NPORT-EX 2 edgar.htm
Schedule of Investments
Invesco 0-5 Yr US TIPS ETF (PBTP)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
U.S. Treasury Securities-99.94%
U.S. Treasury Inflation — Indexed Bonds-16.79%(a)
2.38%, 01/15/2025

$ 3,111,295   $3,099,613
2.00%, 01/15/2026

  2,113,088   2,107,795
2.38%, 01/15/2027

  1,707,269   1,730,880
1.75%, 01/15/2028

  1,560,781   1,559,932
3.63%, 04/15/2028

  2,165,472   2,327,016
2.50%, 01/15/2029

  1,380,085   1,434,735
        12,259,971
U.S. Treasury Inflation — Indexed Notes-83.15%(a)
0.50%, 04/15/2024

  2,676,929   2,662,761
0.13%, 07/15/2024

  3,621,051   3,590,306
0.13%, 10/15/2024

  2,871,554   2,829,911
0.25%, 01/15/2025

  3,622,317   3,536,761
0.13%, 04/15/2025

  2,883,740   2,796,996
0.38%, 07/15/2025

  3,624,117   3,535,390
0.13%, 10/15/2025

  2,766,979   2,679,773
0.63%, 01/15/2026

  3,737,417   3,630,445
0.13%, 04/15/2026

  3,181,145   3,046,030
0.13%, 07/15/2026

  3,220,487   3,091,160
0.13%, 10/15/2026

  2,937,273   2,808,084
0.38%, 01/15/2027

  3,338,978   3,196,307
0.13%, 04/15/2027

  2,922,113   2,764,022
  Principal
Amount
  Value
U.S. Treasury Inflation — Indexed Notes-(continued)
0.38%, 07/15/2027

$ 3,162,276   $3,024,009
1.63%, 10/15/2027

  2,823,819   2,818,062
0.50%, 01/15/2028

  3,294,016   3,136,624
1.25%, 04/15/2028

  2,793,827   2,736,373
0.75%, 07/15/2028

  3,058,809   2,947,338
2.38%, 10/15/2028

  2,873,280   2,971,761
0.88%, 01/15/2029

  3,003,594   2,890,709
        60,692,822
Total U.S. Treasury Securities

(Cost $75,488,064)

  72,952,793
  Shares    
Money Market Funds-0.23%
Invesco Government & Agency Portfolio, Institutional Class, 5.24%(b)(c)

(Cost $163,900)

  163,900   163,900
TOTAL INVESTMENTS IN SECURITIES-100.17%

(Cost $75,651,964)

  73,116,693
OTHER ASSETS LESS LIABILITIES-(0.17)%

  (121,358)
NET ASSETS-100.00%

  $72,995,335
Notes to Schedule of Investments:
(a) Principal amount of security and interest payments are adjusted for inflation.  
(b) Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in affiliates for the three months ended January 31, 2024.
    
  Value
October 31, 2023
  Purchases
at Cost
  Proceeds
from Sales
  Change in
Unrealized
Appreciation
  Realized
Gain
  Value
January 31, 2024
  Dividend
Income
Investments in Affiliated Money Market Funds:                          
Invesco Government & Agency Portfolio, Institutional Class $96,987   $562,652   $(495,739)   $-   $-   $163,900   $878
    
(c) The rate shown is the 7-day SEC standardized yield as of January 31, 2024.
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Schedule of Investments
Invesco Emerging Markets Sovereign Debt ETF (PCY)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
U.S. Dollar Denominated Bonds & Notes-97.97%
Angola-2.66%
Angolan Government International Bond        
8.75%, 04/14/2032(a)

$ 15,431,000   $13,295,288
9.38%, 05/08/2048(a)

  16,501,000   13,300,301
9.13%, 11/26/2049(a)

  16,615,000   13,189,701
        39,785,290
Bahrain-2.80%
Bahrain Government International Bond        
6.00%, 09/19/2044(a)

  17,460,000   13,982,596
7.50%, 09/20/2047(a)

