLC, 8.88%, 02/01/2030(b)
 
10,000
10,138
Directv Financing LLC/Directv Financing
Co-Obligor, Inc.
 
5.88% 08/15/2027(b)
 
9,000
9,048
10.00% 02/15/2031(b)
 
5,000
5,154
Sinclair Television Group, Inc., 8.13%,
02/15/2033(b)
 
8,000
8,280
Versant Media Group, Inc., 7.25%,
01/30/2031(b)
 
39,000
39,993
 
 
269,576
Casinos & Gaming-4.20%
Melco Resorts Finance Ltd. (Hong Kong),
6.50%, 09/24/2033(b)
 
100,000
99,854
Studio City Finance Ltd. (Macau), 5.00%,
01/15/2029(b)
 
200,000
193,934
Voyager Parent LLC, 9.25%, 07/01/2032(b)
 
37,000
39,325
 
 
333,113
Commercial & Residential Mortgage Finance-2.20%
Nationstar Mortgage Holdings, Inc.
 
6.50% 08/01/2029(b)
 
30,000
30,371
7.13% 02/01/2032(b)
 
44,000
44,000
PennyMac Financial Services, Inc., 4.25%,
02/15/2029(b)
 
22,000
21,184
Rocket Cos., Inc., 6.13%, 08/01/2030(b)
 
39,000
39,952
Walker & Dunlop, Inc., 6.63%, 04/01/2033(b)
 
38,000
38,975
 
 
174,482
Construction & Engineering-1.00%
AECOM, 6.00%, 08/01/2033(b)
 
39,000
39,979
Great Lakes Dredge & Dock Corp., 5.25%,
06/01/2029(b)
 
40,000
39,378
 
 
79,357
Consumer Finance-4.39%
Bread Financial Holdings, Inc., 8.38%,
06/15/2035(b)(g)(h)
 
20,000
20,541
EZCORP, Inc., 7.38%, 04/01/2032(b)
 
109,000
116,387
FirstCash, Inc., 6.88%, 03/01/2032(b)
 
37,000
38,508
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration High Yield ETF (GTOH)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Consumer Finance-(continued)
Navient Corp.
 
9.38% 07/25/2030
$
15,000
$16,163
7.88% 06/15/2032(g)
 
40,000
40,423
OneMain Finance Corp.
 
6.63% 05/15/2029
 
10,000
10,320
4.00% 09/15/2030(g)
 
23,000
21,638
7.13% 11/15/2031
 
35,000
36,293
6.75% 03/15/2032
 
22,000
22,513
7.13% 09/15/2032
 
25,000
25,921
 
 
348,707
Diversified Banks-0.50%
Brundage-Bone Concrete Pumping Holdings,
Inc., 7.50%, 02/01/2032(b)(g)
 
39,000
39,281
Diversified Financial Services-5.48%
Freedom Mortgage Holdings LLC, 8.38%,
04/01/2032(b)
 
20,000
20,936
GGAM Finance Ltd. (Ireland), 6.88%,
04/15/2029(b)
 
87,000
90,226
Global Aircraft Leasing Co. Ltd. (Cayman
Islands), 8.75%, 09/01/2027(b)
 
111,000
115,038
Jane Street Group/JSG Finance, Inc.
 
6.13% 11/01/2032(b)
 
44,000
44,839
6.75% 05/01/2033(b)
 
53,000
55,152
Osaic Holdings, Inc.
 
6.75% 08/01/2032(b)
 
21,000
21,778
Series JAN, 6.75% 08/01/2032(b)
 
16,000
16,583
Phoenix Aviation Capital Ltd. (Ireland), 9.25%,
07/15/2030(b)
 
11,000
11,537
Provident Funding Associates L.P./PFG Finance
Corp., 9.75%, 09/15/2029(b)
 
56,000
58,781
 
 
434,870
Diversified Real Estate Activities-0.51%
Velocity Commercial Capital LLC, 9.38%,
02/15/2031(b)
 
40,000
40,650
Diversified REITs-0.73%
Iron Mountain Information Management
Services, Inc., 5.00%, 07/15/2032(b)
 
54,000
51,696
Uniti Group L.P./Uniti Group Finance 2019,
Inc./CSL Capital LLC, 8.63%, 06/15/2032(b)
 
6,000
6,063
 
 
57,759
Diversified Support Services-0.97%
RB Global Holdings, Inc. (Canada)
 
6.75% 03/15/2028(b)
 
60,000
61,190
7.75% 03/15/2031(b)
 
15,000
15,654
 
 
76,844
Electric Utilities-2.60%
Brookfield Infrastructure Finance ULC (Canada),
6.75%, 03/15/2055(h)
 
58,000
58,564
California Buyer Ltd./Atlantica Sustainable
Infrastructure PLC (United Kingdom), 6.38%,
02/15/2032(b)
 
50,000
49,915
Hawaiian Electric Co., Inc., 6.00%,
10/01/2033(b)
 
59,000
59,925
Vistra Operations Co. LLC, 6.88%,
04/15/2032(b)
 
36,000
37,845
 
 
206,249
 
Principal
Amount
Value
Electrical Components & Equipment-0.80%
EnerSys
 
4.38% 12/15/2027(b)
$
39,000
$38,747
6.63% 01/15/2032(b)
 
24,000
24,888
 
 
63,635
Electronic Components-0.58%
Sensata Technologies, Inc., 3.75%,
02/15/2031(b)
 
49,000
46,001
Electronic Manufacturing Services-0.80%
EMRLD Borrower L.P./Emerald Co-Issuer, Inc.,
6.63%, 12/15/2030(b)
 
61,000
63,216
Environmental & Facilities Services-0.75%
GFL Environmental Holdings (US), Inc., 5.50%,
02/01/2034(b)
 
30,000
30,106
Wrangler Holdco Corp. (Canada), 6.63%,
04/01/2032(b)
 
28,000
29,155
 
 
59,261
Fertilizers & Agricultural Chemicals-0.11%
FMC Corp., 3.45%, 10/01/2029
 
10,000
8,985
Gold-1.11%
New Gold, Inc. (Canada), 6.88%,
04/01/2032(b)
 
83,000
88,235
Health Care Facilities-1.23%
Acadia Healthcare Co., Inc., 7.38%,
03/15/2033(b)(g)
 
20,000
19,781
Tenet Healthcare Corp.
 
6.75% 05/15/2031
 
57,000
59,241
5.50% 11/15/2032(b)
 
15,000
15,161
6.00% 11/15/2033(b)(g)
 
3,000
3,088
 
 
97,271
Health Care REITs-0.74%
Diversified Healthcare Trust, 7.25%,
10/15/2030(b)
 
50,000
51,560
MPT Operating Partnership L.P./MPT Finance
Corp., 8.50%, 02/15/2032(b)
 
7,000
7,504
 
 
59,064
Health Care Services-1.01%
Community Health Systems, Inc.
 
5.25% 05/15/2030(b)
 
16,000
15,099
4.75% 02/15/2031(b)
 
29,000
26,036
DaVita, Inc.
 
6.88% 09/01/2032(b)(g)
 
18,000
18,553
6.75% 07/15/2033(b)
 
20,000
20,542
 
 
80,230
Hotel & Resort REITs-1.03%
RHP Hotel Properties L.P./RHP Finance Corp.,
6.50%, 06/15/2033(b)
 
39,000
40,446
RLJ Lodging Trust L.P., 4.00%,
09/15/2029(b)(g)
 
43,000
40,940
 
 
81,386
Housewares & Specialties-0.76%
Newell Brands, Inc.
 
6.63% 09/15/2029
 
19,000
19,036
6.38% 05/15/2030(g)
 
42,000
41,556
 
 
60,592
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration High Yield ETF (GTOH)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Independent Power Producers & Energy Traders-2.46%
Vistra Corp.
 
8.00% (b)(h)(i)
$
24,000
$24,458
Series C, 8.88% (b)(h)(i)
 
84,000
92,294
VoltaGrid LLC, 7.38%, 11/01/2030(b)
 
77,000
78,030
 
 
194,782
Industrial Machinery & Supplies & Components-2.59%
Enpro, Inc., 6.13%, 06/01/2033(b)
 
78,000
80,400
ESAB Corp., 6.25%, 04/15/2029(b)
 
57,000
58,640
Lsf12 Helix Parent LLC, 7.13%, 02/01/2033(b)
 
7,000
7,038
Roller Bearing Co. of America, Inc., 4.38%,
10/15/2029(b)
 
60,000
59,160
 
 
205,238
Insurance Brokers-1.59%
Alliant Holdings Intermediate LLC/Alliant
Holdings Co-Issuer, 7.00%, 01/15/2031(b)
 
66,000
68,468
HUB International Ltd., 7.25%, 06/15/2030(b)
 
55,000
57,415
 
 
125,883
Integrated Oil & Gas-0.24%
Petroleos Mexicanos (Mexico), 6.63%,
06/15/2035
 
20,000
19,069
Integrated Telecommunication Services-5.92%
Cipher Compute LLC, 7.13%, 11/15/2030(b)
 
39,000
40,235
Iliad Holding S.A.S. (France), 8.50%,
04/15/2031(b)
 
200,000
214,289
Level 3 Financing, Inc.
 
6.88% 06/30/2033(b)
 
39,000
40,211
7.00% 03/31/2034(b)
 
41,667
43,193
8.50% 01/15/2036(b)
 
15,000
15,371
Telecom Italia Capital S.A. (Italy), 6.38%,
11/15/2033
 
38,000
39,903
Uniti Services LLC, 7.50%, 10/15/2033(b)
 
36,000
37,186
WULF Compute LLC, 7.75%, 10/15/2030(b)
 
38,000
39,670
 
 
470,058
Interactive Media & Services-0.49%
WarnerMedia Holdings, Inc.
 
4.28% 03/15/2032(g)
 
13,000
11,456
5.05% 03/15/2042
 
29,000
20,445
5.14% 03/15/2052
 
10,000
6,672
 
 
38,573
Internet Services & Infrastructure-1.23%
Beignet Investor LLC, 6.58%, 05/30/2049(b)
 
37,000
38,551
CoreWeave, Inc.
 
9.25% 06/01/2030(b)(g)
 
8,000
7,886
9.00% 02/01/2031(b)(g)
 
12,000
11,682
Getty Images, Inc., 10.50%, 11/15/2030(b)
 
39,000
39,522
 
 
97,641
Leisure Facilities-1.00%
Six Flags Entertainment Corp./Six Flags Theme
Parks, Inc./Canada’s Wonderland Co., 6.63%,
05/01/2032(b)
 
38,000
38,850
Vail Resorts, Inc., 5.63%, 07/15/2030(b)
 
40,000
40,644
 
 
79,494
Marine Transportation-1.11%
Danaos Corp. (Greece), 6.88%, 10/15/2032(b)
 
27,000
27,905
Viking Cruises Ltd., 5.88%, 10/15/2033(b)
 
59,000
59,842
 
 
87,747
 
Principal
Amount
Value
Movies & Entertainment-0.58%
Starz Capital Holdings 1, Inc., 6.00%,
04/15/2030(b)
$
49,000
$45,999
Multi-line Insurance-0.43%
Acrisure LLC/Acrisure Finance, Inc., 7.50%,
11/06/2030(b)
 
33,000
34,183
Oil & Gas Drilling-1.03%
Summit Midstream Holdings LLC, 8.63%,
10/31/2029(b)
 
38,000
39,723
Transocean International Ltd., 7.88%,
10/15/2032(b)
 
40,000
42,212
 
 
81,935
Oil & Gas Equipment & Services-0.99%
Bristow Group, Inc., 6.75%, 02/01/2033(b)
 
39,000
39,475
Tidewater, Inc., 9.13%, 07/15/2030(b)
 
36,000
38,966
 
 
78,441
Oil & Gas Exploration & Production-1.79%
Caturus Energy LLC, 8.50%, 02/15/2030(b)
 
56,000
58,426
Comstock Resources, Inc., 6.75%,
03/01/2029(b)
 
45,000
45,314
Hilcorp Energy I L.P./Hilcorp Finance Co.,
8.38%, 11/01/2033(b)
 
37,000
38,437
 
 
142,177
Oil & Gas Refining & Marketing-1.00%
Sunoco L.P.
 
5.63% 03/15/2031(b)
 
5,000
5,033
6.25% 07/01/2033(b)
 
31,000
31,815
5.88% 03/15/2034(b)
 
30,000
30,094
7.88% (b)(h)(i)
 
12,000
12,368
 
 
79,310
Oil & Gas Storage & Transportation-6.05%
Antero Midstream Partners L.P./Antero
Midstream Finance Corp.
 
6.63% 02/01/2032(b)
 
44,000
45,734
5.75% 07/01/2034(b)
 
33,000
33,351
Excelerate Energy L.P., 8.00%, 05/15/2030(b)
 
38,000
40,656
Genesis Energy L.P./Genesis Energy Finance
Corp.
 
7.88% 05/15/2032
 
20,000
20,882
8.00% 05/15/2033
 
37,000
38,633
Global Partners L.P./GLP Finance Corp., 7.13%,
07/01/2033(b)
 
40,000
41,000
Northriver Midstream Finance L.P. (Canada),
6.75%, 07/15/2032(b)
 
41,000
41,743
Prairie Acquiror L.P., 9.00%, 08/01/2029(b)
 
38,000
39,440
Venture Global LNG, Inc.
 
9.88% 02/01/2032(b)
 
56,000
59,244
9.00% (b)(h)(i)
 
46,000
40,496
Venture Global Plaquemines LNG LLC
 
6.13% 12/15/2030(b)
 
20,000
20,596
6.50% 01/15/2034(b)
 
13,000
13,498
6.75% 01/15/2036(b)
 
43,000
45,095
 
 
480,368
Other Specialized REITs-1.07%
Iron Mountain, Inc.
 
4.50% 02/15/2031(b)
 
49,000
46,858
6.25% 01/15/2033(b)
 
38,000
38,423
 
 
85,281
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration High Yield ETF (GTOH)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Other Specialty Retail-0.00%
SGUS LLC, 11.00%, 12/15/2029(b)(c)
$
9,650
$314
Paper & Plastic Packaging Products & Materials-0.49%
Clydesdale Acquisition Holdings, Inc.
 
8.75% 04/15/2030(b)
 
20,000
20,031
6.75% 04/15/2032(b)
 
19,000
19,162
 
 
39,193
Passenger Airlines-2.30%
American Airlines, Inc./AAdvantage Loyalty IP
Ltd., 5.75%, 04/20/2029(b)
 
58,000
58,631
CHC Group LLC, 11.75%, 09/01/2030(b)
 
29,000
27,903
United Airlines Holdings, Inc., 5.38%,
03/01/2031
 
95,000
96,062
 
 
182,596
Pharmaceuticals-2.05%
1261229 BC Ltd., 10.00%, 04/15/2032(b)
 
30,000
30,818
Amneal Pharmaceuticals LLC, 6.88%,
08/01/2032(b)
 
45,000
47,440
Endo Finance Holdings, Inc., 8.50%,
04/15/2031(b)
 
42,000
44,493
Teva Pharmaceutical Finance Netherlands III
B.V. (Israel), 4.10%, 10/01/2046
 
52,000
39,821
 
 
162,572
Property & Casualty Insurance-0.74%
Asurion LLC and Asurion Co-Issuer, Inc.
 
8.00% 12/31/2032(b)
 
40,000
41,818
8.38% 02/01/2034(b)
 
17,000
17,202
 
 
59,020
Real Estate Development-1.10%
Cushman & Wakefield U.S. Borrower LLC,
8.88%, 09/01/2031(b)
 
42,000
44,786
Greystar Real Estate Partners LLC, 7.75%,
09/01/2030(b)
 
40,000
42,240
 
 
87,026
Research & Consulting Services-0.61%
Clarivate Science Holdings Corp., 4.88%,
07/01/2029(b)
 
56,000
48,184
Security & Alarm Services-0.98%
Brink’s Co. (The), 6.75%, 06/15/2032(b)
 
75,000
78,138
Semiconductors-0.54%
AP Grange Holdings LLC, 6.50%,
03/20/2045(b)(j)
 
39,000
42,957
Specialized Consumer Services-0.83%
Carriage Services, Inc., 4.25%, 05/15/2029(b)
 
68,000
65,528
Specialized Finance-1.23%
HA Sustainable Infrastructure Capital, Inc.,
8.00%, 06/01/2056(h)
 
39,000
40,919
TrueNoord Capital DAC (Ireland), 8.75%,
03/01/2030(b)
 
54,000
56,991
 
 
97,910
Specialty Chemicals-0.49%
Celanese US Holdings LLC
 
7.20% 11/15/2033
 
28,000
29,639
7.38% 02/15/2034(g)
 
9,000
9,164
 
 
38,803
 
Principal
Amount
Value
Steel-0.52%
Cleveland-Cliffs, Inc.
 
6.88% 11/01/2029(b)
$
7,000
$7,279
7.00% 03/15/2032(b)(g)
 
33,000
33,907
 
 
41,186
Trading Companies & Distributors-1.00%
Air Lease Corp., Series B, 4.65%(h)(i)
 
40,000
39,946
Aircastle Ltd., 5.25%(b)(h)(i)
 
39,000
39,079
 
 
79,025
Wireless Telecommunication Services-1.20%
Vodafone Group PLC (United Kingdom), 4.13%,
06/04/2081(h)
 
101,000
95,085
Total U.S. Dollar Denominated Bonds & Notes
(Cost $7,103,249)
7,273,711
Non-U.S. Dollar Denominated Bonds & Notes-4.41%
Cable & Satellite-1.52%
Sunrise FinCo I B.V. (Netherlands), 4.63%,
05/15/2032, (Acquired 05/21/2025;
Cost $113,410)(b)(k)
EUR
100,000
120,590
Marine Transportation-1.47%
CMA CGM S.A. (France), 4.88%,
01/15/2032(b)
EUR
100,000
116,515
Wireless Telecommunication Services-1.42%
VMED O2 UK Financing I PLC (United Kingdom),
3.25%, 01/31/2031(b)
EUR
100,000
112,823
Total Non-U.S. Dollar Denominated Bonds & Notes
(Cost $321,050)
349,928
 
Shares
 
Money Market Funds-1.37%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(l)(m)
(Cost $109,195)
 
109,195
109,195
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral from
securities on loan)-97.45%
(Cost $7,533,494)
7,732,834
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-3.58%
Invesco Private Government Fund,
3.65%(l)(m)(n)
 
78,925
78,925
Invesco Private Prime Fund, 3.80%(l)(m)(n)
 
204,983
205,044
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $283,969)
283,969
TOTAL INVESTMENTS IN SECURITIES-101.03%
(Cost $7,817,463)
8,016,803
OTHER ASSETS LESS LIABILITIES-(1.03)%
(82,009
)
NET ASSETS-100.00%
$7,934,794
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration High Yield ETF (GTOH)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
Conv.
-Convertible
EUR
-Euro
PIK
-Pay-in-Kind
REIT
-Real Estate Investment Trust
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(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 $6,669,617, which represented 84.06% of the Fund’s Net Assets.
(c)
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 $426, which represented less than 1% of the Fund’s Net Assets.
(d)
All or a portion of this security is Pay-in-Kind. Pay-in-Kind securities pay interest income in the form of securities.
(e)
Security has an irrevocable call by the issuer or mandatory put by the holder. Maturity date reflects such call or put.
(f)
Denotes a zero coupon security issued at a substantial discount from its value at maturity.
(g)
All or a portion of this security was out on loan at January 31, 2026.
(h)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(i)
Perpetual bond with no specified maturity date.
(j)
Security valued using significant unobservable inputs (Level 3). See Note1.
(k)
Restricted security. The value of this security at January 31, 2026 represented 1.52% of the Fund’s Net Assets.
(l)
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 Premier
U.S. Government Money
Portfolio, Institutional Class
$50,248
$1,030,092
$(971,145
)
$-
$-
$109,195
$1,108
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private Government
Fund
160,468
382,817
(464,360
)
-
-
78,925
1,171
*
Invesco Private Prime Fund
416,835
675,138
(886,929
)
4
(4
)
205,044
3,107
*
Total
$627,551
$2,088,047
$(2,322,434
)
$4
$(4
)
$393,164
$5,386
*
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.
(m)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(n)
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.
Open Futures Contracts(a)
Short Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
Interest Rate Risk
 
U.S. Treasury 10 Year Ultra Notes
3
March-2026
$(342,469
)
$371
$371
(a)
Futures contracts collateralized by $17,467 cash held with Bank of America, N.A., the futures commission merchant.
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration High Yield ETF (GTOH)—(continued)
January 31, 2026
(Unaudited)
Open Forward Foreign Currency Contracts
Settlement Date
Counterparty
Contract to
Unrealized
Appreciation
(Depreciation)
Deliver
Receive
Currency Risk
 
 
 
4/28/2026
Goldman Sachs International
EUR
370,000
USD
436,474
$(5,499
)
Abbreviations:
EUR
-Euro
USD
-U.S. Dollar
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(a)
Invesco Short Duration Total Return Bond ETF (GTOS)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-68.69%
Advertising-0.44%
Lamar Media Corp., 4.88%, 01/15/2029
$
514,000
$514,326
Aerospace & Defense-0.80%
Boeing Co. (The)
 
6.26% 05/01/2027
 
9,000
9,232
6.30% 05/01/2029
 
10,000
10,625
L3Harris Technologies, Inc., 5.40%,
01/15/2027
 
10,000
10,140
Lockheed Martin Corp., 4.15%, 08/15/2028
 
10,000
10,083
RTX Corp.
 
5.00% 02/27/2026
 
9,000
9,002
5.75% 11/08/2026
 
16,000
16,205
TransDigm, Inc.
 
6.75% 08/15/2028(b)
 
12,000
12,217
6.38% 03/01/2029(b)
 
829,000
853,518
 
 
931,022
Agricultural & Farm Machinery-0.24%
AGCO Corp., 5.45%, 03/21/2027
 
2,000
2,027
CNH Industrial Capital LLC, 4.75%,
03/21/2028
 
8,000
8,095
Deere Funding Canada Corp., 4.15%,
10/09/2030
 
241,000
240,720
John Deere Capital Corp., 4.38%,
10/15/2030
 
25,000
25,280
 
 
276,122
Agricultural Products & Services-0.26%
Cargill, Inc., 4.13%, 10/23/2030(b)
 
300,000
298,564
Apparel Retail-0.33%
Gap, Inc. (The), 3.63%, 10/01/2029(b)
 
404,000
384,649
Apparel, Accessories & Luxury Goods-0.01%
Gildan Activewear, Inc. (Canada), 4.70%,
10/07/2030(b)
 
15,000
14,959
Application Software-0.61%
Roper Technologies, Inc.
 
4.25% 09/15/2028
 
4,000
4,024
4.50% 10/15/2029
 
10,000
10,104
4.45% 09/15/2030
 
3,350
3,359
SS&C Technologies, Inc., 5.50%,
09/30/2027(b)
 
694,000
693,805
 
 
711,292
Asset Management & Custody Banks-0.37%
Ares Strategic Income Fund, 4.85%,
01/15/2029(b)
 
52,000
51,452
Bank of New York Mellon Corp. (The)
 
4.40% (SOFR + 0.68%), 06/09/2028(c)
 
16,000
16,052
4.44% 06/09/2028(d)
 
10,000
10,077
4.03% 01/22/2030(d)
 
311,000
310,760
Northern Trust Corp., 4.15%, 11/19/2030
 
37,000
37,028
 
 
425,369
Automobile Manufacturers-4.84%
Allison Transmission, Inc., 4.75%,
10/01/2027(b)
 
781,000
781,367
American Honda Finance Corp., 4.15%,
01/08/2029
 
145,000
145,371
Daimler Truck Finance North America LLC
(Germany)
 
4.95% 01/13/2028(b)
 
35,000
35,561
4.15% 01/12/2029(b)
 
106,000
106,009
 
Principal
Amount
Value
Automobile Manufacturers-(continued)
Ford Motor Credit Co. LLC
 
6.67% (SOFR + 2.95%), 03/06/2026(c)
$
1,300,000
$1,302,722
5.85% 05/17/2027
 
447,000
454,436
4.97% 04/06/2029(e)
 
351,000
352,929
Honda Motor Co. Ltd. (Japan)
 
4.44% 07/08/2028
 
42,000
42,411
4.69% 07/08/2030
 
478,000
483,408
Hyundai Capital America
 
5.50% 03/30/2026(b)
 
9,000
9,024
5.65% 06/26/2026(b)
 
11,000
11,075
5.30% 03/19/2027(b)
 
9,000
9,126
4.88% 06/23/2027(b)
 
23,000
23,254
5.00% 01/07/2028(b)
 
16,000
16,260
4.25% 09/18/2028(b)
 
11,000
11,017
4.25% 01/08/2029(b)
 
543,000
544,222
5.30% 01/08/2030(b)
 
8,000
8,249
4.50% 09/18/2030(b)
 
19,000
19,013
PACCAR Financial Corp.
 
Series R, 4.00% 11/07/2028
 
872,000
877,193
Series R, 3.90% 02/05/2029
 
349,000
349,424
Toyota Motor Credit Corp.
 
4.55% 08/07/2026
 
8,000
8,032
4.55% 08/09/2029
 
8,000
8,141
 
 
5,598,244
Automotive Parts & Equipment-0.06%
BMW US Capital LLC (Germany)
 
4.15% 08/11/2027(b)
 
17,000
17,065
4.52% (SOFR + 0.71%), 08/11/2027(b)(c)
 
40,000
40,127
Phinia, Inc., 6.75%, 04/15/2029(b)
 
13,000
13,455
 
 
70,647
Automotive Retail-0.25%
Asbury Automotive Group, Inc., 4.50%,
03/01/2028
 
31,000
30,915
Group 1 Automotive, Inc., 4.00%,
08/15/2028(b)
 
212,000
207,429
Lithia Motors, Inc., 5.50%, 10/01/2030(b)
 
40,000
40,201
O’Reilly Automotive, Inc., 5.75%,
11/20/2026
 
9,000
9,114
 
 
287,659
Biotechnology-0.01%
AbbVie, Inc., 4.80%, 03/15/2027
 
11,000
11,118
Broadline Retail-0.14%
eBay, Inc., 4.25%, 03/06/2029
 
160,000
160,687
Building Products-0.27%
CRH America Finance, Inc., 4.40%,
02/09/2031
 
314,000
314,291
Cable & Satellite-0.50%
CCO Holdings LLC/CCO Holdings Capital Corp.,
5.50%, 05/01/2026(b)
 
80,000
80,041
Sirius XM Radio LLC, 5.00%, 08/01/2027(b)
 
500,000
499,413
 
 
579,454
Cargo Ground Transportation-0.74%
Fedex Freight Holding Co., Inc.
 
4.30% 03/15/2029(b)
 
266,000
266,349
4.65% 03/15/2031(b)
 
179,700
179,643
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Cargo Ground Transportation-(continued)
Penske Truck Leasing Co. L.P./PTL Finance
Corp.
 
5.75% 05/24/2026(b)
$
10,000
$10,039
5.35% 01/12/2027(b)
 
3,000
3,035
4.40% 07/01/2027(b)
 
11,000
11,041
6.05% 08/01/2028(b)
 
8,000
8,339
4.55% 01/15/2031(b)
 
64,000
63,890
Ryder System, Inc.
 
5.30% 03/15/2027
 
9,000
9,124
4.90% 12/01/2029
 
7,000
7,163
4.30% 12/01/2030
 
305,000
303,656
 
 
862,279
Casinos & Gaming-0.22%
Melco Resorts Finance Ltd. (Hong Kong),
5.63%, 07/17/2027(b)
 
250,000
250,275
Commercial & Residential Mortgage Finance-0.55%
Aviation Capital Group LLC, 4.25%,
04/30/2029(b)
 
28,000
27,906
Nationwide Building Society (United Kingdom),
4.35%, 09/30/2030(b)
 
200,000
199,763
Rocket Cos., Inc., 6.13%, 08/01/2030(b)
 
404,000
413,859
 
 
641,528
Computer & Electronics Retail-0.09%
Dell International LLC/EMC Corp., 4.15%,
02/15/2029
 
108,000
107,987
Construction Machinery & Heavy Transportation Equipment-0.86%
Caterpillar Financial Services Corp.
 
3.95% 11/14/2028
 
485,000
486,697
4.37% (SOFR + 0.58%), 11/14/2028(c)
 
485,000
487,260
Cummins, Inc., 4.25%, 05/09/2028
 
10,000
10,102
Westinghouse Air Brake Technologies Corp.,
4.90%, 05/29/2030
 
14,000
14,311
 
 
998,370
Construction Materials-0.02%
JH North America Holdings, Inc., 5.88%,
01/31/2031(b)
 
19,000
19,336
Consumer Electronics-0.05%
Tyco Electronics Group S.A. (Switzerland),
4.50%, 02/09/2031
 
60,000
60,574
Consumer Finance-0.67%
American Express Co.
 
5.65% 04/23/2027(d)
 
10,000
10,037
4.73% 04/25/2029(d)
 
22,000
22,334
4.96% (SOFR + 1.26%), 04/25/2029(c)
 
19,000
19,247
4.35% 07/20/2029(d)
 
16,000
16,101
4.51% (SOFR + 0.81%), 07/20/2029(c)
 
19,000
19,070
Capital One Financial Corp., 7.15%,
10/29/2027(d)
 
8,000
8,173
General Motors Financial Co., Inc.
 
5.40% 04/06/2026
 
12,000
12,032
4.20% 10/27/2028
 
159,000
159,441
OneMain Finance Corp.
 
3.50% 01/15/2027
 
500,000
494,035
6.50% 03/15/2033
 
17,500
17,604
Synchrony Financial, 5.02%, 07/29/2029(d)
 
2,000
2,024
 
 
780,098
Data Center REITs-0.50%
QTS, 5.69% (SOFR + 2.00%), 12/10/2030(c)
 
575,000
575,579
 
Principal
Amount
Value
Distributors-0.14%
Genuine Parts Co., 6.50%, 11/01/2028
$
156,000
$164,893
Diversified Banks-11.34%
ANZ New Zealand (Int’l) Ltd. (New Zealand),
4.00%, 01/22/2029(b)
 
235,000
235,249
ASB Bank Ltd. (New Zealand), 4.16%,
10/29/2030(b)
 
700,000
697,960
Australia and New Zealand Banking Group Ltd.
(Australia), Series A, 3.92%, 12/08/2028
 
473,000
474,779
Banco Santander S.A. (Spain), 5.08%,
11/06/2030
 
400,000
400,515
Bank of America Corp.
 
4.62% 05/09/2029(d)
 
10,000
10,135
4.91% (SOFR + 1.11%), 05/09/2029(c)
 
22,000
22,208
5.82% 09/15/2029(d)
 
244,000
254,505
Series RR, 4.38% (d)(f)
 
259,000
257,816
Bank of America N.A., 5.53%, 08/18/2026
 
68,000
68,536
Bank of Nova Scotia (The) (Canada), 4.25%,
02/02/2030(d)
 
500,000
501,014
Canadian Imperial Bank of Commerce
(Canada), 4.28%, 01/29/2030(d)
 
451,000
452,226
Citigroup, Inc.
 
4.64% 05/07/2028(d)
 
34,000
34,265
4.95% (SOFR + 1.14%), 05/07/2028(c)
 
18,000
18,120
4.79% 03/04/2029(d)
 
35,000
35,510
4.54% 09/19/2030(d)
 
14,000
14,119
5.27% (SOFR + 1.46%), 05/07/2031(c)
 
20,000
20,399
4.88% (SOFR + 1.17%), 09/11/2031(c)
 
47,000
47,688
Series T, 6.25% (d)(f)
 
595,000
598,819
Cooperatieve Rabobank U.A. (Netherlands),
3.96%, 10/17/2028
 
250,000
251,074
Fifth Third Bancorp
 
6.34% 07/27/2029(d)
 
4,000
4,207
4.57% 04/29/2032(d)
 
1,000
999
Goldman Sachs Bank USA, 5.28%,
03/18/2027(d)
 
35,000
35,054
JPMorgan Chase & Co.
 
6.07% 10/22/2027(d)
 
11,000
11,172
5.04% 01/23/2028(d)
 
9,000
9,093
5.57% 04/22/2028(d)
 
10,000
10,190
4.98% 07/22/2028(d)
 
405,000
410,893
4.51% 10/22/2028(d)
 
17,000
17,163
6.09% 10/23/2029(d)
 
9,000
9,462
4.26% 10/22/2031(d)
 
218,000
216,959
Series CC, 6.51% (3 mo. Term SOFR +
2.84%)(c)(e)(f)
 
54,000
54,536
Series II, 6.41% (3 mo. Term SOFR +
2.75%)(c)(f)
 
174,000
174,706
Lloyds Banking Group PLC (United Kingdom),
4.43%, 11/04/2031(d)
 
212,000
211,387
Macquarie Bank Ltd. (Australia)
 
3.92% 02/03/2028(b)
 
150,000
150,312
4.19% (SOFR + 0.48%), 02/03/2028(b)(c)
 
133,000
133,115
Morgan Stanley Private Bank N.A.
 
4.20% 11/17/2028(d)
 
690,000
692,053
4.21% 02/08/2030(d)
 
250,000
250,130
National Australia Bank Ltd. (Australia),
4.22% (SOFR + 0.53%), 12/13/2028(b)(c)
 
250,000
250,253
Pinnacle Bank, 5.96%, 01/15/2036(d)
 
66,000
66,536
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Banks-(continued)
PNC Financial Services Group, Inc. (The)
 
6.62% 10/20/2027(d)
$
9,000
$9,167
4.08% 01/26/2029(d)
 
163,000
163,268
4.32% (SOFR + 0.62%), 01/26/2029(c)
 
122,000
122,218
Series U, 6.00% (d)(f)
 
88,000
88,618
Royal Bank of Canada (Canada)
 
4.00% 11/03/2028(d)
 
610,000
610,471
4.31% 11/03/2031(d)(e)
 
610,000
607,902
Santander UK Group Holdings PLC (United
Kingdom), 4.32%, 09/22/2029(d)
 
200,000
200,415
Standard Chartered PLC (United Kingdom),
4.62% (SOFR + 0.92%), 01/13/2030(b)(c)
 
499,000
500,061
Toronto-Dominion Bank (The) (Canada)
 
4.11% 10/13/2028
 
435,000
435,977
4.81% 06/03/2030
 
113,000
115,343
Truist Bank
 
4.36% (SOFR + 0.66%), 01/27/2029(c)
 
500,000
499,857
4.14% 10/23/2029(d)
 
540,000
539,759
Series I, 4.14% 01/27/2029(d)
 
380,000
380,524
U.S. Bancorp, 6.79%, 10/26/2027(d)
 
408,000
416,490
UBS AG (Switzerland), 4.29% (SOFR +
0.50%), 05/17/2027(c)
 
430,000
430,627
Wells Fargo & Co.
 
5.71% 04/22/2028(d)
 
9,000
9,182
4.97% 04/23/2029(d)
 
18,000
18,345
5.07% (SOFR + 1.37%), 04/23/2029(c)
 
11,000
11,186
5.57% 07/25/2029(d)
 
11,000
11,383
6.30% 10/23/2029(d)
 
11,000
11,619
4.18% 01/23/2030(d)
 
54,000
54,053
7.63% (d)(e)(f)
 
11,000
11,722
Wells Fargo Bank N.A., 5.45%, 08/07/2026
 
28,000
28,198
Westpac Banking Corp. (Australia), 4.52%
(SOFR + 0.82%), 07/01/2030(c)
 
11,000
11,114
Westpac New Zealand Ltd. (New Zealand)
 
4.13% 01/29/2029(b)
 
211,000
211,674
4.46% (SOFR + 0.75%), 01/30/2031(b)(c)
 
520,000
521,347
 
 
13,123,677
Diversified Capital Markets-0.43%
UBS Group AG (Switzerland)
 
4.15% 12/23/2029(b)(d)
 
200,000
199,804
4.54% (SOFR + 0.84%), 12/23/2029(b)(c)
 
300,000
300,319
 
 
500,123
Diversified Financial Services-1.52%
AerCap Ireland Capital DAC/AerCap Global
Aviation Trust (Ireland)
 
6.10% 01/15/2027
 
150,000
152,874
4.38% 11/15/2030
 
154,000
153,352
Atlas Warehouse Lending Co. L.P., 4.63%,
11/15/2028(b)
 
87,300
87,710
Avolon Holdings Funding Ltd. (Ireland),
4.70%, 01/30/2031(b)
 
407,000
404,921
Blackstone Reg Finance Co. L.L.C., 4.30%,
11/03/2030
 
143,000
142,489
Eagle Funding LuxCo S.a.r.l. (Mexico), 5.50%,
08/17/2030(b)
 
700,000
711,949
LPL Holdings, Inc.
 
5.70% 05/20/2027
 
9,000
9,170
6.75% 11/17/2028
 
8,000
8,512
 
Principal
Amount
Value
Diversified Financial Services-(continued)
Macquarie Airfinance Holdings Ltd. (United
Kingdom), 5.15%, 03/17/2030(b)
$
10,000
$10,135
Voya Global Funding, 4.60%, 11/24/2030(b)
 
79,000
79,508
 
 
1,760,620
Diversified Metals & Mining-0.04%
BHP Billiton Finance (USA) Ltd. (Australia),
5.25%, 09/08/2026
 
16,000
16,140
Glencore Funding LLC (Australia)
 
4.91% 04/01/2028(b)
 
4,000
4,073
5.37% 04/04/2029(b)
 
10,000
10,348
Rio Tinto Finance (USA) PLC (Australia)
 
4.38% 03/12/2027
 
10,000
10,073
4.50% 03/14/2028
 
6,000
6,075
 
 
46,709
Diversified REITs-0.46%
VICI Properties L.P., 4.75%, 02/15/2028
 
524,000
529,407
Diversified Support Services-0.05%
Element Fleet Management Corp. (Canada),
5.04%, 03/25/2030(b)
 
41,000
41,906
RB Global Holdings, Inc. (Canada), 6.75%,
03/15/2028(b)
 
12,000
12,238
 
 
54,144
Electric Utilities-4.19%
Alabama Power Co., Series C, 4.30%,
03/15/2031
 
33,500
33,543
American Electric Power Co., Inc., Series C,
5.80%, 03/15/2056(d)
 
286,000
286,118
Constellation Energy Generation LLC, 3.90%,
01/08/2028
 
350,000
349,710
Duke Energy Corp.
 
4.85% 01/05/2027
 
11,000
11,106
4.85% 01/05/2029
 
4,000
4,086
Duke Energy Florida LLC, 4.20%,
12/01/2030
 
233,000
232,581
Entergy Corp., 5.88%, 06/15/2056(d)
 
519,000
519,692
Exelon Corp.
 
5.15% 03/15/2029
 
8,000
8,234
5.13% 03/15/2031
 
11,000
11,375
FirstEnergy Transmission LLC, 4.55%,
01/15/2030
 
559,000
562,454
Georgia Power Co., 4.00%, 10/01/2028
 
77,000
77,265
Jersey Central Power & Light Co., 4.15%,
01/15/2029(b)
 
39,000
39,007
National Rural Utilities Cooperative Finance
Corp.
 
5.60% 11/13/2026
 
10,000
10,125
4.51% (SOFR + 0.80%), 02/05/2027(c)
 
39,000
39,181
4.12% 09/16/2027
 
16,000
16,070
3.95% 12/10/2027
 
512,000
513,280
4.85% 02/07/2029
 
9,000
9,214
Series D, 4.15% 08/25/2028
 
32,000
32,163
NextEra Energy Capital Holdings, Inc., 4.69%,
09/01/2027
 
393,000
397,614
Niagara Mohawk Power Corp., 4.65%,
10/03/2030(b)
 
38,000
38,275
NRG Energy, Inc., 4.73%, 10/15/2030(b)
 
77,000
77,032
Oncor Electric Delivery Co. LLC, 4.65%,
11/01/2029
 
163,000
165,919
PacifiCorp, 5.10%, 02/15/2029
 
8,000
8,189
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Electric Utilities-(continued)
PPL Capital Funding, Inc., Conv., 3.00%,
12/01/2030(b)
$
103,000
$104,357
Vistra Operations Co. LLC
 
5.05% 12/30/2026(b)
 
443,000
447,214
5.63% 02/15/2027(b)
 
25,000
25,030
4.30% 10/15/2028(b)
 
139,000
139,078
4.60% 10/15/2030(b)
 
61,000
60,839
4.70% 01/31/2031(b)
 
217,000
216,798
Wisconsin Electric Power Co.
 
3.95% 03/01/2029
 
261,000
260,858
4.15% 10/15/2030
 
147,000
146,566
Xcel Energy, Inc., 4.75%, 03/21/2028
 
3,000
3,044
 
 
4,846,017
Electrical Components & Equipment-1.72%
EnerSys, 4.38%, 12/15/2027(b)
 
755,000
750,106
Regal Rexnord Corp., 6.05%, 02/15/2026
 
477,000
477,136
Vertiv Group Corp., 4.13%, 11/15/2028(b)
 
781,000
769,617
 
 
1,996,859
Electronic Components-1.72%
Amphenol Corp.
 
3.80% 11/15/2027
 
257,000
256,941
4.34% (SOFR + 0.53%), 11/15/2027(c)
 
872,000
874,361
3.90% 11/15/2028
 
571,000
570,976
4.13% 11/15/2030
 
296,000
294,247
 
 
1,996,525
Electronic Equipment & Instruments-0.14%
Keysight Technologies, Inc., 5.35%,
07/30/2030
 
158,000
164,396
Electronic Manufacturing Services-0.15%
Jabil, Inc., 4.20%, 02/01/2029
 
169,000
168,961
Environmental & Facilities Services-0.43%
Veralto Corp.
 
5.50% 09/18/2026
 
480,000
484,402
5.35% 09/18/2028
 
9,000
9,289
 
 
493,691
Fertilizers & Agricultural Chemicals-0.84%
Mosaic Co. (The)
 
4.35% 01/15/2029
 
483,000
484,629
4.60% 11/15/2030
 
490,000
491,537
 
 
976,166
Financial Exchanges & Data-0.78%
Intercontinental Exchange, Inc.
 
3.95% 12/01/2028
 
539,000
539,423
4.20% 03/15/2031
 
362,000
361,419
 
 
900,842
Gold-0.17%
Fortitude Global Funding, 4.63%,
10/06/2028(b)
 
199,000
199,456
Health Care Distributors-0.03%
Cardinal Health, Inc., 4.50%, 09/15/2030
 
2,600
2,621
McKesson Corp., 4.65%, 05/30/2030
 
36,000
36,592
 
 
39,213
Health Care Equipment-0.41%
GE HealthCare Technologies, Inc.
 
4.15% 12/15/2028
 
262,000
262,858
4.80% 01/15/2031
 
165,000
167,571
 
Principal
Amount
Value
Health Care Equipment-(continued)
Smith & Nephew PLC (United Kingdom),
5.15%, 03/20/2027
$
7,000
$7,084
Stryker Corp.
 
4.55% 02/10/2027
 
18,000
18,139
4.70% 02/10/2028
 
23,000
23,365
 
 
479,017
Health Care Facilities-0.26%
Ascension Health, Series 2025, 4.08%,
11/15/2028
 
301,000
302,544
Health Care REITs-0.01%
Omega Healthcare Investors, Inc., 5.20%,
07/01/2030
 
10,000
10,172
Health Care Services-0.70%
Cigna Group (The), 4.50%, 09/15/2030
 
17,400
17,521
CommonSpirit Health, 4.35%, 09/01/2030
 
104,000
103,463
CVS Health Corp., 7.00%, 03/10/2055(d)
 
21,000
21,989
HCA, Inc.
 
5.00% 03/01/2028
 
537,000
547,217
4.30% 11/15/2030
 
126,000
125,356
 
 
815,546
Health Care Supplies-0.87%
Medline Borrower L.P., 3.88%,
04/01/2029(b)
 
1,000,000
978,505
Solventum Corp.
 
5.45% 02/25/2027
 
11,000
11,160
5.40% 03/01/2029
 
17,000
17,623
 
 
1,007,288
Home Improvement Retail-0.16%
Lowe`s Cos., Inc.
 
3.95% 10/15/2027
 
88,000
88,250
4.00% 10/15/2028
 
93,000
93,130
 
 
181,380
Hotel & Resort REITs-0.16%
Host Hotels & Resorts L.P., 4.25%,
12/15/2028
 
180,000
180,430
Hotels, Resorts & Cruise Lines-1.40%
Carnival Corp.
 
5.13% 05/01/2029(b)
 
338,000
342,120
5.75% 03/15/2030(b)
 
22,000
22,665
Hilton Domestic Operating Co., Inc.
 
5.88% 04/01/2029(b)
 
215,000
220,084
3.75% 05/01/2029(b)
 
200,000
194,776
Marriott International, Inc.
 
