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New York Stock Exchange Arca · Fixed Income
$24.17
+$0.03 · +0.12%
· Aug 21, 4:00 PM ET
$24.17
Previous close+$0.03 · +0.12%
· Aug 21, 4:00 PM ET
$24.16
+$0.02 · +0.08%
Regular session · ET · Market data may be delayed.
The Invesco Variable Rate Preferred ETF (the Fund) aims to mirror the performance of the ICE Variable Rate Preferred & Hybrid Securities Index. At least 90% of the Fund's assets are strategically allocated to U.S. dollar-denominated, floating and variable rate preferred stocks, as well as specific hybrid debt instruments. These securities, issued by U.S. corporations, encompass both investment-grade and below-investment-grade credit quality. The Index itself is designed to track similar U.S. dollar preferred stocks and hybrid securities, as deemed comparable by the Index Provider, issued in the U.S. market. Instead of replicating the entire Index, the Fund employs a "sampling" approach to fulfill its investment objective. Both the Fund and the underlying Index undergo monthly rebalancing. As of August 31, 2025, Morningstar Inc. awarded the Fund an exceptional 5-star overall rating (among 66 funds), a distinction it also held for its 3-year (out of 66 funds), 5-year (out of 58 funds), and 10-year (out of 38 funds) performance periods. These ratings are determined by a risk-adjusted return methodology, which prioritizes consistent performance and places greater emphasis on mitigating downside volatility. For comparative purposes, open-end mutual funds and exchange-traded funds are grouped together, with a minimum three-year operational history required for rating eligibility. The overall rating is a weighted average of the applicable three-, five-, and ten-year metrics, factoring in fees and expenses but excluding sales charges. Morningstar's system allocates 5 stars to the top 10% of funds in a category, 4 stars to the next 22.5%, 3 stars to the subsequent 35%, 2 stars to the following 22.5%, and 1 star to the bottom 10%. Ratings are subject to monthly adjustments. It is important to note that if historical fee waivers or expense reimbursements had not occurred, the Morningstar rating might have been lower, and ratings for other share classes could differ due to distinct performance characteristics. Morningstar's content is proprietary and strictly prohibited from being copied or distributed; its accuracy, completeness, or timeliness is not guaranteed, nor is Morningstar liable for any damages arising from its use. Investors should be aware that past performance is not a guarantee of future outcomes.
Fund assets
3.02B USD
Expense ratio
0.50%
NAV
$24.21
Average volume
734.33K
Volume
516.17K
Day range
$24.14 – $24.17
52-week range
$23.71 – $24.93
Previous close
$24.14
Price change
1 day
+0.12%
1 month
-0.04%
3 months
-0.37%
Year to date
-0.66%
1 year
-1.63%
3 years
+7.66%
5 years
-8.17%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Portfolio
Holdings data updated Aug 23, 2026.
Portfolio composition
Fund income
Aug 24, 2026
Monthly
Aug 24, 2026
Aug 28, 2026
$0.0895
Jul 20, 2026
Monthly
Jul 20, 2026
Jul 24, 2026
$0.0899
Jun 22, 2026
Monthly
Jun 22, 2026
Jun 26, 2026
$0.09
May 18, 2026
Monthly
May 18, 2026
May 22, 2026
$0.09
Apr 20, 2026
Monthly
Apr 20, 2026
Apr 24, 2026
$0.0913
Mar 23, 2026
Monthly
Mar 23, 2026
Mar 27, 2026
$0.1019
Feb 23, 2026
Monthly
Feb 23, 2026
Feb 27, 2026
$0.1019
Jan 20, 2026
Monthly
Jan 20, 2026
Jan 23, 2026
$0.102
Dec 22, 2025
Monthly
Dec 22, 2025
Dec 26, 2025
$0.2103
Nov 24, 2025
Monthly
Nov 24, 2025
Nov 28, 2025
$0.2003
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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.