  14,883,000   13,761,283
6.25%, 01/25/2051(a)

  17,542,000   14,143,501
        41,887,380
Brazil-2.99%
Brazilian Government International Bond        
5.63%, 01/07/2041(b)

  16,561,000   14,985,325
5.63%, 02/21/2047

  17,598,000   15,013,385
4.75%, 01/14/2050

  19,875,000   14,686,354
        44,685,064
Chile-2.91%
Chile Government International Bond        
4.34%, 03/07/2042(b)

  16,418,000   14,527,035
4.00%, 01/31/2052(b)

  18,435,000   14,773,256
5.33%, 01/05/2054

  14,679,115   14,293,994
        43,594,285
China-2.84%
China Government International Bond        
4.00%, 10/19/2048(a)(b)

  15,344,000   14,134,710
2.25%, 10/21/2050(a)

  21,677,000   14,118,345
2.50%, 10/26/2051(a)

  20,708,000   14,171,783
        42,424,838
Colombia-3.13%
Colombia Government International Bond        
6.13%, 01/18/2041

  18,207,000   15,942,232
5.63%, 02/26/2044

  19,860,000   15,880,076
8.75%, 11/14/2053

  13,753,000   15,030,427
        46,852,735
Costa Rica-2.99%
Costa Rica Government International Bond        
5.63%, 04/30/2043(a)

  16,908,000   15,169,814
7.00%, 04/04/2044(a)

  14,580,000   14,827,307
7.16%, 03/12/2045(a)(b)

  14,330,000   14,787,353
        44,784,474
Dominican Republic-3.14%
Dominican Republic International Bond        
7.45%, 04/30/2044(a)

  14,605,000   15,251,025
6.85%, 01/27/2045(a)

  15,989,000   15,676,185
6.50%, 02/15/2048(a)

  16,860,000   15,993,670
        46,920,880
Egypt-2.72%
Egypt Government International Bond        
7.50%, 01/31/2027(a)

  16,587,000   13,676,827
6.59%, 02/21/2028(a)

  18,032,000   13,485,953
7.60%, 03/01/2029(a)

  18,304,000   13,567,419
        40,730,199
  Principal
Amount
  Value
El Salvador-4.85%
El Salvador Government International Bond        
6.38%, 01/18/2027(a)

$ 26,507,000   $23,756,899
8.63%, 02/28/2029(a)

  28,435,000   25,811,871
8.25%, 04/10/2032(a)

  26,741,000   23,024,001
        72,592,771
Guatemala-2.83%
Guatemala Government Bond        
5.25%, 08/10/2029(a)

  14,874,000   14,429,331
3.70%, 10/07/2033(a)

  17,135,000   14,099,402
4.65%, 10/07/2041(a)

  17,303,000   13,835,377
        42,364,110
Hungary-2.95%
Hungary Government International Bond        
7.63%, 03/29/2041

  12,469,000   14,382,992
3.13%, 09/21/2051(a)

  23,050,000   14,738,746
6.75%, 09/25/2052(a)

  13,861,000   14,930,376
        44,052,114
Indonesia-2.86%
Indonesia Government International Bond        
6.75%, 01/15/2044(a)

  12,586,000   14,763,458
4.45%, 04/15/2070

  16,823,000   14,283,619
3.35%, 03/12/2071

  20,435,000   13,741,895
        42,788,972
Jordan-2.75%
Jordan Government International Bond        
7.50%, 01/13/2029(a)

  13,610,000   13,360,256
5.85%, 07/07/2030(a)

  15,774,000   14,180,826
7.38%, 10/10/2047(a)

  15,883,000   13,563,844
        41,104,926
Kazakhstan-2.97%
Kazakhstan Government International Bond        
4.88%, 10/14/2044(a)

  23,387,000   21,963,948
6.50%, 07/21/2045(a)

  20,235,000   22,432,622
        44,396,570
Kenya-2.99%
Republic of Kenya Government International Bond        
7.25%, 02/28/2028(a)

