Invesco S&P 500 Low Volatility ETF · Other
3m RS is unavailable, Market Stance is 47.8
As of 2026-08-24, Invesco S&P 500 Low Volatility ETF (SPLV) has a 3-month relative strength percentile of — within the TickerStance CS+ADRC universe (~5,000 tickers). The current market Stance is 47.8 (Neutral). Sector: Other. Average daily range 1.0%, relative volume 1.52×. TickerStance reports observed regime conditions across the full CS+ADRC universe; band assignment reflects current breadth, momentum, and macro inputs computed at the daily close. Percentile ranks run from 1 (weakest) to 99 (strongest) relative to all universe members on the same date.
| # | Holding | Weight | Value |
|---|---|---|---|
| 1 | FE | 1.34% | $92M |
| 2 | L | 1.29% | $89M |
| 3 | BRK.B | 1.28% | $88M |
| 4 | DUK | 1.25% | $86M |
| 5 | AEE | 1.24% | $86M |
| 6 | WEC | 1.24% | $85M |
| 7 | LNT | 1.23% | $85M |
| 8 | CNP | 1.23% | $85M |
| 9 | DTE | 1.22% | $84M |
| 10 | EVRG | 1.22% | $84M |
| 11 | O | 1.19% | $82M |
| 12 | PNW | 1.19% | $82M |
| 13 | CMS | 1.18% | $82M |
| 14 | REG | 1.18% | $82M |
| 15 | VICI | 1.18% | $82M |
| 16 | KO | 1.18% | $81M |
| 17 | LIN | 1.17% | $81M |
| 18 | MCD | 1.16% | $80M |
| 19 | SO | 1.16% | $80M |
| 20 | JNJ | 1.15% | $80M |
| 21 | ATO | 1.14% | $79M |
| 22 | TJX | 1.13% | $78M |
| 23 | D | 1.13% | $78M |
| 24 | PPL | 1.10% | $76M |
| 25 | AFL | 1.10% | $76M |
Showing 25 of 100 holdings.
Relative strength across horizons plus the leadership score.
Accumulation rating, relative volume, U/D ratio, breakout-day proof.
Daily range, ATR, beta, and the math for a 1-ADR stop.
No attention data for this ticker yet — it joins the daily scan once a baseline builds.
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 | SPLV Jan avg: 1.41% median: 1.32% win: 75% σ: 1.41% n: 4 2022-04-12 → 2026-07-31 | SPLV Feb avg: 1.86% median: 2.93% win: 75% σ: 3.93% n: 4 2022-04-12 → 2026-07-31 | SPLV Mar avg: -0.24% median: 0.81% win: 75% σ: 3.67% n: 4 2022-04-12 → 2026-07-31 | SPLV Apr avg: -1.18% median: -2.53% win: 40% σ: 3.13% n: 5 2022-04-12 → 2026-07-31 | SPLV May avg: -1.18% median: -0.70% win: 40% σ: 3.12% n: 5 2022-04-12 → 2026-07-31 | SPLV Jun avg: 0.36% median: -0.45% win: 40% σ: 3.50% n: 5 2022-04-12 → 2026-07-31 | SPLV Jul avg: 2.06% median: 1.78% win: 80% σ: 2.04% n: 5 2022-04-12 → 2026-07-31 | SPLV Aug avg: 0.30% median: -0.33% win: 50% σ: 3.73% n: 4 2022-04-12 → 2026-07-31 (current) | SPLV Sep avg: -2.91% median: -2.01% win: 25% σ: 4.29% n: 4 2022-04-12 → 2026-07-31 | SPLV Oct avg: 0.28% median: -0.87% win: 25% σ: 4.55% n: 4 2022-04-12 → 2026-07-31 | SPLV Nov avg: 4.92% median: 5.29% win: 100% σ: 0.89% n: 4 2022-04-12 → 2026-07-31 | SPLV Dec avg: -2.16% median: -2.14% win: 25% σ: 3.51% n: 4 2022-04-12 → 2026-07-31 |
Metrics matched 96 tickers across 100 holdings rows (95.9% of fund weight). Metrics as of 2026-08-24; holdings from the filing.
Holdings of SPLV currently on TickerStance stock-RS leaderboards.
| Ticker | Weight | Lens | Rank | Stage |
|---|---|---|---|---|
| BNY | 1.03% | 6M RS | 2 | — |
Position changes from the to the N-PORT filing.
| Holding | Before → after | Δ weight |
|---|---|---|
| HONHoneywell International Inc. | — → 0.98% | — |
| SPGSimon Property Group, Inc. | — → 0.97% | — |
| SRESempra | — → 0.95% | — |
| Globe Life Inc. | — → 0.91% | — |
| ESSEssex Property Trust, Inc. | — → 0.91% | — |
+16 more
| Holding | Before → after | Δ weight |
|---|---|---|
| FEFirstEnergy Corp. | 1.09% → 1.34% | +0.24 pp |
| 0.90% → 1.13% |
| +0.23 pp |
| LLoews Corp. | 1.06% → 1.29% | +0.23 pp |
| FRTFederal Realty Investment Trust | 0.88% → 1.09% | +0.20 pp |
| BRK.BBerkshire Hathaway Inc. | 1.10% → 1.28% | +0.18 pp |
+30 more
| Holding | Before → after | Δ weight |
|---|---|---|
| ICEIntercontinental Exchange, Inc. | 1.12% → 0.87% | −0.24 pp |
| CMECME Group Inc. | 1.11% → 0.94% | −0.17 pp |
| EXCExelon Corp. | 1.24% → 1.06% | −0.17 pp |
| CBOECboe Global Markets, Inc. | 1.03% → 0.86% | −0.17 pp |
| SOSouthern Co. (The) | 1.31% → 1.16% | −0.15 pp |
+35 more
| Holding | Before → after | Δ weight |
|---|---|---|
| WTWWillis Towers Watson PLC | 1.06% → — | — |
| MRSHMarsh & McLennan Cos., Inc. | 1.01% → — | — |
| BRBroadridge Financial Solutions, Inc. | 1.00% → — | — |
| AONAon PLC | 0.99% → — | — |
| AWKAmerican Water Works Co., Inc. | 0.94% → — | — |
+16 more
As filed in N-PORT — quarterly holdings with up to ~60-day publication lag. Not live positioning.