4.20% 07/15/2027
 
16,000
16,059
4.88% 05/15/2029
 
4,000
4,093
4.80% 03/15/2030
 
8,000
8,171
Royal Caribbean Cruises Ltd., 5.50%,
04/01/2028(b)
 
793,000
809,464
 
 
1,617,432
Housewares & Specialties-0.00%
Newell Brands, Inc., 6.38%, 05/15/2030(e)
 
5,000
4,947
Independent Power Producers & Energy Traders-0.88%
Clearway Energy Operating LLC, 4.75%,
03/15/2028(b)
 
11,000
10,998
VoltaGrid LLC, 7.38%, 11/01/2030(b)
 
1,000,000
1,013,376
 
 
1,024,374
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Industrial Machinery & Supplies & Components-0.92%
ESAB Corp., 6.25%, 04/15/2029(b)
$
514,000
$528,794
Ingersoll Rand, Inc., 5.20%, 06/15/2027
 
164,000
166,609
Nordson Corp., 5.60%, 09/15/2028
 
163,000
168,708
Roller Bearing Co. of America, Inc., 4.38%,
10/15/2029(b)
 
200,000
197,199
 
 
1,061,310
Industrial REITs-0.04%
LXP Industrial Trust, 6.75%, 11/15/2028
 
42,000
44,448
Insurance Brokers-0.01%
Arthur J. Gallagher & Co., 4.60%,
12/15/2027
 
11,000
11,129
Integrated Oil & Gas-0.35%
Saudi Arabian Oil Co. (Saudi Arabia), 4.00%,
02/02/2029(b)
 
405,000
402,727
Integrated Telecommunication Services-0.94%
Cipher Compute LLC, 7.13%, 11/15/2030(b)
 
296,000
305,372
Orange S.A. (France), 4.00%, 01/13/2029(b)
 
235,000
235,158
WULF Compute LLC, 7.75%, 10/15/2030(b)
 
523,000
545,986
 
 
1,086,516
Interactive Home Entertainment-1.08%
Roblox Corp., 3.88%, 05/01/2030(b)
 
1,300,000
1,244,419
Interactive Media & Services-0.68%
Alphabet, Inc., 3.88%, 11/15/2028
 
170,000
170,812
Match Group Holdings II LLC, 5.00%,
12/15/2027(b)
 
13,000
13,040
Meta Platforms, Inc., 4.20%, 11/15/2030
 
296,000
295,557
WarnerMedia Holdings, Inc., 4.05%,
03/15/2029
 
323,000
313,510
 
 
792,919
Internet Services & Infrastructure-0.11%
CoreWeave, Inc., 9.25%, 06/01/2030(b)(e)
 
132,000
130,116
Investment Banking & Brokerage-2.78%
Charles Schwab Corp. (The)
 
5.88% 08/24/2026
 
28,000
28,284
4.34% 11/14/2031(d)
 
184,000
183,921
Goldman Sachs Group, Inc. (The)
 
4.94% 04/23/2028(d)
 
28,000
28,307
4.99% (SOFR + 1.29%), 04/23/2028(c)
 
29,000
29,251
4.15% 01/21/2029(d)
 
373,000
373,348
4.15% 10/21/2029(d)
 
721,000
720,701
4.37% 10/21/2031(d)
 
235,400
234,110
Series O, 5.30% (d)(e)(f)
 
331,000
331,824
Morgan Stanley
 
5.65% 04/13/2028(d)
 
9,000
9,171
5.45% 07/20/2029(d)
 
8,000
8,248
4.24% 01/09/2030(d)
 
334,000
334,678
Series I, 4.13% 10/18/2029(d)
 
610,000
609,648
Series I, 4.36% 10/22/2031(d)
 
332,300
330,545
 
 
3,222,036
IT Consulting & Other Services-0.15%
International Business Machines Corp., 4.00%,
02/03/2029
 
173,000
173,175
Leisure Facilities-0.37%
Vail Resorts, Inc., 5.63%, 07/15/2030(b)
 
416,000
422,698
 
Principal
Amount
Value
Life & Health Insurance-1.24%
Athene Global Funding
 
5.62% 05/08/2026(b)
$
19,000
$19,076
4.86% 08/27/2026(b)
 
249,000
250,211
5.52% 03/25/2027(b)
 
9,000
9,136
Constellation Global Funding, 4.85%,
10/22/2030(b)
 
174,000
172,657
Corebridge Global Funding
 
5.00% (SOFR + 1.30%), 09/25/2026(b)(c)
 
11,000
11,073
4.65% 08/20/2027(b)
 
10,000
10,110
5.90% 09/19/2028(b)
 
9,000
9,401
4.56% (SOFR + 0.86%), 12/15/2028(b)(c)
 
416,000
417,981
5.20% 06/24/2029(b)
 
8,000
8,227
Equitable America Global Funding, 3.95%,
09/15/2027(b)
 
21,000
20,977
Lincoln Financial Global Funding, 4.63%,
05/28/2028(b)
 
26,000
26,276
New York Life Global Funding
 
4.15% 07/25/2028(b)
 
41,000
41,235
4.36% (SOFR + 0.66%), 07/25/2028(b)(c)
 
41,000
41,211
Pacific Life Global Funding II
 
5.50% 08/28/2026(b)
 
18,000
18,173
4.50% 08/28/2029(b)
 
20,000
20,239
Protective Life Corp., 4.70%, 01/15/2031(b)
 
65,700
65,973
Protective Life Global Funding, 4.16%,
01/15/2029(b)
 
298,000
298,108
 
 
1,440,064
Managed Health Care-0.00%
UnitedHealth Group, Inc., 4.75%,
07/15/2026
 
3,000
3,011
Marine Transportation-0.19%
NCL Corp. Ltd., 5.88%, 01/15/2031(b)
 
216,000
216,694
Multi-Family Residential REITs-0.03%
Camden Property Trust, 5.85%, 11/03/2026
 
31,000
31,400
Multi-Utilities-0.33%
Algonquin Power & Utilities Corp. (Canada),
5.37%, 06/15/2026
 
239,000
240,093
CenterPoint Energy, Inc., 5.95%,
04/01/2056(d)
 
56,000
56,449
Dominion Energy, Inc., 6.00%, 02/15/2056(d)
 
77,000
77,861
DTE Energy Co., 4.95%, 07/01/2027
 
7,000
7,090
 
 
381,493
Office REITs-0.01%
COPT Defense Properties L.P., 4.50%,
10/15/2030
 
12,000
11,981
Oil & Gas Exploration & Production-0.59%
Diamondback Energy, Inc.
 
5.20% 04/18/2027
 
8,000
8,113
5.15% 01/30/2030
 
18,000
18,514
EOG Resources, Inc., 4.40%, 07/15/2028
 
10,000
10,121
EQT Corp., 6.50%, 07/01/2027
 
413,000
421,900
Hilcorp Energy I L.P./Hilcorp Finance Co.,
5.75%, 02/01/2029(b)
 
14,000
14,011
Transocean Titan Financing Ltd., 8.38%,
02/01/2028(b)
 
202,381
207,100
 
 
679,759
Oil & Gas Storage & Transportation-2.74%
Cheniere Energy Partners L.P., 4.50%,
10/01/2029
 
524,000
526,211
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Oil & Gas Storage & Transportation-(continued)
Columbia Pipelines Holding Co. LLC, 6.06%,
08/15/2026(b)
$
5,000
$5,042
Energy Transfer L.P.
 
6.05% 12/01/2026
 
421,000
427,750
4.55% 01/15/2031
 
372,000
371,725
Series H, 6.50% (d)(f)
 
175,000
175,908
Enterprise Products Operating LLC
 
4.30% 06/20/2028
 
369,000
372,265
4.60% 01/15/2031
 
354,800
359,400
Kinder Morgan, Inc., 5.10%, 08/01/2029
 
163,000
168,065
MPLX L.P., 4.80%, 02/15/2031
 
11,000
11,123
ONEOK, Inc., 5.55%, 11/01/2026
 
6,000
6,063
Plains All American Pipeline L.P., Series B,
8.22% (3 mo. Term SOFR + 4.37%)(c)(f)
 
399,000
398,488
South Bow USA Infrastructure Holdings LLC
(Canada)
 
4.91% 09/01/2027
 
16,000
16,176
5.03% 10/01/2029
 
10,000
10,156
Southern Co. Gas Capital Corp., Series A,
4.05%, 09/15/2028
 
13,000
13,015
Western Midstream Operating L.P., 4.80%,
03/01/2031
 
295,000
295,208
Williams Cos., Inc. (The), 4.80%, 11/15/2029
 
15,000
15,316
 
 
3,171,911
Other Specialized REITs-0.52%
Iron Mountain, Inc., 4.88%, 09/15/2027(b)
 
600,000
599,941
Packaged Foods & Meats-0.07%
Campbell’s Co. (The), 5.30%, 03/20/2026
 
8,000
8,013
Mars, Inc.
 
4.45% 03/01/2027(b)
 
27,000
27,203
4.60% 03/01/2028(b)
 
31,000
31,419
4.80% 03/01/2030(b)
 
11,000
11,242
 
 
77,877
Paper & Plastic Packaging Products & Materials-0.19%
Sealed Air Corp.
 
6.13% 02/01/2028(b)
 
16,000
16,248
5.00% 04/15/2029(b)
 
200,000
201,430
 
 
217,678
Passenger Airlines-1.38%
American Airlines Pass-Through Trust,
Series B, 5.65%, 11/11/2034
 
269,000
270,908
Delta Air Lines, Inc.
 
4.95% 07/10/2028
 
415,000
422,231
5.25% 07/10/2030
 
25,000
25,610
Southwest Airlines Co., 4.38%, 11/15/2028
 
872,000
876,941
 
 
1,595,690
Passenger Ground Transportation-0.47%
Uber Technologies, Inc.
 
4.50% 08/15/2029(b)
 
524,000
522,836
4.15% 01/15/2031
 
20,400
20,229
 
 
543,065
Pharmaceuticals-2.38%
AstraZeneca Finance LLC (United Kingdom)
 
4.80% 02/26/2027
 
10,000
10,099
4.85% 02/26/2029
 
18,000
18,473
Johnson & Johnson, 4.70%, 03/01/2030
 
9,000
9,267
 
Principal
Amount
Value
Pharmaceuticals-(continued)
Merck & Co., Inc.
 
3.85% 03/15/2029
$
829,000
$828,895
4.30% (SOFR + 0.57%), 03/15/2029(c)
 
484,000
485,642
Novartis Capital Corp.
 
3.90% 11/05/2028
 
413,000
414,349
3.80% 09/18/2029
 
9,000
8,974
4.10% 11/05/2030
 
435,000
435,124
Pfizer, Inc., 3.88%, 11/15/2027
 
512,000
513,840
Zoetis, Inc., 4.15%, 08/17/2028
 
25,000
25,150
 
 
2,749,813
Real Estate Development-0.18%
Prologis Targeted U.S. Logistics Fund L.P.,
4.25%, 01/15/2031(b)
 
206,000
204,491
Regional Banks-0.01%
Santander Holdings USA, Inc., 6.12%,
05/31/2027(d)
 
10,000
10,059
Reinsurance-0.02%
RGA Global Funding, 4.35%, 08/25/2028(b)
 
19,000
19,123
Restaurants-0.01%
McDonald’s Corp., 4.40%, 02/12/2031
 
17,000
17,126
Retail REITs-0.10%
Realty Income Corp., 3.95%, 02/01/2029
 
114,000
113,667
Security & Alarm Services-0.52%
Brink’s Co. (The), 4.63%, 10/15/2027(b)
 
600,000
601,359
Self-Storage REITs-0.03%
Public Storage Operating Co., 4.40% (SOFR +
0.70%), 04/16/2027(c)
 
29,000
29,105
Semiconductors-1.64%
Broadcom, Inc.
 
5.05% 07/12/2027
 
5,000
5,090
4.60% 07/15/2030
 
31,000
31,442
4.20% 10/15/2030
 
45,000
44,880
4.30% 01/15/2031
 
427,000
426,863
Foundry JV Holdco LLC
 
5.90% 01/25/2030(b)
 
662,000
694,303
5.50% 01/25/2031(b)
 
482,000
499,478
SK hynix, Inc. (South Korea), 4.25%,
09/11/2028(b)
 
200,000
200,833
 
 
1,902,889
Soft Drinks & Non-alcoholic Beverages-0.04%
Keurig Dr Pepper, Inc., 4.37% (SOFR +
0.58%), 11/15/2026(c)
 
36,000
36,021
PepsiCo, Inc., 4.10%, 01/15/2029
 
15,000
15,110
 
 
51,131
Sovereign Debt-1.61%
Colombia Government International Bond
(Colombia)
 
5.38% 01/21/2029
 
590,000
587,788
6.13% 01/21/2031
 
238,500
238,095
Egyptian Financial Co. for Sovereign Taskeek
(The) (Egypt), 6.38%, 04/07/2029(b)
 
200,000
202,946
Kuwait International Government Bond
(Kuwait)
 
4.02% 10/09/2028(b)
 
353,000
353,262
4.14% 10/09/2030(b)
 
200,000
198,951
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Sovereign Debt-(continued)
Romanian Government International Bond
(Romania)
 
6.63% 02/17/2028(b)
$
228,000
$237,780
5.88% 01/30/2029(b)
 
44,000
45,466
 
 
1,864,288
Specialty Chemicals-0.06%
Sherwin-Williams Co. (The)
 
4.30% 08/15/2028
 
54,000
54,395
4.50% 08/15/2030
 
16,000
16,150
 
 
70,545
Steel-0.39%
Cleveland-Cliffs, Inc., 6.88%, 11/01/2029(b)
 
431,000
448,172
Systems Software-0.71%
CrowdStrike Holdings, Inc., 3.00%,
02/15/2029
 
714,000
683,679
Oracle Corp., 4.45%, 09/26/2030
 
143,700
140,323
 
 
824,002
Telecom Tower REITs-0.67%
SBA Communications Corp., 3.88%,
02/15/2027
 
781,000
775,597
Tobacco-2.40%
Altria Group, Inc., 4.88%, 02/04/2028
 
166,000
169,022
B.A.T. Capital Corp. (United Kingdom), 4.70%,
04/02/2027
 
524,000
527,800
Philip Morris International, Inc.
 
4.38% 11/01/2027
 
5,000
5,050
5.25% 09/07/2028
 
164,000
169,224
3.88% 10/27/2028
 
825,000
824,480
4.36% (SOFR + 0.66%), 10/27/2028(c)
 
872,000
875,321
4.00% 10/29/2030
 
212,000
209,793
 
 
2,780,690
Trading Companies & Distributors-0.29%
Air Lease Corp., Series B, 4.65%(d)(f)
 
204,000
203,723
Ferguson Enterprises, Inc., 4.35%,
03/15/2031
 
130,000
129,566
 
 
333,289
Transaction & Payment Processing Services-0.46%
Block, Inc., 2.75%, 06/01/2026
 
531,000
528,131
Wireless Telecommunication Services-0.15%
T-Mobile USA, Inc., 4.95%, 03/15/2028
 
166,000
169,185
Total U.S. Dollar Denominated Bonds & Notes
(Cost $79,296,002)
79,513,977
 
Asset-Backed Securities-23.45%
ALA Trust
 
Series 2025-OANA, Class A, 5.42% (1 mo.
Term SOFR + 1.74%), 06/15/2040(b)(c)
 
295,000
297,838
Series 2025-OANA, Class B, 5.52% (1 mo.
Term SOFR + 1.84%), 06/15/2040(b)(c)
 
50,000
50,455
Angel Oak Mortgage Trust
 
Series 2024-10, Class A1, 5.35%,
10/25/2069(b)
 
318,796
321,261
Series 2024-2, Class A1, 5.99%,
01/25/2069(b)
 
34,651
35,032
Series 2025-2, Class A1, 5.64%,
02/25/2070(b)
 
881,427
891,651
 
Principal
Amount
Value
 
Avis Budget Rental Car Funding (AESOP) LLC
 
Series 2022-3A, Class A, 4.62%,
02/20/2027(b)
$
16,667
$16,672
Series 2023-2A, Class A, 5.20%,
10/20/2027(b)
 
100,000
100,509
Series 2023-4A, Class A, 5.49%,
06/20/2029(b)
 
100,000
102,756
Series 2025-3A, Class A, 4.17%,
02/20/2030(b)
 
100,000
99,952
Barings CLO Ltd. (Cayman Islands),
Series 2021-2A, Class A1R, 4.74% (3 mo.
Term SOFR + 1.07%), 07/15/2034(b)(c)
 
500,000
500,431
Barings Equipment Finance LLC, Series 2025-
B, Class A3, 4.13%, 10/13/2032(b)
 
140,000
140,595
Beechwood Park CLO Ltd. (Jersey),
Series 2019-1A, Class A1RR, 4.74% (3 mo.
Term SOFR + 1.07%), 01/17/2035(b)(c)
 
300,000
300,519
BlackRock CLO L.P., Series 2025-2A, Class A,
5.05% (3 mo. Term SOFR + 1.27%),
11/21/2033(b)(c)
 
400,000
400,501
BX Trust
 
Series 2025-VLT6, Class A, 5.12% (1 mo.
Term SOFR + 1.44%), 03/15/2042(b)(c)
 
40,000
40,102
Series 2025-VLT6, Class B, 5.57% (1 mo.
Term SOFR + 1.89%), 03/15/2042(b)(c)
 
15,000
15,031
Series 2025-VLT7, Class A, 5.38% (1 mo.
Term SOFR + 1.70%), 07/15/2044(b)(c)
 
170,000
170,802
Series 2025-VOLT, Class A, 5.38% (1 mo.
Term SOFR + 1.70%), 12/15/2044(b)(c)
 
650,000
654,148
Series 2025-VOLT, Class B, 5.78% (1 mo.
Term SOFR + 2.10%), 12/15/2044(b)(c)
 
600,000
604,257
Series 2025-VOLT, Class C, 6.03% (1 mo.
Term SOFR + 2.35%), 12/15/2044(b)(c)
 
520,000
523,970
Series 2025-VOLT, Class D, 6.43% (1 mo.
Term SOFR + 2.75%), 12/15/2044(b)(c)
 
170,000
171,099
Carlyle Global Market Strategies CLO Ltd.
(Cayman Islands)
 
Series 2015-4A, Class A1R3, 4.59% (3 mo.
Term SOFR + 0.92%), 07/20/2032(b)(c)
 
121,517
121,654
Series 2015-5A, Class A1R4, 4.55% (3 mo.
Term SOFR + 0.88%), 01/20/2032(b)(c)
 
822,119
822,733
Carlyle US CLO Ltd. (Cayman Islands),
Series 2020-2A, Class A1R2, 4.75% (3 mo.
Term SOFR + 1.08%), 01/25/2035(b)(c)
 
250,000
250,266
Centersquare Issuer LLC, Series 2025-3A,
Class A2, 5.00%, 08/25/2055(b)
 
125,000
121,748
CIFC Funding Ltd. (Cayman Islands),
Series 2021-7A, Class AR, 4.76% (3 mo.
Term SOFR + 1.09%), 01/23/2035(b)(c)
 
250,000
250,155
COLT Mortgage Loan Trust
 
Series 2024-INV2, Class A1, 6.42%,
05/25/2069(b)
 
179,694
182,646
Series 2025-3, Class A1, 5.35%,
03/25/2070(b)
 
214,914
216,674
Series 2025-4, Class A1, 5.79%,
04/25/2070(b)
 
333,624
338,694
Series 2025-8, Class A1, 5.48%,
08/25/2070(b)
 
94,173
95,347
Compass Datacenters Issuer II LLC,
Series 2025-2A, Class A1, 4.93%,
11/25/2050(b)
 
953,432
950,444
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Cross Mortgage Trust
 
Series 2024-H2, Class A1, 6.09%,
04/25/2069(b)
$
78,127
$79,025
Series 2024-H8, Class A1, 5.55%,
12/25/2069(b)(g)
 
81,679
82,578
Series 2025-H5, Class A1, 5.51%,
07/25/2070(b)(g)
 
818,427
828,525
DB Master Finance LLC, Series 2025-1A,
Class A2I, 4.89%, 08/20/2055(b)
 
420,000
420,085
Domino’s Pizza Master Issuer LLC,
Series 2025-1A, Class A2I, 4.93%,
07/25/2055(b)
 
59,850
60,190
EFMT, Series 2025-NQM5, Class A1, 5.03%,
11/25/2070(b)(g)
 
408,474
410,878
Enterprise Fleet Financing LLC, Series 2025-4,
Class A3, 4.11%, 12/20/2029(b)
 
150,000
150,618
GCAT Trust
 
Series 2024-INV1, Class 2A2, 6.50%,
01/25/2054(b)(g)
 
51,571
52,873
Series 2025-NQM2, Class A1, 5.60%,
04/25/2070(b)
 
83,709
84,884
GS Mortgage-Backed Securities Corp. Trust,
Series 2025-NQM6, Class A1, 5.02%,
02/25/2066(b)
 
632,645
635,302
GS Mortgage-Backed Securities Trust
 
Series 2025-HE1, Class A1, 5.25% (30 Day
Average SOFR + 1.55%), 10/25/2055(b)(c)
 
290,467
292,270
Series 2025-HE2, Class A1, 5.25% (30 Day
Average SOFR + 1.55%), 12/25/2065(b)(c)
 
898,397
904,972
Series 2025-NQM3, Class A1, 5.14%,
11/25/2065(b)
 
83,453
83,949
Series 2025-NQM4, Class A1, 5.01%,
10/25/2065(b)
 
425,562
427,518
Series 2025-NQM5, Class A1, 5.01%,
07/25/2065(b)
 
555,858
558,504
Series 2026-NQM1, Class A1, 4.87%,
03/25/2066(b)(g)
 
305,000
305,594
Harbor Park CLO Ltd. (Cayman Islands),
Series 2018-1A, Class AR2, 4.62% (3 mo.
Term SOFR + 0.95%), 01/20/2031(b)(c)
 
455,156
455,563
IP Mortgage Trust, Series 2025-IP, Class A,
5.25%, 06/10/2042(b)(g)
 
50,000
50,941
J.P. Morgan Mortgage Trust
 
Series 2025-NQM3, Class A1, 5.50%,
11/25/2065(b)(g)
 
671,228
679,234
Series 2025-NQM4, Class A1, 4.95%,
03/25/2066(b)(g)
 
308,932
310,280
JP Morgan Mortgage Trust, Series 2024-VIS1,
Class A1, 5.99%, 07/25/2064(b)(g)
 
261,416
264,252
Juniper Valley Park CLO Ltd. (Jersey),
Series 2023-1A, Class ARR, 4.75% (3 mo.
Term SOFR + 1.08%), 07/20/2036(b)(c)
 
430,000
431,105
Merchants Fleet Funding LLC, Series 2025-
1A, Class A, 4.49%, 01/20/2039(b)
 
190,000
191,383
Metronet Infrastructure Issuer LLC,
Series 2025-4A, Class A2, 5.16%,
12/20/2055(b)
 
300,000
303,146
MILE Trust
 
Series 2025-STNE, Class A, 5.18% (1 mo.
Term SOFR + 1.50%), 07/15/2042(b)(c)
 
100,000
100,271
 
Principal
Amount
Value
 
Series 2025-STNE, Class B, 5.38% (1 mo.
Term SOFR + 1.70%), 07/15/2042(b)(c)
$
100,000
$100,290
Series 2025-STNE, Class C, 5.78% (1 mo.
Term SOFR + 2.10%), 07/15/2042(b)(c)
 
100,000
100,327
Morgan Stanley Bank of America Merrill Lynch
Trust, Series 2025-5C2, Class B, 5.69%,
11/15/2058(g)
 
653,000
667,664
Morgan Stanley Residential Mortgage Loan
Trust
 
Series 2025-NQM1, Class A1, 5.74%,
11/25/2069(b)(g)
 
81,483
82,621
Series 2025-NQM8, Class A1, 4.96%,
09/25/2070(b)(g)
 
459,288
461,488
Neuberger Berman Loan Advisers CLO 47 Ltd.
(Cayman Islands), Series 2022-47A,
Class AR, 4.76% (3 mo. Term SOFR +
1.09%), 04/16/2035(b)(c)
 
250,000
250,433
New Residential Mortgage Loan Trust,
Series 2025-NQM2, Class A1, 5.57%,
04/25/2065(b)
 
422,154
428,404
NextGear Floorplan Master Owner Trust,
Series 2025-2A, Class A2, 4.23%,
10/15/2030(b)
 
110,000
110,504
OBX Trust, Series 2023-NQM1, Class A1,
6.12%, 11/25/2062(b)(g)
 
61,091
61,405
One Bryant Park Trust, Series 2019-OBP,
Class A, 2.52%, 09/15/2054(b)
 
300,000
279,731
Palmer Square Loan Funding Ltd. (Cayman
Islands), Series 2025-3A, Class A1, 4.66%
(3 mo. Term SOFR + 0.95%),
01/15/2034(b)(c)
 
750,000
750,251
Planet Fitness Master Issuer LLC,
Series 2025-1A, Class A2I, 5.27%,
12/06/2055(b)
 
100,000
100,907
PRKCM Trust, Series 2023-AFC4, Class A1,
7.23%, 11/25/2058(b)
 
55,541
56,300
Provident Funding Mortgage Trust,
Series 2025-4, Class A1, 6.00%,
09/25/2055(b)(g)
 
95,299
96,911
Qdoba Funding LLC, Series 2023-1A,
Class A2, 8.50%, 09/14/2053(b)
 
28,928
30,203
RCKT Mortgage Trust, Series 2026-CES1,
Class A1A, 4.83%, 01/25/2056(b)
 
150,000
150,151
RR 16 Ltd. (Cayman Islands), Series 2021-
16A, Class A1R, 4.72% (3 mo. Term SOFR
+ 1.05%), 07/15/2036(b)(c)
 
350,000
350,224
RR 17 Ltd. (Cayman Islands), Series 2021-
17A, Class A1AR, 4.74% (3 mo. Term
SOFR + 1.07%), 07/15/2034(b)(c)
 
250,000
250,194
Sequoia Mortgage Trust, Series 2025-10,
Class A1, 5.50%, 11/25/2055(b)(g)
 
277,062
278,817
SHRN Trust
 
Series 2025-MF18, Class A, 4.88% (1 mo.
Term SOFR + 1.20%), 10/15/2040(b)(c)
 
250,000
250,618
Series 2025-MF18, Class B, 5.13% (1 mo.
Term SOFR + 1.45%), 10/15/2040(b)(c)
 
160,000
160,583
Series 2025-MF18, Class C, 5.38% (1 mo.
Term SOFR + 1.70%), 10/15/2040(b)(c)
 
360,000
361,730
Sonic Capital LLC, Series 2020-1A, Class A2I,
3.85%, 01/20/2050(b)
 
496,563
492,202
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Subway Funding LLC
 
Series 2024-1A, Class A2I, 6.03%,
07/30/2054(b)
$
36,538
$37,049
Series 2024-3A, Class A2I, 5.25%,
07/30/2054(b)
 
24,688
24,601
Switch ABS Issuer LLC, Series 2025-2A,
Class A21, 5.12%, 10/25/2055(b)
 
570,000
569,121
Synchrony Card Funding LLC, Series 2024-
A2, Class A, 4.93%, 07/15/2030
 
10,000
10,155
Taco Bell Funding LLC, Series 2025-1A,
Class A2I, 4.82%, 08/25/2055(b)
 
170,000
169,533
Thayer Park, CLO Ltd., Series 2017-1A,
Class A1RR, 4.67% (3 mo. Term SOFR +
1.00%), 04/20/2034(b)(c)
 
570,000
571,026
TierPoint Issuer LLC, Series 2025-1A,
Class A2, 6.15%, 04/26/2055(b)
 
25,000
25,385
UBS Commercial Mortgage Trust,
Series 2017-C6, Class AS, 3.93%,
12/15/2050(g)
 
50,000
48,264
Vantage Data Centers Issuer LLC,
Series 2025-2A, Class A2, 5.24%,
11/15/2055(b)
 
350,000
347,971
VDCM Commercial Mortgage Trust
 
Series 2025-AZ, Class A, 5.23%,
07/13/2044(b)(g)
 
110,000
111,237
Series 2025-AZ, Class B, 5.48%,
07/13/2044(b)(g)
 
105,000
106,318
Series 2025-AZ, Class C, 6.03%,
07/13/2044(b)(g)
 
200,000
203,711
Series 2025-AZ, Class D, 6.43%,
07/13/2044(b)(g)
 
235,000
240,288
Verus Securitization Trust, Series 2021-R3,
Class A1, 1.02%, 04/25/2064(b)(g)
 
46,492
44,673
Voya CLO Ltd. (Cayman Islands),
Series 2021-1A, Class AR, 4.67% (3 mo.
Term SOFR + 1.00%), 07/15/2034(b)(c)
 
455,000
455,171
WEST Trust, Series 2025-ROSE, Class A,
5.28%, 04/10/2035(b)(g)
 
50,000
50,806
Whetstone Park CLO Ltd., Series 2021-1A,
Class A1R, 4.74% (3 mo. Term SOFR +
1.07%), 01/20/2035(b)(c)
 
1,000,000
1,001,868
Zayo Issuer LLC, Series 2025-2A, Class A2,
5.95%, 06/20/2055(b)
 
300,000
308,463
Total Asset-Backed Securities
(Cost $27,059,375)
27,149,480
U.S. Treasury Securities-4.11%
U.S. Treasury Bills-1.50%(h)
3.80%, 03/26/2026
 
1,060,000
1,054,455
3.53%–3.77%, 05/14/2026(i)
 
688,000
681,137
 
 
1,735,592
U.S. Treasury Notes-2.61%
3.38%, 12/31/2027
 
1,191,600
1,188,202
3.50%, 01/15/2029
 
342,100
341,124
3.63%, 12/31/2030
 
1,501,800
1,490,185
 
 
3,019,511
Total U.S. Treasury Securities
(Cost $4,752,596)
4,755,103
 
Principal
Amount
Value
 
Agency Credit Risk Transfer Notes-0.20%
Fannie Mae Connecticut Avenue Securities
 
Series 2023-R02, Class 1M1, 6.00%
(30 Day Average SOFR + 2.30%),
01/25/2043(b)(c)(j)
$
17,030
$17,403
Series 2025-R04, Class 1A1, 4.70%
(30 Day Average SOFR + 1.00%),
05/25/2045(b)(c)(j)
 
15,590
15,612
Freddie Mac
 
Series 2023-DNA1, Class M1, STACR®,
5.80% (30 Day Average SOFR + 2.10%),
03/25/2043(b)(c)(k)
 
24,420
24,720
Series 2025-DNA4, Class A1, STACR®,
4.60% (30 Day Average SOFR + 0.90%),
10/25/2045(b)(c)(k)
 
168,625
168,774
Total Agency Credit Risk Transfer Notes
(Cost $225,665)
226,509
 
Shares
 
Preferred Stocks-0.02%
Diversified Financial Services-0.02%
Apollo Global Management, Inc., Pfd., 7.63%,
09/15/2053(d)
(Cost $27,500)
 
1,100
28,996
Money Market Funds-2.78%
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(l)(m)
(Cost $3,215,269)
 
3,215,269
3,215,269
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-99.25%
(Cost $114,576,407)
114,889,334
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-0.62%
Invesco Private Government Fund,
3.65%(l)(m)(n)
 
200,242
200,242
Invesco Private Prime Fund, 3.80%(l)(m)(n)
 
520,672
520,828
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $721,070)
721,070
TOTAL INVESTMENTS IN SECURITIES-99.87%
(Cost $115,297,477)
115,610,404
OTHER ASSETS LESS LIABILITIES-0.13%
154,252
NET ASSETS-100.00%
$115,764,656
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
Conv.
-Convertible
Pfd.
-Preferred
REIT
-Real Estate Investment Trust
SOFR
-Secured Overnight Financing Rate
STACR®
-Structured Agency Credit Risk
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(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 $54,931,035, which represented 47.45% of the Fund’s Net Assets.
(c)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on January 31, 2026.
(d)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(e)
All or a portion of this security was out on loan at January 31, 2026.
(f)
Perpetual bond with no specified maturity date.
(g)
Interest rate is redetermined periodically based on the cash flows generated by the pool of assets backing the security, less any applicable fees. The rate shown
is the rate in effect on January 31, 2026.
(h)
Security traded on a discount basis. The interest rate shown represents the discount rate at the time of purchase by the Fund.
(i)
All or a portion of the value was pledged as collateral to cover margin requirements for open futures contracts.
(j)
CAS notes are bonds issued by Fannie Mae. The amount of periodic principal and ultimate principal paid by Fannie Mae is determined by the performance of a
large and diverse reference pool.
(k)
Principal payments are determined by the delinquency and principal payment experience on the STACR® reference pool. Freddie Mac transfers credit risk from
the mortgages in the reference pool to credit investors who invest in the STACR® debt notes.
(l)
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 Premier
U.S. Government Money
Portfolio, Institutional
Class
$4,436,367
$27,374,241
$(28,595,339
)
$-
$-
$3,215,269
$10,245
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
255,436
3,374,146
(3,429,340
)
-
-
200,242
2,741
*
Invesco Private Prime
Fund
665,608
6,508,188
(6,652,967
)
8
(9
)
520,828
7,907
*
Total
$5,357,411
$37,256,575
$(38,677,646
)
$8
$(9
)
$3,936,339
$20,893
*
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.
(m)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(n)
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.
Open Futures Contracts
Long Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
Interest Rate Risk
 
U.S. Treasury 2 Year Notes
330
March-2026
$68,802,422
$(60,091
)
$(60,091
)
See accompanying notes which are an integral part of this schedule.

Invesco Short Duration Total Return Bond ETF (GTOS)—(continued)
January 31, 2026
(Unaudited)
Open Futures Contracts—(continued)
Short Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
Interest Rate Risk
 
U.S. Treasury 5 Year Notes
243
March-2026
$(26,469,914
)
$77,941
$77,941
U.S. Treasury 10 Year Notes
46
March-2026
(5,144,094
)
32,357
32,357
U.S. Treasury Long Bonds
3
March-2026
(345,375
)
3,182
3,182
U.S. Treasury Ultra Bonds
1
March-2026
(117,438
)
2,029
2,029
Subtotal—Short Futures Contracts
 
115,509
115,509
Total Futures Contracts
$55,418
$55,418
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(a)
Invesco SteelPath MLP & Energy Infrastructure ETF (PIPE)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-72.66%
Gas Utilities-1.82%
AltaGas Ltd. (Canada)
 
32,697
$991,667
Oil & Gas Equipment & Services-5.56%
Archrock, Inc.
 
37,765
1,117,467
Kodiak Gas Services, Inc.
 
45,587
1,915,110
 
 
3,032,577
Oil & Gas Refining & Marketing-2.85%
Sunococorp LLC(b)
 
29,000
1,554,980
Oil & Gas Storage & Transportation-62.43%
Antero Midstream Corp.
 
93,463
1,758,974
Cheniere Energy, Inc.
 
11,168
2,362,255
DT Midstream, Inc.
 
10,343
1,303,425
Enbridge, Inc. (Canada)
 
51,684
2,524,246
Gibson Energy, Inc. (Canada)
 
31,842
630,421
Hess Midstream L.P., Class A
 
25,762
913,778
Keyera Corp. (Canada)(c)
 
71,947
2,449,859
Kinder Morgan, Inc.
 
88,633
2,702,420
Kinetik Holdings, Inc., Class A(c)
 
34,605
1,415,690
ONEOK, Inc.
 
34,189
2,707,427
Pembina Pipeline Corp. (Canada)(c)
 
63,269
2,630,725
South Bow Corp. (Canada)(c)
 
65,925
1,872,270
Targa Resources Corp.
 
18,760
3,770,385
TC Energy Corp. (Canada)
 
56,775
3,330,989
Williams Cos., Inc. (The)
 
54,660
3,676,432
 
 
34,049,296
Total Common Stocks & Other Equity Interests
(Cost $36,607,739)
39,628,520
Master Limited Partnerships &
Related Entities-26.00%
 
 
 
Oil & Gas Storage & Transportation-26.00%
 
 
 
Energy Transfer L.P.
 
140,931
2,600,177
Enterprise Products Partners L.P.
 
70,487
2,339,463
 
Shares
Value
Oil & Gas Storage & Transportation-
(continued)
 
 
 
Genesis Energy L.P.
 
126,829
$2,106,630
MPLX L.P.
 
43,474
2,430,197
Plains GP Holdings L.P., Class A
 
152,457
3,122,319
Western Midstream Partners L.P.
 
38,174
1,582,694
 
 
14,181,480
Total Master Limited Partnerships & Related Entities
(Cost $13,015,687)
14,181,480
Money Market Funds-1.08%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(d)(e)
(Cost $586,920)
 
586,920
586,920
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral from
securities on loan)-99.74%
(Cost $50,210,346)
54,396,920
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-9.81%
Invesco Private Government Fund,
3.65%(d)(e)(f)
 
1,485,800
1,485,800
Invesco Private Prime Fund, 3.80%(d)(e)(f)
 
3,861,231
3,862,389
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $5,348,189)
5,348,189
TOTAL INVESTMENTS IN SECURITIES-109.55%
(Cost $55,558,535)
59,745,109
OTHER ASSETS LESS LIABILITIES-(9.55)%
(5,207,268
)
NET ASSETS-100.00%
$54,537,841
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(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
$606,735
$680,613
$(700,428
)
$-
$-
$586,920
$7,109
See accompanying notes which are an integral part of this schedule.

Invesco SteelPath MLP & Energy Infrastructure ETF (PIPE)—(continued)
January 31, 2026
(Unaudited)
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Investments Purchased
with Cash Collateral from
Securities on Loan:
Invesco Private
Government Fund
$430,356
$10,139,335
$(9,083,891
)
$-
$-
$1,485,800
$12,761
*
Invesco Private Prime
Fund
1,120,268
20,093,342
(17,351,221
)
14
(14
)
3,862,389
37,331
*
Total
$2,157,359
$30,913,290
$(27,135,540
)
$14
$(14
)
$5,935,109
$57,201
*
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.

Schedule of Investments(a)
Invesco Top QQQ ETF (QBIG)
January 31, 2026
(Unaudited)
 
Shares
Value
Common Stocks & Other Equity Interests-50.12%
Automobiles-5.39%
Tesla, Inc.(b)
 
5,479
$2,358,216
Broadline Retail-5.96%
Amazon.com, Inc.(b)
 
10,889
2,605,738
Interactive Media & Services-8.85%
Alphabet, Inc., Class A
 
5,926
2,002,988
Alphabet, Inc., Class C
 
5,507
1,864,285
 
 
3,867,273
Semiconductors & Semiconductor Equipment-15.50%
Broadcom, Inc.
 
6,175
2,045,777
NVIDIA Corp.
 
24,752
4,730,850
 
 
6,776,627
Software-6.53%
Microsoft Corp.
 
6,639
2,856,695
 
Shares
Value
Technology Hardware, Storage & Peripherals-7.89%
Apple, Inc.
 
13,298
$3,450,565
Total Common Stocks & Other Equity Interests
(Cost $19,148,886)
21,915,114
 
Money Market Funds-41.11%
 
 
 
Invesco Premier U.S. Government Money
Portfolio, Institutional Class, 3.60%(c)(d)
(Cost $17,979,399)
 
17,979,399
17,979,399
TOTAL INVESTMENTS IN SECURITIES-91.23%
(Cost $37,128,285)
39,894,513
OTHER ASSETS LESS LIABILITIES-8.77%
3,832,990
NET ASSETS-100.00%
$43,727,503
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Non-income producing security.
(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
Value
January 31, 2026
Dividend Income
Investments in Affiliated
Money Market Funds:
Invesco Premier
U.S. Government Money
Portfolio, Institutional Class
$15,759,350
$2,289,736
$(69,687
)
$-
$-
$17,979,399
$159,492
(d)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
Open Over-The-Counter Total Return Swap Agreements
Counterparty
Pay/
Receive(a)
Reference Entity
Rate
Payment
Frequency
Maturity Date
Notional
Value(b)
Upfront
Payments
Paid
(Received)
Value
Unrealized
Appreciation
(Depreciation)
Equity Risk
 
 
 
 
Bank of America, N.A.
Receive
Bank of America
NDXMEGA2T Index
(SOFR +
0.73%)
Annually
March-2026
$
5,094,361
$-
$1,294,981
$1,294,981
Goldman Sachs
International
Receive
Goldman Sachs
NDXMEGA2T Index
(SOFR +
0.82%)
Annually
March-2026
 
5,095,312
-
1,288,722
1,288,722
Morgan Stanley Capital
Services LLC
Receive
Morgan Stanley
NDXMEGA2T Index
(SOFR +
0.88%)
Annually
March-2026
 
5,096,323
-
1,289,889
1,289,889
Subtotal — Appreciation
 
 
3,873,592
3,873,592
Equity Risk
 
 
 
 
Societe Generale
Receive
Societe Generale
NDXMEGA2T Index
(SOFR +
0.77%)
Annually
January-2027
 
2,000,581
-
(79,769
)
(79,769
)
Subtotal — Depreciation
 
 
(79,769
)
(79,769
)
Total Over-The-Counter Total Return Swap Agreements
 
 
$
$3,793,823
$3,793,823
Abbreviations:
SOFR
-Secured Overnight Financing Rate
(a)
The Fund receives or pays payments based on any positive or negative return on the Reference Entity, respectively.
(b)
Notional Value is denominated in U.S. Dollars unless otherwise noted.
See accompanying notes which are an integral part of this schedule.

Invesco Top QQQ ETF (QBIG)—(continued)
January 31, 2026
(Unaudited)
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(a)
Invesco Total Return Bond ETF (GTO)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-39.54%
Advertising-0.10%
Lamar Media Corp., 5.38%,
11/01/2033(b)
$
2,009,000
$2,006,239
Aerospace & Defense-0.54%
BAE Systems PLC (United Kingdom)
 
5.00% 03/26/2027(b)
 
502,000
507,994
5.13% 03/26/2029(b)
 
462,000
475,924
Boeing Co. (The)
 
6.26% 05/01/2027
 
6,000
6,155
6.30% 05/01/2029
 
8,000
8,500
6.39% 05/01/2031
 
8,000
8,683
6.53% 05/01/2034
 
48,000
53,116
5.81% 05/01/2050
 
13,000
12,849
General Dynamics Corp., 4.95%,
08/15/2035
 
67,000
68,185
Howmet Aerospace, Inc.
 
4.85% 10/15/2031
 
11,000
11,296
4.55% 11/15/2032
 
1,777,000
1,786,083
Huntington Ingalls Industries, Inc.
 
5.35% 01/15/2030
 
16,000
16,554
5.75% 01/15/2035
 
27,000
28,503
L3Harris Technologies, Inc., 5.40%,
07/31/2033
 
3,000
3,125
Lockheed Martin Corp.
 
4.15% 08/15/2028
 
85,000
85,703
4.50% 02/15/2029
 
9,000
9,159
4.40% 08/15/2030
 
408,000
412,321
4.80% 08/15/2034
 
23,000
23,272
5.90% 11/15/2063
 
1,000
1,037
RTX Corp.
 
5.75% 01/15/2029
 
8,000
8,385
5.15% 02/27/2033
 
3,000
3,104
6.40% 03/15/2054
 
3,000
3,307
Textron, Inc., 4.95%, 03/15/2036
 
670,000
664,530
TransDigm, Inc.
 
6.75% 08/15/2028(b)
 
183,000
186,308
6.38% 03/01/2029(b)
 
3,446,000
3,547,915
6.38% 05/31/2033(b)
 
2,625,000
2,674,119
6.25% 01/31/2034(b)(c)
 
409,000
422,883
 
 
11,029,010
Agricultural & Farm Machinery-0.06%
AGCO Corp.
 
5.45% 03/21/2027
 
6,000
6,081
5.80% 03/21/2034
 
9,000
9,412
CNH Industrial Capital LLC, 4.75%,
03/21/2028
 
56,000
56,668
Imperial Brands Finance PLC (United
Kingdom), 6.38%, 07/01/2055(b)
 
509,000
525,363
John Deere Capital Corp.
 
4.70% 06/10/2030
 
10,000
10,253
4.38% 10/15/2030
 
622,000
628,958
5.10% 04/11/2034
 
25,000
25,766
 
 
1,262,501
Agricultural Products & Services-0.17%
Cargill, Inc.
 
4.13% 10/23/2030(b)
 
1,604,000
1,596,324
5.38% 10/23/2055(b)
 
1,904,407
1,829,862
 
 
3,426,186
 
Principal
Amount
Value
Air Freight & Logistics-0.02%
GXO Logistics, Inc.
 
6.25% 05/06/2029
$
21,000
$22,166
6.50% 05/06/2034
 
9,000
9,697
United Parcel Service, Inc.
 
4.65% 10/15/2030
 
130,000
133,179
5.15% 05/22/2034
 
13,000
13,489
5.25% 05/14/2035(c)
 
106,000
109,851
5.50% 05/22/2054
 
28,000
27,294
 
 
315,676
Apparel Retail-0.02%
Gap, Inc. (The), 3.63%,
10/01/2029(b)
 
466,000
443,680
Apparel, Accessories & Luxury Goods-0.06%
Gildan Activewear, Inc. (Canada)
 
4.70% 10/07/2030(b)
 
655,000
653,227
5.40% 10/07/2035(b)
 
506,000
505,626
 
 
1,158,853
Application Software-0.05%
Roper Technologies, Inc.
 
4.25% 09/15/2028
 
119,000
119,700
4.50% 10/15/2029
 
25,000
25,259
4.45% 09/15/2030
 
262,950
263,650
4.75% 02/15/2032
 
31,000
31,199
4.90% 10/15/2034
 
23,000
22,847
5.10% 09/15/2035(c)
 
372,720
372,311
SS&C Technologies, Inc.
 
