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New York Stock Exchange Arca · Equity
$20.03
+$0.04 · +0.20%
· Aug 21, 4:00 PM ET
$20.00
−$0.03 · -0.15%
· Aug 24, 7:45 AM ET
$20.03
Previous close+$0.04 · +0.20%
· Aug 21, 4:00 PM ET
$20.00
−$0.03 · -0.15%
· Aug 24, 7:45 AM ET
$20.03
+$0.04 · +0.20%
Regular session · ET · Market data may be delayed.
Effective around February 23, 2026, the Invesco India ETF (IMVP) will adjust its core investment methodology. From this date forward, the fund intends to allocate a minimum of 90% of its total capital to securities that make up its newly adopted underlying index, including both direct equity holdings and their corresponding American or Global Depositary Receipts (ADRs/GDRs). The fund's overarching goal is to achieve extensive coverage of the Indian stock market by mirroring an index that systematically filters out underperforming companies. This index starts by considering all stocks listed on the National Stock Exchange of India. It then applies a two-step screening process: 1. Yield Filter: Stocks are ranked by their dividend yield over the preceding 12 months, and the lowest-yielding 10% are eliminated. 2. Quality Filter: Subsequently, the remaining stocks are assessed for "quality." This metric combines profitability indicators (such as return on assets, asset turnover, and accruals) with the company's leverage ratio. The bottom 10% based on this quality assessment are then removed. A specific rule applies to financial firms, for which only Return on Assets is utilized in the quality evaluation. The resulting constituents are weighted based on their market capitalization, subject to specific concentration limits. The largest individual holding is capped at 10%, the second largest at 9%, and this decreasing cap continues for the top six holdings. Furthermore, the combined weight of all individual positions exceeding 5% is restricted to a maximum of 40%. The index's composition undergoes a re-evaluation twice a year. Historical Note: Prior to June 24, 2019, the fund tracked the Indus India Index, which utilized different screening mechanisms.
Fund assets
106.25M USD
Expense ratio
0.78%
NAV
$20.12
Average volume
47.65K
Volume
21.12K
Day range
$20.03 – $20.07
52-week range
$19.50 – $26.75
Previous close
$19.99
Portfolio
Holdings data updated Aug 23, 2026.
Fund income
Jun 22, 2026
Semiannual
Jun 22, 2026
Jun 26, 2026
$0.585
Dec 22, 2025
Annual
Dec 22, 2025
Dec 26, 2025
$1.796
Dec 23, 2024
Annual
Dec 23, 2024
Dec 27, 2024
$2.1858
Dec 18, 2023
Semiannual
Dec 19, 2023
Dec 22, 2023
$0.8545
Sep 18, 2023
Semiannual
Sep 19, 2023
Sep 22, 2023
$0.1049
Dec 19, 2022
Annual
Dec 20, 2022
Dec 23, 2022
$2.9947
Dec 20, 2021
Quarterly
Dec 21, 2021
Dec 31, 2021
$1.599
Sep 20, 2021
Quarterly
Sep 21, 2021
Sep 30, 2021
$0.1463
Jun 21, 2021
Quarterly
Jun 22, 2021
Jun 30, 2021
$0.115
Mar 23, 2020
Semiannual
Mar 24, 2020
Mar 31, 2020
$0.1667
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.