  24,776,000   22,272,014
8.25%, 02/28/2048(a)

  27,830,000   22,391,183
        44,663,197
Kuwait-1.44%
Kuwait International Government Bond, 3.50%, 03/20/2027(a)

  22,056,000   21,517,723
Mexico-2.87%
Mexico Government International Bond        
6.34%, 05/04/2053

  14,835,000   14,824,680
3.75%, 04/19/2071

  21,617,000   13,973,744
5.75%, 10/12/2110

  15,887,000   14,051,925
        42,850,349
Mongolia-2.96%
Mongolia Government International Bond        
3.50%, 07/07/2027(a)

  17,063,000   15,219,810
8.65%, 01/19/2028(a)

  13,448,000   14,139,761
4.45%, 07/07/2031(a)

  17,662,000   14,930,660
        44,290,231
See accompanying notes which are an integral part of this schedule.

Invesco Emerging Markets Sovereign Debt ETF (PCY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Morocco-3.02%
Morocco Government International Bond        
6.50%, 09/08/2033(a)

$ 14,439,000   $14,948,408
5.50%, 12/11/2042(a)

  17,249,000   15,092,875
4.00%, 12/15/2050(a)

  22,111,000   15,136,527
        45,177,810
Nigeria-3.23%
Nigeria Government International Bond        
7.70%, 02/23/2038(a)

  20,517,000   16,236,887
7.63%, 11/28/2047(a)

  20,830,000   15,809,678
9.25%, 01/21/2049(a)

  18,495,000   16,301,863
        48,348,428
Oman-3.00%
Oman Government International Bond        
6.50%, 03/08/2047(a)

  14,938,000   14,772,935
6.75%, 01/17/2048(a)

  14,892,000   15,024,613
7.00%, 01/25/2051(a)

  14,463,000   14,994,371
        44,791,919
Pakistan-4.22%
Pakistan Government International Bond        
6.88%, 12/05/2027(a)

  30,947,000   22,564,077
7.38%, 04/08/2031(a)

  31,323,000   20,518,914
8.88%, 04/08/2051(a)

  31,928,000   20,045,388
        63,128,379
Panama-2.69%
Panama Government International Bond        
3.30%, 01/19/2033(b)

  17,643,000   13,612,178
6.40%, 02/14/2035

  13,912,000   13,173,487
6.88%, 01/31/2036

  13,877,000   13,435,153
        40,220,818
Paraguay-2.90%
Paraguay Government International Bond        
4.70%, 03/27/2027(a)

  14,628,000   14,436,407
6.10%, 08/11/2044(a)

  15,166,000   14,530,684
5.60%, 03/13/2048(a)(b)

  16,192,000   14,471,329
        43,438,420
Peru-2.95%
Peruvian Government International Bond        
5.63%, 11/18/2050(b)

  14,441,000   14,631,022
3.55%, 03/10/2051(b)

  19,761,000   14,523,524
3.60%, 01/15/2072(b)

  21,975,000   14,920,659
        44,075,205
Philippines-2.86%
Philippine Government International Bond        
3.20%, 07/06/2046

  19,828,000   14,476,691
4.20%, 03/29/2047(b)

  16,600,000   14,188,823
5.95%, 10/13/2047(b)

  13,132,000   14,170,838
        42,836,352
Qatar-2.79%
Qatar Government International Bond        
4.63%, 06/02/2046(a)

  15,230,000   13,955,005
5.10%, 04/23/2048(a)

  14,323,000   13,905,069
4.82%, 03/14/2049(a)

  14,787,000   13,793,388
        41,653,462
Romania-2.96%
Romanian Government International Bond        
5.13%, 06/15/2048(a)

  17,068,000   14,722,089
  Principal
Amount
  Value
Romania-(continued)
4.00%, 02/14/2051(a)

$ 20,554,000   $14,873,326
7.63%, 01/17/2053(a)

  13,152,000   14,727,807
        44,323,222
Saudi Arabia-2.79%
Saudi Government International Bond        
4.63%, 10/04/2047(a)