5.50% 09/30/2027(b)
 
182,000
181,949
6.50% 06/01/2032(b)
 
38,000
39,263
 
 
1,056,178
Asset Management & Custody Banks-0.24%
Affiliated Managers Group, Inc.,
5.50%, 08/20/2034
 
54,000
55,220
Ameriprise Financial, Inc.
 
5.70% 12/15/2028
 
7,000
7,332
5.15% 05/15/2033
 
2,000
2,072
5.20% 04/15/2035
 
122,000
124,200
Ares Strategic Income Fund, 5.55%,
04/15/2031(b)(c)
 
1,472,000
1,455,935
Bank of New York Mellon Corp. (The)
 
4.40% (SOFR + 0.68%),
06/09/2028(d)
 
431,000
432,397
4.89% 07/21/2028(e)
 
32,000
32,495
4.98% 03/14/2030(e)
 
4,000
4,113
5.06% 07/22/2032(e)
 
16,000
16,548
5.83% 10/25/2033(e)
 
1,000
1,074
5.19% 03/14/2035(e)
 
1,000
1,029
Series I, 3.75% (e)(f)
 
5,000
4,928
Series J, 4.97% 04/26/2034(e)
 
1,000
1,017
Blackstone Secured Lending Fund,
2.13%, 02/15/2027
 
274,000
267,579
Brookfield Asset Management Ltd.
(Canada)
 
5.80% 04/24/2035
 
157,000
163,604
6.08% 09/15/2055
 
249,000
256,355
Carlyle Group, Inc. (The), 5.05%,
09/19/2035(c)
 
471,000
463,763
Citadel L.P.
 
6.00% 01/23/2030(b)
 
11,000
11,484
6.38% 01/23/2032(b)
 
22,000
23,353
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Asset Management & Custody Banks-(continued)
Northern Trust Corp.
 
4.15% 11/19/2030
$
565,000
$565,433
6.13% 11/02/2032
 
2,000
2,175
5.12% 11/19/2040(e)
 
757,000
753,528
State Street Corp., 4.78%,
10/23/2036(e)
 
402,000
397,313
 
 
5,042,947
Automobile Manufacturers-0.69%
American Honda Finance Corp.,
4.90%, 01/10/2034
 
13,000
13,052
Daimler Truck Finance North
America LLC (Germany)
 
5.00% 01/15/2027(b)(c)
 
440,000
445,006
4.65% 10/12/2030(b)
 
92,000
92,717
5.00% 10/12/2032(b)
 
1,419,000
1,437,937
5.38% 01/18/2034(b)
 
402,000
410,900
5.63% 01/13/2035(b)
 
213,000
220,894
Ford Motor Credit Co. LLC
 
6.95% 06/10/2026
 
584,000
588,525
2.70% 08/10/2026
 
594,000
589,305
7.35% 11/04/2027
 
480,000
501,484
5.92% 03/20/2028
 
449,000
460,382
6.80% 05/12/2028
 
485,000
507,613
6.80% 11/07/2028
 
598,000
630,011
7.20% 06/10/2030
 
471,000
506,819
Honda Motor Co. Ltd. (Japan)
 
4.44% 07/08/2028
 
471,000
475,605
5.34% 07/08/2035(c)
 
475,000
484,914
Hyundai Capital America
 
5.65% 06/26/2026(b)
 
6,000
6,041
4.88% 06/23/2027(b)(c)
 
479,000
484,281
5.00% 01/07/2028(b)
 
199,000
202,237
5.60% 03/30/2028(b)
 
3,000
3,086
5.35% 03/19/2029(b)
 
7,000
7,216
5.30% 01/08/2030(b)
 
84,000
86,610
5.80% 04/01/2030(b)
 
3,000
3,144
Hyundai Capital Services, Inc. (South
Korea), 5.25%, 01/22/2028(b)(c)
 
2,198,000
2,241,155
Mercedes-Benz Finance North
America LLC (Germany)
 
4.80% 01/11/2027(b)(c)
 
443,000
447,229
5.10% 08/03/2028(b)(c)
 
469,000
480,825
4.85% 01/11/2029(b)(c)
 
382,000
389,435
PACCAR Financial Corp., 4.00%,
09/26/2029
 
66,000
66,214
Toyota Motor Credit Corp.
 
4.55% 08/09/2029
 
18,000
18,318
5.10% 03/21/2031
 
22,000
22,841
Volkswagen Group of America
Finance LLC (Germany)
 
4.90% 08/14/2026(b)(c)
 
614,000
616,820
5.25% 03/22/2029(b)(c)
 
596,000
609,984
4.95% 08/15/2029(b)
 
474,000
481,524
5.60% 03/22/2034(b)
 
603,000
619,811
 
 
14,151,935
Automotive Parts & Equipment-0.29%
American Axle & Manufacturing, Inc.
 
6.38% 10/15/2032(b)
 
569,000
580,815
7.75% 10/15/2033(b)
 
211,000
217,175
 
Principal
Amount
Value
Automotive Parts & Equipment-(continued)
BMW US Capital LLC (Germany),
4.50%, 08/11/2030(b)
$
143,000
$143,631
Clarios Global L.P./Clarios US Finance
Co., 6.75%, 02/15/2030(b)
 
361,000
377,847
ERAC USA Finance LLC
 
5.00% 02/15/2029(b)
 
9,000
9,233
4.90% 05/01/2033(b)
 
3,000
3,041
Phinia, Inc., 6.75%, 04/15/2029(b)
 
806,000
834,192
ZF North America Capital, Inc.
(Germany)
 
6.88% 04/14/2028(b)(c)
 
730,000
754,159
7.13% 04/14/2030(b)
 
296,000
303,184
6.75% 04/23/2030(b)
 
26,000
26,087
7.50% 03/24/2031(b)
 
2,279,000
2,337,295
6.88% 04/23/2032(b)(c)
 
312,000
311,313
 
 
5,897,972
Automotive Retail-0.19%
Advance Auto Parts, Inc.
 
7.00% 08/01/2030(b)(c)
 
595,000
605,484
7.38% 08/01/2033(b)(c)
 
640,000
650,000
AutoZone, Inc., 5.20%, 08/01/2033
 
3,000
3,075
Lithia Motors, Inc., 5.50%,
10/01/2030(b)
 
2,683,000
2,696,462
O’Reilly Automotive, Inc., 5.00%,
08/19/2034
 
33,000
33,205
 
 
3,988,226
Biotechnology-0.00%
AbbVie, Inc.
 
4.80% 03/15/2029
 
31,000
31,763
5.05% 03/15/2034
 
15,000
15,381
5.40% 03/15/2054
 
15,000
14,559
5.50% 03/15/2064
 
11,000
10,661
Amgen, Inc.
 
5.15% 03/02/2028
 
2,000
2,048
5.25% 03/02/2030
 
3,000
3,113
Gilead Sciences, Inc.
 
5.25% 10/15/2033
 
4,000
4,192
5.55% 10/15/2053
 
3,000
2,983
 
 
84,700
Broadcasting-0.01%
Paramount Global
 
5.85% 09/01/2043
 
25,000
20,164
4.95% 05/19/2050
 
25,000
17,549
Univision Communications, Inc.,
9.38%, 08/01/2032(b)
 
140,000
150,798
 
 
188,511
Broadline Retail-0.12%
eBay, Inc., 4.25%, 03/06/2029
 
828,000
831,556
El Puerto de Liverpool S.A.B. de C.V.
(Mexico), 6.66%, 01/22/2037(b)
 
507,000
545,756
MercadoLibre, Inc. (Brazil), 4.90%,
01/15/2033
 
1,034,000
1,024,952
 
 
2,402,264
Building Products-0.12%
Carrier Global Corp., 5.90%,
03/15/2034
 
3,000
3,211
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Building Products-(continued)
CRH America Finance, Inc.
 
4.40% 02/09/2031
$
972,000
$972,902
5.00% 02/09/2036
 
905,000
904,519
5.60% 02/09/2056(c)
 
285,000
280,553
HP Communities LLC
 
5.78% 03/15/2046(b)
 
150,000
143,136
5.86% 09/15/2053(b)
 
100,000
88,435
Lennox International, Inc., 5.50%,
09/15/2028
 
6,000
6,195
 
 
2,398,951
Cable & Satellite-0.05%
CCO Holdings LLC/CCO Holdings
Capital Corp.
 
6.38% 09/01/2029(b)
 
126,000
127,281
7.38% 03/01/2031(b)
 
17,000
17,499
Charter Communications
Operating LLC/Charter
Communications Operating Capital
Corp.
 
6.65% 02/01/2034
 
6,000
6,321
5.85% 12/01/2035(c)
 
285,000
283,769
6.70% 12/01/2055(c)
 
284,000
274,454
Comcast Corp.
 
5.50% 11/15/2032
 
3,000
3,158
6.05% 05/15/2055(c)
 
218,000
216,122
Cox Communications, Inc., 5.70%,
06/15/2033(b)
 
2,000
2,019
 
 
930,623
Cargo Ground Transportation-0.42%
Fedex Freight Holding Co., Inc.
 
4.30% 03/15/2029(b)
 
1,194,000
1,195,566
4.65% 03/15/2031(b)
 
2,603,600
2,602,769
4.95% 03/15/2033(b)
 
561,000
559,604
5.25% 03/15/2036(b)
 
1,925,000
1,908,128
Penske Truck Leasing Co. L.P./PTL
Finance Corp.
 
5.75% 05/24/2026(b)
 
2,000
2,008
5.35% 01/12/2027(b)
 
6,000
6,070
5.70% 02/01/2028(b)
 
3,000
3,085
5.55% 05/01/2028(b)
 
2,000
2,056
6.05% 08/01/2028(b)
 
4,000
4,170
5.25% 02/01/2030(b)
 
166,000
171,071
4.55% 01/15/2031(b)
 
986,000
984,307
Ryder System, Inc.
 
4.90% 12/01/2029
 
63,000
64,465
4.30% 12/01/2030
 
1,067,000
1,062,297
 
 
8,565,596
Commercial & Residential Mortgage Finance-0.12%
Aviation Capital Group LLC
 
6.25% 04/15/2028(b)
 
3,000
3,117
6.75% 10/25/2028(b)
 
7,000
7,422
4.25% 04/30/2029(b)(c)
 
478,000
476,389
4.80% 10/24/2030(b)
 
670,000
671,918
Nationwide Building Society (United
Kingdom), 6.56%,
10/18/2027(b)(c)(e)
 
434,000
441,526
Radian Group, Inc., 6.20%,
05/15/2029
 
9,000
9,454
 
Principal
Amount
Value
Commercial & Residential Mortgage Finance-(continued)
Rocket Cos., Inc.
 
6.13% 08/01/2030(b)
$
229,000
$234,588
6.38% 08/01/2033(b)
 
679,000
705,285
 
 
2,549,699
Computer & Electronics Retail-0.01%
Dell International LLC/EMC Corp.,
5.50%, 04/01/2035(c)
 
254,000
260,837
Leidos, Inc., 5.75%, 03/15/2033
 
3,000
3,167
 
 
264,004
Construction Machinery & Heavy Transportation Equipment-0.13%
Caterpillar, Inc., 5.20%, 05/15/2035
 
170,000
176,048
Cummins, Inc.
 
4.70% 02/15/2031
 
420,000
428,868
5.30% 05/09/2035
 
204,000
210,868
Komatsu Finance America, Inc.,
4.20%, 09/18/2030(b)
 
1,156,000
1,149,855
Westinghouse Air Brake Technologies
Corp.
 
4.90% 05/29/2030
 
258,000
263,729
5.50% 05/29/2035
 
411,000
426,945
 
 
2,656,313
Construction Materials-0.01%
JH North America Holdings, Inc.
 
5.88% 01/31/2031(b)
 
181,000
184,200
6.13% 07/31/2032(b)
 
103,000
105,023
 
 
289,223
Consumer Electronics-0.18%
LG Electronics, Inc. (South Korea),
5.63%, 04/24/2029(b)(c)
 
554,000
576,051
Sensata Technologies B.V., 4.00%,
04/15/2029(b)
 
142,000
139,118
Tyco Electronics Group S.A.
(Switzerland)
 
4.50% 02/09/2031
 
1,074,000
1,084,282
4.88% 02/09/2036
 
1,885,000
1,877,218
 
 
3,676,669
Consumer Finance-0.78%
American Express Co.
 
5.65% 04/23/2027(e)
 
23,000
23,085
4.73% 04/25/2029(e)
 
137,000
139,079
4.96% (SOFR + 1.26%),
04/25/2029(d)
 
425,000
430,530
4.35% 07/20/2029(e)
 
834,000
839,284
4.51% (SOFR + 0.81%),
07/20/2029(d)
 
1,241,000
1,245,563
5.53% 04/25/2030(e)
 
21,000
21,871
5.02% 04/25/2031(e)
 
227,000
233,056
4.92% 07/20/2033(e)
 
569,000
576,575
5.44% 01/30/2036(e)
 
2,000
2,065
5.67% 04/25/2036(e)
 
2,000
2,096
4.80% 10/24/2036(e)
 
2,293,000
2,248,654
Capital One Financial Corp.
 
7.15% 10/29/2027(e)
 
2,000
2,043
4.49% 09/11/2031(e)
 
622,200
618,257
4.72% 01/30/2032(e)
 
2,155,000
2,156,117
5.20% 09/11/2036(c)(e)
 
356,000
351,184
5.40% 01/30/2037(e)
 
3,317,000
3,312,210
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Consumer Finance-(continued)
FirstCash, Inc.
 
4.63% 09/01/2028(b)
$
806,000
$800,568
6.88% 03/01/2032(b)
 
549,000
571,373
General Motors Financial Co., Inc.,
5.40%, 04/06/2026
 
3,000
3,008
OneMain Finance Corp.
 
7.13% 09/15/2032(c)
 
587,000
608,632
6.50% 03/15/2033
 
1,835,000
1,845,898
Synchrony Financial, 5.02%,
07/29/2029(e)
 
91,000
92,085
 
 
16,123,233
Consumer Staples Merchandise Retail-0.00%
Dollar General Corp., 5.50%,
11/01/2052
 
1,000
966
Data Center REITs-0.51%
QTS, 5.69% (SOFR + 2.00%),
12/10/2030(d)
 
10,530,000
10,540,610
Distillers & Vintners-0.02%
Constellation Brands, Inc.
 
4.90% 05/01/2033
 
3,000
3,015
4.95% 11/01/2035(c)
 
323,000
319,258
 
 
322,273
Distributors-0.01%
Genuine Parts Co.
 
6.50% 11/01/2028
 
8,000
8,456
4.95% 08/15/2029
 
88,000
89,447
6.88% 11/01/2033
 
6,000
6,663
 
 
104,566
Diversified Banks-6.79%
Africa Finance Corp. (Supranational),
4.38%, 04/17/2026(b)
 
280,000
279,740
Australia and New Zealand Banking
Group Ltd. (Australia)
 
6.74% 12/08/2032(b)(c)
 
617,000
681,664
6.75% (b)(e)(f)
 
436,000
440,902
Banco Bilbao Vizcaya Argentaria S.A.
(Spain), 9.38%(e)(f)
 
422,000
473,389
Banco Santander S.A. (Spain)
 
5.55% 03/14/2028(e)
 
600,000
609,684
5.08% 11/06/2030
 
2,000,000
2,002,572
5.13% 11/06/2035
 
1,000,000
998,701
9.63% (c)(e)(f)
 
800,000
888,471
9.63% (e)(f)
 
400,000
482,949
Bank of America Corp.
 
4.76% (SOFR + 1.05%),
02/04/2028(d)
 
2,000
2,011
4.95% 07/22/2028(e)
 
3,000
3,042
4.53% (SOFR + 0.83%),
01/24/2029(d)
 
78,000
78,315
4.98% 01/24/2029(e)
 
286,000
291,345
5.20% 04/25/2029(e)
 
7,000
7,171
4.62% 05/09/2029(e)
 
174,000
176,353
4.71% (SOFR + 1.01%),
01/24/2031(d)
 
70,000
70,464
5.16% 01/24/2031(e)
 
28,000
28,881
5.43% 08/15/2035(e)
 
4,000
4,064
6.63% (c)(e)(f)
 
236,000
245,356
Series RR, 4.38% (c)(e)(f)
 
770,000
766,480
 
Principal
Amount
Value
Diversified Banks-(continued)
Bank of Montreal (Canada)
 
5.30% 06/05/2026
$
3,000
$3,015
7.70% 05/26/2084(e)
 
553,000
588,379
7.30% 11/26/2084(c)(e)
 
465,000
496,358
Bank of New York Mellon (The)
 
4.41% (SOFR + 0.71%),
04/20/2027(d)
 
655,000
655,717
4.59% 04/20/2027(e)
 
666,000
666,956
Bank of New Zealand (New Zealand),
5.70%, 01/28/2035(b)(c)(e)
 
760,000
784,881
Bank of Nova Scotia (The) (Canada)
 
8.63% 10/27/2082(e)
 
453,000
479,933
8.00% 01/27/2084(e)
 
531,000
568,955
6.88% 10/27/2085(e)
 
1,385,000
1,422,856
Banque Federative du Credit Mutuel
S.A. (France), 4.59%,
10/16/2028(b)
 
1,392,000
1,408,163
Barclays PLC (United Kingdom)
 
5.37% 02/25/2031(e)
 
491,000
507,031
6.69% 09/13/2034(e)
 
44,000
48,624
5.86% 08/11/2046(c)(e)
 
586,000
601,631
BNP Paribas S.A. (France)
 
4.79% 05/09/2029(b)(e)
 
613,000
620,305
5.24% (SOFR + 1.43%),
05/09/2029(b)(d)
 
959,000
969,259
5.09% 05/09/2031(b)(e)
 
844,000
861,858
BPCE S.A. (France)
 
6.29% 01/14/2036(b)(e)
 
62,000
66,165
6.92% 01/14/2046(b)(e)
 
479,000
512,284
6.35% 01/13/2047(b)(e)
 
1,369,000
1,369,356
Citibank N.A., 4.93%, 08/06/2026
 
609,000
612,030
Citigroup, Inc.
 
4.95% (SOFR + 1.14%),
05/07/2028(d)
 
370,000
372,474
5.17% 02/13/2030(e)
 
10,000
10,277
4.54% 09/19/2030(e)
 
75,000
75,639
5.27% (SOFR + 1.46%),
05/07/2031(d)
 
427,000
435,528
4.50% 09/11/2031(e)
 
892,400
893,408
6.17% 05/25/2034(e)
 
8,000
8,473
5.83% 02/13/2035(e)
 
4,000
4,137
5.41% 09/19/2039(e)
 
71,000
71,003
5.61% 03/04/2056(c)(e)
 
200,000
198,706
6.63% (e)(f)
 
2,871,400
2,924,877
Series AA, 7.63% (e)(f)
 
1,638,000
1,718,385
Series BB, 7.20% (e)(f)
 
1,392,000
1,448,539
Series DD, 7.00% (c)(e)(f)
 
1,902,000
1,992,466
Series Z, 7.38% (c)(e)(f)
 
1,324,000
1,371,714
Cooperatieve Rabobank U.A.
(Netherlands)
 
3.65% 04/06/2028(b)(e)
 
652,000
649,432
3.96% 10/17/2028
 
1,578,000
1,584,781
Corporacion Financiera de Desarrollo
S.A. (Peru), 5.95%,
04/30/2029(b)(c)
 
915,000
952,213
Credit Agricole S.A. (France)
 
5.22% 05/27/2031(b)(c)(e)
 
1,013,000
1,040,881
4.82% 09/25/2033(b)(e)
 
1,783,000
1,778,037
Federation des caisses Desjardins du
Quebec (Canada), 4.55%,
08/23/2027(b)
 
574,000
579,745
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Banks-(continued)
Fifth Third Bancorp
 
1.71% 11/01/2027(e)
$
2,000
$1,966
6.34% 07/27/2029(e)
 
2,000
2,104
4.77% 07/28/2030(e)
 
3,000
3,041
5.63% 01/29/2032(e)
 
6,000
6,288
4.57% 04/29/2032(c)(e)
 
2,018,000
2,016,654
5.14% 01/29/2037(c)(e)
 
2,203,000
2,188,718
Fifth Third Financial Corp., 5.98%,
01/30/2030(e)
 
4,000
4,182
Goldman Sachs Bank USA, 5.28%,
03/18/2027(e)
 
29,000
29,045
HSBC Holdings PLC (United Kingdom)
 
5.60% 05/17/2028(e)
 
442,000
450,483
5.21% 08/11/2028(e)
 
456,000
463,591
5.29% 11/19/2030(e)
 
500,000
516,605
5.13% 03/03/2031(e)
 
600,000
615,081
5.24% 05/13/2031(e)
 
761,000
783,597
5.38% (SOFR + 1.57%),
05/13/2031(c)(d)
 
963,000
985,376
7.40% 11/13/2034(e)
 
506,000
575,583
5.79% 05/13/2036(e)
 
121,000
127,083
5.74% 09/10/2036(c)(e)
 
632,000
649,401
5.13% 11/06/2036(c)(e)
 
903,000
902,284
6.33% 03/09/2044(c)(e)
 
464,000
507,026
6.88% (e)(f)
 
623,000
643,983
7.05% (e)(f)
 
1,147,000
1,196,314
ING Groep N.V. (Netherlands), 5.34%,
03/19/2030(e)
 
590,000
609,256
JPMorgan Chase & Co.
 
5.57% 04/22/2028(e)
 
16,000
16,305
4.85% 07/25/2028(e)
 
3,000
3,037
4.92% 01/24/2029(e)
 
24,000
24,439
5.30% 07/24/2029(e)
 
3,000
3,089
6.09% 10/23/2029(e)
 
5,000
5,256
5.01% 01/23/2030(e)
 
3,000
3,077
5.58% 04/22/2030(e)
 
11,000
11,463
5.00% 07/22/2030(e)
 
32,000
32,852
4.60% 10/22/2030(e)
 
76,000
77,112
5.14% 01/24/2031(e)
 
68,000
70,176
5.10% 04/22/2031(c)(e)
 
195,000
201,172
4.26% 10/22/2031(e)
 
1,319,000
1,312,702
4.35% 01/22/2032(e)
 
1,791,000
1,786,678
5.72% 09/14/2033(e)
 
3,000
3,167
5.34% 01/23/2035(e)
 
1,000
1,030
4.81% 10/22/2036(e)
 
1,230,600
1,213,625
4.90% 01/22/2037(c)(e)
 
2,111,000
2,095,755
5.53% 11/29/2045(c)(e)
 
145,000
146,198
Series NN, 6.88% (e)(f)
 
22,000
23,251
Series OO, 6.50% (e)(f)
 
92,000
95,798
KeyBank N.A., 5.85%, 11/15/2027
 
571,000
588,509
KeyCorp
 
2.55% 10/01/2029
 
4,000
3,790
5.31% 01/28/2037(e)
 
955,000
956,456
Lloyds Banking Group PLC (United
Kingdom)
 
4.43% 11/04/2031(e)
 
1,043,000
1,039,984
4.94% 11/04/2036(c)(e)
 
1,406,000
1,385,228
6.63% (e)(f)
 
815,000
808,936
 
Principal
Amount
Value
Diversified Banks-(continued)
Macquarie Bank Ltd. (Australia)
 
3.92% 02/03/2028(b)
$
2,678,000
$2,683,569
4.19% (SOFR + 0.48%),
02/03/2028(b)(d)
 
2,382,000
2,384,059
Manufacturers & Traders Trust Co.,
4.70%, 01/27/2028
 
548,000
555,780
Mitsubishi UFJ Financial Group, Inc.
(Japan)
 
5.02% 07/20/2028(e)
 
479,000
486,247
5.26% 04/17/2030(e)
 
553,000
570,354
5.16% 04/24/2031(e)
 
459,000
472,582
5.18% (SOFR + 1.48%),
04/24/2031(d)
 
482,000
492,879
4.53% 09/12/2031(e)
 
954,000
958,062
5.41% 04/19/2034(e)
 
50,000
52,068
5.43% 04/17/2035(e)
 
63,000
65,206
5.57% 01/16/2036(e)
 
65,000
67,759
5.62% 04/24/2036(e)
 
188,000
196,484
5.19% 09/12/2036(c)(e)
 
835,000
845,097
6.35% (e)(f)
 
2,944,000
3,016,116
8.20% (e)(f)
 
1,378,000
1,513,014
Mizuho Financial Group, Inc. (Japan)
 
5.78% 07/06/2029(e)
 
570,000
592,460
5.38% 07/10/2030(c)(e)
 
499,000
516,652
4.71% 07/08/2031(e)
 
924,000
935,541
4.95% (SOFR + 1.25%),
07/08/2031(c)(d)
 
951,000
965,719
5.59% 07/10/2035(e)
 
458,000
478,011
5.32% 07/08/2036(c)(e)
 
715,000
733,025
Morgan Stanley Bank N.A.
 
4.75% 04/21/2026(c)
 
548,000
548,608
5.02% 01/12/2029(e)
 
730,000
743,824
Morgan Stanley Private Bank N.A.
 
4.47% 07/06/2028(c)(e)
 
1,283,000
1,291,417
4.21% 02/08/2030(e)
 
2,739,000
2,740,428
4.48% (SOFR + 0.77%),
02/08/2030(d)
 
6,080,000
6,082,709
4.73% 07/18/2031(e)
 
1,058,000
1,072,136
National Australia Bank Ltd.
(Australia), 5.90%,
01/14/2036(b)(e)
 
67,000
70,348
National Securities Clearing Corp.
 
5.10% 11/21/2027(b)
 
596,000
609,744
5.00% 05/30/2028(b)
 
560,000
573,081
Nordea Bank Abp (Finland)
 
4.25% 08/28/2030(b)
 
1,628,000
1,629,204
6.30% (b)(c)(e)(f)
 
620,000
635,921
6.75% (b)(c)(e)(f)
 
707,000
726,727
Norinchukin Bank (The) (Japan),
5.09%, 10/16/2029(b)
 
623,000
637,733
Pinnacle Bank
 
5.63% 02/15/2028
 
730,000
745,264
5.96% 01/15/2036(e)
 
843,400
850,254
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Banks-(continued)
PNC Financial Services Group, Inc.
(The)
 
6.62% 10/20/2027(e)
$
7,000
$7,130
4.08% 01/26/2029(c)(e)
 
1,309,000
1,311,152
4.32% (SOFR + 0.62%),
01/26/2029(d)
 
2,161,000
2,164,853
5.58% 06/12/2029(e)
 
4,000
4,141
4.90% 05/13/2031(e)
 
329,000
336,065
5.37% 07/21/2036(e)
 
224,000
229,436
5.42% 01/25/2041(e)
 
1,214,000
1,213,335
Series V, 6.20% (e)(f)
 
6,000
6,096
Series W, 6.25% (e)(f)
 
7,000
7,236
Royal Bank of Canada (Canada)
 
4.41% (SOFR + 0.71%),
01/21/2027(d)
 
2,000
2,008
4.95% 02/01/2029
 
2,000
2,055
7.50% 05/02/2084(e)
 
448,000
471,963
6.50% 11/24/2085(e)
 
791,000
787,512
6.50% 05/24/2086(c)(e)
 
5,957,000
5,955,553
Standard Chartered PLC (United
Kingdom)
 
6.19% 07/06/2027(b)(e)
 
523,000
527,621
6.75% 02/08/2028(b)(c)(e)
 
448,000
459,827
7.02% 02/08/2030(b)(e)
 
525,000
564,993
5.01% 10/15/2030(b)(c)(e)
 
585,000
597,506
5.24% 05/13/2031(b)(c)(e)
 
543,000
559,403
5.48% (SOFR + 1.68%),
05/13/2031(b)(d)
 
659,000
676,379
2.68% 06/29/2032(b)(e)
 
810,000
733,077
7.75% (b)(e)(f)
 
557,000
580,523
Sumitomo Mitsui Financial Group, Inc.
(Japan), 6.60%(c)(e)(f)
 
1,172,000
1,211,186
Sumitomo Mitsui Trust Bank Ltd.
(Japan)
 
5.65% 03/09/2026(b)
 
555,000
556,101
5.65% 09/14/2026(b)
 
558,000
563,811
5.55% 09/14/2028(b)(c)
 
487,000
505,546
5.20% 03/07/2029(b)
 
560,000
577,134
4.35% 09/11/2030(b)(c)
 
828,000
830,540
5.35% 03/07/2034(b)
 
67,000
69,387
Sumitomo Mitsui Trust Group, Inc.
(Japan), 5.42%,
09/11/2036(b)(c)(e)
 
690,000
693,056
Toronto-Dominion Bank (The)
(Canada)
 
4.93% 10/15/2035
 
518,000
516,843
8.13% 10/31/2082(e)
 
501,000
525,160
Truist Bank, 4.47% (SOFR + 0.77%),
07/24/2028(d)
 
1,794,000
1,800,090
U.S. Bancorp
 
5.78% 06/12/2029(e)
 
568,000
589,757
5.38% 01/23/2030(e)
 
10,000
10,352
4.48% 01/26/2032(e)
 
2,298,000
2,303,521
UBS AG (Switzerland)
 
4.29% (SOFR + 0.50%),
05/17/2027(c)(d)
 
2,449,000
2,452,572
5.65% 09/11/2028
 
474,000
494,785
 
Principal
Amount
Value
Diversified Banks-(continued)
Wells Fargo & Co.
 
5.71% 04/22/2028(e)
$
13,000
$13,263
4.81% 07/25/2028(e)
 
3,000
3,035
5.07% (SOFR + 1.37%),
04/23/2029(d)
 
205,000
208,469
5.57% 07/25/2029(e)
 
6,000
6,209
6.30% 10/23/2029(e)
 
7,000
7,394
4.18% 01/23/2030(c)(e)
 
910,000
910,891
5.20% 01/23/2030(e)
 
8,000
8,239
5.15% 04/23/2031(e)
 
186,000
191,572
5.39% 04/24/2034(e)
 
1,000
1,035
5.56% 07/25/2034(e)
 
3,000
3,127
5.50% 01/23/2035(e)
 
2,000
2,076
4.96% 01/23/2037(c)(e)
 
1,992,000
1,976,501
5.43% 01/23/2047(e)
 
2,809,000
2,754,783
6.85% (e)(f)
 
38,000
39,765
7.63% (e)(f)
 
6,000
6,394
Series BB, 3.90% (e)(f)
 
175,000
174,895
Westpac Banking Corp. (Australia)
 
6.82% 11/17/2033
 
6,000
6,710
5.62% 11/20/2035(e)
 
3,000
3,095
 
 
139,826,011
Diversified Capital Markets-0.45%
Credit Suisse Group AG (Switzerland)
 
4.50% (b)(e)(f)(g)(h)
 
332,000
94,537
5.25% (b)(e)(f)(g)(h)
 
271,000
77,167
Deutsche Bank AG (Germany), 4.47%,
12/10/2031(c)(e)
 
1,111,800
1,110,803
UBS Group AG (Switzerland)
 
5.43% 02/08/2030(b)(e)
 
527,000
544,710
4.40% 09/23/2031(b)(e)
 
1,220,000
1,214,189
5.01% 03/23/2037(b)(e)
 
761,000
752,118
5.53% 05/06/2047(b)(c)(e)
 
2,127,000
2,106,190
6.60% (b)(e)(f)
 
881,000
890,739
7.00% (b)(c)(e)(f)
 
671,000
682,447
7.13% (b)(e)(f)
 
567,000
581,266
Series 28, 9.25% (b)(e)(f)
 
584,000
637,922
Series 33, 9.25% (b)(e)(f)
 
521,000
609,598
 
 
9,301,686
Diversified Financial Services-2.21%
AerCap Ireland Capital DAC/AerCap
Global Aviation Trust (Ireland)
 
5.10% 01/19/2029
 
429,000
439,156
4.38% 11/15/2030
 
1,382,000
1,376,186
6.50% 01/31/2056(e)
 
514,000
528,765
Aircastle Ltd./Aircastle Ireland DAC,
5.00%, 09/15/2030(b)
 
701,000
710,605
AMC East Communities LLC, 6.01%,
01/15/2053(b)
 
177,649
164,031
Amrize Finance US LLC
 
4.60% 04/07/2027
 
145,000
146,069
4.70% 04/07/2028
 
125,000
126,789
4.95% 04/07/2030
 
68,000
69,638
Apollo Global Management, Inc.
 
6.38% 11/15/2033
 
5,000
5,482
5.15% 08/12/2035(c)
 
298,000
296,882
Atlas Warehouse Lending Co. L.P.
 
4.63% 11/15/2028(b)
 
1,457,400
1,464,250
5.25% 01/15/2033(b)
 
1,292,300
1,294,580
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Financial Services-(continued)
Avolon Holdings Funding Ltd. (Ireland)
 
4.95% 01/15/2028(b)
$
103,000
$104,293
6.38% 05/04/2028(b)
 
7,000
7,287
4.70% 01/30/2031(b)
 
2,289,800
2,278,105
4.95% 10/15/2032(b)
 
1,526,000
1,514,513
BlackRock Funding, Inc., 4.90%,
01/08/2035
 
7,000
7,134
Blackstone Reg Finance Co. L.L.C.
 
4.30% 11/03/2030(c)
 
551,000
549,030
4.95% 02/15/2036
 
344,000
340,398
Citadel Securities Global Holdings LLC
 
5.50% 06/18/2030(b)
 
750,000
770,968
6.20% 06/18/2035(b)
 
586,000
616,296
Corebridge Financial, Inc.
 
6.05% 09/15/2033
 
2,000
2,138
5.75% 01/15/2034
 
4,000
4,180
Eagle Funding LuxCo S.a.r.l. (Mexico),
5.50%, 08/17/2030(b)
 
15,315,000
15,576,427
Gabon Blue Bond Master Trust
(Gabon), Series 2, 6.10%,
08/01/2038(b)
 
1,270,000
1,297,555
Horizon Mutual Holdings, Inc., 6.20%,
11/15/2034(b)
 
386,000
376,752
Jane Street Group/JSG Finance, Inc.
 
4.50% 11/15/2029(b)
 
1,819,000
1,793,518
7.13% 04/30/2031(b)
 
417,000
438,677
6.13% 11/01/2032(b)
 
1,796,000
1,830,226
6.75% 05/01/2033(b)
 
3,295,000
3,428,806
LPL Holdings, Inc.
 
5.70% 05/20/2027
 
18,000
18,339
5.15% 06/15/2030
 
113,000
115,309
5.65% 03/15/2035
 
2,000
2,039
Mid-Atlantic Military Family
Communities LLC, 5.30%,
08/01/2050(b)
 
208,920
173,912
Pacific Beacon LLC
 
5.38% 07/15/2026(b)
 
7,145
7,182
5.51% 07/15/2036(b)
 
500,000
495,099
Pershing Square Holdings Ltd.
 
3.25% 10/01/2031(b)
 
2,300,000
2,073,296
5.50% 10/28/2032(b)
 
3,138,000
3,142,149
Voya Global Funding, 4.60%,
11/24/2030(b)(c)
 
1,201,600
1,209,331
Wynnton Funding Trust II, 5.99%,
08/15/2055(b)
 
670,000
677,936
 
 
45,473,328
Diversified Metals & Mining-0.36%
BHP Billiton Finance (USA) Ltd.
(Australia)
 
5.10% 09/08/2028
 
7,000
7,200
5.25% 09/08/2030
 
7,000
7,290
5.25% 09/08/2033
 
6,000
6,210
5.75% 09/05/2055
 
263,000
269,373
Corp. Nacional del Cobre de Chile
(Chile), 5.53%, 01/30/2037(b)(c)
 
3,100,000
3,119,375
Corporacion Nacional del Cobre de
Chile (Chile), 5.13%,
02/02/2033(b)
 
674,000
679,600
 
Principal
Amount
Value
Diversified Metals & Mining-(continued)
Glencore Funding LLC (Australia)
 
4.76% (SOFR + 1.06%),
04/04/2027(b)(d)
$
47,000
$47,231
4.91% 04/01/2028(b)
 
134,000
136,439
5.37% 04/04/2029(b)
 
12,000
12,418
5.19% 04/01/2030(b)
 
103,000
106,076
5.63% 04/04/2034(b)
 
6,000
6,285
5.89% 04/04/2054(b)
 
5,000
5,085
6.14% 04/01/2055(b)
 
52,000
54,528
Hudbay Minerals, Inc. (Canada),
6.13%, 04/01/2029(b)
 
806,000
814,017
Rio Tinto Finance (USA) PLC
(Australia)
 
4.38% 03/12/2027
 
86,000
86,629
4.50% 03/14/2028
 
31,000
31,388
4.88% 03/14/2030
 
103,000
105,641
5.00% 03/14/2032
 
103,000
106,052
5.75% 03/14/2055
 
12,000
12,236
5.88% 03/14/2065
 
27,000
27,721
Windfall Mining Group, Inc./Groupe
Minier Windfall, Inc. (South Africa),
5.85%, 05/13/2032(b)
 
1,666,000
1,740,675
 
 
7,381,469
Diversified REITs-0.01%
ERP Operating L.P., 4.95%,
06/15/2032
 
88,000
90,189
Fort Moore Family Communities LLC,
5.81%, 01/15/2051(b)
 
200,000
171,562
VICI Properties L.P.
 
5.75% 04/01/2034
 
4,000
4,129
6.13% 04/01/2054
 
3,000
3,008
 
 
268,888
Diversified Support Services-0.19%
Amazon Conservation DAC (Ecuador),
6.03%, 01/16/2042(b)
 
3,415,000
3,522,231
Element Fleet Management Corp.
(Canada)
 
6.32% 12/04/2028(b)
 
9,000
9,488
5.04% 03/25/2030(b)
 
185,000
189,089
RB Global Holdings, Inc. (Canada)
 
6.75% 03/15/2028(b)
 
53,000
54,051
7.75% 03/15/2031(b)
 
98,000
102,276
 
 
3,877,135
Drug Retail-0.18%
CK Hutchison International (23) Ltd.
(United Kingdom), 4.88%,
04/21/2033(b)
 
554,000
561,986
Teva Pharmaceutical Finance
Netherlands IV B.V. (Israel), 5.75%,
12/01/2030
 
2,952,000
3,058,792
 
 
3,620,778
Electric Utilities-2.27%
AEP Texas, Inc., 5.70%, 05/15/2034
 
117,000
122,222
AEP Transmission Co. LLC, 5.38%,
06/15/2035
 
36,000
37,041
Alabama Power Co.
 
5.85% 11/15/2033
 
3,000
3,212
Series C, 4.30% 03/15/2031
 
714,000
714,907
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Electric Utilities-(continued)
Alexander Funding Trust II, 7.47%,
07/31/2028(b)
$
250,000
$266,273
American Electric Power Co., Inc.
 
5.75% 11/01/2027
 
3,000
3,089
5.20% 01/15/2029
 
6,000
6,185
Series C, 5.80% 03/15/2056(e)
 
2,569,400
2,570,464
Series D, 6.05% 03/15/2056(e)
 
273,000
271,191
Arizona Public Service Co., 5.90%,
08/15/2055(c)
 
738,600
752,451
Baltimore Gas and Electric Co.,
5.45%, 06/01/2035
 
87,000
90,116
Capital Power (US Holdings), Inc.
(Canada)
 
5.26% 06/01/2028(b)
 
60,000
61,211
6.19% 06/01/2035(b)
 
118,000
123,704
CenterPoint Energy Houston
Electric LLC
 
4.80% 03/15/2030
 
58,000
59,372
5.05% 03/01/2035
 
43,000
43,457
Series AJ, 4.85% 10/01/2052
 
2,000
1,790
Consolidated Edison Co. of New York,
Inc.
 
5.50% 03/15/2034
 
3,000
3,147
5.90% 11/15/2053
 
2,000
2,039
5.75% 11/15/2055
 
624,500
624,436
Constellation Energy Generation LLC
 
3.90% 01/08/2028(c)
 
1,380,000
1,378,857
6.13% 01/15/2034
 
3,000
3,240
6.50% 10/01/2053
 
2,000
2,166
5.75% 03/15/2054
 
5,000
4,936
5.88% 01/15/2066
 
500,000
488,150
Duke Energy Carolinas LLC
 
4.85% 03/15/2030
 
16,000
16,468
5.25% 03/15/2035
 
77,000
79,387
5.35% 01/15/2053
 
1,000
960
Duke Energy Corp.
 
4.85% 01/05/2029
 
8,000
8,173
5.00% 08/15/2052
 
2,000
1,761
Duke Energy Florida LLC, 4.20%,
12/01/2030
 
679,200
677,978
Duke Energy Indiana LLC, 5.40%,
04/01/2053
 
2,000
1,908
Electricite de France S.A. (France)
 
5.70% 05/23/2028(b)
 
336,000
347,510
6.38% 01/13/2055(b)
 
2,395,000
2,493,695
9.13% (b)(e)(f)
 
685,000
811,154
Entergy Corp.
 
7.13% 12/01/2054(e)
 
16,000
16,760
5.88% 06/15/2056(e)
 
3,124,000
3,128,166
Entergy Louisiana LLC, 5.15%,
09/15/2034
 
16,000
16,337
Entergy Texas, Inc., 5.25%,
04/15/2035
 
62,000
63,364
Evergy Metro, Inc.
 
4.95% 04/15/2033
 
4,000
4,073
5.13% 08/15/2035
 
286,000
288,994
Evergy Missouri West, Inc., 5.25%,
12/15/2035(b)
 
580,000
582,683
 
Principal
Amount
Value
Electric Utilities-(continued)
Exelon Corp.
 
5.15% 03/15/2029
$
8,000
$8,234
5.13% 03/15/2031
 
147,000
152,016
5.45% 03/15/2034
 
6,000
6,230
5.60% 03/15/2053
 
9,000
8,721
5.88% 03/15/2055
 
106,000
106,252
FirstEnergy Pennsylvania Electric Co.,
5.20%, 04/01/2028(b)
 
2,000
2,044
FirstEnergy Transmission LLC
 
4.55% 01/15/2030
 
45,000
45,278
5.00% 01/15/2035
 
15,000
15,027
Florida Power & Light Co.
 
4.80% 05/15/2033
 
3,000
3,048
4.70% 02/15/2036
 
1,070,000
1,057,948
5.60% 02/15/2066
 
1,282,500
1,261,189
Georgia Power Co., 4.95%,
05/17/2033
 
3,000
3,064
Hawaiian Electric Co., Inc., 6.00%,
10/01/2033(b)
 
435,000
441,821
Louisville Gas and Electric Co., 5.85%,
08/15/2055
 
128,000
129,822
MidAmerican Energy Co.
 
5.35% 01/15/2034
 
3,000
3,128
5.85% 09/15/2054
 
2,000
2,053
5.30% 02/01/2055
 
12,000
11,414
National Rural Utilities Cooperative
Finance Corp.
 
4.85% 02/07/2029
 
32,000
32,762
5.00% 02/07/2031
 
8,000
8,275
5.80% 01/15/2033
 
3,000
3,214
5.00% 08/15/2034
 
69,000
70,299
5.75% 04/20/2056(h)
 
3,880,000
3,880,000
5.95% 04/20/2056(h)
 
4,537,000
4,537,000
Series D, 4.15% 08/25/2028
 
581,000
583,969
NextEra Energy Capital Holdings, Inc.
 
4.90% 03/15/2029
 
16,000
16,396
5.05% 03/15/2030
 
78,000
80,451
5.45% 03/15/2035(c)
 
166,000
171,115
Niagara Mohawk Power Corp.
 
4.65% 10/03/2030(b)
 
771,000
776,575
5.29% 01/17/2034(b)
 
5,000
5,087
6.00% 07/03/2055(b)
 
527,000
531,580
Northern States Power Co., 5.65%,
05/15/2055
 
143,000
142,993
NRG Energy, Inc.
 
4.73% 10/15/2030(b)
 
1,381,000
1,381,581
5.75% 01/15/2034(b)
 
1,142,000
1,150,110
5.41% 10/15/2035(b)
 
749,000
745,999
6.00% 01/15/2036(b)
 
1,264,000
1,277,786
Oglethorpe Power Corp., 5.90%,
02/01/2055
 
5,000
4,982
Ohio Power Co., 5.65%, 06/01/2034
 
8,000
8,334
Oklahoma Gas and Electric Co.,
5.60%, 04/01/2053
 
60,000
59,143
Oncor Electric Delivery Co. LLC
 
4.50% 03/20/2027(b)
 
109,000
109,898
4.65% 11/01/2029
 
118,000
120,114
5.65% 11/15/2033
 
4,000
4,236
5.80% 04/01/2055(b)
 
236,000
237,218
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Electric Utilities-(continued)
PacifiCorp
 
5.10% 02/15/2029
$
8,000
$8,189
5.30% 02/15/2031
 
8,000
8,235
5.45% 02/15/2034
 
7,000
7,108
5.80% 01/15/2055
 
4,000
3,770
PPL Capital Funding, Inc.
 
5.25% 09/01/2034
 
7,000
7,148
Conv., 3.00% 12/01/2030(b)
 
1,872,000
1,896,659
PPL Electric Utilities Corp., 5.55%,
08/15/2055
 
157,000
155,442
Public Service Co. of Colorado,
5.25%, 04/01/2053
 
1,000
930
RWE Finance US LLC (Germany),
5.88%, 09/18/2055(b)
 
618,000
608,172
San Diego Gas & Electric Co.
 
