Invesco Low Volatility Portfolio ETF

Invesco Low Volatility Portfolio ETF

€16.82
Dividend Yield (FWD)
3.10%
Annual Payout (FWD)
CA$0.78
Dividend Growth Rate (CAGR)
#.##%
Ex-DatePay DateAmountChange
CA$0.2327
CA$0.2327
334.95%
CA$0.6546
-6.04%
CA$0.0535
1.13%
CA$0.0529
2.92%
CA$0.0514
0.19%
CA$0.0513
0.59%
CA$0.051
3.66%
CA$0.0492
-0.4%
CA$0.0494
0.82%
CA$0.049
4.7%
CA$0.0468
-1.06%
CA$0.0473
1.28%
CA$0.0467
-55.98%
CA$0.1061
118.76%
CSV Export

Invesco Low Volatility Portfolio ETF pays a dividend yield (FWD) of 3.10%.

ISIN
WKN
Symbol / Exchange
/ XTSE
Value
€16.82
Dividend frequency
monthly
Security Type
ETF
Dividend Currency
Canadian Dollar
36 Countries
  • Canada

    Canada

    35.80%
  • United States

    United States

    31.19%
  • United Kingdom

    United Kingdom

    3.24%
  • Australia

    Australia

    2.92%
  • Japan

    Japan

    2.61%
  • France

    France

    2.20%
  • Singapore

    Singapore

    1.95%
  • Switzerland

    Switzerland

    1.78%
  • Taiwan

    Taiwan

    1.59%
  • Malaysia

    Malaysia

    1.32%
  • Italy

    Italy

    1.25%
  • Sweden

    Sweden

    1.22%
  • Germany

    Germany

    1.17%
  • Thailand

    Thailand

    1.16%
  • Brazil

    Brazil

    1.10%
  • Spain

    Spain

    1.04%
  • Norway

    Norway

    0.78%
  • Netherlands

    Netherlands

    0.76%
  • Belgium

    Belgium

    0.60%
  • Finland

    Finland

    0.54%
  • Mexico

    Mexico

    0.33%
  • South Africa

    South Africa

    0.32%
  • Chile

    Chile

    0.29%
  • New Zealand

    New Zealand

    0.26%
  • Hong Kong SAR China

    Hong Kong SAR China

    0.26%
  • South Korea

    South Korea

    0.23%
  • Greece

    Greece

    0.20%
  • China

    China

    0.18%
  • India

    India

    0.18%
  • Denmark

    Denmark

    0.16%
  • Ireland

    Ireland

    0.13%
  • Indonesia

    Indonesia

    0.13%
  • Hungary

    Hungary

    0.11%
  • Philippines

    Philippines

    0.043%
  • Colombia

    Colombia

    0.041%
  • Peru

    Peru

    0.038%
11 Sectors
  • Financials

    26.79%
  • Industrials

    14.01%
  • Consumer Staples

    11.49%
  • Utilities

    11.12%
  • Real Estate

    8.63%
  • Energy

    7.97%
  • Communication Services

    6.90%
  • Health Care

    3.52%
  • Consumer Discretionary

    3.39%
  • Information Technology

    3.27%
  • Materials

    2.90%
Resources

Frequently Asked Questions about Invesco Low Volatility Portfolio ETF

Within the last 12 months, Invesco Low Volatility Portfolio ETF paid a dividend of CA$0.78. For the next 12 months, Invesco Low Volatility Portfolio ETF is expected to pay a dividend of CA$0.78. This corresponds to a dividend yield of approximately 3.10%.
The dividend yield of Invesco Low Volatility Portfolio ETF is currently 3.10%.
Invesco Low Volatility Portfolio ETF pays monthly dividends.
The next dividend for Invesco Low Volatility Portfolio ETF is expected in February.
Invesco Low Volatility Portfolio ETF paid dividend every year within the last 10 years.
Dividends of CA$0.78 are expected for the next 12 months. This corresponds to a dividend yield of 3.10%.
The largest sectors of Invesco Low Volatility Portfolio ETF are Financials, Industrials, Consumer Staples.
There are currently no known stock splits for Invesco Low Volatility Portfolio ETF.
To receive the last dividend of Invesco Low Volatility Portfolio ETF on 8 January 2025 in the amount of CA$0.23 you had to have the stock in your portfolio before the ex-day on 30 December 2024.
The last dividend was paid on 8 January 2025.
In 2022, dividends of CA$0.68 were paid by Invesco Low Volatility Portfolio ETF.
Dividends from Invesco Low Volatility Portfolio ETF are paid in Canadian Dollar.
In Invesco Low Volatility Portfolio ETF, Canada, the United States and the United Kingdom are represented as the three largest countries.