  16,092,000   13,909,523
5.00%, 04/17/2049(a)

  15,355,000   13,938,378
3.45%, 02/02/2061(a)

  20,954,000   13,808,623
        41,656,524
South Africa-2.87%
Republic of South Africa Government International Bond        
6.30%, 06/22/2048

  17,941,000   14,456,858
5.75%, 09/30/2049

  19,077,000   14,196,627
7.30%, 04/20/2052

  16,167,000   14,326,710
        42,980,195
Turkey-3.15%
Turkey Government International Bond        
6.88%, 03/17/2036

  17,092,000   15,616,191
6.63%, 02/17/2045

  18,892,000   15,697,835
Turkiye Government International Bond, 5.75%, 05/11/2047

  21,611,000   15,819,598
        47,133,624
United Arab Emirates-2.89%
Finance Department Government of Sharjah        
3.63%, 03/10/2033(a)

  17,443,000   14,561,504
4.00%, 07/28/2050(a)

  22,339,000   14,421,589
4.38%, 03/10/2051(a)

  20,538,000   14,190,156
        43,173,249
Total U.S. Dollar Denominated Bonds & Notes

(Cost $1,674,201,435)

  1,465,223,715
  Shares    
Money Market Funds-0.35%
Invesco Government & Agency Portfolio, Institutional Class, 5.24%(c)(d)

(Cost $5,268,524)

  5,268,524   5,268,524
TOTAL INVESTMENTS IN SECURITIES

(excluding investments purchased with cash collateral from securities on loan)-98.32%

(Cost $1,679,469,959)

  1,470,492,239
Investments Purchased with Cash Collateral from Securities on Loan
Money Market Funds-2.36%
Invesco Private Government Fund, 5.29%(c)(d)(e)

  9,871,783   9,871,783
Invesco Private Prime Fund, 5.52%(c)(d)(e)

  25,366,828   25,384,585
Total Investments Purchased with Cash Collateral from Securities on Loan

(Cost $35,255,470)

  35,256,368
TOTAL INVESTMENTS IN SECURITIES-100.68%

(Cost $1,714,725,429)

  1,505,748,607
OTHER ASSETS LESS LIABILITIES-(0.68)%

  (10,227,378)
NET ASSETS-100.00%

  $1,495,521,229
 
See accompanying notes which are an integral part of this schedule.

Invesco Emerging Markets Sovereign Debt ETF (PCY)—(continued)
January 31, 2024
(Unaudited)
Notes to Schedule of Investments:
(a) Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at January 31, 2024 was $1,027,586,582, which represented 68.71% of the Fund’s Net Assets.
(b) All or a portion of this security was out on loan at January 31, 2024.
(c) Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in affiliates for the three months ended January 31, 2024.
    
  Value
October 31, 2023
  Purchases
at Cost
  Proceeds
from Sales
  Change in
Unrealized
Appreciation
  Realized
Gain
  Value
January 31, 2024
  Dividend
Income
Investments in Affiliated Money Market Funds:                          
Invesco Government & Agency Portfolio, Institutional Class $3,890,597   $31,213,676   $(29,835,749)   $-   $-   $5,268,524   $56,089
Investments Purchased with Cash Collateral from Securities on Loan:                          
Invesco Private Government Fund 15,584,874   25,595,889   (31,308,980)   -   -   9,871,783   132,981*
Invesco Private Prime Fund 40,084,270   52,174,670   (66,891,431)   75   17,001   25,384,585   355,665*
Total $59,559,741   $108,984,235   $(128,036,160)   $75   $17,001   $40,524,892   $544,735
    
* Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any.
    