5.35% 04/01/2053
 
6,000
5,660
5.55% 04/15/2054
 
27,000
26,254
Sierra Pacific Power Co., 5.90%,
03/15/2054
 
2,000
2,020
Southern Co. (The)
 
5.70% 10/15/2032
 
2,000
2,120
4.85% 03/15/2035
 
32,000
31,586
Southwestern Electric Power Co.,
5.30%, 04/01/2033
 
2,000
2,050
Trans-Allegheny Interstate Line Co.,
5.00%, 01/15/2031(b)
 
9,000
9,255
Union Electric Co.
 
5.20% 04/01/2034
 
11,000
11,313
5.25% 04/15/2035
 
53,000
54,535
5.13% 03/15/2055
 
31,000
28,617
Virginia Electric and Power Co.
 
5.00% 04/01/2033
 
3,000
3,059
Series C, 4.90% 09/15/2035
 
756,000
751,755
Series D, 5.60% 09/15/2055(c)
 
1,037,000
1,009,775
Vistra Operations Co. LLC
 
5.05% 12/30/2026(b)
 
58,000
58,552
5.63% 02/15/2027(b)
 
2,098,000
2,100,482
4.60% 10/15/2030(b)
 
671,000
669,230
4.70% 01/31/2031(b)
 
1,643,000
1,641,470
7.75% 10/15/2031(b)
 
465,000
492,245
6.88% 04/15/2032(b)
 
250,000
262,813
6.95% 10/15/2033(b)
 
3,000
3,328
6.00% 04/15/2034(b)
 
7,000
7,347
5.70% 12/30/2034(b)
 
93,000
95,401
5.35% 01/31/2036(b)
 
1,183,500
1,177,689
Wisconsin Electric Power Co., 4.15%,
10/15/2030
 
270,000
269,204
Xcel Energy, Inc., 4.75%,
03/21/2028
 
35,000
35,513
 
 
46,816,359
Electrical Components & Equipment-0.07%
EnerSys, 4.38%, 12/15/2027(b)
 
1,426,000
1,416,757
Regal Rexnord Corp.
 
6.30% 02/15/2030
 
3,000
3,181
6.40% 04/15/2033
 
4,000
4,276
 
 
1,424,214
 
Principal
Amount
Value
Electronic Components-0.16%
Amphenol Corp.
 
3.90% 11/15/2028
$
733,000
$732,970
4.13% 11/15/2030
 
1,356,000
1,347,967
4.40% 02/15/2033
 
1,237,000
1,223,171
5.00% 01/15/2035
 
33,000
33,466
5.38% 11/15/2054
 
19,000
18,506
 
 
3,356,080
Electronic Equipment & Instruments-0.01%
Keysight Technologies, Inc., 5.35%,
07/30/2030
 
138,000
143,587
Electronic Manufacturing Services-0.05%
EMRLD Borrower L.P./Emerald
Co-Issuer, Inc., 6.63%,
12/15/2030(b)
 
173,000
179,284
Jabil, Inc., 4.75%, 02/01/2033
 
863,000
850,320
 
 
1,029,604
Environmental & Facilities Services-0.01%
Republic Services, Inc.
 
4.88% 04/01/2029
 
9,000
9,228
5.00% 12/15/2033
 
3,000
3,086
5.00% 04/01/2034
 
3,000
3,066
Veralto Corp.
 
5.50% 09/18/2026
 
16,000
16,147
5.35% 09/18/2028
 
6,000
6,192
Waste Management, Inc., 5.35%,
10/15/2054(c)
 
99,000
96,509
 
 
134,228
Fertilizers & Agricultural Chemicals-0.13%
Mosaic Co. (The)
 
4.35% 01/15/2029
 
1,428,000
1,432,815
4.60% 11/15/2030
 
1,318,000
1,322,134
 
 
2,754,949
Financial Exchanges & Data-0.15%
Intercontinental Exchange, Inc.
 
3.95% 12/01/2028
 
854,000
854,670
4.20% 03/15/2031(c)
 
1,888,000
1,884,971
4.95% 06/15/2052
 
1,000
912
5.20% 06/15/2062
 
2,000
1,842
MSCI, Inc., 5.25%, 09/01/2035
 
264,000
265,010
Nasdaq, Inc.
 
5.35% 06/28/2028
 
3,000
3,091
5.55% 02/15/2034
 
3,000
3,137
5.95% 08/15/2053
 
2,000
2,072
6.10% 06/28/2063
 
2,000
2,082
 
 
3,017,787
Food Distributors-0.09%
Bunge Ltd. Finance Corp.
 
4.55% 08/04/2030
 
1,339,000
1,349,836
5.15% 08/04/2035
 
348,000
353,220
Sysco Corp., 5.10%, 09/23/2030
 
51,000
52,645
 
 
1,755,701
Food Retail-0.11%
Alimentation Couche-Tard, Inc.
(Canada)
 
4.15% 09/29/2028(b)
 
1,578,000
1,580,250
5.08% 09/29/2035(b)(c)
 
649,000
650,698
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Food Retail-(continued)
Kroger Co. (The)
 
5.00% 09/15/2034
$
40,000
$40,051
5.65% 09/15/2064
 
78,000
74,305
 
 
2,345,304
Forest Products-0.03%
Georgia-Pacific LLC, 4.95%,
06/30/2032(b)(c)
 
151,000
155,405
Suzano Netherlands B.V. (Brazil),
5.50%, 01/15/2036
 
564,000
561,905
 
 
717,310
Gas Utilities-0.09%
Atmos Energy Corp.
 
5.90% 11/15/2033
 
2,000
2,162
5.20% 08/15/2035(c)
 
372,000
383,096
6.20% 11/15/2053
 
1,000
1,080
Piedmont Natural Gas Co., Inc.,
5.40%, 06/15/2033
 
2,000
2,080
Snam S.p.A. (Italy)
 
5.75% 05/28/2035(b)
 
623,000
651,330
6.50% 05/28/2055(b)
 
677,000
730,262
Southern Natural Gas Co. L.L.C.,
5.45%, 08/01/2035(b)
 
169,000
172,255
Southwest Gas Corp., 5.45%,
03/23/2028
 
2,000
2,053
 
 
1,944,318
Gold-0.06%
Fortitude Global Funding, 4.63%,
10/06/2028(b)
 
1,061,000
1,063,432
New Gold, Inc. (Canada), 6.88%,
04/01/2032(b)
 
146,000
155,209
 
 
1,218,641
Health Care Distributors-0.05%
Cardinal Health, Inc.
 
4.50% 09/15/2030
 
259,200
261,265
5.45% 02/15/2034
 
4,000
4,159
5.15% 09/15/2035
 
164,200
166,449
Cencora, Inc., 5.13%, 02/15/2034
 
4,000
4,096
McKesson Corp.
 
4.25% 09/15/2029
 
41,000
41,261
4.95% 05/30/2032
 
478,000
491,806
 
 
969,036
Health Care Equipment-0.03%
GE HealthCare Technologies, Inc.,
4.80%, 01/15/2031(c)
 
295,000
299,597
Smith & Nephew PLC (United
Kingdom)
 
5.15% 03/20/2027
 
8,000
8,096
5.40% 03/20/2034
 
14,000
14,404
Stryker Corp.
 
4.55% 02/10/2027
 
25,000
25,193
4.25% 09/11/2029
 
47,000
47,290
4.85% 02/10/2030
 
133,000
136,497
5.20% 02/10/2035
 
174,000
178,353
 
 
709,430
Health Care Facilities-0.09%
Adventist Health System, 5.76%,
12/01/2034
 
9,000
9,307
 
Principal
Amount
Value
Health Care Facilities-(continued)
Ascension Health
 
Series 2025, 4.29% 11/15/2030
$
1,163,000
$1,164,397
Series 2025, 4.92% 11/15/2035
 
596,000
596,679
Universal Health Services, Inc.
 
4.63% 10/15/2029
 
43,000
43,268
5.05% 10/15/2034
 
57,000
56,018
UPMC
 
5.04% 05/15/2033
 
15,000
15,276
5.38% 05/15/2043
 
14,000
13,570
 
 
1,898,515
Health Care REITs-0.03%
National Health Investors, Inc., 5.35%,
02/01/2033
 
160,000
160,294
Omega Healthcare Investors, Inc.,
5.20%, 07/01/2030
 
236,000
240,049
Ventas Realty L.P., 5.00%,
02/15/2036
 
254,900
252,548
 
 
652,891
Health Care Services-0.69%
Cigna Group (The), 4.50%,
09/15/2030
 
733,800
738,907
CommonSpirit Health
 
4.35% 09/01/2030
 
442,000
439,717
5.32% 12/01/2034
 
59,000
59,920
4.83% 09/01/2035
 
745,000
732,474
4.98% 09/01/2035
 
447,000
440,574
5.58% 09/01/2045
 
238,000
232,961
5.55% 12/01/2054
 
46,000
44,011
5.66% 09/01/2055(c)
 
209,000
203,137
CVS Health Corp.
 
5.00% 01/30/2029
 
3,000
3,066
5.25% 01/30/2031
 
3,000
3,096
5.00% 09/15/2032
 
112,000
113,883
5.45% 09/15/2035
 
314,000
319,620
6.75% 12/10/2054(c)(e)
 
1,141,000
1,186,712
7.00% 03/10/2055(c)(e)
 
6,273,000
6,568,402
6.20% 09/15/2055(c)
 
709,000
716,543
6.00% 06/01/2063
 
1,000
962
6.25% 09/15/2065
 
224,000
223,765
DaVita, Inc., 6.88%, 09/01/2032(b)
 
7,000
7,215
HCA, Inc.
 
5.00% 03/01/2028
 
47,000
47,894
4.30% 11/15/2030
 
231,000
229,819
5.45% 09/15/2034
 
14,000
14,376
5.75% 03/01/2035
 
71,000
74,282
5.90% 06/01/2053
 
1,000
979
6.20% 03/01/2055
 
69,000
70,304
Icon Investments Six DAC
 
5.81% 05/08/2027
 
623,000
634,872
5.85% 05/08/2029
 
521,000
543,496
6.00% 05/08/2034
 
440,000
462,711
Laboratory Corp. of America Holdings,
4.35%, 04/01/2030
 
73,000
73,126
Piedmont Healthcare, Inc., 2.86%,
01/01/2052
 
26,000
16,595
Quest Diagnostics, Inc., 6.40%,
11/30/2033
 
3,000
3,310
 
 
14,206,729
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Health Care Supplies-0.18%
180 Medical, Inc. (United Kingdom),
5.30%, 10/08/2035(b)
$
645,000
$640,711
Medline Borrower L.P., 3.88%,
04/01/2029(b)
 
3,027,000
2,961,936
Solventum Corp.
 
5.45% 02/25/2027
 
6,000
6,087
5.40% 03/01/2029
 
9,000
9,330
5.60% 03/23/2034
 
15,000
15,601
 
 
3,633,665
Highways & Railtracks-0.05%
Burlington Northern Santa Fe LLC
 
5.55% 03/15/2056
 
487,600
482,702
5.80% 03/15/2056(c)
 
296,000
303,868
TransJamaican Highway Ltd.
(Jamaica), 5.75%, 10/10/2036(b)
 
322,909
302,132
 
 
1,088,702
Home Improvement Retail-0.04%
Home Depot, Inc. (The)
 
4.90% 04/15/2029
 
9,000
9,261
3.95% 09/15/2030(c)
 
379,000
377,392
4.65% 09/15/2035(c)
 
344,000
340,316
Lowe’s Cos., Inc.
 
5.80% 09/15/2062
 
2,000
1,969
5.85% 04/01/2063
 
1,000
985
 
 
729,923
Homebuilding-0.01%
D.R. Horton, Inc., 5.00%,
10/15/2034
 
19,000
19,167
Toll Brothers Finance Corp., 5.60%,
06/15/2035(c)
 
191,000
198,574
 
 
217,741
Hotel & Resort REITs-0.02%
Phillips Edison Grocery Center
Operating Partnership I L.P.
 
5.25% 08/15/2032
 
217,000
222,520
5.75% 07/15/2034
 
4,000
4,183
4.95% 01/15/2035
 
152,000
149,682
 
 
376,385
Hotels, Resorts & Cruise Lines-0.23%
Carnival Corp.
 
7.88% 06/01/2027
 
82,000
85,568
7.00% 08/15/2029(b)
 
9,000
9,424
5.75% 03/15/2030(b)
 
301,000
310,098
5.88% 06/15/2031(b)
 
1,588,000
1,642,601
5.75% 08/01/2032(b)
 
1,209,000
1,243,183
Expedia Group, Inc., 5.40%,
02/15/2035
 
75,000
76,631
Hilton Domestic Operating Co., Inc.
 
5.88% 04/01/2029(b)
 
111,000
113,625
6.13% 04/01/2032(b)
 
51,000
52,834
5.75% 09/15/2033(b)
 
632,000
644,179
Marriott International, Inc.
 
4.88% 05/15/2029
 
6,000
6,140
4.80% 03/15/2030
 
46,000
46,986
5.30% 05/15/2034
 
4,000
4,102
5.35% 03/15/2035
 
19,000
19,488
Marriott Ownership Resorts, Inc.,
6.50%, 10/01/2033(b)(c)
 
453,000
431,262
 
Principal
Amount
Value
Hotels, Resorts & Cruise Lines-(continued)
Royal Caribbean Cruises Ltd.
 
6.25% 03/15/2032(b)
$
27,000
$28,007
6.00% 02/01/2033(b)
 
31,000
31,965
 
 
4,746,093
Household Appliances-0.01%
Whirlpool Corp.
 
6.13% 06/15/2030
 
99,000
99,351
6.50% 06/15/2033
 
198,000
195,544
 
 
294,895
Independent Power Producers & Energy Traders-0.10%
AES Corp. (The), 5.80%,
03/15/2032
 
292,000
301,993
FIEMEX Energia - Banco Actinver S.A.
Institucion de Banca Multiple
(Mexico), 7.25%, 01/31/2041(b)
 
636,896
663,557
Vistra Corp., 7.00%(b)(e)(f)
 
525,000
533,205
VoltaGrid LLC, 7.38%,
11/01/2030(b)
 
647,000
655,655
 
 
2,154,410
Industrial Conglomerates-0.08%
Honeywell International, Inc.
 
4.88% 09/01/2029
 
12,000
12,352
4.95% 09/01/2031
 
18,000
18,669
5.00% 03/01/2035
 
9,000
9,165
5.35% 03/01/2064
 
21,000
20,100
Siemens Funding B.V. (Germany)
 
4.60% 05/28/2030(b)
 
702,000
715,243
5.20% 05/28/2035(b)
 
405,000
418,251
5.90% 05/28/2065(b)
 
376,000
393,741
 
 
1,587,521
Industrial Machinery & Supplies & Components-0.03%
Ingersoll Rand, Inc.
 
5.20% 06/15/2027
 
13,000
13,207
5.40% 08/14/2028
 
3,000
3,102
Nordson Corp.
 
5.60% 09/15/2028
 
3,000
3,105
5.80% 09/15/2033
 
3,000
3,173
nVent Finance S.a.r.l. (United
Kingdom), 5.65%, 05/15/2033
 
2,000
2,086
Weir Group, Inc. (United Kingdom),
5.35%, 05/06/2030(b)
 
508,000
521,673
 
 
546,346
Industrial REITs-0.00%
LXP Industrial Trust, 6.75%,
11/15/2028
 
2,000
2,117
Insurance Brokers-0.10%
Arthur J. Gallagher & Co.
 
4.85% 12/15/2029
 
10,000
10,235
5.00% 02/15/2032
 
12,000
12,280
5.15% 02/15/2035
 
16,000
16,134
6.75% 02/15/2054
 
2,000
2,219
Marsh & McLennan Cos., Inc.
 
5.40% 09/15/2033
 
2,000
2,095
5.45% 03/15/2053
 
1,000
970
5.70% 09/15/2053
 
3,000
3,020
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Insurance Brokers-(continued)
Willis North America, Inc.
 
4.55% 03/15/2031
$
1,102,500
$1,102,011
5.15% 03/15/2036
 
843,600
840,219
 
 
1,989,183
Integrated Oil & Gas-1.09%
Ecopetrol S.A. (Colombia), 8.88%,
01/13/2033
 
961,000
1,033,547
Eni S.p.A. (Italy), 5.50%,
05/15/2034(b)
 
537,000
555,258
Occidental Petroleum Corp.
 
6.45% 09/15/2036
 
4,000
4,269
4.63% 06/15/2045
 
217,000
174,431
4.40% 04/15/2046
 
149,000
118,602
Petroleos Mexicanos (Mexico)
 
8.75% 06/02/2029
 
2,253,000
2,420,468
6.63% 06/15/2035(c)
 
2,085,000
1,987,941
SA Global Sukuk Ltd. (Saudi Arabia)
 
4.13% 09/17/2030(b)
 
5,350,000
5,263,659
4.63% 09/17/2035(b)
 
2,920,000
2,818,228
Saudi Arabian Oil Co. (Saudi Arabia)
 
4.00% 02/02/2029(b)
 
2,520,000
2,505,857
4.75% 06/02/2030(b)
 
2,955,000
2,992,255
5.38% 06/02/2035(b)
 
2,425,000
2,471,732
 
 
22,346,247
Integrated Telecommunication Services-0.74%
AT&T, Inc.
 
5.40% 02/15/2034
 
2,000
2,065
3.55% 09/15/2055
 
2,000
1,329
6.05% 08/15/2056
 
159,000
159,250
British Telecommunications PLC
(United Kingdom), 4.25%,
11/23/2081(b)(e)
 
1,258,000
1,253,266
Cipher Compute LLC, 7.13%,
11/15/2030(b)
 
1,887,000
1,946,744
Iliad Holding S.A.S. (France), 8.50%,
04/15/2031(b)
 
184,000
197,146
NTT Finance Corp. (Japan)
 
4.88% 07/16/2030(b)
 
598,000
609,909
5.50% 07/16/2035(b)(c)
 
487,000
503,259
TELUS Corp. (Canada)
 
6.63% 10/15/2055(c)(e)
 
540,000
552,531
6.38% 06/09/2056(c)(e)
 
1,238,400
1,251,645
6.63% 06/09/2056(e)
 
2,694,200
2,707,116
Verizon Communications, Inc.
 
5.25% 04/02/2035
 
278,000
281,721
5.00% 01/15/2036
 
1,006,000
994,855
5.75% 11/30/2045
 
1,692,000
1,682,516
5.88% 11/30/2055(c)
 
561,153
554,330
6.00% 11/30/2065
 
669,600
662,877
WULF Compute LLC, 7.75%,
10/15/2030(b)(c)
 
1,189,000
1,241,256
Zegona Finance PLC (United
Kingdom), 8.63%, 07/15/2029(b)
 
557,000
588,901
 
 
15,190,716
 
Principal
Amount
Value
Interactive Media & Services-0.63%
Alphabet, Inc.
 
4.38% 11/15/2032
$
148,000
$148,539
4.70% 11/15/2035
 
430,000
428,225
5.35% 11/15/2045
 
823,000
812,428
5.45% 11/15/2055
 
518,000
505,600
5.30% 05/15/2065
 
108,000
101,017
Flutter Treasury DAC (Ireland),
5.88%, 06/04/2031(b)
 
1,139,000
1,154,358
Match Group Holdings II LLC, 6.13%,
09/15/2033(b)
 
1,068,000
1,072,708
Meta Platforms, Inc.
 
4.55% 08/15/2031
 
35,000
35,470
4.75% 08/15/2034
 
69,000
68,920
4.88% 11/15/2035(c)
 
2,353,800
2,329,142
5.40% 08/15/2054
 
93,000
85,768
5.63% 11/15/2055
 
1,759,000
1,674,900
5.75% 05/15/2063
 
3,000
2,853
5.55% 08/15/2064
 
46,000
42,264
5.75% 11/15/2065
 
2,841,000
2,688,446
WarnerMedia Holdings, Inc., 5.05%,
03/15/2042
 
2,697,000
1,901,385
 
 
13,052,023
Internet Services & Infrastructure-1.11%
Beignet Investor LLC, 6.58%,
05/30/2049(b)
 
19,977,000
20,814,475
CoreWeave, Inc.
 
9.25% 06/01/2030(b)(c)
 
1,439,000
1,418,456
9.00% 02/01/2031(b)(c)
 
550,000
535,429
 
 
22,768,360
Investment Banking & Brokerage-2.36%
Brookfield Finance, Inc. (Canada),
5.33%, 01/15/2036
 
1,015,000
1,017,780
Charles Schwab Corp. (The)
 
4.34% 11/14/2031(e)
 
2,646,000
2,644,864
4.91% 11/14/2036(e)
 
2,016,000
1,998,905
Series I, 4.00% (e)(f)
 
224,000
223,210
Series K, 5.00% (e)(f)
 
5,000
5,011
Goldman Sachs Group, Inc. (The)
 
4.99% (SOFR + 1.29%),
04/23/2028(d)
 
163,000
164,412
4.15% 01/21/2029(e)
 
3,278,000
3,281,053
5.73% 04/25/2030(e)
 
16,000
16,709
5.05% 07/23/2030(e)
 
29,000
29,706
4.69% 10/23/2030(e)
 
45,000
45,619
5.21% 01/28/2031(e)
 
66,000
68,066
5.22% 04/23/2031(e)
 
189,000
194,720
4.37% 10/21/2031(e)
 
1,948,800
1,938,123
4.52% 01/21/2032(c)(e)
 
3,063,000
3,062,520
5.85% 04/25/2035(e)
 
3,000
3,172
5.33% 07/23/2035(e)
 
9,000
9,200
4.94% 10/21/2036(e)
 
956,600
943,632
5.07% 01/21/2037(c)(e)
 
1,282,000
1,276,998
5.39% 02/02/2041(e)
 
6,198,000
6,142,554
5.54% 01/21/2047(e)
 
2,151,000
2,120,117
5.73% 01/28/2056(e)
 
123,000
124,085
Series V, 4.13% (e)(f)
 
321,000
318,641
Series W, 7.50% (c)(e)(f)
 
2,512,000
2,659,109
Series X, 7.50% (c)(e)(f)
 
2,527,000
2,669,045
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Investment Banking & Brokerage-(continued)
Morgan Stanley
 
5.12% 02/01/2029(e)
$
3,000
$3,061
4.99% 04/12/2029(e)
 
74,000
75,368
5.16% 04/20/2029(e)
 
10,000
10,221
5.45% 07/20/2029(e)
 
5,000
5,155
6.41% 11/01/2029(e)
 
8,000
8,468
4.24% 01/09/2030(e)
 
4,160,000
4,168,445
5.17% 01/16/2030(e)
 
8,000
8,215
5.04% 07/19/2030(e)
 
81,000
83,004
4.65% 10/18/2030(e)
 
68,000
68,850
5.23% 01/15/2031(e)
 
302,000
310,977
5.19% 04/17/2031(e)
 
217,000
223,442
4.49% 01/16/2032(e)
 
3,306,000
3,304,546
5.25% 04/21/2034(e)
 
3,000
3,079
5.42% 07/21/2034(e)
 
1,000
1,036
5.47% 01/18/2035(e)
 
2,000
2,070
5.83% 04/19/2035(e)
 
3,000
3,174
5.32% 07/19/2035(e)
 
4,000
4,103
5.07% 01/30/2037(e)
 
5,413,000
5,394,110
5.95% 01/19/2038(e)
 
3,000
3,139
5.31% 01/18/2041(e)
 
1,495,000
1,477,240
Series I, 4.36% 10/22/2031(e)
 
2,002,100
1,991,526
Raymond James Financial, Inc.,
4.90%, 09/11/2035
 
441,000
436,866
 
 
48,543,346
IT Consulting & Other Services-0.67%
International Business Machines Corp.
 
4.80% 02/10/2030(c)
 
610,000
624,151
4.30% 02/03/2031
 
3,848,000
3,845,933
5.20% 02/10/2035(c)
 
376,000
384,660
4.95% 02/03/2036
 
6,225,000
6,207,090
5.70% 02/10/2055(c)
 
335,000
330,366
5.80% 02/03/2056
 
2,328,000
2,322,339
 
 
13,714,539
Leisure Facilities-0.03%
Vail Resorts, Inc., 5.63%,
07/15/2030(b)
 
535,000
543,613
Leisure Products-0.00%
Brunswick Corp., 5.85%,
03/18/2029
 
8,000
8,325
Life & Health Insurance-1.43%
200 Park Funding Trust, 5.74%,
02/15/2055(b)(c)
 
287,000
285,883
American National Global Funding,
5.55%, 01/28/2030(b)
 
12,000
12,352
American National Group, Inc.
 
6.00% 07/15/2035(c)
 
235,000
237,028
7.00% 12/01/2055(e)
 
1,839,000
1,858,576
Athene Global Funding, 5.58%,
01/09/2029(b)
 
23,000
23,690
Athene Holding Ltd.
 
6.25% 04/01/2054
 
4,000
3,897
6.63% 05/19/2055
 
52,000
53,217
Belrose Funding Trust II, 6.79%,
05/15/2055(b)(c)
 
346,000
363,030
Constellation Global Funding, 4.85%,
10/22/2030(b)
 
1,142,000
1,133,185
 
Principal
Amount
Value
Life & Health Insurance-(continued)
Corebridge Global Funding
 
5.90% 09/19/2028(b)
$
5,000
$5,223
4.56% (SOFR + 0.86%),
12/15/2028(b)(d)
 
7,742,000
7,778,858
5.20% 01/12/2029(b)
 
32,000
32,880
5.20% 06/24/2029(b)
 
24,000
24,682
Dai-ichi Life Insurance Co. Ltd. (The)
(Japan), 6.20%(b)(e)(f)
 
562,000
583,343
Delaware Life Global Funding,
Series 21-1, 2.66%,
06/29/2026(b)
 
4,125,000
4,102,048
FWD Group Holdings Ltd. (Hong
Kong), 5.25%, 09/22/2030(b)
 
582,000
585,792
GA Global Funding Trust
 
5.50% 01/08/2029(b)
 
352,000
362,279
4.50% 09/18/2030(b)
 
1,543,000
1,523,616
High Street Funding Trust III, 5.81%,
02/15/2055(b)
 
259,000
255,887
Jackson National Life Global Funding,
4.70%, 06/05/2028(b)
 
665,000
673,451
Lincoln Financial Global Funding,
4.63%, 08/18/2030(b)
 
212,000
212,983
Lincoln National Corp., 5.35%,
11/15/2035(c)
 
1,145,000
1,149,428
MAG Mutual Holding Co., 4.75%,
04/30/2041(b)(h)
 
3,179,000
2,924,680
MassMutual Global Funding II, 4.55%,
05/07/2030(b)
 
608,000
613,341
MetLife, Inc.
 
5.25% 01/15/2054
 
2,000
1,897
Series G, 6.35% 03/15/2055(e)
 
146,000
153,408
Nippon Life Insurance Co. (Japan)
 
5.95% 04/16/2054(b)(e)
 
582,000
603,836
6.50% 04/30/2055(b)(c)(e)
 
458,000
490,326
Penn Mutual Life Insurance Co. (The),
3.80%, 04/29/2061(b)
 
2,000
1,335
Pricoa Global Funding I, 4.65%,
08/27/2031(b)
 
359,000
363,249
Protective Life Corp.
 
4.70% 01/15/2031(b)
 
1,023,600
1,027,855
5.35% 12/15/2035(b)
 
1,211,600
1,217,835
Prudential Financial, Inc., 5.20%,
03/14/2035
 
165,000
168,409
Wynnton Funding Trust, 5.25%,
08/15/2035(b)
 
649,000
651,785
 
 
29,479,284
Managed Health Care-0.00%
UnitedHealth Group, Inc.
 
5.25% 02/15/2028
 
2,000
2,051
5.30% 02/15/2030
 
2,000
2,083
5.35% 02/15/2033
 
3,000
3,119
5.05% 04/15/2053
 
2,000
1,797
5.63% 07/15/2054
 
8,000
7,795
5.75% 07/15/2064
 
18,000
17,478
 
 
34,323
Marine Transportation-0.24%
A.P. Moller - Maersk A/S, 5.88%,
09/14/2033(b)
 
3,000
3,199
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Marine Transportation-(continued)
NCL Corp. Ltd.
 
5.88% 01/15/2031(b)(c)
$
1,370,000
$1,374,401
6.25% 09/15/2033(b)(c)
 
773,000
777,634
Stena International S.A. (Sweden),
7.63%, 02/15/2031(b)(c)
 
378,000
391,551
Viking Cruises Ltd., 5.88%,
10/15/2033(b)
 
2,419,000
2,453,499
 
 
5,000,284
Metal, Glass & Plastic Containers-0.21%
Ball Corp., 5.50%, 09/15/2033
 
2,107,000
2,142,758
Crown Americas LLC, 5.88%,
06/01/2033(b)
 
806,000
824,904
Smurfit Kappa Treasury Unlimited Co.
(Ireland)
 
5.20% 01/15/2030
 
700,000
721,732
5.44% 04/03/2034
 
558,000
576,365
 
 
4,265,759
Movies & Entertainment-0.00%
Netflix, Inc., 5.40%, 08/15/2054
 
5,000
4,786
Multi-Family Residential REITs-0.00%
AvalonBay Communities, Inc., 5.30%,
12/07/2033
 
5,000
5,195
Essex Portfolio L.P., 5.50%,
04/01/2034
 
5,000
5,153
Invitation Homes Operating
Partnership L.P., 4.88%,
02/01/2035
 
15,000
14,633
Mid-America Apartments L.P., 5.30%,
02/15/2032
 
30,000
31,270
UDR, Inc., 5.13%, 09/01/2034
 
11,000
11,096
 
 
67,347
Multi-line Insurance-0.02%
Metropolitan Life Global Funding I,
5.15%, 03/28/2033(b)
 
362,000
371,655
Multi-Utilities-0.44%
Algonquin Power & Utilities Corp.
(Canada), 5.37%, 06/15/2026
 
13,000
13,059
Ameren Illinois Co., 4.95%,
06/01/2033
 
2,000
2,043
Black Hills Corp., 6.15%,
05/15/2034
 
5,000
5,362
CenterPoint Energy, Inc.
 
5.95% 04/01/2056(c)(e)
 
1,122,000
1,130,993
Conv., 3.00% 08/01/2028(b)
 
3,272,000
3,350,692
Dominion Energy, Inc.
 
5.38% 11/15/2032
 
2,000
2,082
6.00% 02/15/2056(e)
 
1,318,000
1,332,746
6.20% 02/15/2056(e)
 
822,000
825,205
DTE Electric Co.
 
5.20% 03/01/2034
 
4,000
4,132
5.85% 05/15/2055
 
59,000
60,786
DTE Energy Co.
 
4.95% 07/01/2027
 
32,000
32,409
5.85% 06/01/2034
 
5,000
5,319
ENGIE S.A. (France)
 
5.25% 04/10/2029(b)
 
566,000
585,517
5.63% 04/10/2034(b)(c)
 
478,000
500,439
5.88% 04/10/2054(b)(c)
 
314,000
318,707
 
Principal
Amount
Value
Multi-Utilities-(continued)
NiSource, Inc.
 
5.25% 03/30/2028
$
3,000
$3,076
5.35% 04/01/2034
 
6,000
6,187
5.85% 04/01/2055(c)
 
103,000
102,496
Sempra
 
6.88% 10/01/2054(e)
 
22,000
22,563
6.38% 04/01/2056(e)
 
721,000
737,948
WEC Energy Group, Inc., 5.15%,
10/01/2027
 
5,000
5,093
 
 
9,046,854
Office REITs-0.16%
Boston Properties L.P., Conv., 2.00%,
10/01/2030(b)
 
1,857,000
1,772,507
COPT Defense Properties L.P., 4.50%,
10/15/2030
 
182,000
181,715
Cousins Properties L.P.
 
5.38% 02/15/2032
 
22,000
22,711
5.88% 10/01/2034
 
19,000
19,834
Piedmont Operating Partnership L.P.
 
6.88% 07/15/2029
 
24,000
25,512
5.63% 01/15/2033
 
1,213,000
1,219,857
 
 
3,242,136
Oil & Gas Equipment & Services-0.09%
Bristow Group, Inc., 6.75%,
02/01/2033(b)
 
1,863,000
1,885,702
Northern Natural Gas Co., 5.63%,
02/01/2054(b)
 
2,000
1,925
 
 
1,887,627
Oil & Gas Exploration & Production-0.23%
Aethon United BR L.P./Aethon United
Finance Corp., 7.50%,
10/01/2029(b)
 
161,000
169,495
Antero Resources Corp., 5.40%,
02/01/2036(c)
 
1,761,700
1,751,270
ConocoPhillips Co., 5.70%,
09/15/2063
 
2,000
1,959
Diamondback Energy, Inc.
 
5.20% 04/18/2027
 
11,000
11,155
5.15% 01/30/2030
 
20,000
20,572
5.90% 04/18/2064
 
4,000
3,823
EOG Resources, Inc.
 
4.40% 07/15/2028
 
102,000
103,232
5.35% 01/15/2036
 
133,000
136,598
5.95% 07/15/2055(c)
 
302,000
309,706
Expand Energy Corp., 5.38%,
03/15/2030
 
8,000
8,144
Hilcorp Energy I L.P./Hilcorp Finance
Co.
 
6.88% 05/15/2034(b)
 
81,000
78,102
7.25% 02/15/2035(b)(c)
 
147,000
142,329
Transocean Titan Financing Ltd.,
8.38%, 02/01/2028(b)
 
6,476
6,627
Uzbekneftegaz JSC (Uzbekistan),
4.75%, 11/16/2028(b)
 
1,278,000
1,245,741
Var Energi ASA (Norway), 5.88%,
05/22/2030(b)
 
519,000
540,330
Woodside Finance Ltd. (Australia),
5.70%, 05/19/2032
 
117,000
122,493
 
 
4,651,576
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Oil & Gas Refining & Marketing-0.26%
Empresa Nacional del Petroleo (Chile),
5.95%, 07/30/2034(b)
$
929,000
$970,226
Raizen Fuels Finance S.A. (Brazil)
 
6.70% 02/25/2037(b)
 
546,000
445,331
6.95% 03/05/2054(b)
 
617,000
471,049
Sunoco L.P.
 
5.63% 03/15/2031(b)
 
812,000
817,358
5.88% 03/15/2034(b)
 
1,508,000
1,512,725
7.88% (b)(e)(f)
 
1,168,000
1,203,788
 
 
5,420,477
Oil & Gas Storage & Transportation-1.62%
Antero Midstream Partners
L.P./Antero Midstream Finance
Corp.
 
6.63% 02/01/2032(b)
 
301,000
312,862
5.75% 10/15/2033(b)
 
2,462,000
2,490,181
Cheniere Energy Partners L.P.,
5.95%, 06/30/2033
 
2,000
2,120
Columbia Pipelines Holding Co. LLC
 
6.06% 08/15/2026(b)
 
3,000
3,025
5.10% 10/01/2031(b)
 
25,000
25,430
Columbia Pipelines Operating Co. LLC,
5.70%, 10/01/2054(b)
 
69,000
65,936
Eastern Energy Gas Holdings LLC,
5.65%, 10/15/2054
 
39,000
37,989
Enbridge, Inc. (Canada)
 
5.70% 03/08/2033
 
3,000
3,147
7.63% 01/15/2083(e)
 
3,000
3,274
Energy Transfer L.P.
 
6.05% 12/01/2026
 
5,000
5,080
5.50% 06/01/2027
 
3,000
3,046
6.10% 12/01/2028
 
2,000
2,103
6.40% 12/01/2030
 
3,000
3,248
4.55% 01/15/2031
 
1,102,000
1,101,186
5.55% 05/15/2034
 
6,000
6,178
5.35% 01/15/2036(c)
 
1,458,000
1,456,982
5.95% 05/15/2054
 
4,000
3,817
8.00% 05/15/2054(c)(e)
 
798,000
853,206
6.05% 09/01/2054
 
80,000
77,492
7.13% 10/01/2054(e)
 
3,021,000
3,129,602
6.30% 01/15/2056
 
700,000
700,258
6.50% 02/15/2056(e)
 
3,867,000
3,868,597
Enterprise Products Operating LLC
 
4.30% 06/20/2028
 
978,000
986,654
4.60% 01/15/2031
 
956,600
969,002
5.20% 01/15/2036
 
601,000
611,715
Florida Gas Transmission Co. LLC,
5.75%, 07/15/2035(b)
 
165,000
170,967
GreenSaif Pipelines Bidco S.a.r.l.
(Saudi Arabia)
 
5.85% 02/23/2036(b)(c)
 
4,380,000
4,549,547
6.13% 02/23/2038(b)
 
383,000
402,964
6.51% 02/23/2042(b)
 
970,000
1,053,361
6.10% 08/23/2042(b)
 
1,386,000
1,435,282
Gulfstream Natural Gas System L.L.C.,
5.60%, 07/23/2035(b)
 
341,000
348,981
Kinder Morgan, Inc.
 
7.80% 08/01/2031
 
4,000
4,644
4.80% 02/01/2033
 
3,000
3,011
5.20% 06/01/2033
 
2,000
2,058
 
Principal
Amount
Value
Oil & Gas Storage & Transportation-(continued)
Kodiak Gas Services LLC, 6.50%,
10/01/2033(b)
$
470,000
$481,634
MPLX L.P.
 
4.80% 02/15/2031
 
712,000
719,952
5.00% 01/15/2033
 
432,000
433,182
5.40% 09/15/2035
 
535,000
539,609
4.95% 03/14/2052
 
1,000
844
NGL Energy Operating LLC/NGL
Energy Finance Corp., 8.38%,
02/15/2032(b)
 
149,000
156,044
Northriver Midstream Finance L.P.
(Canada), 6.75%, 07/15/2032(b)
 
53,000
53,961
South Bow Canadian Infrastructure
Holdings Ltd. (Canada), 7.63%,
03/01/2055(e)
 
753,000
785,490
South Bow USA Infrastructure
Holdings LLC (Canada)
 
4.91% 09/01/2027
 
84,000
84,923
5.03% 10/01/2029
 
94,000
95,466
5.58% 10/01/2034
 
59,000
59,533
6.18% 10/01/2054
 
44,000
42,382
Southern Co. Gas Capital Corp.
 
5.75% 09/15/2033
 
3,000
3,173
Series A, 4.05% 09/15/2028
 
103,000
103,118
Series B, 5.10% 09/15/2035
 
235,600
236,776
Tallgrass Energy Partners
L.P./Tallgrass Energy Finance
Corp., 7.38%, 02/15/2029(b)
 
293,000
303,899
Venture Global LNG, Inc.
 
9.50% 02/01/2029(b)(c)
 
210,000
223,754
9.88% 02/01/2032(b)
 
68,000
71,939
Venture Global Plaquemines LNG LLC
 
7.50% 05/01/2033(b)
 
319,000
349,936
6.50% 01/15/2034(b)
 
283,000
293,830
7.75% 05/01/2035(b)
 
574,000
640,353
6.75% 01/15/2036(b)
 
170,000
178,284
Western Midstream Operating L.P.
 
4.80% 03/01/2031
 
1,577,700
1,578,812
6.15% 04/01/2033
 
3,000
3,172
5.45% 11/15/2034
 
30,000
30,212
5.50% 12/15/2035(c)
 
971,600
967,767
5.30% 03/01/2048
 
141,000
122,944
Williams Cos., Inc. (The)
 
5.30% 08/15/2028
 
8,000
8,245
4.80% 11/15/2029
 
41,000
41,862
5.65% 03/15/2033
 
2,000
2,092
5.15% 03/15/2034
 
6,000
6,083
5.80% 11/15/2054
 
28,000
27,562
6.00% 03/15/2055
 
83,000
84,173
 
 
33,423,951
Other Specialty Retail-0.02%
Tractor Supply Co., 5.25%,
05/15/2033
 
3,000
3,096
VSP Optical Group, Inc., 5.45%,
12/01/2035(b)
 
344,000
345,393
 
 
348,489
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Packaged Foods & Meats-0.12%
Campbell’s Co. (The)
 
5.30% 03/20/2026
$
7,000
$7,011
5.20% 03/21/2029
 
6,000
6,159
5.40% 03/21/2034
 
5,000
5,087
5.25% 10/13/2054
 
21,000
18,858
General Mills, Inc., 5.50%,
10/17/2028
 
7,000
7,257
JBS NV/JBS USA Foods Group
Holdings Inc./JBS USA Food Co.
Holdings
 
6.25% 03/01/2056
 
853,000
862,246
6.38% 04/15/2066(c)
 
273,000
276,642
Mars, Inc.
 
4.60% 03/01/2028(b)(c)
 
291,000
294,927
4.80% 03/01/2030(b)(c)
 
83,000
84,826
5.00% 03/01/2032(b)
 
206,000
211,746
5.20% 03/01/2035(b)
 
148,000
151,583
5.65% 05/01/2045(b)
 
105,000
105,975
5.70% 05/01/2055(b)
 
131,000
130,657
5.80% 05/01/2065(b)
 
89,000
89,375
McCormick & Co., Inc., 4.70%,
10/15/2034
 
44,000
43,303
Post Holdings, Inc., 6.25%,
10/15/2034(b)(c)
 
82,000
82,645
 
 
2,378,297
Paper & Plastic Packaging Products & Materials-0.03%
Cascades, Inc./Cascades USA, Inc.
(Canada), 6.75%, 07/15/2030(b)(c)
 
309,000
320,104
Graphic Packaging International LLC,
6.38%, 07/15/2032(b)(c)
 
224,000
226,789
 
 
546,893
Paper Products-0.00%
Magnera Corp., 7.25%,
11/15/2031(b)
 
82,000
77,565
Passenger Airlines-0.25%
American Airlines Pass-Through Trust
 
4.90% 05/11/2038
 
1,282,000
1,270,770
Series 2021-1, Class A, 2.88%
07/11/2034
 
3,249
2,959
Series 2021-1, Class B, 3.95%
07/11/2030
 
59,595
57,370
Series B, 5.65% 11/11/2034
 
682,000
686,838
American Airlines, Inc./AAdvantage
Loyalty IP Ltd., 5.50%,
04/20/2026(b)
 
207,627
207,877
AS Mileage Plan IP Ltd.
 
5.02% 10/20/2029(b)
 
36,000
36,420
5.31% 10/20/2031(b)
 
33,000
33,393
British Airways Pass-Through Trust
(United Kingdom), Series 2021-1,
Class A, 2.90%, 03/15/2035(b)
 
14,376
13,177
Delta Air Lines, Inc.
 
4.95% 07/10/2028
 
277,000
281,826
5.25% 07/10/2030
 
314,000
321,664
Delta Air Lines, Inc./SkyMiles IP Ltd.,
4.75%, 10/20/2028(b)
 
5,752
5,797
Southwest Airlines Co., 4.38%,
11/15/2028
 
2,199,000
2,211,459
 
Principal
Amount
Value
Passenger Airlines-(continued)
United Airlines Pass-Through Trust
 
Series 2020-1, Class A, 5.88%
10/15/2027
$
1,628
$1,670
Series 24-A, 5.88% 02/15/2037
 
33,793
35,112
Series AA, 5.45% 02/15/2037
 
26,069
26,772
 
 
5,193,104
Passenger Ground Transportation-0.04%
Uber Technologies, Inc.
 
4.30% 01/15/2030
 
112,000
112,417
4.15% 01/15/2031
 
611,800
606,688
4.80% 09/15/2035(c)
 
150,000
148,481
 
 
867,586
Personal Care Products-0.00%
Coty Inc./HFC Prestige Products Inc./
HFC Prestige International US LLC,
5.60%, 01/15/2031(b)
 
2,000
2,026
Pharmaceuticals-1.38%
AstraZeneca Finance LLC (United
Kingdom)
 
4.85% 02/26/2029
 
18,000
18,473
4.90% 02/26/2031
 
50,000
51,687
Bristol-Myers Squibb Co.
 
5.75% 02/01/2031
 
9,000
9,613
5.90% 11/15/2033
 
2,000
2,175
Eli Lilly and Co.
 
4.70% 02/09/2034
 
2,000
2,022
5.00% 02/09/2054
 
12,000
11,100
5.55% 10/15/2055
 
297,800
298,386
5.10% 02/09/2064
 
92,000
84,381
5.20% 08/14/2064
 
9,000
8,402
5.65% 10/15/2065
 
249,000
249,127
EMD Finance LLC (Germany)
 
4.13% 08/15/2028(b)
 
655,000
657,363
4.38% 10/15/2030(b)
 
5,707,000
5,716,148
4.63% 10/15/2032(b)
 
1,465,000
1,468,459
Merck & Co., Inc.
 
4.30% (SOFR + 0.57%),
03/15/2029(d)
 
1,650,000
1,655,598
4.30% 05/17/2030
 
8,000
8,071
4.15% 03/15/2031
 
3,614,000
3,601,775
4.45% 12/04/2032
 
679,000
680,874
4.75% 12/04/2035(c)
 
1,799,000
1,784,303
4.90% 05/17/2044
 
5,000
4,699
5.55% 12/04/2055(c)
 
1,460,000
1,435,503
5.15% 05/17/2063
 
1,000
912
5.70% 12/04/2065
 
1,373,000
1,353,922
Novartis Capital Corp.
 
4.20% 09/18/2034
 
79,000
77,187
4.70% 09/18/2054
 
73,000
64,864
Pfizer, Inc.
 
