RSP Invesco S&P 500 Equal Weight ETF $104.01
As of 9:04:00 PM EDT | 2/19/19 | Market Open
RSP Trading Data Previous Last Price $103.82
Volume Avg. Volume (YDT) 1,179,779
Dollar Volume $131,025,622
Weekly Avg. Volume 918,220
Monthly Avg. Volume 1,146,970
Quarterly Avg. Volume 1,326,597
RSP Fund Description The Invesco SP 500 Equal Weight ETF seeks to replicate as closely as possible the performance of the SP 500 Equal Weight Index, before fees and expenses, on a daily basis.
RSP Summary Tracks This Index Invesco S&P 500 Equal Weight ETF
Asset Class Size Large Cap
RSP Classification Region (General) North America
RSP Holdings Top 10 Holdings Chipotle Mexican Grill Inc (
CMG )
0.25%
Total RSP Holdings Total Holdings: 506 Chipotle Mexican Grill Inc (
CMG )
0.25%
Synchrony Financial (
SYF )
0.24%
Brighthouse Financial Inc (
BHF )
0.24%
SVB Financial Group (
SIVB )
0.24%
Keysight Technologies Inc (
KEYS )
0.24%
IPG Photonics Corp (
IPGP )
0.24%
Microchip Technology Inc (
MCHP )
0.24%
Leggett & Platt Inc (
LEG )
0.23%
TransDigm Group Inc (
TDG )
0.23%
FleetCor Technologies Inc (
FLT )
0.23%
Applied Materials Inc (
AMAT )
0.23%
Western Digital Corp (
WDC )
0.23%
Micron Technology Inc (
MU )
0.23%
Skyworks Solutions Inc (
SWKS )
0.23%
Mohawk Industries Inc (
MHK )
0.22%
Capri Holdings Ltd (
CPRI )
0.22%
Baker Hughes a GE Co (
BHGE )
0.22%
Kinder Morgan Inc/DE (
KMI )
0.22%
Citizens Financial Group Inc (
CFG )
0.22%
Hartford Financial Services Group Inc/The (
HIG )
0.22%
Bank of America Corp (
BAC )
0.22%
Jefferies Financial Group Inc (
JEF )
0.22%
Regions Financial Corp (
RF )
0.22%
DENTSPLY SIRONA Inc (
XRAY )
0.22%
Nektar Therapeutics (
NKTR )
0.22%
Align Technology Inc (
ALGN )
0.22%
Norfolk Southern Corp (
NSC )
0.22%
JB Hunt Transport Services Inc (
JBHT )
0.22%
Quanta Services Inc (
PWR )
0.22%
Fortune Brands Home & Security Inc (
FBHS )
0.22%
Southwest Airlines Co (
LUV )
0.22%
Jacobs Engineering Group Inc (
JEC )
0.22%
Global Payments Inc (
GPN )
0.22%
Cadence Design Systems Inc (
CDNS )
0.22%
Seagate Technology PLC (
STX )
0.22%
Advanced Micro Devices Inc (
AMD )
0.22%
Freeport-McMoRan Inc (
FCX )
0.22%
Hilton Worldwide Holdings Inc (
HLT )
0.21%
Estee Lauder Cos Inc/The (
EL )
0.21%
Monster Beverage Corp (
MNST )
0.21%
Williams Cos Inc/The (
WMB )
0.21%
Diamondback Energy Inc (
FANG )
0.21%
Ameriprise Financial Inc (
AMP )
0.21%
Progressive Corp/The (
PGR )
0.21%
Fifth Third Bancorp (
FITB )
0.21%
Principal Financial Group Inc (
PFG )
0.21%
Discover Financial Services (
DFS )
0.21%
People's United Financial Inc (
PBCT )
0.21%
Huntington Bancshares Inc/OH (
HBAN )
0.21%
Prudential Financial Inc (
PRU )
0.21%
Lincoln National Corp (
LNC )
0.21%
Affiliated Managers Group Inc (
AMG )
0.21%
Goldman Sachs Group Inc/The (
GS )
0.21%
First Republic Bank/CA (
FRC )
0.21%
Charles Schwab Corp/The (
SCHW )
0.21%
WellCare Health Plans Inc (
WCG )
0.21%
Alexion Pharmaceuticals Inc (
ALXN )
0.21%
Mettler-Toledo International Inc (
MTD )
0.21%
Zimmer Biomet Holdings Inc (
ZBH )
0.21%
Boston Scientific Corp (
BSX )
0.21%
Baxter International Inc (
BAX )
0.21%
Agilent Technologies Inc (
A )
0.21%
Cardinal Health Inc (