(d) The rate shown is the 7-day SEC standardized yield as of January 31, 2024.
(e) The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return of the securities loaned.  
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Schedule of Investments
Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
U.S. Dollar Denominated Bonds & Notes-97.67%
Argentina-1.27%
MSU Energy S.A./UGEN S.A./UENSA S.A., 6.88%, 02/01/2025(a)

$ 120,000   $99,081
Pampa Energia S.A., 7.50%, 01/24/2027(a)

  140,000   132,825
Provincia de Cordoba, 6.88%, 12/10/2025(a)

  147   127
YPF S.A.        
8.50%, 07/28/2025(a)

  433,000   417,895
9.00%, 02/12/2026(a)

  246,331   247,039
6.95%, 07/21/2027(a)

  260,000   231,933
9.00%, 06/30/2029(a)

  285,942   278,794
7.00%, 09/30/2033(a)

  160,000   135,176
7.00%, 12/15/2047(a)

  205,000   151,530
        1,694,400
Australia-1.51%
FMG Resources (August 2006) Pty. Ltd.        
4.50%, 09/15/2027(a)

  232,000   223,305
5.88%, 04/15/2030(a)

  269,000   265,991
4.38%, 04/01/2031(a)

  552,000   498,419
6.13%, 04/15/2032(a)

  309,000   306,056
Mineral Resources Ltd.        
8.13%, 05/01/2027(a)

  210,000   212,314
8.00%, 11/01/2027(a)

  243,000   248,731
8.50%, 05/01/2030(a)

  250,000   257,417
        2,012,233
Austria-0.18%
Benteler International AG, 10.50%, 05/15/2028(a)

  220,000   234,947
Azerbaijan-0.11%
State Oil Co. of the Azerbaijan Republic (The), 6.95%, 03/18/2030(a)

  140,000   144,725
Bahrain-0.33%
BBK BSC, 5.50%, 07/09/2024(a)

  220,000   219,010
GFH Sukuk Ltd., 7.50%, 01/28/2025(a)

  220,000   218,652
        437,662
Belgium-0.28%
Telenet Finance Luxembourg Notes S.a.r.l., 5.50%, 03/01/2028(a)

  400,000   380,679
Brazil-12.48%
Acu Petroleo Luxembourg S.a.r.l., 7.50%, 01/13/2032(a)

  261,819   251,040
Adecoagro S.A., 6.00%, 09/21/2027(a)

  70,000   68,400
Aegea Finance S.a.r.l.        
6.75%, 05/20/2029(a)

  220,000   213,660
9.00%, 01/20/2031(a)

  200,000   210,475
Amaggi Luxembourg International S.a.r.l., 5.25%, 01/28/2028(a)

  340,000   331,211
Azul Secured Finance LLP        
11.93%, 08/28/2028(a)

  200,000   203,911
10.88%, 05/28/2030(a)

  85,000   70,700
B3 S.A. - Brasil, Bolsa, Balcao, 4.13%, 09/20/2031(a)

  290,000   252,905
Banco Bradesco S.A.        
3.20%, 01/27/2025(a)

  160,000   155,739
4.38%, 03/18/2027(a)

  220,000   212,872
Banco BTG Pactual S.A.        
4.50%, 01/10/2025(a)

  250,000   246,232
2.75%, 01/11/2026(a)

  220,000   208,261
  Principal
Amount
  Value
Brazil-(continued)
Banco do Brasil S.A.        
4.75%, 03/20/2024(a)

$ 340,000   $339,361
4.63%, 01/15/2025(a)

  250,000   247,270
3.25%, 09/30/2026(a)

  340,000   321,784
4.88%, 01/11/2029(a)

  220,000   212,308
6.25%, 04/18/2030(a)

  340,000   346,143
Banco Votorantim S.A., 4.38%, 07/29/2025(a)

  240,000   233,550
Braskem America Finance Co., 7.13%, 07/22/2041(a)

  200,000   169,602
Braskem Netherlands Finance B.V.        
4.50%, 01/10/2028(a)

  450,000   390,837
4.50%, 01/31/2030(a)

  540,000   427,728
8.50%, 01/12/2031(a)

  300,000   286,119
7.25%, 02/13/2033(a)

  360,000   321,452
5.88%, 01/31/2050(a)