4.20% 11/15/2030(c)
 
1,530,000
1,534,199
4.50% 11/15/2032
 
1,716,000
1,721,958
5.60% 11/15/2055(c)
 
1,462,000
1,453,705
5.70% 11/15/2065
 
1,587,000
1,565,492
Takeda U.S. Financing, Inc.
 
5.20% 07/07/2035(c)
 
671,000
679,547
5.90% 07/07/2055(c)
 
669,000
679,647
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Pharmaceuticals-(continued)
Teva Pharmaceuticals Finance
Netherlands B.V. (Israel), 6.00%,
12/01/2032
$
1,046,000
$1,095,723
Zoetis, Inc., 4.15%, 08/17/2028
 
383,000
385,297
 
 
28,360,612
Property & Casualty Insurance-0.09%
American International Group, Inc.,
4.85%, 05/07/2030
 
63,000
64,559
Asurion LLC and Asurion Co-Issuer,
Inc., 8.38%, 02/01/2034(b)
 
702,000
710,354
CNA Financial Corp., 5.20%,
08/15/2035
 
585,000
586,812
Fairfax Financial Holdings Ltd.
(Canada), 6.10%, 03/15/2055
 
40,000
40,349
Hanover Insurance Group, Inc. (The),
5.50%, 09/01/2035
 
159,000
161,235
Travelers Cos., Inc. (The)
 
5.05% 07/24/2035
 
69,000
69,938
5.45% 05/25/2053
 
1,000
982
5.70% 07/24/2055(c)
 
172,000
175,259
 
 
1,809,488
Rail Transportation-0.03%
Canadian Pacific Railway Co.
(Canada), 5.20%, 03/30/2035(c)
 
65,000
66,914
TTX Co., 5.05%, 11/15/2034(b)
 
597,000
610,188
 
 
677,102
Real Estate Development-0.06%
Essential Properties L.P., 5.40%,
12/01/2035
 
145,200
145,751
Prologis Targeted U.S. Logistics Fund
L.P.
 
4.25% 01/15/2031(b)(c)
 
544,000
540,016
4.75% 01/15/2036(b)
 
631,000
615,000
 
 
1,300,767
Regional Banks-0.57%
Citizens Financial Group, Inc.
 
5.30% 01/29/2036(e)
 
386,500
388,422
5.64% 05/21/2037(e)
 
3,000
3,063
Huntington Bancshares, Inc.
 
4.62% 01/28/2032(c)(e)
 
4,822,000
4,831,044
5.61% 01/28/2041(e)
 
2,636,000
2,624,246
Pinnacle Financial Partners, Inc.,
6.17%, 11/01/2030(e)
 
24,000
25,024
Regions Financial Corp., 5.72%,
06/06/2030(e)
 
18,000
18,808
Truist Financial Corp., 4.60%,
01/27/2032(c)(e)
 
2,067,000
2,072,726
Zions Bancorp. N.A.
 
4.70% 08/18/2028(e)
 
1,288,000
1,291,405
6.82% 11/19/2035(e)
 
541,000
573,904
 
 
11,828,642
Reinsurance-0.33%
Global Atlantic (Fin) Co.
 
6.75% 03/15/2054(b)
 
21,000
21,417
7.95% 10/15/2054(b)(e)
 
784,000
810,985
7.25% 03/01/2056(b)(e)
 
1,876,000
1,891,974
 
Principal
Amount
Value
Reinsurance-(continued)
RenaissanceRe Holdings Ltd.
(Bermuda), 5.75%, 06/05/2033
$
2,915,000
$3,047,102
RGA Global Funding, 5.00%,
08/25/2032(b)
 
1,052,000
1,062,139
 
 
6,833,617
Renewable Electricity-0.04%
Idaho Power Co., 5.20%,
08/15/2034
 
16,000
16,453
Southern Power Co.
 
Series A, 4.25% 10/01/2030
 
484,000
482,964
Series B, 4.90% 10/01/2035
 
394,000
387,323
 
 
886,740
Restaurants-0.19%
1011778 BC ULC/New Red Finance,
Inc. (Canada), 5.63%,
09/15/2029(b)
 
385,000
391,996
Arcos Dorados B.V. (Brazil), 6.38%,
01/29/2032(b)
 
929,000
975,915
McDonald’s Corp.
 
4.80% 08/14/2028
 
18,000
18,374
4.60% 05/15/2030
 
103,000
104,824
4.40% 02/12/2031
 
1,407,000
1,417,464
4.95% 08/14/2033
 
10,000
10,292
4.95% 03/03/2035
 
57,000
57,586
5.00% 02/13/2036(c)
 
963,000
971,208
 
 
3,947,659
Retail REITs-0.07%
Agree L.P., 5.63%, 06/15/2034
 
6,000
6,283
Brixmor Operating Partnership L.P.
 
4.85% 02/15/2033
 
191,000
190,730
5.75% 02/15/2035
 
4,000
4,188
Kimco Realty OP LLC
 
4.85% 03/01/2035
 
15,000
14,905
5.30% 02/01/2036
 
288,000
294,660
Kite Realty Group L.P.
 
4.95% 12/15/2031
 
16,000
16,245
5.50% 03/01/2034
 
3,000
3,088
NNN REIT, Inc.
 
5.60% 10/15/2033
 
3,000
3,134
5.50% 06/15/2034
 
6,000
6,205
Realty Income Corp.
 
2.20% 06/15/2028
 
2,000
1,923
5.63% 10/13/2032
 
2,000
2,120
4.50% 02/01/2033
 
781,000
773,992
5.13% 04/15/2035
 
27,000
27,449
5.38% 09/01/2054
 
6,000
5,798
Regency Centers L.P.
 
5.00% 07/15/2032
 
86,000
87,906
5.25% 01/15/2034
 
3,000
3,080
5.10% 01/15/2035
 
6,000
6,073
Simon Property Group L.P., 4.75%,
09/26/2034
 
66,000
65,478
 
 
1,513,257
Self-Storage REITs-0.04%
Americold Realty Operating
Partnership L.P.
 
5.60% 05/15/2032
 
144,000
145,960
5.41% 09/12/2034
 
39,000
38,252
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Self-Storage REITs-(continued)
Extra Space Storage L.P.
 
5.70% 04/01/2028
$
2,000
$2,064
4.95% 01/15/2033
 
267,000
268,649
5.40% 02/01/2034
 
4,000
4,095
Goodman US Finance Six LLC
(Australia), 5.13%, 10/07/2034(b)
 
7,000
7,020
Prologis L.P.
 
4.88% 06/15/2028
 
3,000
3,068
4.75% 01/15/2031(c)
 
240,000
245,252
5.13% 01/15/2034
 
3,000
3,068
5.00% 03/15/2034
 
11,000
11,177
5.00% 01/31/2035
 
19,000
19,191
5.25% 05/15/2035
 
101,000
103,804
5.25% 03/15/2054
 
35,000
33,398
Public Storage Operating Co., 5.35%,
08/01/2053
 
4,000
3,868
 
 
888,866
Semiconductors-1.86%
AP Grange Holdings LLC, 6.50%,
03/20/2045(b)(h)
 
10,153,000
11,184,879
Broadcom, Inc.
 
5.05% 07/12/2027
 
19,000
19,343
5.05% 07/12/2029
 
30,000
30,913
5.15% 11/15/2031
 
103,000
106,807
5.20% 07/15/2035
 
216,000
220,801
4.80% 02/15/2036
 
734,000
724,817
4.90% 02/15/2038
 
581,000
568,927
Foundry JV Holdco LLC
 
5.90% 01/25/2030(b)
 
1,241,000
1,301,556
5.50% 01/25/2031(b)
 
1,190,000
1,233,150
6.15% 01/25/2032(b)
 
1,253,000
1,335,088
5.90% 01/25/2033(b)
 
1,202,000
1,261,775
5.88% 01/25/2034(b)
 
1,140,000
1,179,472
6.25% 01/25/2035(b)
 
927,000
986,813
6.10% 01/25/2036(b)
 
845,000
890,160
6.20% 01/25/2037(b)
 
707,000
747,920
6.40% 01/25/2038(b)
 
697,000
747,042
6.30% 01/25/2039(b)
 
419,000
446,565
Kioxia Holdings Corp. (Japan)
 
6.25% 07/24/2030(b)
 
550,000
568,679
6.63% 07/24/2033(b)
 
533,000
557,043
Micron Technology, Inc.
 
5.30% 01/15/2031
 
7,000
7,273
6.05% 11/01/2035
 
57,000
61,280
SK hynix, Inc. (South Korea)
 
4.25% 09/11/2028(b)
 
5,344,000
5,366,258
4.38% 09/11/2030(b)(c)
 
8,809,000
8,830,573
 
 
38,377,134
Single-Family Residential REITs-0.00%
American Homes 4 Rent L.P.
 
2.38% 07/15/2031
 
2,000
1,786
5.50% 07/15/2034
 
17,000
17,390
5.25% 03/15/2035
 
19,000
19,055
 
 
38,231
Soft Drinks & Non-alcoholic Beverages-0.08%
Coca-Cola Co. (The), 5.40%,
05/13/2064
 
47,000
45,617
 
Principal
Amount
Value
Soft Drinks & Non-alcoholic Beverages-(continued)
PepsiCo, Inc.
 
4.10% 01/15/2029
$
702,000
$707,152
4.60% 02/07/2030
 
159,000
162,619
5.00% 02/07/2035
 
9,000
9,225
5.00% 07/23/2035
 
667,000
678,825
 
 
1,603,438
Sovereign Debt-1.83%
Bahamas Government International
Bond (Bahamas), 8.25%,
06/24/2036(b)
 
881,000
985,451
Benin Sukuk S.A. (Benin), 6.20%,
01/29/2033(b)
 
1,611,000
1,604,032
Colombia Government International
Bond (Colombia)
 
5.38% 01/21/2029
 
6,862,000
6,836,267
6.13% 01/21/2031
 
2,279,500
2,275,625
6.50% 01/21/2033
 
1,899,000
1,883,713
Egyptian Financial Co. for Sovereign
Taskeek (The) (Egypt)
 
6.38% 04/07/2029(b)
 
1,138,000
1,154,765
7.95% 10/07/2032(b)
 
373,000
392,523
Guatemala Government Bond
(Guatemala)
 
6.05% 08/06/2031(b)
 
3,287,000
3,414,306
6.55% 02/06/2037(b)
 
1,315,000
1,402,250
6.88% 08/15/2055(b)
 
582,000
622,757
Israel Government International Bond
(Israel), 5.00%, 01/13/2036
 
100,500
99,045
Kuwait International Government
Bond (Kuwait), 4.14%,
10/09/2030(b)
 
1,845,000
1,835,326
Mexico Government International
Bond (Mexico)
 
4.75% 03/22/2031
 
3,992,000
3,936,312
5.38% 03/22/2033
 
738,000
729,329
6.63% 01/29/2038
 
1,618,000
1,685,875
6.75% 02/09/2056
 
1,809,000
1,787,473
Series 10, 5.63% 09/22/2035
 
1,731,000
1,698,976
Romanian Government International
Bond (Romania)
 
6.63% 02/17/2028(b)
 
1,832,000
1,910,585
5.88% 01/30/2029(b)(c)
 
3,084,000
3,186,773
Trinidad & Tobago Government
International Bond (Trinidad),
6.40%, 06/26/2034(b)
 
232,000
233,754
 
 
37,675,137
Specialized Consumer Services-0.08%
Rentokil Terminix Funding LLC
 
5.00% 04/28/2030(b)
 
823,000
838,551
5.63% 04/28/2035(b)
 
781,000
805,472
 
 
1,644,023
Specialty Chemicals-0.20%
OCP S.A. (Morocco)
 
6.10% 04/30/2030(b)
 
1,527,000
1,590,533
6.70% 03/01/2036(b)
 
163,000
173,086
Sherwin-Williams Co. (The)
 
4.30% 08/15/2028
 
1,160,000
1,168,486
4.50% 08/15/2030
 
387,000
390,632
5.15% 08/15/2035(c)
 
307,000
311,758
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Specialty Chemicals-(continued)
Sociedad Quimica y Minera de Chile
S.A. (Chile), 6.50%, 11/07/2033(b)
$
185,000
$201,902
Solstice Advanced Materials, Inc.,
5.63%, 09/30/2033(b)
 
361,000
363,078
 
 
4,199,475
Steel-0.32%
Cleveland-Cliffs, Inc.
 
6.88% 11/01/2029(b)
 
502,000
522,001
7.63% 01/15/2034(b)
 
3,665,000
3,840,982
POSCO Holdings, Inc. (South Korea)
 
5.13% 05/07/2030(b)
 
1,381,000
1,415,093
5.75% 05/07/2035(b)
 
860,000
900,137
 
 
6,678,213
Systems Software-0.16%
CrowdStrike Holdings, Inc., 3.00%,
02/15/2029
 
1,000,000
957,534
Oracle Corp.
 
4.45% 09/26/2030(c)
 
745,900
728,369
6.25% 11/09/2032
 
3,000
3,132
4.90% 02/06/2033
 
2,000
1,927
4.70% 09/27/2034
 
53,000
49,213
5.20% 09/26/2035(c)
 
364,000
347,092
5.88% 09/26/2045
 
570,000
512,920
6.90% 11/09/2052
 
2,000
1,964
5.38% 09/27/2054
 
75,000
60,308
6.00% 08/03/2055
 
50,000
43,805
5.95% 09/26/2055(c)
 
398,000
351,274
5.50% 09/27/2064
 
131,000
103,915
6.13% 08/03/2065
 
97,000
84,713
 
 
3,246,166
Technology Hardware, Storage & Peripherals-0.00%
Hewlett Packard Enterprise Co.
 
5.00% 10/15/2034
 
39,000
38,418
5.60% 10/15/2054
 
69,000
63,192
 
 
101,610
Tobacco-0.14%
B.A.T. Capital Corp. (United Kingdom)
 
5.83% 02/20/2031
 
16,000
16,992
4.63% 03/22/2033(c)
 
418,000
414,350
6.00% 02/20/2034
 
4,000
4,283
7.08% 08/02/2043
 
1,000
1,123
7.08% 08/02/2053
 
2,000
2,264
 
Principal
Amount
Value
Tobacco-(continued)
Philip Morris International, Inc.
 
4.75% 02/12/2027
$
16,000
$16,159
4.38% 11/01/2027
 
75,000
75,748
4.88% 02/15/2028
 
6,000
6,115
4.13% 04/28/2028
 
22,000
22,114
5.25% 09/07/2028
 
7,000
7,223
3.88% 10/27/2028
 
781,000
780,507
4.88% 02/13/2029
 
22,000
22,528
4.63% 11/01/2029
 
100,000
101,794
4.38% 04/30/2030
 
158,000
158,987
4.00% 10/29/2030
 
564,000
558,129
5.13% 02/13/2031
 
8,000
8,288
4.75% 11/01/2031
 
77,000
78,471
5.75% 11/17/2032
 
3,000
3,204
5.38% 02/15/2033
 
7,000
7,288
5.63% 09/07/2033
 
4,000
4,234
5.25% 02/13/2034
 
17,000
17,555
4.90% 11/01/2034(c)
 
100,000
100,648
4.88% 04/30/2035
 
98,000
97,976
4.63% 10/29/2035(c)
 
421,000
411,333
 
 
2,917,313
Trading Companies & Distributors-0.11%
Air Lease Corp., Series B, 4.65%(e)(f)
 
619,000
618,159
Ferguson Enterprises, Inc.
 
4.35% 03/15/2031(c)
 
657,000
654,809
5.00% 10/03/2034
 
20,000
20,128
Mitsubishi Corp. (Japan)
 
5.00% 07/02/2029(b)
 
548,000
562,038
5.13% 07/17/2034(b)(c)
 
448,000
459,319
 
 
2,314,453
Transaction & Payment Processing Services-0.00%
Mastercard, Inc., 4.85%,
03/09/2033
 
3,000
3,075
Water Utilities-0.01%
American Water Capital Corp., 5.70%,
09/01/2055
 
231,000
230,290
Wireless Telecommunication Services-0.08%
T-Mobile USA, Inc.
 
4.95% 11/15/2035
 
683,000
677,321
5.65% 01/15/2053
 
2,000
1,926
6.00% 06/15/2054
 
1,000
1,014
5.88% 11/15/2055
 
92,000
91,458
5.70% 01/15/2056(c)
 
817,000
789,850
 
 
1,561,569
Total U.S. Dollar Denominated Bonds & Notes
(Cost $807,647,092)
814,202,628
U.S. Government Sponsored Agency Mortgage-Backed
Securities-32.23%
Collateralized Mortgage Obligations-2.53%
Freddie Mac Military Housing Bonds
Resecuritization Trust Ctfs.,
Series 2015-R1, Class B1, 5.25%,
11/25/2055(b)(i)
 
868,693
779,460
Freddie Mac Multifamily Structured
Pass-Through Ctfs.
 
5.00%, 11/25/2028
 
4,625,965
4,752,456
4.43%, 02/25/2033(i)
 
6,000,000
6,042,046
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Collateralized Mortgage Obligations-(continued)
Series 2017-K066, Class AM,
3.20%, 06/25/2027
$
250,000
$247,917
Series 2017-KGX1, Class AFX,
3.00%, 10/25/2027
 
1,000,000
984,990
Series 2018-K074, Class AM,
3.60%, 02/25/2028
 
1,000,000
994,243
Series 2018-K154, Class A3,
3.46%, 11/25/2032(i)
 
1,000,000
952,906
Series K-161, Class A2, 4.90%,
10/25/2033(i)
 
10,000,000
10,335,784
Series K-162, Class A2, 5.15%,
12/25/2033(i)
 
15,000,000
15,756,261
Series K-164, Class A2, 5.00%,
05/25/2034
 
10,000,000
10,396,818
Freddie Mac STRIPS, 0.00%,
09/15/2030(j)
 
350,000
291,749
Seasoned Credit Risk Transfer Trust
 
Series 2017-3, Class HT, 3.25%,
07/25/2056
 
231,064
207,787
Series 2017-4, Class HT, 3.25%,
06/25/2057
 
338,014
309,204
 
 
52,051,621
Federal Home Loan Mortgage Corp. (FHLMC)-2.40%
0.00%, 12/14/2029(j)
 
150,000
129,244
3.55%, 10/01/2033
 
444,939
421,823
3.00%, 10/01/2034
 
152,179
147,509
4.50%, 04/01/2035 to 04/01/2035
 
25,674,580
25,600,571
4.00%, 11/01/2048 to 07/01/2049
 
208,291
201,802
3.50%, 08/01/2049
 
1,350,747
1,267,496
6.00%, 06/01/2053 to 08/01/2054
 
15,354,305
15,957,582
5.50%, 07/01/2053
 
5,596,563
5,749,320
 
 
49,475,347
Federal National Mortgage Association (FNMA)-1.66%
2.82%, 10/01/2029
 
461,424
445,109
2.90%, 11/01/2029
 
471,286
453,892
3.93%, 12/01/2030
 
10,000,000
9,926,435
3.08%, 10/01/2032
 
734,176
684,540
3.31%, 01/01/2033
 
948,501
895,299
2.50%, 10/01/2034 to 12/01/2034
 
1,521,802
1,450,490
4.69%, 04/01/2035
 
4,500,000
4,579,117
4.68%, 09/01/2035
 
6,140,000
6,204,934
3.50%, 05/01/2047 to 06/01/2047
 
1,341,467
1,267,880
4.00%, 11/01/2047
 
58,443
57,114
3.00%, 09/01/2049 to 10/01/2049
 
2,427,796
2,197,964
5.50%, 09/01/2053
 
5,910,303
6,063,568
 
 
34,226,342
Government National Mortgage Association (GNMA)-3.81%
4.00%, 07/20/2049
 
33,837
32,435
TBA, 2.00%, 02/01/2056(k)
 
4,826,634
4,015,448
TBA, 2.50%, 02/01/2056(k)
 
22,332,321
19,347,137
TBA, 4.50%, 02/01/2056(k)
 
16,096,070
15,720,730
TBA, 5.00%, 02/01/2056(k)
 
14,603,000
14,602,949
TBA, 5.50%, 02/01/2056(k)
 
13,902,317
14,056,343
TBA, 6.00%, 03/01/2056(k)
 
10,552,000
10,757,072
 
 
78,532,114
Uniform Mortgage-Backed Securities-21.83%
TBA, 1.50%, 02/01/2041(k)
 
8,760,000
7,908,888
TBA, 2.00%, 02/01/2041 to
02/01/2056(k)
 
80,070,914
65,505,508
 
Principal
Amount
Value
Uniform Mortgage-Backed Securities-(continued)
TBA, 4.50%, 02/01/2041 to
02/01/2056(k)
$
39,242,014
$38,648,570
TBA, 5.00%, 02/01/2041 to
02/01/2056(k)
 
70,922,860
71,025,267
TBA, 2.50%, 02/01/2056(k)
 
71,669,860
60,846,653
TBA, 3.00%, 02/01/2056(k)
 
58,972,549
52,279,140
TBA, 3.50%, 02/01/2056(k)
 
34,135,382
31,577,499
TBA, 4.00%, 02/01/2056(k)
 
71,351,694
68,152,640
TBA, 5.50%, 02/01/2056(k)
 
22,327,376
22,641,450
TBA, 6.00%, 02/01/2056(k)
 
13,736,340
14,067,876
TBA, 6.50%, 02/01/2056(k)
 
16,240,000
16,819,819
 
 
449,473,310
Total U.S. Government Sponsored Agency Mortgage-
Backed Securities
(Cost $662,956,768)
663,758,734
 
Asset-Backed Securities-22.81%
AGL CLO 17 Ltd. (Cayman Islands),
Series 2022-17A, Class AR, 4.62%
(3 mo. Term SOFR + 0.95%),
01/21/2035(b)(d)
 
4,125,000
4,126,848
AGL CLO 29 Ltd. (Jersey),
Series 2024-29A, Class A1, 5.24%
(3 mo. Term SOFR + 1.57%),
04/21/2037(b)(d)
 
6,019,000
6,032,519
ALA Trust, Series 2025-OANA,
Class B, 5.52% (1 mo. Term SOFR
+ 1.84%), 06/15/2040(b)(d)
 
4,039,000
4,075,767
AMSR Trust, Series 2021-SFR3,
Class B, 1.73%, 10/17/2038(b)
 
4,460,000
4,366,806
Angel Oak Mortgage Trust
 
Series 2020-1, Class A1, 2.16%,
12/25/2059(b)(i)
 
29,530
28,978
Series 2020-3, Class A1, 1.69%,
04/25/2065(b)(i)
 
127,663
123,135
Series 2020-5, Class A1, 1.37%,
05/25/2065(b)(i)
 
109,287
106,069
Series 2021-3, Class A1, 1.07%,
05/25/2066(b)(i)
 
824,553
721,102
Series 2022-1, Class A1, 3.88%,
12/25/2066(b)
 
2,013,212
1,921,649
Series 2023-6, Class A1, 6.50%,
12/25/2067(b)
 
557,764
562,127
Series 2024-10, Class A1, 5.35%,
10/25/2069(b)
 
2,563,117
2,582,934
Series 2024-2, Class A1, 5.99%,
01/25/2069(b)
 
2,598,153
2,626,725
Series 2024-8, Class A1, 5.34%,
05/27/2069(b)
 
6,729,815
6,778,559
Series 2025-2, Class A1, 5.64%,
02/25/2070(b)
 
881,427
891,651
Series 2025-HB1, Class A1, 5.50%
(30 Day Average SOFR + 1.80%),
02/25/2055(b)(d)
 
669,979
675,099
Apidos CLO XXV (Cayman Islands),
Series 2016-25A, Class A1R3,
4.81% (3 mo. Term SOFR +
1.14%), 01/20/2037(b)(d)
 
3,677,000
3,687,682
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Avis Budget Rental Car Funding
(AESOP) LLC
 
Series 2023-1A, Class A, 5.25%,
04/20/2029(b)
$
718,000
$734,267
Series 2023-4A, Class A, 5.49%,
06/20/2029(b)
 
2,738,000
2,813,451
Series 2025-3A, Class A, 4.17%,
02/20/2030(b)
 
2,024,000
2,023,018
Series 2025-3A, Class B, 4.46%,
02/20/2030(b)
 
1,054,000
1,054,629
Series 2025-3A, Class C, 4.95%,
02/20/2030(b)
 
433,700
433,286
Series 2025-4A, Class A, 4.40%,
02/20/2032(b)
 
4,525,000
4,496,910
Series 2025-4A, Class B, 4.77%,
02/20/2032(b)
 
1,972,000
1,961,958
Series 2025-4A, Class C, 5.26%,
02/20/2032(b)
 
862,000
856,197
Bain Capital Credit CLO Ltd. (Cayman
Islands), Series 2021-1A, Class AR,
4.61% (3 mo. Term SOFR +
0.94%), 04/18/2034(b)(d)
 
2,267,000
2,267,746
Bank5, Series 2024-5YR10, Class A,
5.64%, 10/15/2057
 
1,020,000
1,046,820
Bayview MSR Opportunity Master
Fund Trust
 
Series 2021-4, Class A3, 3.00%,
10/25/2051(b)(i)
 
1,461,107
1,283,295
Series 2021-4, Class A4, 2.50%,
10/25/2051(b)(i)
 
1,461,107
1,230,154
Series 2021-4, Class A8, 2.50%,
10/25/2051(b)(i)
 
1,261,143
1,144,211
Series 2021-5, Class A1, 3.00%,
11/25/2051(b)(i)
 
1,592,001
1,397,148
Series 2021-5, Class A2, 2.50%,
11/25/2051(b)(i)
 
1,942,600
1,635,491
Bear Stearns Asset Backed Securities I
Trust, Series 2006-HE9, Class 2A,
4.07% (1 mo. Term SOFR +
0.39%), 11/25/2036(d)
 
60,174
59,497
Benchmark Mortgage Trust,
Series 2026-V20, Class AM, 5.44%,
02/15/2059
 
2,030,000
2,094,949
Benefit Street Partners CLO XXIII Ltd.
(Cayman Islands), Series 2021-23A,
Class A1R, 4.77% (3 mo. Term
SOFR + 1.10%), 04/25/2034(b)(d)
 
5,795,000
5,803,154
Benefit Street Partners CLO XXV Ltd.
(Cayman Islands), Series 2021-25A,
Class A1R, 4.67% (3 mo. Term
SOFR + 1.00%), 01/15/2035(b)(d)
 
5,715,000
5,717,880
BRAVO Residential Funding Trust
 
Series 2021-NQM2, Class A1,
0.97%, 03/25/2060(b)(i)
 
73,180
72,066
Series 2021-NQM2, Class A2,
1.28%, 03/25/2060(b)(i)
 
240,319
236,740
Buckhorn Park CLO Ltd. (Cayman
Islands), Series 2019-1A,
Class ARR, 4.74% (3 mo. Term
SOFR + 1.07%), 07/18/2034(b)(d)
 
3,826,000
3,829,378
 
Principal
Amount
Value
 
BX Commercial Mortgage Trust
 
Series 2024-VLT5, Class A, 5.59%,
11/13/2046(b)(i)
$
3,115,000
$3,176,471
Series 2024-VLT5, Class B, 5.99%,
11/13/2046(b)(i)
 
1,995,000
2,048,955
BX Trust
 
Series 2022-LBA6, Class B, 4.98%
(1 mo. Term SOFR + 1.30%),
01/15/2039(b)(d)
 
1,285,000
1,285,808
Series 2022-LBA6, Class C, 5.28%
(1 mo. Term SOFR + 1.60%),
01/15/2039(b)(d)
 
690,000
690,532
Series 2025-VLT6, Class B, 5.57%
(1 mo. Term SOFR + 1.89%),
03/15/2042(b)(d)
 
4,375,000
4,383,932
Carlyle Global Market Strategies CLO
Ltd. (Cayman Islands), Series 2016-
1A, Class A1R3, 4.76% (3 mo.
Term SOFR + 1.09%),
04/20/2034(b)(d)
 
2,500,000
2,501,175
CarMax Auto Owner Trust,
Series 2024-1, Class A3, 4.92%,
10/16/2028
 
3,114,814
3,138,812
Cedar Funding XI CLO Ltd. (Cayman
Islands), Series 2019-11A,
Class A1R2, 4.85% (3 mo. Term
SOFR + 1.06%), 05/29/2032(b)(d)
 
4,839,214
4,846,739
Chase Home Lending Mortgage Trust,
Series 2019-ATR2, Class A3,
3.50%, 07/25/2049(b)(i)
 
65,981
60,650
Citigroup Mortgage Loan Trust
 
Series 2021-INV3, Class A3,
2.50%, 05/25/2051(b)(i)
 
1,482,032
1,247,772
Series 2024-1, Class A3A, 6.00%,
07/25/2054(b)(i)
 
1,927,902
1,960,515
CLI Funding IX LLC, Series 2025-1A,
Class A, 5.35%, 06/20/2050(b)
 
2,021,711
2,053,654
Clover CLO LLC, Series 2021-3A,
Class AR, 4.74% (3 mo. Term SOFR
+ 1.07%), 01/25/2035(b)(d)
 
6,000,000
6,006,660
COLT Mortgage Loan Trust
 
Series 2022-1, Class A1, 2.28%,
12/27/2066(b)(i)
 
1,075,300
1,000,408
Series 2022-2, Class A1, 2.99%,
02/25/2067(b)
 
1,215,202
1,171,805
Series 2025-8, Class A1, 5.48%,
08/25/2070(b)
 
2,401,419
2,431,340
Credit Suisse Mortgage Capital Trust
 
Series 2021-NQM1, Class A1,
0.81%, 05/25/2065(b)(i)
 
296,281
271,244
Series 2021-NQM2, Class A1,
1.18%, 02/25/2066(b)(i)
 
185,868
168,263
Series 2022-ATH1, Class A1A,
2.87%, 01/25/2067(b)(i)
 
1,318,816
1,293,187
Series 2022-ATH1, Class A1B,
3.35%, 01/25/2067(b)(i)
 
1,160,000
1,090,855
Cross Mortgage Trust, Series 2024-
H8, Class A1, 5.55%,
12/25/2069(b)(i)
 
6,498,416
6,569,935
CSAIL Commercial Mortgage Trust,
Series 2020-C19, Class A3, 2.56%,
03/15/2053
 
1,459,000
1,333,893
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
DB Master Finance LLC
 
Series 2025-1A, Class A2I, 4.89%,
08/20/2055(b)
$
1,510,000
$1,510,307
Series 2025-1A, Class A2II, 5.17%,
08/20/2055(b)
 
1,160,000
1,161,017
DLLST LLC, Series 2024-1A,
Class A3, 5.05%, 08/20/2027(b)
 
1,279,088
1,284,770
Domino’s Pizza Master Issuer LLC
 
Series 2019-1A, Class A2, 3.67%,
10/25/2049(b)
 
1,920,000
1,859,730
Series 2025-1A, Class A2I, 4.93%,
07/25/2055(b)
 
3,281,775
3,300,390
Series 2025-1A, Class A2II, 5.22%,
07/25/2055(b)
 
2,822,925
2,843,228
Ellington Financial Mortgage Trust
 
Series 2019-2, Class A1, 2.74%,
11/25/2059(b)(i)
 
77,820
76,008
Series 2021-1, Class A1, 0.80%,
02/25/2066(b)(i)
 
202,835
179,217
Series 2022-1, Class A1, 2.21%,
01/25/2067(b)(i)
 
1,097,322
986,748
Series 2024-INV2, Class A1,
5.04%, 10/25/2069(b)
 
1,494,481
1,500,551
Series 2025-NQM2, Class A1,
5.60%, 06/25/2070(b)(i)
 
7,552,022
7,654,020
Elmwood CLO 15 Ltd., Series 2022-
2A, Class A1R, 4.82% (3 mo. Term
SOFR + 1.15%), 04/22/2035(b)(d)
 
2,280,000
2,282,125
Empower CLO Ltd. (Cayman Islands),
Series 2024-1A, Class A1, 5.27%
(3 mo. Term SOFR + 1.60%),
04/25/2037(b)(d)
 
2,575,000
2,582,081
Enterprise Fleet Financing LLC
 
Series 2024-2, Class A2, 5.74%,
12/20/2026(b)
 
236,474
237,194
Series 2024-2, Class A3, 5.61%,
04/20/2028(b)
 
440,000
447,271
Series 2024-2, Class A4, 5.69%,
12/20/2030(b)
 
515,000
531,446
Flagstar Mortgage Trust
 
Series 2021-11IN, Class A6,
3.70%, 11/25/2051(b)(i)
 
2,215,898
2,007,915
Series 2021-8INV, Class A6,
2.50%, 09/25/2051(b)(i)
 
787,792
718,559
Fort Greene Park CLO LLC,
Series 2025-2A, Class AR, 4.62%
(3 mo. Term SOFR + 0.95%),
04/22/2034(b)(d)
 
8,896,000
8,898,678
GCAT Trust
 
Series 2019-NQM3, Class A1,
3.69%, 11/25/2059(b)(i)
 
109,650
108,226
Series 2024-INV1, Class 2A2,
6.50%, 01/25/2054(b)(i)
 
5,157,110
5,287,298
Series 2025-NQM2, Class A1,
5.60%, 04/25/2070(b)
 
2,917,838
2,958,807
Series 2025-NQM4, Class A1A,
5.53%, 06/25/2070(b)
 
3,617,732
3,667,615
GGP Trust, Series 2026-TY, Class A,
4.67%, 03/05/2043(b)(i)
 
3,005,000
3,005,000
 
Principal
Amount
Value
 
Goldentree Loan Management US CLO
1 Ltd. (Cayman Islands),
Series 2017-1A, Class A1R3,
4.64% (3 mo. Term SOFR +
0.97%), 04/20/2034(b)(d)
$
1,539,000
$1,539,508
Goldentree Loan Management US CLO
11 Ltd. (Cayman Islands),
Series 2021-11A, Class AR, 4.75%
(3 mo. Term SOFR + 1.08%),
10/20/2034(b)(d)
 
3,090,000
3,091,307
GoldenTree Loan Management US
CLO 8 Ltd. (Cayman Islands),
Series 2020-8A, Class ARR, 4.82%
(3 mo. Term SOFR + 1.15%),
10/20/2034(b)(d)
 
5,223,000
5,229,853
Golub Capital Partners CLO 53(B) Ltd.
(Cayman Islands), Series 2021-53A,
Class AR, 4.65% (3 mo. Term SOFR
+ 0.98%), 07/20/2034(b)(d)
 
5,796,000
5,797,837
GS Mortgage-Backed Securities Trust
 
Series 2021-INV1, Class A6,
2.50%, 12/25/2051(b)(i)
 
3,181,122
2,883,029
Series 2025-HE1, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
10/25/2055(b)(d)
 
1,609,342
1,619,336
Hertz Vehicle Financing III L.P.
 
Series 2021-2A, Class A, 1.68%,
12/27/2027(b)
 
2,694,000
2,651,499
Series 2021-2A, Class B, 2.12%,
12/27/2027(b)
 
286,000
281,467
Hilton Grand Vacations Trust,
Series 2025-1A, Class A, 4.88%,
05/27/2042(b)
 
1,179,074
1,195,893
Invitation Homes Trust, Series 2024-
SFR1, Class A, 4.00%,
09/17/2041(b)
 
4,182,835
4,117,959
IP Mortgage Trust, Series 2025-IP,
Class A, 5.25%, 06/10/2042(b)(i)
 
5,716,000
5,823,613
J.P. Morgan Mortgage Trust,
Series 2025-NQM3, Class A1,
5.50%, 11/25/2065(b)(i)
 
3,538,716
3,580,921
JP Morgan Mortgage Trust
 
Series 2021-LTV2, Class A1,
2.52%, 05/25/2052(b)(i)
 
1,883,639
1,622,162
Series 2024-8, Class A3, 5.50%,
01/25/2055(b)(i)
 
4,193,754
4,230,601
Series 2024-VIS1, Class A1, 5.99%,
07/25/2064(b)(i)
 
1,800,037
1,819,566
Juniper Valley Park CLO Ltd. (Jersey),
Series 2023-1A, Class ARR, 4.75%
(3 mo. Term SOFR + 1.08%),
07/20/2036(b)(d)
 
4,090,000
4,100,507
KKR CLO 15 Ltd. (Cayman Islands),
Series 15, Class A1R2, 4.77% (3
mo. Term SOFR + 1.10%),
01/18/2032(b)(d)
 
3,247,841
3,249,416
Life Mortgage Trust, Series 2021-
BMR, Class C, 4.89% (1 mo. Term
SOFR + 1.21%), 03/15/2038(b)(d)
 
53,400
53,141
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Madison Park Funding XXXIII Ltd.
(Cayman Islands), Series 2019-33A,
Class AR, 4.96% (3 mo. Term SOFR
+ 1.29%), 10/15/2032(b)(d)
$
2,033,860
$2,037,330
Mello Mortgage Capital Acceptance
Trust
 
Series 2021-INV2, Class A4,
2.50%, 08/25/2051(b)(i)
 
817,780
740,636
Series 2021-INV3, Class A4,
2.50%, 10/25/2051(b)(i)
 
879,161
794,482
Merchants Fleet Funding LLC,
Series 2025-1A, Class A, 4.49%,
01/20/2039(b)
 
1,460,000
1,470,626
Metronet Infrastructure Issuer LLC
 
Series 2025-1A, Class A2, 6.01%,
07/20/2055(h)
 
2,750,000
2,819,544
Series 2025-4A, Class A2, 5.16%,
12/20/2055(b)
 
1,190,000
1,202,478
MFA Trust, Series 2021-INV2,
Class A1, 1.91%, 11/25/2056(b)(i)
 
2,835,963
2,617,017
MILE Trust
 
Series 2025-STNE, Class A, 5.18%
(1 mo. Term SOFR + 1.50%),
07/15/2042(b)(d)
 
4,695,000
4,707,723
Series 2025-STNE, Class B, 5.38%
(1 mo. Term SOFR + 1.70%),
07/15/2042(b)(d)
 
1,425,000
1,429,136
Series 2025-STNE, Class C, 5.78%
(1 mo. Term SOFR + 2.10%),
07/15/2042(b)(d)
 
1,200,000
1,203,927
Morgan Stanley Capital I Trust,
Series 2019-L3, Class AS, 3.49%,
11/15/2052
 
1,580,000
1,505,958
Morgan Stanley Residential Mortgage
Loan Trust, Series 2025-NQM1,
Class A1, 5.74%, 11/25/2069(b)(i)
 
7,234,908
7,335,902
Navient Refinance Loan Trust,
Series 2025-A, Class A, 5.15%,
02/16/2055(b)
 
5,991,739
6,070,734
New Residential Mortgage Loan Trust
 
Series 2019-NQM4, Class A1,
2.49%, 09/25/2059(b)(i)
 
84,468
81,758
Series 2020-NQM1, Class A1,
2.46%, 01/26/2060(b)(i)
 
342,895
325,190
Series 2022-NQM2, Class A1,
3.08%, 03/27/2062(b)(i)
 
1,162,280
1,106,657
Series 2024-NQM3, Class A1,
5.47%, 11/25/2064(b)
 
803,961
816,837
Series 2025-NQM2, Class A1,
5.57%, 04/25/2065(b)
 
8,299,539
8,422,422
NextGear Floorplan Master Owner
Trust, Series 2025-2A, Class A2,
4.23%, 10/15/2030(b)
 
1,310,000
1,316,000
Oaktree CLO Ltd. (Cayman Islands),
Series 2021-2A, Class AR, 4.64%
(3 mo. Term SOFR + 0.97%),
01/15/2035(b)(d)
 
6,445,000
6,440,405
OBX Trust
 
Series 2021-NQM4, Class A1,
1.96%, 10/25/2061(b)(i)
 
1,495,487
1,298,969
Series 2022-NQM1, Class A1,
2.31%, 11/25/2061(b)(i)
 
1,327,527
1,217,297
 
Principal
Amount
Value
 
Series 2022-NQM2, Class A1B,
3.38%, 01/25/2062(b)
$
1,415,000
$1,306,669
Series 2024-NQM14, Class A1,
4.94%, 09/25/2064(b)
 
1,529,341
1,535,424
Series 2024-NQM18, Class A1,
5.41%, 10/25/2064(b)(i)
 
982,670
991,941
Oceanview Mortgage Trust,
Series 2021-3, Class A5, 2.50%,
07/25/2051(b)(i)
 
926,638
840,860
Palmer Square Loan Funding Ltd.
(Cayman Islands), Series 2025-2A,
Class A1, 4.61% (3 mo. Term SOFR
+ 0.94%), 07/15/2033(b)(d)
 
4,583,290
4,587,631
Pikes Peak CLO 6 (Cayman Islands),
Series 2020-6A, Class ARR, 4.81%
(3 mo. Term SOFR + 0.94%),
05/18/2034(b)(d)
 
4,742,000
4,744,371
Planet Fitness Master Issuer LLC
 
Series 2025-1A, Class A2I, 5.27%,
12/06/2055(b)
 
4,100,000
4,137,204
Series 2025-1A, Class A2II, 5.65%,
12/06/2055(b)
 
3,300,000
3,305,895
PMT Loan Trust, Series 2025-INV1,
Class A7, 6.00%, 01/25/2060(b)(i)
 
1,362,634
1,388,841
Provident Funding Mortgage Trust,
Series 2025-4, Class A1, 6.00%,
09/25/2055(b)(i)
 
4,426,646
4,501,529
Qdoba Funding LLC, Series 2023-1A,
Class A2, 8.50%, 09/14/2053(b)
 
6,383,003
6,664,513
Rate Mortgage Trust
 
Series 2024-J4, Class A1, 6.00%,
12/25/2054(b)(i)
 
1,866,837
1,895,787
Series 2025-J1, Class A4, 6.00%,
03/25/2055(b)(i)
 
1,550,007
1,575,628
Series 2025-J2, Class A5, 5.50%,
07/25/2055(b)(i)
 
6,111,669
6,146,466
RCKT Mortgage Trust
 
Series 2025-CES6, Class A1A,
5.47%, 06/25/2055(b)
 
2,826,726
2,860,418
Series 2025-CES7, Class A1A,
5.38%, 07/25/2055(b)
 
1,369,600
1,384,788
Residential Mortgage Loan Trust,
Series 2020-1, Class A1, 2.38%,
01/26/2060(b)(i)
 
2,758
2,748
RR 16 Ltd. (Cayman Islands),
Series 2021-16A, Class A1R,
4.72% (3 mo. Term SOFR +
1.05%), 07/15/2036(b)(d)
 
2,910,000
2,911,862
SG Residential Mortgage Trust,
Series 2022-1, Class A1, 3.17%,
03/27/2062(b)(i)
 
2,123,136
2,018,465
Shackleton CLO Ltd. (Cayman
Islands), Series 2015-7RA,
Class ARR, 4.77% (3 mo. Term
SOFR + 1.10%), 07/15/2031(b)(d)
 
171,948
172,006
Signal Peak CLO 1 Ltd., Series 2014-
1A, Class AR4, 4.75% (3 mo. Term
SOFR + 1.08%), 04/17/2034(b)(d)
 
6,080,000
6,090,652
Signal Peak CLO 4 Ltd. (Cayman
Islands), Series 2017-4A,
Class AR2, 4.79% (3 mo. Term
SOFR + 1.12%), 10/26/2034(b)(d)
 
6,145,000
6,153,228
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Sonic Capital LLC
 
Series 2020-1A, Class A2I, 3.85%,
01/20/2050(b)
$
3,431,484
$3,401,350
Series 2021-1A, Class A2I, 2.19%,
08/20/2051(b)
 
1,760,267
1,646,195
Series 2021-1A, Class A2II, 2.64%,
08/20/2051(b)
 
1,798,534
1,565,921
STAR Trust, Series 2021-1, Class A1,
1.22%, 05/25/2065(b)(i)
 
485,719
459,935
Starwood Mortgage Residential Trust
 
Series 2020-1, Class A1, 2.28%,
02/25/2050(b)(i)
 
9,088
8,796
Series 2020-INV1, Class A1,
1.03%, 11/25/2055(b)(i)
 
191,590
184,447
Series 2021-6, Class A1, 1.92%,
11/25/2066(b)(i)
 
1,804,182
1,611,230
Series 2022-1, Class A1, 2.45%,
12/25/2066(b)(i)
 
1,376,801
1,250,211
Store Master Funding I-VII,
Series 2016-1A, Class A2, 4.32%,
10/20/2046(b)
 
409,609
405,751
Subway Funding LLC
 
Series 2024-1A, Class A23, 6.51%,
07/30/2054(b)
 
3,527,350
3,626,782
Series 2024-1A, Class A2I, 6.03%,
07/30/2054(b)
 
2,024,375
2,052,704
Series 2024-1A, Class A2I, 6.27%,
07/30/2054(b)
 
6,776,225
6,921,913
Series 2024-3A, Class A23, 5.91%,
07/30/2054(b)
 
3,964,813
3,915,633
Series 2024-3A, Class A2I, 5.25%,
07/30/2054(b)
 
5,011,563
4,994,050
Series 2024-3A, Class A2I, 5.57%,
07/30/2054(b)
 
3,071,125
3,063,794
Switch ABS Issuer LLC, Series 2025-
2A, Class A21, 5.12%,
10/25/2055(b)
 
1,800,000
1,797,223
Symphony CLO XVI Ltd. (Cayman
Islands), Series 2015-16A,
Class ARR, 4.87% (3 mo. Term
SOFR + 1.20%), 10/15/2031(b)(d)
 