CAH )
0.21%
Robert Half International Inc (
RHI )
0.21%
Stanley Black & Decker Inc (
SWK )
0.21%
United Parcel Service Inc (
UPS )
0.21%
Rockwell Automation Inc (
ROK )
0.21%
Parker-Hannifin Corp (
PH )
0.21%
Roper Technologies Inc (
ROP )
0.21%
American Airlines Group Inc (
AAL )
0.21%
International Business Machines Corp (
IBM )
0.21%
Texas Instruments Inc (
TXN )
0.21%
Hewlett Packard Enterprise Co (
HPE )
0.21%
TE Connectivity Ltd (
TEL )
0.21%
Eastman Chemical Co (
EMN )
0.21%
Avery Dennison Corp (
AVY )
0.21%
Vulcan Materials Co (
VMC )
0.21%
Sherwin-Williams Co/The (
SHW )
0.21%
Air Products & Chemicals Inc (
APD )
0.21%
Charter Communications Inc (
CHTR )
0.2%
Marriott International Inc/MD (
MAR )
0.2%
O'Reilly Automotive Inc (
ORLY )
0.2%
Norwegian Cruise Line Holdings Ltd (
NCLH )
0.2%
Royal Caribbean Cruises Ltd (
RCL )
0.2%
Darden Restaurants Inc (
DRI )
0.2%
Harley-Davidson Inc (
HOG )
0.2%
Booking Holdings Inc (
BKNG )
0.2%
Mondelez International Inc (
MDLZ )
0.2%
National Oilwell Varco Inc (
NOV )
0.2%
Marathon Petroleum Corp (
MPC )
0.2%
Cabot Oil & Gas Corp (
COG )
0.2%
Willis Towers Watson PLC (
WLTW )
0.2%
Raymond James Financial Inc (
RJF )
0.2%
Marsh & McLennan Cos Inc (
MMC )
0.2%
American International Group Inc (
AIG )
0.2%
E*TRADE Financial Corp (
ETFC )
0.2%
Bank of New York Mellon Corp/The (
BK )
0.2%
Arthur J Gallagher & Co (
AJG )
0.2%
T Rowe Price Group Inc (
TROW )
0.2%
Cincinnati Financial Corp (
CINF )
0.2%
Northern Trust Corp (
NTRS )
0.2%
Travelers Cos Inc/The (
TRV )
0.2%
Varian Medical Systems Inc (
VAR )
0.2%
Universal Health Services Inc (
UHS )
0.2%
Vertex Pharmaceuticals Inc (
VRTX )
0.2%
Edwards Lifesciences Corp (
EW )
0.2%
AmerisourceBergen Corp (
ABC )
0.2%
Intuitive Surgical Inc (
ISRG )
0.2%
Regeneron Pharmaceuticals Inc (
REGN )
0.2%
IDEXX Laboratories Inc (
IDXX )
0.2%
Laboratory Corp of America Holdings (
LH )
0.2%
Becton Dickinson and Co (
BDX )
0.2%
Thermo Fisher Scientific Inc (
TMO )
0.2%
Honeywell International Inc (
HON )
0.2%
Emerson Electric Co (
EMR )
0.2%
L3 Technologies Inc (
LLL )
0.2%
Verisk Analytics Inc (
VRSK )
0.2%
Kansas City Southern (
KSU )
0.2%
Waste Management Inc (
WM )
0.2%
Johnson Controls International plc (
JCI )
0.2%
CH Robinson Worldwide Inc (
CHRW )
0.2%
Huntington Ingalls Industries Inc (
HII )
0.2%
Northrop Grumman Corp (
NOC )
0.2%
Alaska Air Group Inc (
ALK )
0.2%
Illinois Tool Works Inc (
ITW )
0.2%
Expeditors International of Washington Inc (
EXPD )
0.2%
PayPal Holdings Inc (
PYPL )
0.2%
Automatic Data Processing Inc (
ADP )
0.2%
Arista Networks Inc (
ANET )
0.2%
Akamai Technologies Inc (
AKAM )
0.2%
Total System Services Inc (
TSS )
0.2%
Motorola Solutions Inc (
MSI )
0.2%
Cognizant Technology Solutions Corp (
CTSH )
0.2%
Maxim Integrated Products Inc (
MXIM )
0.2%
Martin Marietta Materials Inc (
MLM )
0.2%
International Paper Co (
IP )
0.2%
Alexandria Real Estate Equities Inc (
ARE )
0.2%
Regency Centers Corp (
REG )
0.2%
SBA Communications Corp (
SBAC )
0.2%
Essex Property Trust Inc (
ESS )
0.2%
Boston Properties Inc (
BXP )
0.2%
American Tower Corp (
AMT )
0.2%
CenterPoint Energy Inc (
CNP )
0.2%