  270,000   190,459
8.50%, 01/23/2081(a)(b)

  270,000   258,671
BRF S.A.        
4.88%, 01/24/2030(a)

  260,000   230,388
5.75%, 09/21/2050(a)

  300,000   219,621
Cemig Geracao e Transmissao S.A., 9.25%, 12/05/2024(a)

  50,559   50,802
Centrais Eletricas Brasileiras S.A.        
3.63%, 02/04/2025(a)

  220,000   214,394
4.63%, 02/04/2030(a)

  340,000   308,665
Cosan Luxembourg S.A.        
5.50%, 09/20/2029(a)

  340,000   320,831
7.50%, 06/27/2030(a)

  250,000   257,532
CSN Inova Ventures, 6.75%, 01/28/2028(a)

  380,000   364,151
CSN Resources S.A.        
4.63%, 06/10/2031(a)

  180,000   146,598
5.88%, 04/08/2032(a)

  220,000   189,246
Embraer Netherlands Finance B.V.        
5.40%, 02/01/2027

  178,000   176,515
7.00%, 07/28/2030(a)

  200,000   210,426
Globo Comunicacao e Participacoes S.A., 4.88%, 01/22/2030(a)

  235,000   200,414
Itau Unibanco Holding S.A., 3.25%, 01/24/2025(a)

  100,000   97,851
Klabin Austria GmbH        
5.75%, 04/03/2029(a)

  330,000   331,062
3.20%, 01/12/2031(a)

  220,000   183,511
7.00%, 04/03/2049(a)

  110,000   111,214
MARB BondCo PLC, 3.95%, 01/29/2031(a)

  360,000   287,552
MC Brazil Downstream Trading S.a.r.l., 7.25%, 06/30/2031(a)

  608,338   468,084
MercadoLibre, Inc., 3.13%, 01/14/2031

  290,000   244,035
Minerva Luxembourg S.A., 4.38%, 03/18/2031(a)

  370,000   305,848
MV24 Capital B.V., 6.75%, 06/01/2034(a)

  233,844   219,751
NBM US Holdings, Inc., 7.00%, 05/14/2026(a)

  200,000   200,637
Nexa Resources S.A.        
5.38%, 05/04/2027(a)

  310,000   302,696
6.50%, 01/18/2028(a)

  220,000   221,702
Petrobras Global Finance B.V.        
6.25%, 03/17/2024

  79,000   79,046
5.30%, 01/27/2025

  97,000   96,437
7.38%, 01/17/2027

  185,000   193,777
6.00%, 01/27/2028

  298,000   300,795
5.09%, 01/15/2030

  150,000   144,275
5.60%, 01/03/2031

  277,000   269,422
6.50%, 07/03/2033(c)

  300,000   298,165
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Brazil-(continued)
6.88%, 01/20/2040

$ 183,000   $184,892
6.75%, 01/27/2041

  133,000   131,614
7.25%, 03/17/2044

  196,000   201,554
6.90%, 03/19/2049

  203,000   199,059
5.50%, 06/10/2051

  181,000   150,345
6.85%, 06/05/2115

  350,000   325,151
Petrorio Luxembourg Trading S.a.r.l., 6.13%, 06/09/2026(a)(c)

  270,000   264,850
Rede D’or Finance S.a.r.l.        
4.95%, 01/17/2028(a)

  220,000   208,791
4.50%, 01/22/2030(a)

  340,000   300,930
Rumo Luxembourg S.a.r.l.        
5.25%, 01/10/2028(a)

  220,000   211,852
4.20%, 01/18/2032(a)

  220,000   184,987
Simpar Europe S.A., 5.20%, 01/26/2031(a)

  280,000   240,373
StoneCo Ltd., 3.95%, 06/16/2028(a)

  220,000   190,352
Usiminas International S.a.r.l., 5.88%, 07/18/2026(a)

  340,000   333,030
XP, Inc., 3.25%, 07/01/2026(a)