296,271
296,644
Symphony CLO XX Ltd. (Cayman
Islands), Series 2018-20A,
Class AR2, 4.77% (3 mo. Term
SOFR + 1.10%), 01/16/2032(b)(d)
 
1,135,610
1,139,530
Symphony CLO XXI Ltd. (Cayman
Islands), Series 2019-21A,
Class AR2, 4.57% (3 mo. Term
SOFR + 0.90%), 07/15/2032(b)(d)
 
2,712,941
2,714,737
Symphony CLO XXII Ltd. (Cayman
Islands), Series 2020-22A,
Class A1AR, 4.85% (3 mo. Term
SOFR + 1.18%), 04/18/2033(b)(d)
 
2,705,682
2,707,005
Symphony CLO XXIII Ltd. (Cayman
Islands), Series 2020-23A,
Class AR2, 4.57% (3 mo. Term
SOFR + 0.90%), 01/15/2034(b)(d)
 
1,856,713
1,857,627
Taco Bell Funding LLC
 
Series 2025-1A, Class A2I, 4.82%,
08/25/2055(b)
 
2,320,000
2,313,631
Series 2025-1A, Class A2II, 5.05%,
08/25/2055(b)
 
1,230,000
1,231,120
 
Principal
Amount
Value
 
Textainer Marine Containers VII Ltd.
(China), Series 2021-2A, Class A,
2.23%, 04/20/2046(b)
$
998,200
$945,369
Thayer Park, CLO Ltd., Series 2017-
1A, Class A1RR, 4.67% (3 mo.
Term SOFR + 1.00%),
04/20/2034(b)(d)
 
2,850,000
2,855,130
TierPoint Issuer LLC
 
Series 2025-1A, Class A2, 6.15%,
04/26/2055(b)
 
4,120,000
4,183,457
Series 2025-2A, Class A2, 6.40%,
04/26/2055(b)
 
3,221,000
3,245,787
Tricon American Homes Trust,
Series 2020-SFR2, Class A, 1.48%,
11/17/2039(b)
 
891,201
849,955
Tricon Residential Trust, Series 2025-
SFR1, Class A, 4.78% (1 mo. Term
SOFR + 1.10%), 03/17/2042(b)(d)
 
4,619,653
4,623,855
VDCM Commercial Mortgage Trust
 
Series 2025-AZ, Class A, 5.23%,
07/13/2044(b)(i)
 
4,760,000
4,813,534
Series 2025-AZ, Class C, 6.03%,
07/13/2044(b)(i)
 
800,000
814,845
Series 2025-AZ, Class D, 6.43%,
07/13/2044(b)(i)
 
4,657,000
4,761,785
Verus Securitization Trust
 
Series 2021-1, Class A1B, 0.82%,
01/25/2066(b)(i)
 
558,869
512,938
Series 2021-2, Class A1, 1.03%,
02/25/2066(b)(i)
 
781,712
719,800
Series 2021-7, Class A1, 2.83%,
10/25/2066(b)
 
1,399,361
1,300,817
Series 2021-R1, Class A1, 0.82%,
10/25/2063(b)(i)
 
224,198
218,170
Series 2022-1, Class A1, 3.72%,
01/25/2067(b)
 
1,104,181
1,051,691
Series 2024-7, Class A1, 5.10%,
09/25/2069(b)(i)
 
2,154,932
2,166,016
Visio Trust, Series 2020-1R, Class A1,
1.31%, 11/25/2055(b)
 
67,979
66,167
Wells Fargo Commercial Mortgage
Trust, Series 2016-NXS5, Class XA,
IO, 1.12%, 01/15/2059(l)
 
26,577
1
Wendy’s Funding LLC, Series 2019-
1A, Class A2II, 4.08%,
06/15/2049(b)
 
439,948
430,904
WEST Trust, Series 2025-ROSE,
Class A, 5.28%, 04/10/2035(b)(i)
 
3,098,000
3,147,935
WFRBS Commercial Mortgage Trust,
Series 2014-C23, Class B, 4.28%,
10/15/2057(i)
 
307,000
297,737
Whetstone Park CLO Ltd.,
Series 2021-1A, Class A1R, 4.74%
(3 mo. Term SOFR + 1.07%),
01/20/2035(b)(d)
 
9,140,000
9,157,075
Zaxby’s Funding LLC
 
Series 2021-1A, Class A2, 3.24%,
07/30/2051(b)
 
4,106,500
3,919,160
Series 2024-1A, Class A2I, 6.59%,
04/30/2054(b)
 
1,182,000
1,210,755
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Zayo Issuer LLC
 
Series 2025-2A, Class A2, 5.95%,
06/20/2055(b)
$
7,989,000
$8,214,381
Series 2025-3A, Class A2, 5.57%,
10/20/2055(b)
 
2,703,000
2,728,569
Total Asset-Backed Securities
(Cost $472,625,960)
469,788,332
U.S. Treasury Securities-18.01%
U.S. Treasury Bills-0.88%(m)
3.53%–4.15%, 05/14/2026(n)
 
18,253,000
18,070,924
U.S. Treasury Bonds-5.49%
4.63%, 11/15/2045
 
10,650,100
10,359,719
4.75%, 08/15/2055
 
105,018,600
102,737,727
 
 
113,097,446
U.S. Treasury Notes-11.64%
3.38%, 12/31/2027
 
44,763,400
44,635,754
3.50%, 01/15/2029
 
32,338,600
32,246,385
3.63%, 12/31/2030
 
46,322,200
45,963,926
3.88%, 12/31/2032
 
13,142,100
13,027,107
4.00%, 11/15/2035
 
106,069,500
103,906,677
 
 
239,779,849
Total U.S. Treasury Securities
(Cost $373,043,099)
370,948,219
Variable Rate Senior Loan Interests-1.61%(o)(p)
Aerospace & Defense-0.05%
TransDigm, Inc., Term Loan M, 6.17%
(1 mo. Term SOFR+ 2.50%),
08/30/2032
 
1,024,100
1,024,490
Passenger Airlines-0.22%
AAdvantage Loyality IP Ltd.
(American Airlines, Inc.), Term Loan
B, 6.92% (3 mo. Term SOFR+
3.25%), 05/07/2032
 
4,461,585
4,475,528
Restaurants-0.94%
Raising Cane’s Restaurants LLC
 
Term Loan, 5.69% (1 mo. Term
SOFR+ 2.00%), 11/03/2032
 
10,755,000
10,741,610
Term Loan B, 5.67% (1 mo. Term
SOFR+ 2.00%), 09/10/2031
 
8,515,284
8,506,428
 
 
19,248,038
Wireless Telecommunication Services-0.40%
X Corp., Term Loan B, 9.50%,
10/27/2029
 
8,000,000
8,294,000
Total Variable Rate Senior Loan Interests
(Cost $32,713,215)
33,042,056
 
Shares
 
Exchange-Traded Funds-1.31%
Invesco Core Fixed Income ETF(q)
 
96,500
2,449,672
Invesco High Yield Bond Factor
ETF(c)(q)
 
178,200
4,042,467
Invesco High Yield Select ETF(c)(q)
 
9,000
231,345
Invesco Short Duration Total Return
Bond ETF(q)
 
803,300
20,235,127
Total Exchange-Traded Funds
(Cost $26,899,860)
26,958,611
 
Principal
Amount
Value
Municipal Obligations-0.61%
Illinois (State of), Series 2010-1, GO
Bonds, (INS - AGI), 6.63%,
02/01/2035(r)
$
153,846
$162,294
Los Angeles (City of), CA Department
of Water & Power, Series 2010, RB,
6.57%, 07/01/2045
 
255,000
276,206
Virgin Islands (Government of) Public
Finance Authority (Frenchman’s
Reef Hotel Development),
Series 2024 B, RB, 9.00%,
04/01/2053(b)
 
12,000,000
12,007,504
Total Municipal Obligations(s)
(Cost $12,520,914)
12,446,004
 
Shares
 
Preferred Stocks-0.41%
Aerospace & Defense-0.04%
Boeing Co. (The), Conv. Pfd., 6.00%,
10/15/2027
 
12,000
896,640
Diversified Banks-0.09%
Citigroup, Inc., Series II, Pfd., 6.25%
 
71,150
1,785,154
Diversified Financial Services-0.14%
Apollo Global Management, Inc., Pfd.,
7.63%, 09/15/2053(e)
 
111,250
2,932,550
Electric Utilities-0.02%
Southern Co. (The), Series A, Conv.
Pfd., 7.13%, 12/15/2028
 
7,000
358,750
Regional Banks-0.12%
M&T Bank Corp., Series J, Pfd.,
7.50%
 
91,792
2,466,451
Total Preferred Stocks
(Cost $7,804,800)
8,439,545
 
Principal
Amount
 
Agency Credit Risk Transfer Notes-0.15%
Fannie Mae Connecticut Avenue
Securities
 
Series 2023-R02, Class 1M1,
6.00% (30 Day Average SOFR +
2.30%), 01/25/2043(b)(d)(t)
$
408,716
417,658
Series 2025-R04, Class 1A1,
4.70% (30 Day Average SOFR +
1.00%), 05/25/2045(b)(d)(t)
 
1,956,594
1,959,363
Freddie Mac
 
Series 2023-DNA1, Class M1,
STACR®, 5.80% (30 Day Average
SOFR + 2.10%),
03/25/2043(b)(d)(u)
 
300,362
304,056
Series 2025-DNA4, Class A1,
STACR®, 4.60% (30 Day Average
SOFR + 0.90%),
10/25/2045(b)(d)(u)
 
474,813
475,232
Total Agency Credit Risk Transfer Notes
(Cost $3,140,484)
3,156,309
 
U.S. Government Sponsored Agency Securities-0.12%
Fannie Mae STRIPS
 
0.00%, 05/15/2029(j)
 
450,000
398,581
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
0.00%, 01/15/2030(j)
$
1,300,000
$1,120,473
0.00%, 05/15/2030(j)
 
850,000
720,050
Tennessee Valley Authority
 
5.38%, 04/01/2056(c)
 
100,000
101,392
4.25%, 09/15/2065(c)
 
250,000
205,972
Total U.S. Government Sponsored Agency Securities
(Cost $2,189,019)
2,546,468
Non-U.S. Dollar Denominated Bonds & Notes-0.02%(v)
Drug Retail-0.02%
Boots Group Finco L.P. (United
Kingdom), 5.38%, 08/31/2032(b)
(Cost $465,900)
EUR
400,000
491,987
 
Shares
 
Options Purchased-0.05%
(Cost $1,084,164)
929,190
Money Market Funds-7.81%
Invesco Government & Agency
Portfolio, Institutional Class,
3.61%(q)(w)
(Cost $160,867,202)
 
160,867,202
160,867,202
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-124.68%
(Cost $2,563,958,477)
2,567,575,285
 
Principal
Amount
Value
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-6.45%
Invesco Private Government Fund,
3.65%(q)(w)(x)
 
36,931,253
$36,931,253
Invesco Private Prime Fund,
3.80%(q)(w)(x)
 
95,916,019
95,944,794
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $132,876,047)
132,876,047
TOTAL INVESTMENTS IN SECURITIES-131.13%
(Cost $2,696,834,524)
2,700,451,332
OTHER ASSETS LESS LIABILITIES-(31.13)%
(641,071,060
)
NET ASSETS-100.00%
$2,059,380,272
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
AGI
-Assured Guaranty, Inc.
Conv.
-Convertible
Ctfs.
-Certificates
ETF
-Exchange-Traded Fund
EUR
-Euro
GO
-General Obligation
INS
-Insurer
IO
-Interest Only
Pfd.
-Preferred
RB
-Revenue Bonds
REIT
-Real Estate Investment Trust
SOFR
-Secured Overnight Financing Rate
STACR®
-Structured Agency Credit Risk
STRIPS
-Separately Traded Registered Interest and Principal Security
TBA
-To Be Announced
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(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 $849,702,477, which represented 41.26% of the Fund’s Net Assets.
(c)
All or a portion of this security was out on loan at January 31, 2026.
(d)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on January 31, 2026.
(e)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(f)
Perpetual bond with no specified maturity date.
(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 $171,704, which represented less than 1% of the Fund’s Net Assets.
(h)
Security valued using significant unobservable inputs (Level 3). See Note1.
(i)
Interest rate is redetermined periodically based on the cash flows generated by the pool of assets backing the security, less any applicable fees. The rate
shown is the rate in effect on January 31, 2026.
(j)
Denotes a zero coupon security issued at a substantial discount from its value at maturity.
(k)
Security purchased on a forward commitment basis. This security is subject to dollar roll transactions.
(l)
Interest only security. Principal amount shown is the notional principal and does not reflect the maturity value of the security. Interest rate is redetermined
periodically based on the cash flows generated by the pool of assets backing the security, less any applicable fees. The rate shown is the rate in effect on
January 31, 2026.
(m)
Security traded on a discount basis. The interest rate shown represents the discount rate at the time of purchase by the Fund.
(n)
All or a portion of the value was pledged as collateral to cover margin requirements for futures contracts.
(o)
Variable rate senior loan interests often require prepayments from excess cash flow or permit the borrower to repay at its election. The degree to which
borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with any accuracy. As a result, the actual remaining maturity
may be substantially less than the stated maturities shown. However, it is anticipated that the variable rate senior loan interests will have an expected average
life of three to five years.
(p)
Variable rate senior loan interests are, at present, not readily marketable, not registered under the 1933 Act and may be subject to contractual and legal
restrictions on sale. Variable rate senior loan interests in the Fund’s portfolio generally have variable rates which adjust to a base, such as the Secured
Overnight Financing Rate ("SOFR"), on set dates, typically every 30 days, but not greater than one year, and/or have interest rates that float at margin above
a widely recognized base lending rate such as the Prime Rate of a designated U.S. bank.
(q)
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 Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
 
Value
October 31, 2025
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
(Depreciation)
Realized
Gain
(Loss)
Value
January 31, 2026
Dividend Income
Invesco Core Fixed
Income ETF
$229,338
$2,226,460
$-
$(6,126
)
$-
$2,449,672
$12,495
Invesco High Yield
Bond Factor ETF
2,510,551
1,525,501
-
6,415
-
4,042,467
56,065
Invesco High Yield
Select ETF
231,371
-
(630
)
(26
)
630
231,345
3,697
Invesco Short
Duration Total Return
Bond ETF
7,866,368
12,315,294
-
53,465
-
20,235,127
206,021
Investments in
Affiliated Money
Market Funds:
Invesco Government &
Agency Portfolio,
Institutional Class
-
609,249,307
(448,382,105
)
-
-
160,867,202
725,202
Investments
Purchased with Cash
Collateral from
Securities on Loan:
Invesco Private
Government Fund
33,601,272
79,673,731
(76,343,750
)
-
-
36,931,253
333,587
*
Invesco Private Prime
Fund
96,659,440
155,679,093
(156,393,739
)
813
(813
)
95,944,794
907,360
*
Total
$141,098,340
$860,669,386
$(681,120,224
)
$54,541
$(183
)
$320,701,860
$2,244,427
*
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.
(r)
Principal and/or interest payments are secured by the bond insurance company listed.
(s)
Entities may either issue, guarantee, back or otherwise enhance the credit quality of a security. The entities are not primarily responsible for the issuer’s
obligations but may be called upon to satisfy the issuer’s obligations. No concentration of any single entity was greater than 5% each.
(t)
CAS notes are bonds issued by Fannie Mae. The amount of periodic principal and ultimate principal paid by Fannie Mae is determined by the performance of a
large and diverse reference pool.
(u)
Principal payments are determined by the delinquency and principal payment experience on the STACR® reference pool. Freddie Mac transfers credit risk from
the mortgages in the reference pool to credit investors who invest in the STACR® debt notes.
(v)
Foreign denominated security. Principal amount is denominated in the currency indicated.
(w)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(x)
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 table below details options purchased.
Open Exchange-Traded Index Options Purchased
Description
Type of
Contract
Expiration Date
Number of
Contracts
Exercise Price
Notional
Value*
Value
Equity Risk
S&P 500 Index
Call
05/15/2026
47
$7,050
$33,135,000
$929,190
*
Notional Value is calculated by multiplying the Number of Contracts by the Exercise Price by the multiplier.
Open Futures Contracts
Long Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
Interest Rate Risk
 
U.S. Treasury 2 Year Notes
1,606
March-2026
$334,838,454
$(301,748
)
$(301,748
)
See accompanying notes which are an integral part of this schedule.

Invesco Total Return Bond ETF (GTO)—(continued)
January 31, 2026
(Unaudited)
Open Futures Contracts—(continued)
Long Futures Contracts—(continued)
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
U.S. Treasury Long Bonds
71
March-2026
$8,173,875
$(26,137
)
$(26,137
)
U.S. Treasury Ultra Bonds
248
March-2026
29,124,500
(175,360
)
(175,360
)
Subtotal—Long Futures Contracts
 
(503,245
)
(503,245
)
Short Futures Contracts
 
 
 
 
 
Interest Rate Risk
 
U.S. Treasury 5 Year Notes
302
March-2026
(32,896,766
)
(2,464
)
(2,464
)
U.S. Treasury 10 Year Notes
1,134
March-2026
(126,813,094
)
763,645
763,645
U.S. Treasury 10 Year Ultra Notes
640
March-2026
(73,060,000
)
280,719
280,719
Subtotal—Short Futures Contracts
 
1,041,900
1,041,900
Total Futures Contracts
$538,655
$538,655
Open Forward Foreign Currency Contracts
Settlement Date
Counterparty
Contract to
Unrealized
Appreciation
(Depreciation)
Deliver
Receive
Currency Risk
 
 
 
4/28/2026
Canadian Imperial Bank of Commerce
GBP
375,000
USD
506,147
$(8,384
)
4/28/2026
Goldman Sachs International
EUR
355,000
USD
418,779
(5,276
)
Total Forward Foreign Currency Contracts
$(13,660
)
Abbreviations:
EUR
—Euro
GBP
—British Pound Sterling
USD
—U.S. Dollar
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(a)
Invesco Ultra Short Duration ETF (GSY)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-57.47%
Aerospace & Defense-0.34%
L3Harris Technologies, Inc., 5.40%,
01/15/2027
$
11,141,000
$11,297,224
Agricultural & Farm Machinery-0.72%
John Deere Capital Corp.
 
4.17% (SOFR + 0.44%), 03/06/2026(b)
 
12,000,000
12,003,700
4.23% (SOFR + 0.50%),
03/06/2028(b)(c)
 
12,000,000
12,054,640
 
 
24,058,340
Agricultural Products & Services-0.36%
Cargill, Inc., 4.42% (SOFR + 0.61%),
02/11/2028(b)(d)
 
12,000,000
12,029,367
Application Software-0.14%
Roper Technologies, Inc., 4.25%,
09/15/2028
 
1,524,000
1,532,969
Synopsys, Inc., 4.55%, 04/01/2027
 
3,000,000
3,021,984
 
 
4,554,953
Asset Management & Custody Banks-1.38%
Ares Capital Corp., 7.00%, 01/15/2027
 
13,829,000
14,202,398
Blue Owl Capital Corp.
 
3.40% 07/15/2026
 
8,000,000
7,957,218
2.63% 01/15/2027
 
9,500,000
9,305,614
Golub Capital BDC, Inc., 2.05%,
02/15/2027
 
11,000,000
10,726,489
Golub Capital Private Credit Fund, 5.45%,
08/15/2028(d)
 
2,453,000
2,469,705
State Street Corp., 4.54%, 04/24/2028(e)
 
1,719,000
1,733,299
 
 
46,394,723
Automobile Manufacturers-3.83%
American Honda Finance Corp.
 
4.42% (SOFR + 0.72%), 10/05/2026(b)
 
10,000,000
10,027,204
4.57% (SOFR + 0.87%), 07/09/2027(b)
 
12,000,000
12,064,895
4.55% (SOFR + 0.82%), 03/03/2028(b)
 
12,000,000
12,029,397
Daimler Truck Finance North America LLC
(Germany)
 
4.30% 08/12/2027(d)
 
5,015,000
5,040,772
5.13% 09/25/2027(d)
 
5,905,000
6,007,562
Hyundai Capital America
 
4.88% 06/23/2027(d)
 
8,590,000
8,684,705
5.28% 06/24/2027(d)
 
16,000,000
16,260,308
Mercedes-Benz Finance North America LLC
(Germany)
 
4.48% (SOFR + 0.78%),
04/01/2027(b)(d)
 
12,000,000
12,049,388
4.65% 04/01/2027(d)
 
4,000,000
4,035,436
Toyota Motor Credit Corp.
 
4.15% (SOFR + 0.45%), 04/10/2026(b)
 
12,000,000
12,007,174
4.58% (SOFR + 0.77%), 08/07/2026(b)
 
5,000,000
5,014,866
Volkswagen Group of America Finance LLC
(Germany)
 
4.53% (SOFR + 0.83%),
03/20/2026(b)(d)
 
15,000,000
15,007,229
4.85% (SOFR + 1.06%),
08/14/2026(b)(d)
 
5,000,000
5,016,881
4.45% 09/11/2027(d)
 
5,600,000
5,619,889
 
 
128,865,706
 
Principal
Amount
Value
Automotive Parts & Equipment-0.22%
BMW US Capital LLC (Germany), 4.60%
(SOFR + 0.80%), 08/13/2026(b)(d)
$
7,207,000
$7,229,333
Broadline Retail-0.73%
Amazon.com, Inc., 3.90%, 11/20/2028(c)
 
13,889,000
13,941,597
eBay, Inc.
 
1.40% 05/10/2026
 
5,250,000
5,215,415
4.25% 03/06/2029
 
5,514,000
5,537,681
 
 
24,694,693
Commercial & Residential Mortgage Finance-0.50%
Aviation Capital Group LLC
 
4.75% 04/14/2027(d)
 
2,904,000
2,920,891
4.25% 04/30/2029(d)
 
1,941,000
1,934,459
Nationwide Building Society (United
Kingdom), 4.77% (SOFR + 1.07%),
07/14/2029(b)(d)
 
12,000,000
12,066,103
 
 
16,921,453
Computer & Electronics Retail-0.08%
Dell International LLC/EMC Corp., 6.02%,
06/15/2026
 
2,800,000
2,808,203
Construction Machinery & Heavy Transportation Equipment-0.73%
Caterpillar Financial Services Corp.
 
4.22% (SOFR + 0.53%),
07/07/2027(b)(c)
 
14,000,000
14,074,625
Series K, 4.10% 08/15/2028
 
10,480,000
10,566,565
 
 
24,641,190
Consumer Finance-0.83%
Capital One Financial Corp., 4.93%,
05/10/2028(e)
 
7,000,000
7,074,040
General Motors Financial Co., Inc.
 
5.00% 07/15/2027
 
4,000,000
4,051,013
4.87% (SOFR + 1.17%), 04/04/2028(b)
 
16,800,000
16,857,908
 
 
27,982,961
Data Processing & Outsourced Services-0.30%
Concentrix Corp., 6.65%, 08/02/2026
 
10,000,000
10,096,872
Diversified Banks-17.98%
Australia and New Zealand Banking Group
Ltd. (Australia), 4.31% (SOFR + 0.59%),
12/08/2028(b)(c)(d)
 
5,854,000
5,873,826
Bank of America Corp.
 
3.71% 04/24/2028(e)
 
11,250,000
11,205,459
4.62% 05/09/2029(e)
 
4,033,000
4,087,535
Bank of America N.A., 5.53%,
08/18/2026
 
12,000,000
12,094,542
Bank of Montreal (Canada), 4.87% (SOFR
+ 1.16%), 12/11/2026(b)
 
10,000,000
10,073,921
Bank of Nova Scotia (The) (Canada),
1.35%, 06/24/2026(c)
 
11,500,000
11,391,050
Barclays PLC (United Kingdom)
 
5.83% 05/09/2027(e)
 
12,000,000
12,054,855
6.50% 09/13/2027(e)
 
12,000,000
12,173,547
4.34% 01/10/2028
 
5,200,000
5,214,602
Canadian Imperial Bank of Commerce
(Canada)
 
4.92% (SOFR + 1.22%), 10/02/2026(b)
 
10,000,000
10,063,744
4.64% (SOFR + 0.93%), 09/11/2027(b)
 
10,000,000
10,030,346
4.52% (SOFR + 0.80%), 09/08/2028(b)
 
10,000,000
10,024,293
4.51% (SOFR + 0.80%), 01/29/2030(b)
 
20,000,000
20,049,947
Citibank N.A., 5.49%, 12/04/2026
 
9,783,000
9,908,742
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Banks-(continued)
Citigroup, Inc., 4.64%, 05/07/2028(e)
$
12,000,000
$12,093,484
Citizens Bank N.A., 4.19%, 01/29/2029(e)
 
8,800,000
8,815,709
Cooperatieve Rabobank U.A.
(Netherlands), 4.35% (SOFR + 0.59%),
05/27/2027(b)
 
10,715,000
10,757,360
Credit Agricole S.A. (France)
 
4.92% (SOFR + 1.21%),
09/11/2028(b)(d)
 
6,000,000
6,043,476
4.83% (SOFR + 1.13%),
01/09/2029(b)(d)
 
7,000,000
7,047,765
Fifth Third Bank N.A., 4.51% (SOFR +
0.81%), 01/28/2028(b)
 
6,366,000
6,379,677
HSBC USA, Inc., 4.70% (SOFR + 0.97%),
06/03/2028(b)
 
7,826,000
7,890,719
Huntington National Bank (The), 4.42%
(SOFR + 0.72%), 04/12/2028(b)
 
8,276,000
8,283,457
ING Groep N.V. (Netherlands), 1.73%,
04/01/2027(c)(e)
 
6,750,000
6,726,457
JPMorgan Chase & Co.
 
4.90% (SOFR + 1.20%), 01/23/2028(b)
 
5,556,000
5,594,701
2.95% 02/24/2028(e)
 
6,000,000
5,936,720
4.62% (SOFR + 0.92%), 04/22/2028(b)
 
10,000,000
10,058,265
3.54% 05/01/2028(e)
 
8,866,000
8,821,131
Lloyds Banking Group PLC (United
Kingdom), 5.40% (SOFR + 1.56%),
08/07/2027(b)
 
9,474,000
9,533,087
Macquarie Bank Ltd. (Australia)
 
4.92% (SOFR + 1.20%),
12/07/2026(b)(d)
 
6,213,000
6,260,973
4.19% (SOFR + 0.48%),
02/03/2028(b)(d)
 
8,642,000
8,649,469
Mitsubishi UFJ Financial Group, Inc.
(Japan), 1.64%, 10/13/2027(e)
 
5,553,000
5,463,455
Mizuho Markets Cayman L.P. (Japan),
4.64% (SOFR + 0.85%), 08/14/2026(b)
 
10,000,000
10,029,258
Morgan Stanley Bank N.A.
 
4.38% (SOFR + 0.69%), 10/15/2027(b)
 
10,000,000
10,018,740
4.78% (SOFR + 1.08%), 01/14/2028(b)
 
10,000,000
10,068,867
Morgan Stanley Private Bank N.A., 4.46%
(SOFR + 0.77%), 07/06/2028(b)
 
8,363,000
8,389,682
National Bank of Canada (Canada)
 
4.57% (SOFR + 0.80%), 08/20/2026(b)
 
10,000,000
10,001,558
4.73% (SOFR + 1.03%), 07/02/2027(b)
 
5,797,000
5,810,086
5.60% 07/02/2027(e)
 
7,000,000
7,045,443
4.17% 01/20/2029(c)(e)
 
12,699,000
12,730,411
PNC Bank N.A.
 
4.54% 05/13/2027(e)
 
8,371,000
8,382,656
4.43% (SOFR + 0.73%), 07/21/2028(b)
 
3,159,000
3,167,509
PNC Financial Services Group, Inc. (The)
 
5.10% 07/23/2027(e)
 
13,200,000
13,271,450
4.32% (SOFR + 0.62%), 01/26/2029(b)
 
8,163,000
8,177,554
Royal Bank of Canada (Canada)
 
4.65% (SOFR + 0.95%), 01/19/2027(b)
 
8,333,000
8,385,805
4.42% (SOFR + 0.72%), 10/18/2027(b)
 
15,000,000
15,049,409
4.50% 08/06/2029(e)
 
9,600,000
9,703,805
Santander UK Group Holdings PLC (United
Kingdom), 6.53%, 01/10/2029(e)
 
12,500,000
13,052,320
Societe Generale S.A. (France), 5.11%
(SOFR + 1.41%), 04/13/2029(b)(d)
 
12,000,000
12,104,906
Sumitomo Mitsui Financial Group, Inc.
(Japan), 4.11%, 01/15/2029
 
7,305,000
7,308,029
 
Principal
Amount
Value
Diversified Banks-(continued)
Sumitomo Mitsui Trust Bank Ltd. (Japan)
 
5.20% 03/07/2027(d)
$
4,372,000
$4,434,934
4.47% (SOFR + 0.75%),
09/11/2028(b)(d)
 
2,163,000
2,171,920
Svenska Handelsbanken AB (Sweden),
4.51% (SOFR + 0.74%),
05/23/2028(b)(d)
 
7,826,000
7,871,276
Swedbank AB (Sweden)
 
5.08% (SOFR + 1.38%),
06/15/2026(b)(d)
 
15,000,000
15,067,858
6.14% 09/12/2026(d)
 
4,065,000
4,118,718
Toronto-Dominion Bank (The) (Canada)
 
4.78% (SOFR + 1.08%), 07/17/2026(b)
 
12,500,000
12,548,227
4.70% (SOFR + 1.00%), 10/20/2026(b)
 
9,800,000
9,802,472
4.53% (SOFR + 0.82%), 01/31/2028(b)
 
10,550,000
10,609,716
4.66% (SOFR + 0.91%), 06/02/2028(b)
 
12,000,000
12,084,550
Truist Bank
 
4.47% (SOFR + 0.77%), 07/24/2028(b)
 
11,709,000
11,748,745
4.36% (SOFR + 0.66%), 01/27/2029(b)
 
20,000,000
19,994,286
U.S. Bank N.A., 4.70% (SOFR + 0.91%),
05/15/2028(b)
 
12,000,000
12,062,745
Wells Fargo & Co.
 
4.48% (SOFR + 0.78%), 01/24/2028(b)
 
8,953,000
8,978,399
4.77% (SOFR + 1.07%), 04/22/2028(b)
 
10,000,000
10,056,278
2.39% 06/02/2028(e)
 
12,000,000
11,752,983
 
 
604,602,909
Diversified Capital Markets-0.42%
Deutsche Bank AG (Germany), 4.91%
(SOFR + 1.21%), 01/10/2029(b)
 
14,000,000
14,100,544
Diversified Metals & Mining-0.87%
BHP Billiton Finance (USA) Ltd. (Australia),
5.25%, 09/08/2026
 
14,815,000
14,944,101
Glencore Funding LLC (Australia)
 
4.45% (SOFR + 0.75%),
10/01/2026(b)(d)
 
6,429,000
6,442,770
4.76% (SOFR + 1.06%),
04/04/2027(b)(d)
 
5,682,000
5,709,974
Rio Tinto Finance (USA) PLC (Australia),
4.38%, 03/12/2027
 
2,089,000
2,104,285
 
 
29,201,130
Diversified Support Services-0.25%
Element Fleet Management Corp.
(Canada), 6.27%, 06/26/2026(d)
 
8,433,000
8,494,169
Electric Utilities-1.20%
Evergy Missouri West, Inc., 5.15%,
12/15/2027(d)
 
5,191,000
5,286,910
National Rural Utilities Cooperative Finance
Corp., 4.52% (SOFR + 0.82%),
09/16/2027(b)
 
10,000,000
10,067,103
NextEra Energy Capital Holdings, Inc.,
4.51% (SOFR + 0.80%), 02/04/2028(b)
 
8,796,000
8,849,763
Pinnacle West Capital Corp.
 
4.53% (SOFR + 0.82%), 06/10/2026(b)
 
15,294,000
15,316,692
4.90% 05/15/2028
 
779,000
793,541
 
 
40,314,009
Electronic Components-0.45%
Amphenol Corp., 4.34% (SOFR + 0.53%),
11/15/2027(b)
 
15,000,000
15,040,617
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Fertilizers & Agricultural Chemicals-0.21%
Nutrien Ltd. (Canada), 4.50%,
03/12/2027
$
7,165,000
$7,207,305
Health Care Services-0.30%
CVS Health Corp., 5.00%, 02/20/2026
 
10,235,000
10,237,325
Home Improvement Retail-0.14%
Home Depot, Inc. (The), 5.15%,
06/25/2026
 
4,505,000
4,530,628
Hotels, Resorts & Cruise Lines-0.06%
Marriott International, Inc., 4.20%,
07/15/2027
 
2,051,000
2,058,495
Integrated Telecommunication Services-0.72%
AT&T, Inc., 2.30%, 06/01/2027
 
7,000,000
6,859,024
NTT Finance Corp. (Japan), 4.78% (SOFR
+ 1.08%), 07/16/2028(b)(d)
 
7,000,000
7,073,265
Verizon Communications, Inc., 4.49%
(SOFR + 0.79%), 03/20/2026(b)
 
10,134,000
10,141,004
 
 
24,073,293
Interactive Media & Services-0.13%
Alphabet, Inc., 4.33% (SOFR + 0.52%),
11/15/2028(b)
 
4,364,000
4,400,221
Investment Banking & Brokerage-2.97%
Charles Schwab Corp. (The), 4.32% (SOFR
+ 0.52%), 05/13/2026(b)
 
5,251,000
5,254,395
Citigroup Global Markets Holdings Inc.,
4.22% (SOFR + 0.50%), 01/06/2027(b)
 
15,100,000
15,098,620
Goldman Sachs Group, Inc. (The)
 
1.43% 03/09/2027(e)
 
13,000,000
12,964,911
4.94% 04/23/2028(e)
 
15,925,000
16,099,402
Jefferies Financial Group, Inc.
 
4.75% 08/11/2026(c)
 
13,269,000
13,269,159
4.50% 09/15/2026(c)
 
15,000,000
15,043,518
Morgan Stanley
 
4.72% (SOFR + 1.02%), 04/13/2028(b)
 
10,000,000
10,054,471
5.08% (SOFR + 1.38%), 04/12/2029(b)
 
12,000,000
12,170,624
 
 
99,955,100
Leisure Products-0.30%
Hasbro, Inc., 3.55%, 11/19/2026(c)
 
10,000,000
9,972,687
Life & Health Insurance-10.23%
Athene Global Funding
 
5.62% 05/08/2026(d)
 
12,000,000
12,047,929
1.61% 06/29/2026(d)
 
12,000,000
11,879,863
4.79% (SOFR + 1.03%),
08/27/2026(b)(d)
 
10,000,000
10,031,334
2.95% 11/12/2026(d)
 
5,000,000
4,956,031
4.52% (SOFR + 0.83%),
01/07/2027(b)(d)
 
10,000,000
10,020,359
5.52% 03/25/2027(d)
 
12,711,000
12,903,611
Brighthouse Financial Global Funding,
5.55%, 04/09/2027(d)
 
8,150,000
8,255,128
CNO Global Funding, 4.88%,
12/10/2027(d)
 
4,918,000
4,981,780
Corebridge Global Funding
 
5.75% 07/02/2026(d)
 
6,336,000
6,384,104
5.00% (SOFR + 1.30%),
09/25/2026(b)(d)
 
10,000,000
10,066,239
4.44% (SOFR + 0.75%),
01/07/2028(b)(d)
 
10,000,000
10,004,765
4.25% 08/21/2028(d)
 
3,653,000
3,664,728
 
Principal
Amount
Value
Life & Health Insurance-(continued)
Equitable America Global Funding
 
3.95% 09/15/2027(d)
$
6,263,000
$6,256,042
4.30% 12/15/2028(d)
 
15,000,000
15,067,113
F&G Global Funding
 
5.88% 06/10/2027(d)
 
7,514,000
7,672,376
4.65% 09/08/2028(d)
 
3,209,000
3,232,062
4.50% 01/09/2029(d)
 
16,129,000
16,135,659
GA Global Funding Trust
 
4.40% 09/23/2027(d)
 
20,700,000
20,778,392
5.50% 01/08/2029(d)
 
8,072,000
8,307,717
Jackson National Life Global Funding
 
5.55% 07/02/2027(d)
 
6,719,000
6,853,103
4.67% (SOFR + 0.97%),
01/14/2028(b)(d)
 
4,000,000
4,023,255
MassMutual Global Funding II
 
4.48% (SOFR + 0.77%),
01/29/2027(b)(d)
 
10,700,000
10,747,049
4.44% (SOFR + 0.74%),
04/09/2027(b)(d)
 
10,000,000
10,053,140
4.39% (SOFR + 0.68%),
08/01/2028(b)(d)
 
6,000,000
6,020,871
Met Tower Global Funding
 
5.40% 06/20/2026(d)
 
12,000,000
12,069,310
4.00% 01/14/2029(d)
 
11,539,000
11,522,420
New York Life Global Funding
 
4.37% (SOFR + 0.67%),
04/02/2027(b)(d)
 
15,000,000
15,062,917
4.40% 04/25/2028(d)
 
4,434,000
4,483,965
Northwestern Mutual Global Funding,
4.43% (SOFR + 0.66%),
08/25/2028(b)(d)
 
8,750,000
8,774,852
Pacific Life Global Funding II
 
4.30% (SOFR + 0.60%),
03/27/2026(b)(c)(d)
 
9,750,000
9,756,386
4.35% (SOFR + 0.62%),
06/04/2026(b)(d)
 
6,420,000
6,429,058
4.75% (SOFR + 1.05%),
07/28/2026(b)(d)
 
12,500,000
12,550,908
4.45% 05/01/2028(d)
 
11,321,000
11,452,962
Principal Financial Group, Inc., 4.11%,
02/15/2028(d)
 
3,120,000
3,119,243
Principal Life Global Funding II
 
5.00% 01/16/2027(d)
 
3,000,000
3,032,125
4.25% 08/18/2028(d)
 
5,217,000
5,236,132
Protective Life Global Funding, 4.56%
(SOFR + 0.85%), 09/11/2028(b)(d)
 
12,855,000
12,901,111
Reliance Standard Life Global Funding II,
5.24%, 02/02/2026(d)
 
7,125,000
7,125,000
 
 
343,859,039
Multi-line Insurance-0.42%
Metropolitan Life Global Funding I, 4.15%,
08/25/2028(c)(d)
 
3,920,000
3,939,890
USAA Capital Corp., 5.25%,
06/01/2027(d)
 
10,000,000
10,199,502
 
 
14,139,392
Oil & Gas Refining & Marketing-0.05%
Phillips 66, 1.30%, 02/15/2026
 
1,799,000
1,796,686
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Oil & Gas Storage & Transportation-2.12%
Enbridge, Inc. (Canada)
 
5.90% 11/15/2026
$
8,300,000
$8,418,240
5.25% 04/05/2027
 
4,666,000
4,731,962
4.60% 06/20/2028
 
3,485,000
3,534,109
4.20% 11/20/2028
 
5,769,000
5,787,378
Energy Transfer L.P., 5.55%, 02/15/2028
 
15,000,000
15,433,868
Kinder Morgan, Inc., 1.75%, 11/15/2026
 
12,698,000
12,487,801
MPLX L.P., 1.75%, 03/01/2026
 
12,336,000
12,313,545
Williams Cos., Inc. (The), 5.40%,
03/02/2026
 
8,598,000
8,610,235
 
 
71,317,138
Packaged Foods & Meats-0.53%
Campbell’s Co. (The), 5.30%, 03/20/2026
 
10,352,000
10,368,979
Mars, Inc., 4.45%, 03/01/2027(d)
 
7,446,000
7,502,034
 
 
17,871,013
Passenger Airlines-0.11%
Delta Air Lines, Inc., 4.95%, 07/10/2028
 
3,614,000
3,676,967
Pharmaceuticals-1.39%
Bristol-Myers Squibb Co., 4.27% (SOFR +
0.49%), 02/20/2026(b)
 
4,651,000
4,651,623
Eli Lilly and Co., 4.23% (SOFR + 0.53%),
10/15/2028(b)
 
14,000,000
14,099,837
GlaxoSmithKline Capital PLC (United
Kingdom), 4.20% (SOFR + 0.50%),
03/12/2027(b)
 
7,912,000
7,941,833
Merck & Co., Inc., 4.30% (SOFR + 0.57%),
03/15/2029(b)
 
10,200,000
10,234,609
Pfizer, Inc., 4.28% (SOFR + 0.50%),
11/15/2027(b)
 
4,039,000
4,056,106
Zoetis, Inc., 4.15%, 08/17/2028
 
5,769,000
5,803,607
 
 
46,787,615
Regional Banks-0.80%
Truist Financial Corp., 1.27%,
03/02/2027(e)
 
12,000,000
11,972,267
Zions Bancorp. N.A., 4.70%,
08/18/2028(e)
 
15,015,000
15,054,696
 
 
27,026,963
Restaurants-0.36%
Starbucks Corp., 4.75%, 02/15/2026
 
12,000,000
12,002,311
Retail REITs-0.37%
Realty Income Corp., 4.45%, 09/15/2026
 
12,335,000
12,361,158
Self-Storage REITs-0.30%
Public Storage Operating Co., 4.40%
(SOFR + 0.70%), 04/16/2027(b)
 
10,000,000
10,036,275
Semiconductors-0.71%
Advanced Micro Devices, Inc., 4.21%,
09/24/2026
 
12,000,000
12,036,590
NXP BV/NXP Funding LLC/NXP USA, Inc.
(Netherlands), 3.88%, 06/18/2026
 
12,000,000
11,995,137
 
 
24,031,727
Soft Drinks & Non-alcoholic Beverages-0.51%
Keurig Dr Pepper, Inc.
 
4.37% (SOFR + 0.58%), 11/15/2026(b)
 
12,000,000
12,006,865
4.58% (SOFR + 0.88%), 03/15/2027(b)
 
5,000,000
5,009,048
 
 
17,015,913
 
Principal
Amount
Value
Specialized Finance-0.48%
Blackstone Private Credit Fund, 2.63%,
12/15/2026
$
16,490,000
$16,240,047
Systems Software-1.03%
Oracle Corp.
 
1.65% 03/25/2026
 
15,000,000
14,947,469
2.65% 07/15/2026
 
9,000,000
8,939,474
VMware LLC, 1.40%, 08/15/2026
 
11,000,000
10,857,658
 
 
34,744,601
Technology Hardware, Storage & Peripherals-0.77%
Hewlett Packard Enterprise Co., 4.05%,
09/15/2027
 
14,000,000
14,015,137
HP, Inc., 1.45%, 06/17/2026
 
12,000,000
11,883,782
 
 
25,898,919
Telecom Tower REITs-0.77%
American Tower Corp.
 