Interpublic Group of Cos Inc/The (
IPG )
0.19%
MGM Resorts International (
MGM )
0.19%
Advance Auto Parts Inc (
AAP )
0.19%
Costco Wholesale Corp (
COST )
0.19%
Procter & Gamble Co/The (
PG )
0.19%
Colgate-Palmolive Co (
CL )
0.19%
Pioneer Natural Resources Co (
PXD )
0.19%
Concho Resources Inc (
CXO )
0.19%
Occidental Petroleum Corp (
OXY )
0.19%
JPMorgan Chase & Co (
JPM )
0.19%
PNC Financial Services Group Inc/The (
PNC )
0.19%
Berkshire Hathaway Inc (
BRK.B )
0.19%
Capital One Financial Corp (
COF )
0.19%
Franklin Resources Inc (
BEN )
0.19%
American Express Co (
AXP )
0.19%
Abbott Laboratories (
ABT )
0.19%
Gilead Sciences Inc (
GILD )
0.19%
UnitedHealth Group Inc (
UNH )
0.19%
Quest Diagnostics Inc (
DGX )
0.19%
United Technologies Corp (
UTX )
0.19%
Lockheed Martin Corp (
LMT )
0.19%
Republic Services Inc (
RSG )
0.19%
General Dynamics Corp (
GD )
0.19%
Nielsen Holdings PLC (
NLSN )
0.19%
United Continental Holdings Inc (
UAL )
0.19%
Broadridge Financial Solutions Inc (
BR )
0.19%
Fidelity National Information Services Inc (
FIS )
0.19%
Jack Henry & Associates Inc (
JKHY )
0.19%
LyondellBasell Industries NV (
LYB )
0.19%
Packaging Corp of America (
PKG )
0.19%
CF Industries Holdings Inc (
CF )
0.19%
Newmont Mining Corp (
NEM )
0.19%
Apartment Investment & Management Co (
AIV )
0.19%
AvalonBay Communities Inc (
AVB )
0.19%
Crown Castle International Corp (
CCI )
0.19%
Host Hotels & Resorts Inc (
HST )
0.19%
Federal Realty Investment Trust (
FRT )
0.19%
Mid-America Apartment Communities Inc (
MAA )
0.19%
SL Green Realty Corp (
SLG )
0.19%
Extra Space Storage Inc (
EXR )
0.19%
Simon Property Group Inc (
SPG )
0.19%
Edison International (
EIX )
0.19%
Public Service Enterprise Group Inc (
PEG )
0.19%
American Water Works Co Inc (
AWK )
0.19%
Activision Blizzard Inc (
ATVI )
0.18%
Verizon Communications Inc (
VZ )
0.18%
Kimberly-Clark Corp (
KMB )
0.18%
Philip Morris International Inc (
PM )
0.18%
Constellation Brands Inc (
STZ )
0.18%
Molson Coors Brewing Co (
TAP )
0.18%
Archer-Daniels-Midland Co (
ADM )
0.18%
Helmerich & Payne Inc (
HP )
0.18%
Everest Re Group Ltd (
RE )
0.18%
Intercontinental Exchange Inc (
ICE )
0.18%
Bristol-Myers Squibb Co (
BMY )
0.18%
Delta Air Lines Inc (
DAL )
0.18%
Western Union Co/The (
WU )
0.18%
Citrix Systems Inc (
CTXS )
0.18%
Juniper Networks Inc (
JNPR )
0.18%
Alliance Data Systems Corp (
ADS )
0.18%
International Flavors & Fragrances Inc (
IFF )
0.18%
Vornado Realty Trust (
VNO )
0.18%
Digital Realty Trust Inc (
DLR )
0.18%
WEC Energy Group Inc (
WEC )
0.18%
American Electric Power Co Inc (
AEP )
0.18%
Alliant Energy Corp (
LNT )
0.18%
Pinnacle West Capital Corp (
PNW )
0.18%
Take-Two Interactive Software Inc (
TTWO )
0.17%
Church & Dwight Co Inc (
CHD )
0.17%
Walgreens Boots Alliance Inc (
WBA )
0.17%
Lamb Weston Holdings Inc (
LW )
0.17%
Cboe Global Markets Inc (
CBOE )
0.17%
Consolidated Edison Inc (
ED )
0.17%
Goodyear Tire & Rubber Co/The (
GT )
0.16%
McCormick & Co Inc/MD (
MKC )
0.16%
Anadarko Petroleum Corp (
APC )
0.16%
Twenty-First Century Fox Inc (
FOX )
0.06%
PowerShares S&P 500 Equal Weight Portfolio (
RSP )
0%
RSP Dividends Annual Dividend Yield 1.78