  140,000   130,085
        16,673,998
Burkina Faso-0.15%
Endeavour Mining PLC, 5.00%, 10/14/2026(a)

  220,000   203,481
Canada-12.12%
1011778 BC ULC/New Red Finance, Inc.        
5.75%, 04/15/2025(a)

  195,000   194,781
3.88%, 01/15/2028(a)

  598,000   563,604
4.38%, 01/15/2028(a)

  287,000   273,796
3.50%, 02/15/2029(a)

  287,000   262,865
4.00%, 10/15/2030(a)

  1,112,000   994,370
Air Canada, 3.88%, 08/15/2026(a)

  463,000   440,870
Algonquin Power & Utilities Corp., 4.75%, 01/18/2082(b)

  292,000   252,879
Baffinland Iron Mines Corp./Baffinland Iron Mines L.P., 8.75%, 07/15/2026(a)

  220,000   201,546
Baytex Energy Corp., 8.50%, 04/30/2030(a)

  275,000   285,757
Bombardier, Inc.        
7.13%, 06/15/2026(a)

  463,000   467,148
7.88%, 04/15/2027(a)

  724,000   725,551
6.00%, 02/15/2028(a)

  292,000   284,813
7.50%, 02/01/2029(a)

  287,000   293,118
7.45%, 05/01/2034(a)

  130,000   145,925
Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC        
6.25%, 09/15/2027(a)

  240,000   233,446
4.88%, 02/15/2030(a)

  190,000   168,664
Emera, Inc., Series 16-A, 6.75%, 06/15/2076(b)

  420,000   413,132
Enerflex Ltd., 9.00%, 10/15/2027(a)

  240,000   241,438
Garda World Security Corp.        
4.63%, 02/15/2027(a)

  218,000   206,229
9.50%, 11/01/2027(a)

  234,000   234,803
6.00%, 06/01/2029(a)

  196,000   172,310
GFL Environmental, Inc.        
4.25%, 06/01/2025(a)

  195,000   191,761
3.75%, 08/01/2025(a)

  292,000   284,282
5.13%, 12/15/2026(a)

  195,000   190,825
4.00%, 08/01/2028(a)

  287,000   263,570
3.50%, 09/01/2028(a)

  287,000   261,294
4.75%, 06/15/2029(a)

  286,000   268,428
4.38%, 08/15/2029(a)

  210,000   192,842
  Principal
Amount
  Value
Canada-(continued)
Hudbay Minerals, Inc.        
4.50%, 04/01/2026(a)

$ 182,000   $177,595
6.13%, 04/01/2029(a)

  182,000   179,564
Intelligent Packaging Ltd. Finco, Inc./Intelligent Packaging Ltd. Co-Issuer LLC, 6.00%, 09/15/2028(a)

  268,000   252,644
Jones Deslauriers Insurance Management, Inc., 8.50%, 03/15/2030(a)

  276,000   286,564
Kronos Acquisition Holdings, Inc/KIK Custom Products, Inc., 7.00%, 12/31/2027(a)

  199,000   194,450
Mattamy Group Corp.        
5.25%, 12/15/2027(a)

  190,000   183,546
4.63%, 03/01/2030(a)

  230,000   209,910
MEG Energy Corp., 5.88%, 02/01/2029(a)

  232,000   226,587
Methanex Corp.        
5.13%, 10/15/2027(c)

  229,000   221,137
5.25%, 12/15/2029(c)

  265,000   253,384
Northriver Midstream Finance L.P., 5.63%, 02/15/2026(a)

  200,000   195,069
NOVA Chemicals Corp.        
4.88%, 06/01/2024(a)

  357,000   355,584
5.00%, 05/01/2025(a)

  198,000   193,251
5.25%, 06/01/2027(a)

  407,000   378,343
4.25%, 05/15/2029(a)

  220,000   185,262
Open Text Corp.        
3.88%, 02/15/2028(a)(c)

  342,000   317,957
3.88%, 12/01/2029(a)

  331,000   298,832
Open Text Holdings, Inc.        
4.13%, 02/15/2030(a)