1.60% 04/15/2026
 
13,250,000
13,187,923
1.45% 09/15/2026
 
13,000,000
12,800,227
 
 
25,988,150
Trading Companies & Distributors-0.30%
Air Lease Corp., 1.88%, 08/15/2026
 
10,300,000
10,181,793
Transaction & Payment Processing Services-0.06%
PayPal Holdings, Inc., 4.39% (SOFR +
0.67%), 03/06/2028(b)
 
1,851,000
1,857,160
Total U.S. Dollar Denominated Bonds & Notes
(Cost $1,923,578,701)
1,932,596,317
 
Asset-Backed Securities-16.49%
Amur Equipment Finance Receivables
XII LLC, Series 2023-1A, Class A2,
6.09%, 12/20/2029(d)
 
3,611,944
3,640,554
Angel Oak Mortgage Trust
 
Series 2020-1, Class A1, 2.16%,
12/25/2059(d)(f)
 
493,179
483,968
Series 2020-5, Class A1, 1.37%,
05/25/2065(d)(f)
 
820,964
796,789
Series 2024-8, Class A1, 5.34%,
05/27/2069(d)
 
6,729,815
6,778,559
Series 2025-2, Class A1, 5.64%,
02/25/2070(d)
 
12,780,693
12,928,935
Ares LIII CLO Ltd. (Cayman Islands),
Series 2019-53A, Class A1R2, 4.76% (3
mo. Term SOFR + 1.09%),
10/24/2036(b)(d)
 
12,000,000
12,019,260
AutoNation Finance Trust
 
Series 2025-1A, Class A2, 4.72%,
04/10/2028(d)
 
4,285,991
4,295,434
Series 2026-1A, Class A2, 3.95%,
01/11/2029(d)
 
4,650,000
4,654,992
Barings CLO Ltd. (Cayman Islands),
Series 2021-2A, Class A1R, 4.74% (3
mo. Term SOFR + 1.07%),
07/15/2034(b)(d)
 
12,000,000
12,010,344
Barings Equipment Finance LLC,
Series 2025-B, Class A2, 4.02%,
02/13/2029(d)
 
4,800,000
4,810,384
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Bear Stearns Asset Backed Securities I
Trust, Series 2006-HE9, Class 2A,
4.07% (1 mo. Term SOFR + 0.39%),
11/25/2036(b)
$
361,040
$356,983
Beechwood Park CLO Ltd. (Jersey),
Series 2019-1A, Class A1RR, 4.74% (3
mo. Term SOFR + 1.07%),
01/17/2035(b)(d)
 
10,000,000
10,017,300
BINOM Securitization Trust, Series 2021-
INV1, Class A1, 2.03%,
06/25/2056(d)(f)
 
2,520,681
2,341,527
BlackRock CLO L.P., Series 2025-2A,
Class A, 5.05% (3 mo. Term SOFR +
1.27%), 11/21/2033(b)(d)
 
15,000,000
15,018,795
BMW Vehicle Lease Trust, Series 2024-2,
Class A2B, 4.12% (30 Day Average
SOFR + 0.42%), 01/25/2027(b)
 
814,930
815,076
BofA Auto Trust, Series 2025-1A,
Class A2A, 4.52%, 11/22/2027(d)
 
1,373,445
1,375,919
BRAVO Residential Funding Trust,
Series 2021-NQM2, Class A1, 0.97%,
03/25/2060(d)(f)
 
545,573
537,271
Carlyle Global Market Strategies CLO Ltd.
(Cayman Islands), Series 2015-5A,
Class A1R4, 4.55% (3 mo. Term SOFR +
0.88%), 01/20/2032(b)(d)
 
5,335,550
5,339,536
CarMax Auto Owner Trust, Series 2025-2,
Class A2A, 4.59%, 07/17/2028
 
3,432,938
3,443,993
CCG Receivables Trust, Series 2025-1,
Class A2, 4.48%, 10/14/2032(d)
 
4,781,254
4,807,875
Chesapeake Funding II LLC (Canada)
 
Series 2023-1A, Class A2, 4.96%
(30 Day Average SOFR + 1.25%),
05/15/2035(b)(d)
 
2,970,392
2,980,794
Series 2023-2A, Class A2, 4.81%
(30 Day Average SOFR + 1.10%),
10/15/2035(b)(d)
 
3,958,405
3,975,571
Series 2024-1A, Class A2, 4.48%
(30 Day Average SOFR + 0.77%),
05/15/2036(b)(d)
 
1,346,585
1,348,545
Citizens Auto Receivables Trust,
Series 2024-2, Class A3, 5.33%,
08/15/2028(d)
 
5,738,892
5,776,171
COLT Mortgage Loan Trust, Series 2020-
2R, Class A1, 1.33%, 10/26/2065(d)(f)
 
839,394
801,222
Cross Mortgage Trust
 
Series 2023-H1, Class A1, 6.62%,
03/25/2068(d)
 
2,958,653
2,974,207
Series 2024-H5, Class A1, 5.85%,
08/26/2069(d)
 
6,803,612
6,887,907
CWABS, Inc. Asset-Backed Ctfs. Trust,
Series 2004-4, Class M1, 4.51% (1 mo.
Term SOFR + 0.83%), 07/25/2034(b)
 
17,114
20,520
Deephaven Residential Mortgage Trust,
Series 2021-2, Class A1, 0.90%,
04/25/2066(d)(f)
 
3,610,223
3,255,104
Dell Equipment Finance Trust
 
Series 2024-1, Class A3, 5.39%,
03/22/2030(d)
 
2,177,693
2,193,485
 
Principal
Amount
Value
 
Series 2025-1, Class A3, 4.61%,
02/24/2031(d)
$
2,970,000
$3,004,265
Series 2025-2, Class A3, 4.12%,
03/24/2031(d)
 
1,750,000
1,757,814
DLLST LLC, Series 2024-1A, Class A3,
5.05%, 08/20/2027(d)
 
1,703,371
1,710,938
Ellington Financial Mortgage Trust
 
Series 2019-2, Class A1, 2.74%,
11/25/2059(d)(f)
 
560,588
547,536
Series 2020-2, Class A1, 1.18%,
10/25/2065(d)(f)
 
173,193
165,335
Enterprise Fleet Financing LLC
 
Series 2023-3, Class A2, 6.40%,
03/20/2030(d)
 
3,067,065
3,105,256
Series 2024-1, Class A2, 5.23%,
03/20/2030(d)
 
1,457,470
1,468,165
Series 2024-3, Class A2, 5.31%,
04/20/2027(d)
 
1,445,691
1,450,663
Series 2024-4, Class A2, 4.69%,
07/20/2027(d)
 
2,790,696
2,800,691
Series 2025-2, Class A2, 4.51%,
02/22/2028(d)
 
4,500,000
4,519,864
Series 2025-4, Class A2, 4.05%,
08/20/2028(d)
 
5,400,000
5,412,459
Series 2026-1, Class A2, 4.00%,
10/20/2028(d)
 
9,375,000
9,387,401
First National Master Note Trust,
Series 2024-1, Class A, 5.34%,
05/15/2030
 
3,870,000
3,936,246
GCAT Trust, Series 2025-NQM2, Class A1,
5.60%, 04/25/2070(d)
 
6,728,527
6,823,001
GCRED BSL CLO 1, Series 2025-BSL1A,
Class A, 4.71% (3 mo. Term SOFR +
1.05%), 01/20/2034(b)(d)
 
15,000,000
15,007,095
GMF Floorplan Owner Revolving Trust,
Series 2023-1, Class A2, 4.86% (30 Day
Average SOFR + 1.15%),
06/15/2028(b)(d)
 
15,000,000
15,042,973
GreatAmerica Leasing Receivables
Funding LLC
 
Series 2024-2, Class A2, 5.28%,
03/15/2027(d)
 
1,223,987
1,228,745
Series 2025-1, Class A2, 4.52%,
10/15/2027(d)
 
2,928,290
2,938,576
GS Mortgage-Backed Securities Trust
 
Series 2020-NQM1, Class A1, 1.38%,
09/27/2060(d)(f)
 
864,582
828,709
Series 2025-HE1, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
10/25/2055(b)(d)
 
4,051,705
4,076,865
Series 2025-HE2, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
12/25/2065(b)(d)
 
14,415,277
14,520,767
Series 2025-PJ1, Class A7, 6.00%,
06/25/2055(d)(f)
 
5,961,309
6,027,545
Harbor Park CLO Ltd. (Cayman Islands),
Series 2018-1A, Class AR2, 4.62% (3
mo. Term SOFR + 0.95%),
01/20/2031(b)(d)
 
10,923,736
10,933,512
Harley-Davidson Motorcycle Trust,
Series 2024-B, Class A2, 4.62%,
08/16/2027
 
315,625
315,742
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
HPEFS Equipment Trust, Series 2025-2A,
Class A3, 4.03%, 11/22/2032(d)
$
8,750,000
$8,777,420
Hyundai Auto Lease Securitization Trust
 
Series 2024-C, Class A2B, 4.21%
(30 Day Average SOFR + 0.50%),
03/15/2027(b)(d)
 
2,264,260
2,265,580
Series 2025-B, Class A3, 4.53%,
04/17/2028(d)
 
3,800,000
3,834,955
Hyundai Auto Receivables Trust,
Series 2025-A, Class A2B, 4.05%
(30 Day Average SOFR + 0.34%),
12/15/2027(b)
 
6,346,222
6,349,265
J.P. Morgan Mortgage Trust
 
Series 2024-INV1, Class A4, 6.00%,
04/25/2055(d)(f)
 
5,085,980
5,171,315
Series 2025-HE3, Class A1, 5.05%
(30 Day Average SOFR + 1.35%),
03/20/2056(b)(d)
 
14,036,310
14,106,713
Series 2025-NQM3, Class A1, 5.50%,
11/25/2065(d)(f)
 
8,949,710
9,056,451
Series 2026-CES1, Class A1, 4.91%,
06/25/2056(d)
 
15,000,000
15,048,009
John Deere Owner Trust, Series 2025-A,
Class A2B, 4.00% (30 Day Average
SOFR + 0.29%), 03/15/2028(b)
 
4,136,104
4,137,448
KKR CLO 21 Ltd. (Cayman Islands),
Series A, 4.93% (3 mo. Term SOFR +
1.26%), 04/15/2031(b)(d)
 
256,924
257,161
M&T Equipment LLC, Series 2025-1A,
Class A2, 4.70%, 12/16/2027(d)
 
4,750,000
4,773,915
Magnetite XXXI Ltd. (Cayman Islands),
Series 2021-31A, Class A1R, 4.67% (3
mo. Term SOFR + 1.00%),
07/15/2034(b)(d)
 
12,000,000
12,018,600
Mercedes-Benz Auto Lease Trust,
Series 2024-A, Class A2A, 5.44%,
02/16/2027
 
495,396
495,821
Merchants Fleet Funding LLC,
Series 2025-1A, Class A, 4.49%,
01/20/2039(d)
 
3,750,000
3,777,294
Morgan Stanley Residential Mortgage Loan
Trust
 
Series 2023-NQM1, Class A1, 7.28%,
09/25/2068(d)
 
4,694,673
4,752,261
Series 2024-NQM3, Class A1, 5.04%,
07/25/2069(d)(f)
 
6,618,612
6,636,837
Series 2025-DSC2, Class A1, 5.44%,
07/25/2070(d)(f)
 
5,760,095
5,829,092
Series 2025-NQM1, Class A1, 5.74%,
11/25/2069(d)(f)
 
8,474,270
8,592,564
Navient Private Education Refi Loan Trust
 
Series 2020-FA, Class A, 1.22%,
07/15/2069(d)
 
954,865
906,881
Series 2021-FA, Class A, 1.11%,
02/18/2070(d)
 
2,396,365
2,160,961
Navistar Financial Dealer Note Master
Owner Trust II, Series 2025-1, Class A,
4.18%, 09/25/2030(d)
 
4,350,000
4,368,297
Neuberger Berman Loan Advisers CLO 47
Ltd. (Cayman Islands), Series 2022-47A,
Class AR, 4.76% (3 mo. Term SOFR +
1.09%), 04/16/2035(b)(d)
 
6,000,000
6,010,380
 
Principal
Amount
Value
 
New Residential Mortgage Loan Trust
 
Series 2017-5A, Class A1, 5.29% (1 mo.
Term SOFR + 1.61%), 06/25/2057(b)(d)
$
172,196
$174,934
Series 2019-NQM4, Class A1, 2.49%,
09/25/2059(d)(f)
 
1,013,618
981,092
Series 2020-NQM1, Class A1, 2.46%,
01/26/2060(d)(f)
 
821,517
779,101
OBX Trust
 
Series 2024-NQM12, Class A1, 5.48%,
07/25/2064(d)
 
3,997,589
4,034,545
Series 2024-NQM18, Class A1, 5.41%,
10/25/2064(d)(f)
 
4,962,669
5,009,486
Series 2024-NQM6, Class A1, 6.45%,
02/25/2064(d)
 
3,165,633
3,216,534
Palmer Square Loan Funding Ltd. (Cayman
Islands), Series 2025-3A, Class A1,
4.66% (3 mo. Term SOFR + 0.95%),
01/15/2034(b)(d)
 
12,000,000
12,004,008
PMT Loan Trust, Series 2025-INV1,
Class A7, 6.00%, 01/25/2060(d)(f)
 
3,001,988
3,059,724
Porsche Innovative Lease Owner Trust
 
Series 2024-1A, Class A2A, 4.84%,
01/20/2027(d)
 
749,881
750,310
Series 2024-2A, Class A2B, 4.14%
(30 Day Average SOFR + 0.44%),
12/21/2026(b)(d)
 
255,310
255,343
PRKCM Trust, Series 2023-AFC4,
Class A1, 7.23%, 11/25/2058(d)
 
4,096,115
4,152,090
Residential Mortgage Loan Trust,
Series 2020-1, Class A1, 2.38%,
01/26/2060(d)(f)
 
58,346
58,147
RR 16 Ltd. (Cayman Islands), Series 2021-
16A, Class A1R, 4.72% (3 mo. Term
SOFR + 1.05%), 07/15/2036(b)(d)
 
12,000,000
12,007,680
SBNA Auto Lease Trust
 
Series 2023-A, Class A3, 6.51%,
04/20/2027(d)
 
943,572
946,181
Series 2024-C, Class A3, 4.56%,
02/22/2028(d)
 
1,627,828
1,631,945
SoFi Consumer Loan Program Trust,
Series 2026-1, Class A, 4.06%,
12/26/2035(d)
 
7,200,000
7,209,435
Starwood Mortgage Residential Trust
 
Series 2020-1, Class A1, 2.28%,
02/25/2050(d)(f)
 
150,202
145,371
Series 2020-INV1, Class A1, 1.03%,
11/25/2055(d)(f)
 
958,790
923,043
Series 2021-2, Class A1, 0.94%,
05/25/2065(d)(f)
 
1,102,206
1,053,728
Synchrony Card Funding LLC
 
Series 2023-A2, Class A, 5.74%,
10/15/2029
 
8,500,000
8,610,499
Series 2024-A1, Class A, 5.04%,
03/15/2030
 
10,000,000
10,133,860
Thayer Park, CLO Ltd., Series 2017-1A,
Class A1RR, 4.67% (3 mo. Term SOFR +
1.00%), 04/20/2034(b)(d)
 
8,565,000
8,580,417
Toyota Auto Receivables Owner Trust,
Series 2025-B, Class A2A, 4.46%,
03/15/2028
 
6,221,450
6,237,421
USAA Auto Owner Trust, Series 2025-A,
Class A3, 3.95%, 12/17/2029(d)
 
4,350,000
4,364,400
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Verus Securitization Trust
 
Series 2023-7, Class A1, 7.07%,
10/25/2068(d)
$
5,274,599
$5,342,583
Series 2023-INV2, Class A1, 6.44%,
08/25/2068(d)
 
5,383,093
5,411,797
Visio Trust, Series 2020-1R, Class A1,
1.31%, 11/25/2055(d)
 
844,878
822,366
Volvo Financial Equipment LLC,
Series 2025-1A, Class A2, 4.41%,
11/15/2027(d)
 
3,339,681
3,346,682
Westlake Automobile Receivables Trust,
Series 2025-P1, Class A2, 4.65%,
02/15/2028(d)
 
5,846,313
5,863,911
Wheels Fleet Lease Funding 1 LLC
 
Series 2024-1A, Class A2, 4.51% (1
mo. Term SOFR + 0.83%),
02/18/2039(b)(d)
 
2,774,216
2,782,235
Series 2024-2A, Class A2, 4.67% (1
mo. Term SOFR + 1.00%),
06/21/2039(b)(d)
 
4,408,400
4,436,076
Series 2025-1A, Class A1, 4.57%,
01/18/2040(d)
 
8,012,912
8,090,650
Series 2025-2A, Class A1, 4.41%,
05/18/2040(d)
 
15,000,000
15,120,358
Series 2025-3A, Class A1, 4.08%,
09/18/2040(d)
 
8,030,000
8,057,548
Whetstone Park CLO Ltd., Series 2021-1A,
Class A1R, 4.74% (3 mo. Term SOFR +
1.07%), 01/20/2035(b)(d)
 
12,000,000
12,022,416
World Omni Auto Receivables Trust,
Series 2025-B, Class A2A, 4.38%,
08/15/2028
 
2,431,108
2,436,533
World Omni Automobile Lease
Securitization Trust, Series 2025-A,
Class A2B, 4.10% (30 Day Average
SOFR + 0.39%), 12/15/2027(b)
 
1,520,967
1,521,746
Total Asset-Backed Securities
(Cost $552,981,934)
554,598,598
 
Shares
 
Exchange-Traded Funds-0.28%
Invesco AAA CLO Floating Rate
Note ETF(g)
 
274,672
7,023,363
Invesco Short Duration Total Return Bond
ETF(c)(g)
 
90,000
2,267,100
Total Exchange-Traded Funds
(Cost $9,322,543)
9,290,463
 
Principal
Amount
 
Commercial Paper-21.19%(h)
Air Lease Corp., 4.03%–4.06%,
02/11/2026(d)
$
19,750,000
19,723,377
Aquitaine Funding Co. LLC, 4.09%,
04/08/2026(d)
 
15,000,000
14,892,900
AutoNation, Inc.
 
4.00%, 02/02/2026(d)
 
9,000,000
8,996,985
4.05%, 02/05/2026(d)
 
2,900,000
2,898,048
Barton Capital S.A., 4.12%,
03/06/2026(d)
 
13,500,000
13,451,130
Bayer Corp., 4.54%, 08/03/2026(d)
 
12,000,000
11,766,384
 
Principal
Amount
Value
Brookfield BRP Holdings Canada, Inc.
 
4.03%, 03/11/2026
$
27,250,000
$27,133,125
4.04%, 03/18/2026
 
10,000,000
9,949,540
Brunswick Corp., 4.20%, 02/03/2026(d)
 
8,300,000
8,296,091
Brunswick Corp./DE, 4.20%,
02/05/2026(d)
 
20,000,000
19,985,860
Charles Schwab Corp. (The), 4.10%,
06/12/2026(d)
 
15,000,000
14,795,505
Crown Castle, Inc.
 
4.10%, 02/10/2026(d)
 
16,000,000
15,979,568
4.15%, 02/17/2026(d)
 
10,200,000
10,178,702
4.15%, 02/24/2026(d)
 
20,000,000
19,941,980
Enel Finance America LLC, 4.15%,
02/18/2026(d)
 
14,000,000
13,971,762
General Motors Financial Co., Inc.
 
4.22%, 05/12/2026(d)
 
10,000,000
9,887,850
4.14%, 08/06/2026(d)
 
4,500,000
4,406,765
Genuine Parts Co.
 
4.22%–4.24%, 02/05/2026(d)
 
28,000,000
27,981,184
4.23%, 02/06/2026(d)
 
15,000,000
14,988,210
4.25%, 02/09/2026(d)
 
10,500,000
10,488,177
Glencore Funding LLC, 4.15%,
02/27/2026(d)
 
15,000,000
14,954,280
HA Sustainable Infrastructure Capital, Inc.
 
4.21%, 02/04/2026(d)
 
20,000,000
19,988,580
4.27%, 02/10/2026(d)
 
14,000,000
13,982,311
4.17%, 02/17/2026(d)
 
15,000,000
14,968,777
4.17%, 02/26/2026(d)
 
13,300,000
13,258,132
Harley-Davidson Financial Services, Inc.
 
4.12%, 02/18/2026(d)
 
6,500,000
6,486,422
4.38%, 03/04/2026(d)
 
10,000,000
9,963,260
4.08%, 03/10/2026(d)
 
15,000,000
14,934,645
HCA, Inc.
 
4.17%, 02/02/2026(d)
 
15,000,000
14,994,990
4.09%, 03/03/2026(d)
 
10,000,000
9,963,040
4.13%, 03/23/2026(d)
 
15,000,000
14,909,070
Honeywell International, Inc., 4.05%,
03/20/2026(d)
 
15,000,000
14,923,200
HSBC USA, Inc.
 
4.21% (SOFR + 0.53%),
05/15/2026(b)(d)
 
9,250,000
9,255,356
4.27%, 08/27/2026(d)
 
15,000,000
14,671,665
Intesa Sanpaolo Funding LLC
 
4.15%, 04/13/2026
 
12,000,000
11,900,280
4.04%, 10/02/2026
 
15,000,000
14,587,740
Ionic Funding LLC, 4.18%, 03/10/2026
 
19,229,000
19,150,507
Jackson National Life Short Term
Funding LLC, 4.14%, 06/03/2026(d)
 
12,000,000
11,846,340
Lloyds Bank PLC, 4.06%, 05/04/2026
 
10,000,000
9,904,250
MUFG Securities Canada Ltd.
 
4.15%, 08/05/2026(d)
 
6,000,000
5,883,816
4.10%, 09/23/2026(d)
 
15,000,000
14,635,050
4.14%, 10/01/2026(d)
 
14,000,000
13,648,082
Oracle Corp., 4.35%–4.38%,
07/23/2026(d)
 
25,000,000
24,512,075
Penske Truck Leasing Co. L.P., 4.16%,
04/27/2026
 
15,000,000
14,854,755
TELUS Corp.
 
4.45%, 02/19/2026(d)
 
10,000,000
9,976,810
4.76%, 02/24/2026(d)
 
10,000,000
9,971,210
4.50%–4.50%, 04/09/2026(d)
 
18,000,000
17,857,116
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Toronto-Dominion Bank (The), 3.94%,
03/11/2026(d)
$
1,940,000
$1,931,933
VW Credit, Inc., 4.21%, 10/01/2026(d)
 
15,000,000
14,612,355
Washington Morgan Capital Co. LLC
 
Series A, 3.99%, 07/09/2026(d)
 
15,748,000
15,488,867
Series A, 0.00% (SOFR + 0.50%),
09/10/2026(b)(d)
 
15,000,000
15,012,832
White Plains Capital Co. LLC
 
4.24%, 04/17/2026(d)
 
15,000,000
14,871,750
4.08%, 07/07/2026(d)
 
5,000,000
4,912,500
Total Commercial Paper
(Cost $712,391,835)
712,525,139
Certificates of Deposit-0.91%
Diversified Banks-0.91%
Intesa Sanpaolo S.p.A. (Italy)
 
4.65% (SOFR + 1.00%), 10/16/2026(b)
 
15,500,000
15,549,266
4.39% (SOFR + 0.70%), 07/17/2026(b)
 
15,000,000
15,012,525
 
 
30,561,791
Total Certificates of Deposit
(Cost $30,500,000)
30,561,791
 
Repurchase
Amount
 
Repurchase Agreements-0.89%(i)
CF Secured LLC, joint open agreement
dated 02/07/2025 (collateralized by
agency and non-agency asset-backed
securities, agency and non-agency
mortgage-backed securities and a
corporate obligation valued at
$27,613,022; 0.00% - 8.66%;
11/15/2027 - 01/25/2072), 4.40%,
02/02/2026(j)
 
10,038,097
10,000,000
Nomura Securities International, Inc., joint
term agreement dated 01/09/2026,
aggregate maturing value of
$30,007,300 (collateralized by
non-agency asset-backed securities and
non-agency mortgage-backed securities
valued at $33,000,000; 0.00% - 8.90%;
02/25/2049 - 01/25/2070), 4.38%,
02/02/2026(k)
 
10,002,433
10,000,000
 
Repurchase
Amount
Value
Santander US Capital Markets LLC, joint
term agreement dated 01/16/2026,
aggregate maturing value of
$30,007,250 (collateralized by
non-agency asset-backed securities,
agency and non-agency mortgage-
backed securities, corporate obligations
and U.S. Treasury obligations valued at
$31,844,487; 3.38% - 8.88%;
09/15/2027 - 11/25/2065), 4.35%,
02/02/2026(k)
$
10,002,417
$10,000,000
Total Repurchase Agreements
(Cost $30,000,000)
30,000,000
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-97.23%
(Cost $3,258,775,013)
3,269,572,308
 
Shares
 
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-0.86%
Invesco Private Government Fund,
3.65%(g)(l)(m)
 
8,064,833
8,064,833
Invesco Private Prime Fund, 3.80%(g)(l)(m)
 
20,945,723
20,952,007
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $29,016,840)
29,016,840
TOTAL INVESTMENTS IN SECURITIES-98.09%
(Cost $3,287,791,853)
3,298,589,148
OTHER ASSETS LESS LIABILITIES-1.91%
64,276,649
NET ASSETS-100.00%
$3,362,865,797
See accompanying notes which are an integral part of this schedule.

Invesco Ultra Short Duration ETF (GSY)—(continued)
January 31, 2026
(Unaudited)
Investment Abbreviations:
Ctfs.
-Certificates
ETF
-Exchange-Traded Fund
REIT
-Real Estate Investment Trust
SOFR
-Secured Overnight Financing Rate
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on January 31, 2026.
(c)
All or a portion of this security was out on loan at January 31, 2026.
(d)
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 $1,705,357,089, which represented 50.71% of the Fund’s Net Assets.
(e)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(f)
Interest rate is redetermined periodically based on the cash flows generated by the pool of assets backing the security, less any applicable fees. The rate shown
is the rate in effect on January 31, 2026.
(g)
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
(Depreciation)
Realized
Gain
Value
January 31, 2026
Dividend Income
Invesco AAA CLO
Floating Rate Note ETF
$7,027,483
$-
$-
$(4,120
)
$-
$7,023,363
$91,029
Invesco Short Duration
Total Return Bond ETF
251,081
2,012,792
-
3,227
-
2,267,100
23,559
Investments Purchased
with Cash Collateral
from Securities on
Loan:
Invesco Private
Government Fund
2,769,608
24,671,364
(19,376,139
)
-
-
8,064,833
34,672
*
Invesco Private Prime
Fund
7,209,383
63,362,231
(49,619,607
)
-
-
20,952,007
93,184
*
Total
$17,257,555
$90,046,387
$(68,995,746
)
$(893
)
$-
$38,307,303
$242,444
*
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.
(h)
Security traded on a discount basis. The interest rate shown represents the discount rate at the time of purchase by the Fund.
(i)
Principal amount equals value at period end.
(j)
Either party may terminate the agreement upon demand. Interest rate, principal amount and collateral are redetermined periodically. The Maturity Date
represents the next reset date, and the Repurchase Amount is calculated based on the next reset date. 
(k)
Interest rate is redetermined periodically. The Maturity Date represents the next reset date, and the Repurchase Amount is calculated based on the next reset
date.
(l)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(m)
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(a)
Invesco Variable Rate Investment Grade ETF (VRIG)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes-37.93%
Asset Management & Custody Banks-0.01%
Bank of New York Mellon Corp. (The),
4.53% (SOFR + 0.83%), 07/21/2028(b)
$
125,000
$125,712
State Street Corp., 4.55% (SOFR +
0.85%), 08/03/2026(b)
 
75,000
75,192
 
 
200,904
Automobile Manufacturers-4.55%
Daimler Truck Finance North America LLC
(Germany)
 
4.66% (SOFR + 0.96%),
09/25/2027(b)(c)
 
4,250,000
4,268,013
4.54% (SOFR + 0.84%),
01/13/2028(b)(c)
 
4,000,000
4,005,633
Ford Motor Credit Co. LLC
 
6.67% (SOFR + 2.95%), 03/06/2026(b)
 
5,025,000
5,035,521
5.16% (SOFR + 1.45%), 11/05/2026(b)
 
7,625,000
7,646,810
Hyundai Capital America
 
5.19% (SOFR + 1.50%),
01/08/2027(b)(c)
 
4,700,000
4,743,408
4.74% (SOFR + 1.04%),
03/19/2027(b)(c)(d)
 
4,000,000
4,016,065
4.69% (SOFR + 0.99%),
03/25/2027(b)(c)(d)
 
5,000,000
5,023,880
4.74% (SOFR + 1.04%),
06/24/2027(b)(c)
 
5,225,000
5,254,462
4.61% (SOFR + 0.92%),
01/07/2028(b)(c)
 
3,000,000
3,010,380
Toyota Motor Credit Corp., 4.35% (SOFR +
0.65%), 03/19/2027(b)
 
75,000
75,329
Volkswagen Group of America Finance LLC
(Germany)
 
4.53% (SOFR + 0.83%),
03/20/2026(b)(c)
 
4,000,000
4,001,928
4.85% (SOFR + 1.06%),
08/14/2026(b)(c)
 
6,700,000
6,722,621
4.76% (SOFR + 1.06%),
03/25/2027(b)(c)
 
8,000,000
8,024,939
 
 
61,828,989
Automotive Parts & Equipment-0.01%
BMW US Capital LLC (Germany), 4.72%
(SOFR + 0.92%), 08/13/2027(b)(c)
 
150,000
150,930
Commercial & Residential Mortgage Finance-1.03%
Nationwide Building Society (United
Kingdom)
 
5.08% (SOFR + 1.29%),
02/16/2028(b)(c)
 
4,000,000
4,033,045
4.77% (SOFR + 1.07%),
07/14/2029(b)(c)
 
5,000,000
5,027,543
4.71% (SOFR + 1.01%),
09/30/2030(b)(c)
 
5,000,000
5,015,984
 
 
14,076,572
Construction Machinery & Heavy Transportation Equipment-0.01%
Caterpillar Financial Services Corp., 4.31%
(SOFR + 0.52%), 05/14/2027(b)
 
75,000
75,396
Consumer Finance-2.32%
American Express Co.
 
4.67% (SOFR + 0.97%), 07/28/2027(b)
 
4,294,000
4,306,050
4.63% (SOFR + 0.93%),
07/26/2028(b)(d)
 
4,075,000
4,095,954
 
Principal
Amount
Value
Consumer Finance-(continued)
General Motors Financial Co., Inc.
 
4.80% (SOFR + 1.04%),
02/26/2027(b)(d)
$
7,597,000
$7,615,685
5.16% (SOFR + 1.35%), 05/08/2027(b)
 
6,500,000
6,544,886
4.75% (SOFR + 1.05%), 07/15/2027(b)
 
4,000,000
4,009,382
4.87% (SOFR + 1.17%), 04/04/2028(b)
 
5,000,000
5,017,235
 
 
31,589,192
Diversified Banks-18.52%
ABN AMRO Bank N.V. (Netherlands)
 
5.48% (SOFR + 1.78%),
09/18/2027(b)(c)(d)
 
7,000,000
7,058,243
4.73% (SOFR + 1.00%),
12/03/2028(b)(c)
 
7,600,000
7,638,641
Banco Santander S.A. (Spain)
 
5.09% (SOFR + 1.38%), 03/14/2028(b)
 
1,200,000
1,208,429
4.82% (SOFR + 1.12%),
07/15/2028(b)(d)
 
5,000,000
5,030,093
Bank of America Corp.
 
4.75% (3 mo. Term SOFR + 1.02%),
09/15/2026(b)
 
2,706,000
2,713,576
4.67% (SOFR + 0.97%), 07/22/2027(b)
 
7,114,000
7,129,392
4.76% (SOFR + 1.05%),
02/04/2028(b)(d)
 
1,685,000
1,694,620
4.53% (SOFR + 0.83%), 01/24/2029(b)
 
200,000
200,809
4.91% (SOFR + 1.11%),
05/09/2029(b)(d)
 
1,500,000
1,514,175
Bank of Montreal (Canada)
 
4.87% (SOFR + 1.16%), 12/11/2026(b)
 
3,000,000
3,022,176
4.56% (SOFR + 0.86%), 01/27/2029(b)
 
125,000
125,457
Bank of Nova Scotia (The) (Canada)
 
5.25% 06/12/2028
 
2,500,000
2,575,792
4.68% (SOFR + 0.89%), 02/14/2029(b)
 
5,625,000
5,636,506
Banque Federative du Credit Mutuel
(France), 4.83% (SOFR + 1.13%),
01/23/2027(b)(c)
 
75,000
75,535
Banque Federative du Credit Mutuel S.A.
(France), 4.93% (SOFR + 1.23%),
01/22/2030(b)(c)
 
5,000,000
5,048,522
Barclays PLC (United Kingdom)
 
5.58% (SOFR + 1.88%), 09/13/2027(b)
 
2,750,000
2,774,621
5.19% (SOFR + 1.49%), 03/12/2028(b)
 
6,500,000
6,563,304
BNP Paribas S.A. (France), 5.24% (SOFR +
1.43%), 05/09/2029(b)(c)
 
6,250,000
6,316,858
BPCE S.A. (France), 5.68% (SOFR +
1.98%), 10/19/2027(b)(c)
 
6,250,000
6,310,378
Canadian Imperial Bank of Commerce
(Canada)
 
4.64% (SOFR + 0.94%), 06/28/2027(b)
 
250,000
252,052
4.42% (SOFR + 0.72%), 01/13/2028(b)
 
5,000,000
5,004,855
4.73% (SOFR + 1.03%), 03/30/2029(b)
 
4,000,000
4,024,056
Citibank N.A., 4.79% (SOFR + 1.06%),
12/04/2026(b)
 
75,000
75,477
Citigroup, Inc.
 
4.49% (SOFR + 0.77%), 06/09/2027(b)
 
975,000
976,147
5.05% (SOFR + 1.28%), 02/24/2028(b)
 
6,077,000
6,124,764
4.59% (SOFR + 0.87%), 03/04/2029(b)
 
3,274,000
3,281,844
5.27% (SOFR + 1.46%), 05/07/2031(b)
 
8,990,000
9,169,536
Credit Agricole S.A. (France), 4.92%
(SOFR + 1.21%), 09/11/2028(b)(c)
 
75,000
75,543
Fifth Third Bank N.A., 4.51% (SOFR +
0.81%), 01/28/2028(b)
 
2,634,000
2,639,659
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Diversified Banks-(continued)
HSBC Holdings PLC (United Kingdom)
 
5.38% (SOFR + 1.57%), 08/14/2027(b)
$
2,500,000
$2,514,501
4.79% (SOFR + 1.03%),
03/03/2029(b)(d)
 
3,636,000
3,653,850
5.08% (SOFR + 1.29%), 11/19/2030(b)
 
5,000,000
5,067,628
Huntington National Bank (The), 4.42%
(SOFR + 0.72%), 04/12/2028(b)
 
3,103,000
3,105,796
ING Groep N.V. (Netherlands)
 
5.27% (SOFR + 1.56%), 09/11/2027(b)
 
6,575,000
6,620,533
4.71% (SOFR + 1.01%), 03/25/2029(b)
 
5,000,000
5,017,030
JPMorgan Chase & Co.
 
4.59% (SOFR + 0.89%), 04/22/2027(b)
 
250,000
250,377
4.90% (SOFR + 1.20%), 01/23/2028(b)
 
1,667,000
1,678,612
4.95% (SOFR + 1.18%), 02/24/2028(b)
 
3,500,000
3,525,482
4.62% (SOFR + 0.92%), 04/22/2028(b)
 
7,500,000
7,543,699
4.63% (SOFR + 0.93%), 07/22/2028(b)
 
5,000,000
5,029,184
4.50% (SOFR + 0.80%), 01/24/2029(b)
 
5,200,000
5,217,963
Lloyds Banking Group PLC (United
Kingdom)
 
5.40% (SOFR + 1.56%), 08/07/2027(b)
 
3,158,000
3,177,696
5.29% (SOFR + 1.58%), 01/05/2028(b)
 
4,575,000
4,616,614
4.83% (SOFR + 1.06%), 11/26/2028(b)
 
125,000
125,804
Mitsubishi UFJ Financial Group, Inc.
(Japan), 5.18% (SOFR + 1.48%),
04/24/2031(b)(d)
 
3,625,000
3,706,819
Mizuho Financial Group, Inc. (Japan),
4.89% (SOFR + 1.08%),
05/13/2031(b)(d)
 
5,000,000
5,036,675
Morgan Stanley Bank N.A.
 
4.87% (SOFR + 1.17%), 10/30/2026(b)
 
175,000
176,291
4.78% (SOFR + 1.08%), 01/14/2028(b)
 
250,000
251,722
4.62% (SOFR + 0.87%), 05/26/2028(b)
 
3,200,000
3,212,551
4.64% (SOFR + 0.94%),
07/14/2028(b)(d)
 
5,000,000
5,036,164
NatWest Group PLC (United Kingdom),
5.11% (SOFR + 1.30%),
11/15/2028(b)(d)
 
3,500,000
3,531,759
Royal Bank of Canada (Canada), 4.56%
(SOFR + 0.86%), 10/18/2028(b)
 
200,000
200,870
Skandinaviska Enskilda Banken AB
(Sweden), 4.79% (SOFR + 1.06%),
09/03/2030(b)(c)
 
7,500,000
7,538,983
Societe Generale S.A. (France)
 
4.88% (SOFR + 1.10%),
02/19/2027(b)(c)
 
2,000,000
2,009,787
5.36% (SOFR + 1.66%),
01/19/2028(b)(c)
 
5,575,000
5,620,997
5.19% (SOFR + 1.42%),
05/22/2029(b)(c)
 
4,000,000
4,033,887
4.79% (SOFR + 1.10%),
04/12/2030(b)(c)
 
3,000,000
3,005,485
Standard Chartered Bank (United
Kingdom), 4.35% (SOFR + 0.65%),
10/08/2026(b)
 
3,000,000
3,005,819
Standard Chartered PLC (United Kingdom)
 
5.84% (SOFR + 2.03%),
02/08/2028(b)(c)
 
4,000,000
4,054,931
4.96% (SOFR + 1.17%),
05/14/2028(b)(c)
 
4,000,000
4,023,572
4.94% (SOFR + 1.24%),
01/21/2029(b)(c)
 
3,500,000
3,529,181
 
Principal
Amount
Value
Diversified Banks-(continued)
Sumitomo Mitsui Trust Bank Ltd. (Japan),
4.70% (SOFR + 0.98%),
09/10/2027(b)(c)
$
125,000
$126,202
Svenska Handelsbanken AB (Sweden),
4.42% (SOFR + 0.66%),
05/28/2027(b)(c)
 
5,475,000
5,496,650
Toronto-Dominion Bank (The) (Canada),
4.78% (SOFR + 1.08%), 07/17/2026(b)
 
1,914,000
1,921,385
U.S. Bank N.A., 4.70% (SOFR + 0.91%),
05/15/2028(b)
 
7,500,000
7,539,215
USB Realty Corp., 5.08% (3 mo. Term
SOFR + 1.41%)(b)(c)(e)
 
1,100,000
925,186
Wells Fargo & Co.
 
4.48% (SOFR + 0.78%),
01/24/2028(b)(d)
 
5,596,000
5,611,875
4.77% (SOFR + 1.07%), 04/22/2028(b)
 
7,075,000
7,114,816
5.07% (SOFR + 1.37%), 04/23/2029(b)
 
3,750,000
3,813,465
 
 
251,930,116
Diversified Capital Markets-1.24%
Deutsche Bank AG (Germany)
 
5.01% (SOFR + 1.22%), 11/16/2027(b)
 
4,050,000
4,065,375
4.91% (SOFR + 1.21%), 01/10/2029(b)
 
6,597,000
6,644,378
5.01% (SOFR + 1.30%), 08/04/2031(b)
 
6,000,000
6,040,327
Macquarie Group Ltd. (Australia), 4.62%
(SOFR + 0.92%), 09/23/2027(b)(c)
 
75,000
75,181
 
 
16,825,261
Diversified Financial Services-0.12%
LPL Holdings, Inc., 4.90%, 04/03/2028
 
1,629,000
1,654,048
Diversified Metals & Mining-0.90%
Glencore Funding LLC (Australia)
 
4.45% (SOFR + 0.75%),
10/01/2026(b)(c)
 
3,214,000
3,220,884
4.76% (SOFR + 1.06%),
04/04/2027(b)(c)(d)
 
6,223,000
6,253,638
Rio Tinto Finance (USA) PLC (Australia),
4.54% (SOFR + 0.84%), 03/14/2028(b)
 
2,716,000
2,739,018
 
 
12,213,540
Electric Utilities-1.05%
Consolidated Edison Co. of New York, Inc.,
4.31% (SOFR + 0.52%), 11/18/2027(b)
 
1,324,000
1,327,117
Georgia Power Co., 3.98% (SOFR +
0.28%), 09/15/2026(b)
 
3,679,000
3,680,037
National Rural Utilities Cooperative Finance
Corp.
 
4.51% (SOFR + 0.80%),
02/05/2027(b)(d)
 
5,000,000
5,023,188
4.52% (SOFR + 0.82%), 09/16/2027(b)
 
4,000,000
4,026,841
Pinnacle West Capital Corp., 4.53% (SOFR
+ 0.82%), 06/10/2026(b)
 
200,000
200,297
 
 
14,257,480
Integrated Telecommunication Services-0.17%
NTT Finance Corp. (Japan), 4.78% (SOFR
+ 1.08%), 07/16/2028(b)(c)
 
2,333,000
2,357,418
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Investment Banking & Brokerage-1.71%
Goldman Sachs Group, Inc. (The)
 
4.53% (SOFR + 0.81%), 03/09/2027(b)
$
2,460,000
$2,461,850
4.53% (SOFR + 0.82%), 09/10/2027(b)
 
3,500,000
3,508,044
4.62% (SOFR + 0.92%), 10/21/2027(b)
 
125,000
125,385
5.68% (3 mo. Term SOFR + 2.01%),
10/28/2027(b)
 
1,220,000
1,233,225
5.55% (SOFR + 1.85%), 03/15/2028(b)
 
3,500,000
3,546,096
4.99% (SOFR + 1.29%), 04/23/2028(b)
 
1,308,000
1,319,329
Morgan Stanley
 
4.72% (SOFR + 1.02%), 04/13/2028(b)
 
7,500,000
7,540,853
5.08% (SOFR + 1.38%), 04/12/2029(b)
 
3,500,000
3,549,765
 
 
23,284,547
Life & Health Insurance-4.88%
Athene Global Funding
 
4.66% (SOFR + 0.85%),
05/08/2026(b)(c)
 
6,775,000
6,783,691
4.79% (SOFR + 1.03%),
08/27/2026(b)(c)
 
6,000,000
6,018,800
4.91% (SOFR + 1.21%),
03/25/2027(b)(c)
 
5,000,000
5,029,475
4.67% (SOFR + 0.95%),
03/06/2028(b)(c)
 
3,000,000
3,014,783
4.70% (SOFR + 1.00%),
09/18/2028(b)(c)
 
8,000,000
8,022,965
Corebridge Global Funding
 
5.00% (SOFR + 1.30%),
09/25/2026(b)(c)
 
4,320,000
4,348,615
4.44% (SOFR + 0.75%),
01/07/2028(b)(c)(d)
 
7,000,000
7,003,335
4.56% (SOFR + 0.86%),
12/15/2028(b)(c)
 
5,000,000
5,023,804
F&G Global Funding, 5.05% (SOFR +
1.33%), 09/08/2028(b)(c)
 
7,250,000
7,307,860
Jackson National Life Global Funding,
4.67% (SOFR + 0.97%),
01/14/2028(b)(c)
 
5,000,000
5,029,068
MassMutual Global Funding II
 
4.48% (SOFR + 0.77%),
01/29/2027(b)(c)
 
1,000,000
1,004,397
4.44% (SOFR + 0.74%),
04/09/2027(b)(c)
 
2,500,000
2,513,285
Pacific Life Global Funding II, 4.75% (SOFR
+ 1.05%), 07/28/2026(b)(c)(d)
 
2,265,000
2,274,225
Protective Life Global Funding, 4.40%
(SOFR + 0.70%), 04/10/2026(b)(c)
 
3,000,000
3,002,756
 
 
66,377,059
Regional Banks-0.56%
Santander Holdings USA, Inc., 5.31%
(SOFR + 1.61%), 03/20/2029(b)
 
7,500,000
7,553,579
Soft Drinks & Non-alcoholic Beverages-0.81%
Keurig Dr Pepper, Inc.
 
4.37% (SOFR + 0.58%), 11/15/2026(b)
 
6,000,000
6,003,433
4.58% (SOFR + 0.88%),
03/15/2027(b)(d)
 
5,000,000
5,009,048
 
 
11,012,481
 
Principal
Amount
Value
Transaction & Payment Processing Services-0.04%
PayPal Holdings, Inc., 4.39% (SOFR +
0.67%), 03/06/2028(b)
$
500,000
$501,664
Total U.S. Dollar Denominated Bonds & Notes
(Cost $513,078,275)
515,889,176
U.S. Treasury Securities-18.06%
U.S. Treasury Floating Rate Notes-18.06%
3.73% (3 mo. U.S. Treasury Bill Money
Market Yield Rate + 0.10%),
01/31/2027(b)
 
93,100,000
93,139,035
3.79% (3 mo. U.S. Treasury Bill Money
Market Yield Rate + 0.16%),
04/30/2027(b)
 
43,100,000
43,156,631
3.79% (3 mo. U.S. Treasury Bill Money
Market Yield Rate + 0.16%),
07/31/2027(b)
 
40,000,000
40,050,462
3.82% (3 mo. U.S. Treasury Bill Money
Market Yield Rate + 0.19%),
10/31/2027(b)
 
69,250,000
69,373,231
Total U.S. Treasury Securities
(Cost $245,454,522)
245,719,359
 
Agency Credit Risk Transfer Notes-17.47%
Fannie Mae Connecticut Avenue Securities
 
Series 2021-R03, Class 1M1, 4.55%
(30 Day Average SOFR + 0.85%),
12/25/2041(b)(c)(f)
 
111,374
111,377
Series 2021-R03, Class 1M2, 5.35%
(30 Day Average SOFR + 1.65%),
12/25/2041(b)(c)(f)
 
8,167,000
8,220,489
Series 2022-R01, Class 1M1, 4.70%
(30 Day Average SOFR + 1.00%),
12/25/2041(b)(c)(f)
 
447,754
447,782
Series 2022-R02, Class 2M2, 6.70%
(30 Day Average SOFR + 3.00%),
01/25/2042(b)(c)(f)
 
3,981,965
4,049,541
Series 2022-R03, Class 1M2, 7.20%
(30 Day Average SOFR + 3.50%),
03/25/2042(b)(c)(f)
 
2,350,000
2,416,750
Series 2022-R04, Class 1M2, 6.80%
(30 Day Average SOFR + 3.10%),
03/25/2042(b)(c)(f)
 
4,510,000
4,616,092
Series 2022-R05, Class 2M1, 5.60%
(30 Day Average SOFR + 1.90%),
04/25/2042(b)(c)(f)
 
314,342
314,752
Series 2022-R05, Class 2M2, 6.70%
(30 Day Average SOFR + 3.00%),
04/25/2042(b)(c)(f)
 
1,750,000
1,788,882
Series 2022-R06, Class 1M1, 6.45%
(30 Day Average SOFR + 2.75%),
05/25/2042(b)(c)(f)
 
5,055,781
5,142,714
Series 2023-R01, Class 1M1, 6.10%
(30 Day Average SOFR + 2.40%),
12/25/2042(b)(c)(f)
 
3,444,416
3,513,626
Series 2023-R01, Class 1M2, 7.45%
(30 Day Average SOFR + 3.75%),
12/25/2042(b)(c)(f)
 
1,225,000
1,281,625
Series 2023-R02, Class 1M1, 6.00%
(30 Day Average SOFR + 2.30%),
01/25/2043(b)(c)(f)
 
2,256,450
2,305,818
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Series 2023-R02, Class 1M2, 7.05%
(30 Day Average SOFR + 3.35%),
01/25/2043(b)(c)(f)
$
700,000
$728,014
Series 2023-R03, Class 2M1, 6.20%
(30 Day Average SOFR + 2.50%),
04/25/2043(b)(c)(f)
 
7,540,763
7,617,394
Series 2023-R03, Class 2M2, 7.60%
(30 Day Average SOFR + 3.90%),
04/25/2043(b)(c)(f)
 
4,046,476
4,268,531
Series 2023-R04, Class 1M1, 6.00%
(30 Day Average SOFR + 2.30%),
05/25/2043(b)(c)(f)
 
6,481,421
6,624,800
Series 2023-R04, Class 1M2, 7.25%
(30 Day Average SOFR + 3.55%),
05/25/2043(b)(c)(f)
 
4,000,000
4,193,521
Series 2023-R05, Class 1M1, 5.60%
(30 Day Average SOFR + 1.90%),
06/25/2043(b)(c)(f)
 
785,450
792,252
Series 2023-R05, Class 1M2, 6.80%
(30 Day Average SOFR + 3.10%),
06/25/2043(b)(c)(f)
 
1,100,000
1,144,330
Series 2023-R06, Class 1M1, 5.40%
(30 Day Average SOFR + 1.70%),
07/25/2043(b)(c)(f)
 
1,135,144
1,139,969
Series 2023-R06, Class 1M2, 6.40%
(30 Day Average SOFR + 2.70%),
07/25/2043(b)(c)(f)
 
5,180,000
5,327,728
Series 2023-R07, Class 2M1, 5.65%
(30 Day Average SOFR + 1.95%),
09/25/2043(b)(c)(f)
 
6,290,977
6,317,327
Series 2023-R07, Class 2M2, 6.95%
(30 Day Average SOFR + 3.25%),
09/25/2043(b)(c)(f)
 
2,500,000
2,588,625
Series 2023-R08, Class 1M1, 5.20%
(30 Day Average SOFR + 1.50%),
10/25/2043(b)(c)(f)
 
2,082,789
2,087,172
Series 2024-R03, Class 2M2, 5.65%
(30 Day Average SOFR + 1.95%),
03/25/2044(b)(c)(f)
 
4,500,000
4,552,956
Series 2024-R04, Class 1M1, 4.80%
(30 Day Average SOFR + 1.10%),
05/25/2044(b)(c)(f)
 
777,452
777,919
Series 2024-R05, Class 2M2, 5.40%
(30 Day Average SOFR + 1.70%),
07/25/2044(b)(c)(f)
 
6,951,000
6,983,661
Series 2025-R01, Class 1A1, 4.65%
(30 Day Average SOFR + 0.95%),
01/25/2045(b)(c)(f)
 
8,491,771
8,500,844
Series 2025-R02, Class 1M1, 4.85%
(30 Day Average SOFR + 1.15%),
02/25/2045(b)(c)(f)
 
3,346,002
3,350,834
Series 2025-R03, Class 2M1, 5.30%
(30 Day Average SOFR + 1.60%),
03/25/2045(b)(c)(f)
 
364,315
365,389
Series 2025-R03, Class 2M2, 5.95%
(30 Day Average SOFR + 2.25%),
03/25/2045(b)(c)(f)
 
1,000,000
1,014,333
Series 2025-R04, Class 1M1, 4.90%
(30 Day Average SOFR + 1.20%),
05/25/2045(b)(c)(f)
 
8,123,328
8,142,149
 
Principal
Amount
Value
 
Series 2025-R05, Class 2A1, 4.70%
(30 Day Average SOFR + 1.00%),
07/25/2045(b)(c)(f)
$
2,806,771
$2,810,907
Series 2025-R05, Class 2M1, 4.90%
(30 Day Average SOFR + 1.20%),
07/25/2045(b)(c)(f)
 
7,085,480
7,102,528
Series 2025-R06, Class 1A1, 4.60%
(30 Day Average SOFR + 0.90%),
09/25/2045(b)(c)(f)
 
4,198,325
4,202,079
Series 2025-R06, Class 1M1, 4.65%
(30 Day Average SOFR + 0.95%),
09/25/2045(b)(c)(f)
 
3,405,328
3,413,271
Freddie Mac
 
Series 2021-DNA5, Class M2, STACR®,
5.35% (30 Day Average SOFR +
1.65%), 01/25/2034(b)(c)(g)
 
914,921
918,451
Series 2021-DNA6, Class M2, STACR®,
5.20% (30 Day Average SOFR +
1.50%), 10/25/2041(b)(c)(g)
 
4,352,260
4,368,214
Series 2021-DNA7, Class M2, STACR®,
5.50% (30 Day Average SOFR +
1.80%), 11/25/2041(b)(c)(g)
 
1,910,527
1,925,853
Series 2022-DNA2, Class M1A, STACR®,
5.00% (30 Day Average SOFR +
1.30%), 02/25/2042(b)(c)(g)
 
837,329
838,429
Series 2022-DNA3, Class M1B, STACR®,
6.60% (30 Day Average SOFR +
2.90%), 04/25/2042(b)(c)(g)
 
4,730,000
4,840,150
Series 2022-DNA4, Class M1, STACR®,
7.05% (30 Day Average SOFR +
3.35%), 05/25/2042(b)(c)(g)
 
2,500,000
2,575,518
Series 2022-DNA4, Class M1A, STACR®,
5.90% (30 Day Average SOFR +
2.20%), 05/25/2042(b)(c)(g)
 
2,780,670
2,803,716
Series 2022-DNA5, Class M1A, STACR®,
6.65% (30 Day Average SOFR +
2.95%), 06/25/2042(b)(c)(g)
 
4,946,878
5,027,901
Series 2022-DNA6, Class M1, STACR®,
5.85% (30 Day Average SOFR +
2.15%), 09/25/2042(b)(c)(g)
 
802,142
805,649
Series 2022-DNA6, Class M1, STACR®,
7.40% (30 Day Average SOFR +
3.70%), 09/25/2042(b)(c)(g)
 
2,750,000
2,864,745
Series 2022-HQA1, Class M1A, STACR®,
5.80% (30 Day Average SOFR +
2.10%), 03/25/2042(b)(c)(g)
 
1,972,731
1,977,691
Series 2023-DNA1, Class M1, STACR®,
5.80% (30 Day Average SOFR +
2.10%), 03/25/2043(b)(c)(g)
 
3,250,340
3,290,313
Series 2023-DNA1, Class M1, STACR®,
6.80% (30 Day Average SOFR +
3.10%), 03/25/2043(b)(c)(g)
 
7,125,000
7,386,588
Series 2023-DNA2, Class M1, STACR®,
5.80% (30 Day Average SOFR +
2.10%), 04/25/2043(b)(c)(g)
 
7,598,625
7,692,407
Series 2023-DNA2, Class M1, STACR®,
6.95% (30 Day Average SOFR +
3.25%), 04/25/2043(b)(c)(g)
 
2,700,000
2,815,801
Series 2023-HQA1, Class M1, STACR®,
5.70% (30 Day Average SOFR +
2.00%), 05/25/2043(b)(c)(g)
 
2,633,659
2,650,447
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Series 2023-HQA2, Class M1, STACR®,
5.70% (30 Day Average SOFR +
2.00%), 06/25/2043(b)(c)(g)
$
273,137
$273,674
Series 2023-HQA2, Class M1, STACR®,
7.05% (30 Day Average SOFR +
3.35%), 06/25/2043(b)(c)(g)
 
2,500,000
2,575,832
Series 2023-HQA3, Class A1, STACR®,
5.55% (30 Day Average SOFR +
1.85%), 11/25/2043(b)(c)(g)
 
7,038,954
7,098,418
Series 2023-HQA3, Class M2, STACR®,
5.55% (30 Day Average SOFR +
1.85%), 11/25/2043(b)(c)(g)
 
6,907,703
6,939,269
Series 2023-HQA3, Class M2, STACR®,
7.05% (30 Day Average SOFR +
3.35%), 11/25/2043(b)(c)(g)
 
6,000,000
6,312,600
Series 2024-DNA1, Class A1, STACR®,
5.05% (30 Day Average SOFR +
1.35%), 02/25/2044(b)(c)(g)
 
964,474
969,398
Series 2024-DNA2, Class A1, STACR®,
4.95% (30 Day Average SOFR +
1.25%), 05/25/2044(b)(c)(g)
 
2,511,154
2,522,602
Series 2024-DNA2, Class M1, STACR®,
4.90% (30 Day Average SOFR +
1.20%), 05/25/2044(b)(c)(g)
 
3,151,983
3,161,212
Series 2024-DNA3, Class A1, STACR®,
4.75% (30 Day Average SOFR +
1.05%), 10/25/2044(b)(c)(g)
 
612,500
613,737
Series 2024-DNA3, Class M2, STACR®,
5.15% (30 Day Average SOFR +
1.45%), 10/25/2044(b)(c)(g)
 
735,126
735,879
Series 2024-HQA1, Class A1, STACR®,
4.95% (30 Day Average SOFR +
1.25%), 03/25/2044(b)(c)(g)
 
9,055,601
9,106,700
Series 2024-HQA1, Class M1, STACR®,
4.95% (30 Day Average SOFR +
1.25%), 03/25/2044(b)(c)(g)
 
1,027,260
1,029,099
Series 2024-HQA1, Class M2, STACR®,
5.70% (30 Day Average SOFR +
2.00%), 03/25/2044(b)(c)(g)
 
3,000,000
3,037,382
Series 2024-HQA2, Class M1, STACR®,
4.90% (30 Day Average SOFR +
1.20%), 08/25/2044(b)(c)(g)
 
1,125,398
1,127,367
Series 2025-DNA1, Class A1, STACR®,
4.65% (30 Day Average SOFR +
0.95%), 01/25/2045(b)(c)(g)
 
1,337,500
1,339,847
Series 2025-DNA2, Class A1, STACR®,
4.80% (30 Day Average SOFR +
1.10%), 05/25/2045(b)(c)(g)
 
1,078,000
1,080,949
Series 2025-DNA2, Class M1, STACR®,
4.90% (30 Day Average SOFR +
1.20%), 05/25/2045(b)(c)(g)
 
2,153,044
2,156,515
Series 2025-DNA4, Class A1, STACR®,
4.60% (30 Day Average SOFR +
0.90%), 10/25/2045(b)(c)(g)
 
2,249,813
2,251,800
Series 2025-HQA1, Class A1, STACR®,
4.65% (30 Day Average SOFR +
0.95%), 02/25/2045(b)(c)(g)
 
1,375,000
1,376,985
Series 2025-HQA1, Class M1, STACR®,
4.85% (30 Day Average SOFR +
1.15%), 02/25/2045(b)(c)(g)
 
2,829,131
2,834,428
Total Agency Credit Risk Transfer Notes
(Cost $236,270,820)
237,581,547
 
Principal
Amount
Value
 
Asset-Backed Securities-16.33%
Adjustable Rate Mortgage Trust,
Series 2004-2, Class 6A1, 0.71%,
02/25/2035(h)
$
4,143
$4,126
Angel Oak Mortgage Trust
 
Series 2025-5, Class A1, 5.57%,
04/25/2070(c)
 
3,361,629
3,403,653
Series 2025-HB1, Class A1, 5.50%
(30 Day Average SOFR + 1.80%),
02/25/2055(b)(c)
 
1,271,149
1,280,864
Arby’s Funding, Llc, Series 2020-1A,
Class A2, 3.24%, 07/30/2050(c)
 
1,729,188
1,689,006
Avis Budget Rental Car Funding (AESOP)
LLC, Series 2020-2A, Class C, 4.25%,
02/20/2027(c)
 
216,667
216,645
BBCMS Mortgage Trust, Series 2019-
BWAY, Class B, 5.10% (1 mo. Term
SOFR + 1.42%), 11/15/2034(b)(c)
 
3,250,000
153,494
Bear Stearns Adjustable Rate Mortgage
Trust
 
Series 2003-7, Class 6A, 5.71%,
10/25/2033(h)
 
58,064
56,552
Series 2003-8, Class 4A1, 6.19%,
01/25/2034(h)
 
89,466
89,163
BRAVO Residential Funding Trust,
Series 2025-NQM3, Class A1, 5.57%,
03/25/2065(c)
 
4,601,090
4,651,359
BX Commercial Mortgage Trust,
Series 2021-ACNT, Class B, 5.04% (1
mo. Term SOFR + 1.36%),
11/15/2038(b)(c)
 
3,010,116
3,010,907
BX Trust
 
Series 2021-LGCY, Class B, 4.65% (1
mo. Term SOFR + 0.97%),
10/15/2036(b)(c)
 
3,630,000
3,628,394
Series 2021-RISE, Class A, 4.54% (1
mo. Term SOFR + 0.86%),
11/15/2036(b)(c)
 
507,197
507,235
Series 2021-RISE, Class B, 5.04% (1
mo. Term SOFR + 1.36%),
11/15/2036(b)(c)
 
549,464
549,616
Series 2024-VLT4, Class A, 5.17% (1
mo. Term SOFR + 1.49%),
06/15/2041(b)(c)
 
5,000,000
5,011,858
Series 2025-VOLT, Class B, 5.78% (1
mo. Term SOFR + 2.10%),
12/15/2044(b)(c)
 
5,540,000
5,579,309
CarMax Auto Owner Trust, Series 2024-1,
Class C, 5.47%, 08/15/2029
 
2,000,000
2,045,424
Carmax Select Receivables Trust,
Series 2024-A, Class C, 5.62%,
01/15/2030
 
1,400,000
1,430,721
Chase Home Lending Mortgage Trust
 
Series 2024-6, Class A11, 4.95%
(30 Day Average SOFR + 1.25%),
05/25/2055(b)(c)
 
2,374,883
2,386,280
Series 2024-7, Class A11, 5.00%
(30 Day Average SOFR + 1.30%),
06/25/2055(b)(c)
 
2,787,832
2,811,952
Series 2025-1, Class A11, 4.90%
(30 Day Average SOFR + 1.20%),
11/25/2055(b)(c)
 
4,091,355
4,110,968
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Citigroup Mortgage Loan Trust,
Series 2024-1, Class A11, 5.05%
(30 Day Average SOFR + 1.35%),
07/25/2054(b)(c)
$
2,860,389
$2,881,635
CLI Funding VI LLC, Series 2020-3A,
Class A, 2.07%, 10/18/2045(c)
 
1,923,590
1,819,862
Commonbond Student Loan Trust
 
Series 2017-BGS, Class A2, 4.44% (1
mo. Term SOFR + 0.76%),
09/25/2042(b)(c)
 
76,860
75,913
Series 2018-AGS, Class A2, 4.29% (1
mo. Term SOFR + 0.61%),
02/25/2044(b)(c)
 
159,135
157,615
Series 2018-CGS, Class A2, 4.59% (1
mo. Term SOFR + 0.91%),
02/25/2046(b)(c)
 
324,971
322,331
CPS Auto Receivables Trust
 
Series 2023-D, Class C, 7.17%,
01/15/2030(c)
 
3,989,170
4,032,339
Series 2024-D, Class C, 4.76%,
01/15/2031(c)
 
1,558,000
1,563,420
Cross Mortgage Trust, Series 2024-H7,
Class A1, 5.59%, 11/25/2069(c)(h)
 
3,821,772
3,861,168
Edsouth Indenture No. 9 LLC, Series 2015-
1, Class A, 4.61% (30 Day Average
SOFR + 0.91%), 10/25/2056(b)(c)
 
210,089
209,641
Fannie Mae Connecticut Avenue Securities,
Series 2022-R09, Class 2M1, 6.20%
(30 Day Average SOFR + 2.50%),
09/25/2042(b)(c)(f)
 
8,594,000
8,689,644
Ford Credit Auto Lease Trust,
Series 2024-B, Class B, 5.18%,
02/15/2028
 
5,000,000
5,063,308
Ford Credit Floorplan Master Owner
Trust A, Series 2023-1, Class A2, 4.96%
(30 Day Average SOFR + 1.25%),
05/15/2028(b)(c)
 
2,500,000
2,506,900
GMF Floorplan Owner Revolving Trust,
Series 2023-1, Class A2, 4.86% (30 Day
Average SOFR + 1.15%),
06/15/2028(b)(c)
 
4,000,000
4,011,460
GS Mortgage-Backed Securities Trust
 
Series 2024-HE1, Class A1, 5.30%
(30 Day Average SOFR + 1.60%),
08/25/2054(b)(c)
 
898,697
902,576
Series 2024-HE2, Class A1, 5.20%
(30 Day Average SOFR + 1.50%),
01/25/2055(b)(c)
 
4,391,797
4,408,965
Series 2025-HE1, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
10/25/2055(b)(c)
 
2,529,590
2,545,298
Series 2025-HE2, Class A1, 5.25%
(30 Day Average SOFR + 1.55%),
12/25/2065(b)(c)
 
7,905,152
7,963,001
Hertz Vehicle Financing III L.P.,
Series 2021-2A, Class C, 2.52%,
12/27/2027(c)
 
2,170,000
2,134,468
Hotwire Funding LLC, Series 2021-1,
Class B, 2.66%, 11/20/2051(c)
 
3,000,000
2,948,658
HPEFS Equipment Trust, Series 2023-2A,
Class D, 6.97%, 07/21/2031(c)
 
1,500,000
1,515,003
 
Principal
Amount
Value
 
J.P. Morgan Mortgage Trust
 
Series 2024-11, Class A11, 4.95%
(30 Day Average SOFR + 1.25%),
04/25/2055(b)(c)
$
1,964,527
$1,973,868
Series 2024-9, Class A11, 5.05%
(30 Day Average SOFR + 1.35%),
02/25/2055(b)(c)
 
1,523,429
1,530,542
JP Morgan Chase Commercial Mortgage
Securities Trust, Series 2018-PHH,
Class B, 5.19% (1 mo. Term SOFR +
1.51%), 06/15/2035(b)(c)
 
2,385,000
1,739,298
JP Morgan Mortgage Trust
 
Series 2019-6, Class A11, 4.69% (1 mo.
Term SOFR + 1.01%), 12/25/2049(b)(c)
 
37,598
37,037
Series 2019-INV2, Class A1, 4.69% (1
mo. Term SOFR + 1.01%),
02/25/2050(b)(c)
 
143,889
141,579
Series 2019-INV3, Class A11, 4.79% (1
mo. Term SOFR + 1.11%),
05/25/2050(b)(c)
 
63,137
62,393
Series 2020-8, Class A11, 4.77%
(30 Day Average SOFR + 0.90%),
03/25/2051(b)(c)
 
165,842
157,157
Series 2020-LTV1, Class A11, 4.85% (1
mo. Term SOFR + 1.11%),
06/25/2050(b)(c)
 
1,580
1,579
Series 2021-1, Class A11, 4.52%
(30 Day Average SOFR + 0.65%),
06/25/2051(b)(c)
 
526,479
490,964
Series 2024-5, Class A11, 4.95%
(30 Day Average SOFR + 1.25%),
11/25/2054(b)(c)
 
3,420,646
3,436,627
MED Commercial Mortgage Trust,
Series 2024-MOB, Class A, 5.27% (1
mo. Term SOFR + 1.59%),
05/15/2041(b)(c)
 
5,000,000
4,986,746
Mello Mortgage Capital Acceptance Trust,
Series 2021-INV2, Class A1, 4.82%
(30 Day Average SOFR + 0.95%),
08/25/2051(b)(c)
 
2,541,672
2,388,934
Merrill Lynch Mortgage Investors Trust
 
Series 2003-F, Class A1, 4.43% (1 mo.
Term SOFR + 0.75%), 10/25/2028(b)
 
12,177
11,994
Series 2005-A2, Class A5, 5.17%,
02/25/2035(h)
 
31,096
29,821
MHP, Series 2021-STOR, Class C, 4.85%
(1 mo. Term SOFR + 1.16%),
07/15/2038(b)(c)
 
4,353,000
4,350,787
MHP Commercial Mortgage Trust,
Series 2021-STOR, Class B, 4.70% (1
mo. Term SOFR + 1.01%),
07/15/2038(b)(c)
 
2,500,000
2,499,363
Mission Lane Credit Card Master Trust,
Series 2024-B, Class A, 5.88%,
01/15/2030(c)
 
3,750,000
3,771,454
Morgan Stanley Residential Mortgage Loan
Trust, Series 2024-4, Class AF, 5.05%
(30 Day Average SOFR + 1.35%),
09/25/2054(b)(c)
 
2,352,224
2,359,570
Navient Private Education Refi Loan Trust,
Series 2019-D, Class A2B, 4.85% (1 mo.
Term SOFR + 1.16%), 12/15/2059(b)(c)
 
1,323,328
1,322,304
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
 
Navient Student Loan Trust
 
Series 2021-1A, Class A1B, 4.41%
(30 Day Average SOFR + 0.71%),
12/26/2069(b)(c)
$
3,657,877
$3,613,376
Series 2021-2A, Class A1B, 4.36%
(30 Day Average SOFR + 0.66%),
02/25/2070(b)(c)
 
974,588
974,643
Navistar Financial Dealer Note Master
Owner Trust
 
Series 2024-1, Class B, 5.79%,
04/25/2029(c)
 
2,080,000
2,086,886
Series 2024-1, Class C, 6.13%,
04/25/2029(c)
 
850,000
852,986
Nelnet Student Loan Trust
 
Series 2006-2, Class A7, 4.73%
(SOFR90A + 0.84%), 01/26/2037(b)(c)
 
3,361,816
3,353,223
Series 2014-3A, Class A, 4.39%
(30 Day Average SOFR + 0.69%),
06/25/2041(b)(c)
 
469,887
466,889
Series 2020-5A, Class A, 4.67% (1 mo.
Term SOFR + 0.99%), 10/25/2068(b)(c)
 
2,852,896
2,851,946
Series 2021-A, Class A2, 4.82% (1 mo.
Term SOFR + 1.14%), 04/20/2062(b)(c)
 
5,625,000
5,633,692
Series 2025-AA, Class A1B, 4.81%
(30 Day Average SOFR + 1.10%),
03/15/2057(b)(c)
 
2,117,639
2,114,361
NextGear Floorplan Master Owner Trust,
Series 2024-1A, Class A1, 4.61%
(30 Day Average SOFR + 0.90%),
03/15/2029(b)(c)
 
4,000,000
4,024,360
OBX Trust
 
Series 2019-EXP2, Class 2A2, 5.05% (1
mo. Term SOFR + 1.31%),
06/25/2059(b)(c)
 
75,238
74,805
Series 2019-INV2, Class A11, 4.80% (1
mo. Term SOFR + 1.06%),
05/27/2049(b)(c)
 
2,304,323
2,273,876
Series 2020-EXP1, Class 2A2, 4.74% (1
mo. Term SOFR + 1.06%),
02/25/2060(b)(c)
 
167,047
165,816
Series 2020-EXP3, Class 2A2, 4.99% (1
mo. Term SOFR + 1.31%),
01/25/2060(b)(c)
 
150,742
150,834
Series 2020-INV1, Class A11, 4.75% (1
mo. Term SOFR + 1.01%),
12/25/2049(b)(c)
 
155,917
153,179
Series 2024-NQM5, Class A1, 5.99%,
01/25/2064(c)
 
536,398
543,141
Series 2025-HE1, Class A1, 5.30%
(30 Day Average SOFR + 1.60%),
02/25/2055(b)(c)
 
2,159,542
2,171,895
Series 2025-HE2, Class A1, 5.15%
(30 Day Average SOFR + 1.45%),
08/25/2055(b)(c)
 
7,597,815
7,651,787
OneMain Financial Issuance Trust,
Series 2023-2A, Class A2, 5.21%
(30 Day Average SOFR + 1.50%),
09/15/2036(b)(c)
 
9,000,000
9,077,825
Rate Mortgage Trust, Series 2025-J3,
Class A27, 5.25% (30 Day Average
SOFR + 1.55%), 11/25/2055(b)(c)
 
4,838,124
4,880,320
 
Principal
Amount
Value
 
SMB Private Education Loan Trust
 
Series 2019-B, Class A2B, 4.80% (1 mo.
Term SOFR + 1.11%), 06/15/2037(b)(c)
$
757,227
$757,952
Series 2020-A, Class A2B, 4.63% (1
mo. Term SOFR + 0.94%),
09/15/2037(b)(c)
 
522,972
522,875
Series 2021-A, Class A2A2, 4.53% (1
mo. Term SOFR + 0.84%),
01/15/2053(b)(c)
 
2,065,980
2,050,057
Series 2022-B, Class A1B, 5.16%
(30 Day Average SOFR + 1.45%),
02/16/2055(b)(c)
 
2,166,710
2,188,647
Series 2022-C, Class A1B, 5.56%
(30 Day Average SOFR + 1.85%),
05/16/2050(b)(c)
 
1,473,779
1,496,022
Series 2023-A, Class A1B, 5.21%
(30 Day Average SOFR + 1.50%),
01/15/2053(b)(c)
 
2,539,741
2,560,187
Series 2023-C, Class A1B, 5.26%
(30 Day Average SOFR + 1.55%),
11/15/2052(b)(c)
 
1,204,406
1,217,731
Series 2024-D, Class A1B, 4.81%
(30 Day Average SOFR + 1.10%),
07/15/2053(b)(c)
 
3,236,742
3,220,694
Series 2024-F, Class A1B, 4.71%
(30 Day Average SOFR + 1.00%),
03/16/2054(b)(c)
 
6,190,570
6,162,174
SMRT, Series 2022-MINI, Class B, 5.03%
(1 mo. Term SOFR + 1.35%),
01/15/2039(b)(c)
 
4,655,000
4,653,621
Sonic Capital LLC, Series 2020-1A,
Class A2I, 3.85%, 01/20/2050(c)
 
2,662,521
2,639,140
SREIT Trust
 
Series 2021-PALM, Class A, 4.38% (1
mo. Term SOFR + 0.70%),
10/15/2034(b)(c)
 
3,015,000
3,014,095
Series 2021-PALM, Class B, 4.60% (1
mo. Term SOFR + 0.92%),
10/15/2034(b)(c)
 
1,110,000
1,109,746
Series 2021-PALM, Class C, 4.75% (1
mo. Term SOFR + 1.07%),
10/15/2034(b)(c)
 
1,317,000
1,316,775
Textainer Marine Containers VII Ltd.
(China), Series 2020-1A, Class A,
2.73%, 08/21/2045(c)
 
1,472,480
1,429,078
WaMu Mortgage Pass-Through Ctfs. Trust,
Series 2004-AR3, Class A2, 4.52%,
06/25/2034(h)
 
34,871
33,362
Westlake Automobile Receivables Trust,
Series 2023-4A, Class C, 6.64%,
11/15/2028(c)
 
3,000,000
3,055,524
Total Asset-Backed Securities
(Cost $224,543,911)
222,066,268
U.S. Government Sponsored Agency Mortgage-Backed
Securities-8.44%
Collateralized Mortgage Obligations-7.56%
Fannie Mae REMICs
 
4.46%, (30 Day Average SOFR +
0.43%), 01/25/45 to 12/25/47(b)
 
427,734
420,051
4.31% (30 Day Average SOFR +
0.61%), 05/25/2046(b)
 
166,052
164,358
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Principal
Amount
Value
Collateralized Mortgage Obligations-(continued)
4.44% (30 Day Average SOFR +
0.41%), 09/25/2047(b)
$
377,120
$373,013
4.80%, (30 Day Average SOFR +
1.10%), 07/25/54 to 02/25/55(b)
 
8,164,881
8,218,695
4.90%, (30 Day Average SOFR +
1.20%), 07/25/54 to 09/25/54(b)
 
10,430,924
10,518,239
4.85%, (30 Day Average SOFR +
1.15%), 10/25/54 to 01/25/55(b)
 
9,833,974
9,908,160
Freddie Mac Multifamily Structured
Pass-Through Ctfs.
 
Series KF151, Class AS, 4.30% (30 Day
Average SOFR + 0.51%),
12/25/2032(b)
 
732,361
734,761
Series KF158, Class AS, 4.51% (30 Day
Average SOFR + 0.72%),
07/25/2033(b)
 
4,133,590
4,151,082
Series KF65, Class A, 4.42% (30 Day
Average SOFR + 0.63%),
07/25/2029(b)
 
1,104,834
1,105,572
Series KF81, Class AS, 4.19% (30 Day
Average SOFR + 0.40%),
06/25/2027(b)
 
552,838
552,324
Freddie Mac REMICs
 
4.49% (30 Day Average SOFR +
0.46%), 09/15/2038(b)
 
316,369
312,521
4.59% (30 Day Average SOFR +
0.56%), 09/15/2040(b)
 
281,729
280,154
4.32% (30 Day Average SOFR +
0.61%), 06/15/2041(b)
 
108,778
108,419
4.46% (30 Day Average SOFR +
0.43%), 08/15/2043(b)
 
355,129
351,572
4.17% (30 Day Average SOFR +
0.46%), 01/15/2048(b)
 
1,979,021
1,935,009
4.80% (30 Day Average SOFR +
1.10%), 07/25/2054(b)
 
6,499,079
6,546,033
4.75% (30 Day Average SOFR +
1.05%), 10/25/2054(b)
 
6,478,529
6,516,308
4.85%, (30 Day Average SOFR +
1.15%), 11/25/54 to 11/25/54(b)
 
13,995,073
14,084,572
4.60% (30 Day Average SOFR +
0.90%), 02/25/2055(b)
 
3,783,036
3,794,909
4.90% (30 Day Average SOFR +
1.20%), 04/25/2055(b)
 
5,400,604
5,442,449
5.20% (30 Day Average SOFR +
1.50%), 04/25/2055(b)
 
7,850,938
7,947,374
5.00%, (30 Day Average SOFR +
1.30%), 11/25/55 to 11/25/55(b)
 
19,204,068
19,361,303
 
 
102,826,878
Federal Home Loan Mortgage Corp. (FHLMC)-0.54%
ARM, 6.49% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.55%),
06/01/2037(b)
 
102,261
105,168
ARM, 6.47% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.72%),
11/01/2038(b)
 
173,282
179,847
ARM, 6.52% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.72%),
03/01/2043(b)
 
138,058
144,628
ARM, 6.49% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.76%),
11/01/2047(b)
 
2,288,326
2,398,758
 
Principal
Amount
Value
Federal Home Loan Mortgage Corp. (FHLMC)-(continued)
ARM, 5.76% (1 yr. U.S. Treasury Yield
Curve Rate + 2.16%), 11/01/2048(b)
$
2,224,832
$2,321,684
ARM, 6.35% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.63%),
01/01/2049(b)
 
2,108,139
2,194,910
 
 
7,344,995
Federal National Mortgage Association (FNMA)-0.17%
ARM, 5.89% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.64%),
02/01/2035(b)
 
38,181
39,127
ARM, 5.78% (6 mo. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.57%),
07/01/2035(b)
 
22,796
23,579
ARM, 6.42% (1 yr. U.S. Treasury Yield
Curve Rate + 2.41%), 07/01/2035(b)
 
365,663
380,190
ARM, 6.41% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.66%),
10/01/2036(b)
 
75,052
77,398
ARM, 6.75% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.75%),
03/01/2037(b)
 
121,346
125,040
ARM, 6.24% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.52%),
11/01/2037(b)
 
40,862
41,810
ARM, 6.19% (1 yr. Refinitiv USD IBOR
Consumer Cash Fallbacks + 1.58%),
04/01/2045(b)
 
1,628,570
1,697,691
 
 
2,384,835
Government National Mortgage Association (GNMA)-0.17%
ARM, 5.41% (1 yr. U.S. Treasury Yield
Curve Rate + 1.50%), 08/20/2049(b)
 
2,259,138
2,307,909
Total U.S. Government Sponsored Agency Mortgage-
Backed Securities
(Cost $113,870,737)
114,864,617
 
Shares
 
Money Market Funds-0.93%
Invesco Government & Agency Portfolio,
Institutional Class, 3.61%(i)(j)
(Cost $12,569,546)
 
12,569,546
12,569,546
TOTAL INVESTMENTS IN SECURITIES
(excluding investments purchased with cash collateral
from securities on loan)-99.16%
(Cost $1,345,787,811)
1,348,690,513
Investments Purchased with Cash Collateral
from Securities on Loan
Money Market Funds-1.61%
Invesco Private Government Fund,
3.65%(i)(j)(k)
 
6,091,825
6,091,825
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
 
Shares
Value
Money Market Funds-(continued)
Invesco Private Prime Fund, 3.80%(i)(j)(k)
 
15,830,495
$15,835,244
Total Investments Purchased with Cash Collateral from
Securities on Loan
(Cost $21,927,069)
21,927,069
TOTAL INVESTMENTS IN SECURITIES-100.77%
(Cost $1,367,714,880)
1,370,617,582
OTHER ASSETS LESS LIABILITIES-(0.77)%
(10,465,658
)
NET ASSETS-100.00%
$1,360,151,924
Investment Abbreviations:
ARM
-Adjustable Rate Mortgage
Ctfs.
-Certificates
IBOR
-Interbank Offered Rate
REMICs
-Real Estate Mortgage Investment Conduits
SOFR
-Secured Overnight Financing Rate
STACR®
-Structured Agency Credit Risk
USD
-U.S. Dollar
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is
the exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on January 31, 2026.
(c)
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 $665,354,936, which represented 48.92% of the Fund’s Net Assets.
(d)
All or a portion of this security was out on loan at January 31, 2026.
(e)
Perpetual bond with no specified maturity date.
(f)
CAS notes are bonds issued by Fannie Mae. The amount of periodic principal and ultimate principal paid by Fannie Mae is determined by the performance of a
large and diverse reference pool.
(g)
Principal payments are determined by the delinquency and principal payment experience on the STACR® reference pool. Freddie Mac transfers credit risk from
the mortgages in the reference pool to credit investors who invest in the STACR® debt notes.
(h)
Interest rate is redetermined periodically based on the cash flows generated by the pool of assets backing the security, less any applicable fees. The rate shown
is the rate in effect on January 31, 2026.
(i)
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
$24,666,318
$81,631,490
$(93,728,262
)
$-
$-
$12,569,546
$106,403
Investments
Purchased with Cash
Collateral from
Securities on Loan:
Invesco Private
Government Fund
3,019,907
18,347,064
(15,275,146
)
-
-
6,091,825
47,326
*
Invesco Private Prime
Fund
7,888,876
48,254,014
(40,307,646
)
7
(7
)
15,835,244
127,882
*
Total
$35,575,101
$148,232,568
$(149,311,054
)
$7
$(7
)
$34,496,615
$281,611
*
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.
See accompanying notes which are an integral part of this schedule.

Invesco Variable Rate Investment Grade ETF (VRIG)—(continued)
January 31, 2026
(Unaudited)
(j)
The rate shown is the 7-day SEC standardized yield as of January 31, 2026.
(k)
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, for each Fund (except for Invesco Comstock Contrarian ETF and Invesco QQQ Hedged Advantage ETF). As of January 31, 2026, all of the securities in Invesco Comstock Contrarian ETF and Invesco QQQ Hedged Advantage ETF were valued based on Level 1 inputs (see the Schedules of Investments for security categories). 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 AAA CLO Floating Rate Note ETF
Investments in Securities
Asset-Backed Securities
$-
$410,773,774
$-
$410,773,774
Money Market Funds
12,007,233
-
-
12,007,233
Total Investments in Securities
12,007,233
410,773,774
-
422,781,007
Other Investments - Assets*
Forward Foreign Currency Contracts
-
45,455
-
45,455
Other Investments - Liabilities*
Forward Foreign Currency Contracts
-
(186,394
)
-
(186,394
)
Total Other Investments
-
(140,939
)
-
(140,939
)
Total Investments
$12,007,233
$410,632,835
$-
$422,640,068
Invesco Active U.S. Real Estate ETF
Investments in Securities
Common Stocks & Other Equity Interests
$47,196,638
$-
$-
$47,196,638
Money Market Funds
52,854
615,726
-
668,580
Total Investments
$47,249,492
$615,726
$-
$47,865,218

 
Level 1
Level 2
Level 3
Total
Invesco Core Fixed Income ETF
Investments in Securities
U.S. Treasury Securities
$-
$70,032,047
$-
$70,032,047
U.S. Government Sponsored Agency Mortgage-Backed Securities
-
56,052,668
-
56,052,668
U.S. Dollar Denominated Bonds & Notes
-
54,907,596
446,131
55,353,727
Asset-Backed Securities
-
35,977,003
-
35,977,003
Agency Credit Risk Transfer Notes
-
488,556
-
488,556
Money Market Funds
18,570,802
714,315
-
19,285,117
Total Investments in Securities
18,570,802
218,172,185
446,131
237,189,118
Other Investments - Assets*
Futures Contracts
52,221
-
-
52,221
Other Investments - Liabilities*
Futures Contracts
(23,621
)
-
-
(23,621
)
Total Other Investments
28,600
-
-
28,600
Total Investments
$18,599,402
$218,172,185
$446,131
$237,217,718
Invesco Global Equity Net Zero ETF
Investments in Securities
Common Stocks & Other Equity Interests
$107,608,196
$48,578,962
$-
$156,187,158
Preferred Stocks
-
116,155
-
116,155
Money Market Funds
115,210
850,373
-
965,583
Total Investments
$107,723,406
$49,545,490
$-
$157,268,896
Invesco High Yield Systematic Bond ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$146,894,944
$-
$146,894,944
U.S. Treasury Securities
-
412,840
-
412,840
Common Stocks & Other Equity Interests
-
34,722
-
34,722
Preferred Stocks
-
-
858
858
Money Market Funds
718,227
41,890,958
-
42,609,185
Total Investments in Securities
718,227
189,233,464
858
189,952,549
Other Investments - Assets*
Futures Contracts
6,000
-
-
6,000
Swap Agreements
-
30,646
-
30,646
 
6,000
30,646
-
36,646
Other Investments - Liabilities*
Futures Contracts
(63,889
)
-
-
(63,889
)
Total Other Investments
(57,889
)
30,646
-
(27,243
)
Total Investments
$660,338
$189,264,110
$858
$189,925,306
Invesco International Growth Focus ETF
Investments in Securities
Common Stocks & Other Equity Interests
$39,237,906
$113,310,692
$-
$152,548,598
Money Market Funds
-
6,400,827
-
6,400,827
Total Investments
$39,237,906
$119,711,519
$-
$158,949,425
Invesco MSCI EAFE Income Advantage ETF
Investments in Securities
Common Stocks & Other Equity Interests
$3,507,042
$248,129,090
$-
$251,636,132
Equity Linked Notes
-
7,655,920
-
7,655,920
Money Market Funds
70,450,202
5,654,667
-
76,104,869
Total Investments
$73,957,244
$261,439,677
$-
$335,396,921
Invesco QQQ Income Advantage ETF
Investments in Securities
Common Stocks & Other Equity Interests
$415,113,973
$-
$-
$415,113,973
Equity Linked Notes
-
25,277,372
-
25,277,372
Money Market Funds
98,488,490
-
-
98,488,490
Total Investments
$513,602,463
$25,277,372
$-
$538,879,835

 
Level 1
Level 2
Level 3
Total
Invesco S&P 500® Downside Hedged ETF
Investments in Securities
Common Stocks & Other Equity Interests
$46,026,743
$-
$-
$46,026,743
Money Market Funds
16,644,881
31,557
-
16,676,438
Total Investments in Securities
62,671,624
31,557
-
62,703,181
Other Investments - Assets*
Futures Contracts
374,909
-
-
374,909
Total Investments
$63,046,533
$31,557
$-
$63,078,090
Invesco S&P 500 Equal Weight Income Advantage ETF
Investments in Securities
Common Stocks & Other Equity Interests
$457,439,131
$-
$-
$457,439,131
Equity Linked Notes
-
28,968,769
-
28,968,769
Money Market Funds
96,083,201
4,112,888
-
100,196,089
Total Investments
$553,522,332
$33,081,657
$-
$586,603,989
Invesco Short Duration High Yield ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$7,230,754
$42,957
$7,273,711
Non-U.S. Dollar Denominated Bonds & Notes
-
349,928
-
349,928
Money Market Funds
109,195
283,969
-
393,164
Total Investments in Securities
109,195
7,864,651
42,957
8,016,803
Other Investments - Assets*
Futures Contracts
371
-
-
371
Other Investments - Liabilities*
Forward Foreign Currency Contracts
-
(5,499
)
-
(5,499
)
Total Other Investments
371
(5,499
)
-
(5,128
)
Total Investments
$109,566
$7,859,152
$42,957
$8,011,675
Invesco Short Duration Total Return Bond ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$79,513,977
$-
$79,513,977
Asset-Backed Securities
-
27,149,480
-
27,149,480
U.S. Treasury Securities
-
4,755,103
-
4,755,103
Agency Credit Risk Transfer Notes
-
226,509
-
226,509
Preferred Stocks
28,996
-
-
28,996
Money Market Funds
3,215,269
721,070
-
3,936,339
Total Investments in Securities
3,244,265
112,366,139
-
115,610,404
Other Investments - Assets*
Futures Contracts
115,509
-
-
115,509
Other Investments - Liabilities*
Futures Contracts
(60,091
)
-
-
(60,091
)
Total Other Investments
55,418
-
-
55,418
Total Investments
$3,299,683
$112,366,139
$-
$115,665,822
Invesco SteelPath MLP & Energy Infrastructure ETF
Investments in Securities
Common Stocks & Other Equity Interests
$39,628,520
$-
$-
$39,628,520
Master Limited Partnerships & Related Entities
14,181,480
-
-
14,181,480
Money Market Funds
586,920
5,348,189
-
5,935,109
Total Investments
$54,396,920
$5,348,189
$-
$59,745,109

 
Level 1
Level 2
Level 3
Total
Invesco Top QQQ ETF
Investments in Securities
Common Stocks & Other Equity Interests
$21,915,114
$-
$-
$21,915,114
Money Market Funds
17,979,399
-
-
17,979,399
Total Investments in Securities
39,894,513
-
-
39,894,513
Other Investments - Assets*
Swap Agreements
-
3,873,592
-
3,873,592
Other Investments - Liabilities*
Swap Agreements
-
(79,769
)
-
(79,769
)
Total Other Investments
-
3,793,823
-
3,793,823
Total Investments
$39,894,513
$3,793,823
$-
$43,688,336
Invesco Total Return Bond ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$791,504,365
$22,698,263
$814,202,628
U.S. Government Sponsored Agency Mortgage-Backed Securities
-
663,758,734
-
663,758,734
Asset-Backed Securities
-
466,968,788
2,819,544
469,788,332
U.S. Treasury Securities
-
370,948,219
-
370,948,219
Variable Rate Senior Loan Interests
-
33,042,056
-
33,042,056
Exchange-Traded Funds
26,958,611
-
-
26,958,611
Municipal Obligations
-
12,446,004
-
12,446,004
Preferred Stocks
8,439,545
-
-
8,439,545
Agency Credit Risk Transfer Notes
-
3,156,309
-
3,156,309
U.S. Government Sponsored Agency Securities
-
2,546,468
-
2,546,468
Non-U.S. Dollar Denominated Bonds & Notes
-
491,987
-
491,987
Options Purchased
929,190
-
-
929,190
Money Market Funds
160,867,202
132,876,047
-
293,743,249
Total Investments in Securities
197,194,548
2,477,738,977
25,517,807
2,700,451,332
Other Investments - Assets*
Futures Contracts
1,044,364
-
-
1,044,364
Investments Matured
-
20,000
-
20,000
 
1,044,364
20,000
-
1,064,364
Other Investments - Liabilities*
Forward Foreign Currency Contracts
-
(13,660
)
-
(13,660
)
Futures Contracts
(505,709
)
-
-
(505,709
)
 
(505,709
)
(13,660
)
-
(519,369
)
Total Other Investments
538,655
6,340
-
544,995
Total Investments
$197,733,203
$2,477,745,317
$25,517,807
$2,700,996,327
Invesco Ultra Short Duration ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$1,932,596,317
$-
$1,932,596,317
Commercial Paper
-
712,525,139
-
712,525,139
Asset-Backed Securities
-
554,598,598
-
554,598,598
Certificates of Deposit
-
30,561,791
-
30,561,791
Repurchase Agreements
-
30,000,000
-
30,000,000
Exchange-Traded Funds
9,290,463
-
-
9,290,463
Money Market Funds
-
29,016,840
-
29,016,840
Total Investments
$9,290,463
$3,289,298,685
$-
$3,298,589,148

 
Level 1
Level 2
Level 3
Total
Invesco Variable Rate Investment Grade ETF
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$-
$515,889,176
$-
$515,889,176
U.S. Treasury Securities
-
245,719,359
-
245,719,359
Agency Credit Risk Transfer Notes
-
237,581,547
-
237,581,547
Asset-Backed Securities
-
222,066,268
-
222,066,268
U.S. Government Sponsored Agency Mortgage-Backed Securities
-
114,864,617
-
114,864,617
Money Market Funds
12,569,546
21,927,069
-
34,496,615
Total Investments
$12,569,546
$1,358,048,036
$-
$1,370,617,582
*
Forward foreign currency contracts, futures contracts and swap agreements are valued at unrealized appreciation (depreciation). Investments matured and
options written are shown at value.