  342,000   310,109
4.13%, 12/01/2031(a)

  253,000   224,969
Parkland Corp.        
5.88%, 07/15/2027(a)

  190,000   188,699
4.50%, 10/01/2029(a)

  309,000   284,448
4.63%, 05/01/2030(a)

  309,000   282,996
Ritchie Bros. Holdings, Inc.        
6.75%, 03/15/2028(a)

  210,000   214,477
7.75%, 03/15/2031(a)

  308,000   324,961
Rogers Communications, Inc., 5.25%, 03/15/2082(a)(b)

  252,000   240,611
Strathcona Resources Ltd., 6.88%, 08/01/2026(a)

  195,000   193,332
Superior Plus L.P./Superior General Partner, Inc., 4.50%, 03/15/2029(a)

  230,000   209,551
Telesat Canada/Telesat LLC, 5.63%, 12/06/2026(a)

  190,000   115,171
Titan Acquisition Ltd./Titan Co-Borrower LLC, 7.75%, 04/15/2026(a)

  250,000   250,884
Videotron Ltd.        
5.38%, 06/15/2024(a)

  182,000   181,598
5.13%, 04/15/2027(a)

  182,000   179,414
3.63%, 06/15/2029(a)

  195,000   178,083
        16,199,029
Cayman Islands-0.52%
Global Aircraft Leasing Co. Ltd., 7.25% PIK Rate, 6.50% Cash Rate, 09/15/2024(a)(d)

  723,000   697,514
Chile-0.54%
AES Andes S.A., 7.13%, 03/26/2079(a)(b)

  230,000   221,072
Agrosuper S.A., 4.60%, 01/20/2032(a)

  70,000   60,075
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Chile-(continued)
Falabella S.A., 3.38%, 01/15/2032(a)

$ 240,000   $181,271
LATAM Airlines Group S.A., 13.38%, 10/15/2029(a)

  230,000   264,762
        727,180
China-3.82%
Bank of Communications Co. Ltd., 3.80%(a)(b)(e)

  850,000   823,415
China Hongqiao Group Ltd., 6.25%, 06/08/2024(a)

  220,000   218,768
ENN Clean Energy International Investment Ltd., 3.38%, 05/12/2026(a)

  120,000   113,403
Fortune Star (BVI) Ltd.        
6.85%, 07/02/2024(a)

  270,000   263,385
5.95%, 10/19/2025(a)

  310,000   281,325
5.00%, 05/18/2026(a)

  220,000   185,409
5.05%, 01/27/2027(a)

  220,000   168,856
Franshion Brilliant Ltd., 6.00%(a)(b)(e)

  220,000   190,387
Fuqing Investment Management Ltd., 3.25%, 06/23/2025(a)

  200,000   167,000
Industrial and Commercial Bank of China Ltd., 3.20%(a)(b)(e)

  2,082,000   1,975,261
Powerlong Real Estate Holdings Ltd., 6.25%, 08/10/2024(a)

  225,000   22,781
RKPF Overseas 2020 (A) Ltd.        
5.20%, 01/12/2026(a)

  200,000   62,430
5.13%, 07/26/2026(a)

  225,000   64,688
West China Cement Ltd., 4.95%, 07/08/2026(a)

  270,000   201,603
Yankuang Group (Cayman) Ltd., 2.90%, 11/30/2024(a)

  220,000   214,445
Yanlord Land (HK) Co. Ltd., 5.13%, 05/20/2026(a)

  220,000   155,244
        5,108,400
Colombia-4.29%
ABRA Global Finance, 5.50% PIK Rate, 6.00% Cash Rate, 03/02/2028(a)(d)

  349,350   262,855
AI Candelaria (Spain) S.A., 5.75%, 06/15/2033(a)

  270,000   208,861
Avianca Midco 2 PLC, 9.00%, 12/01/2028(a)

  400,000   359,503
Banco de Bogota S.A., 6.25%, 05/12/2026(a)

  490,000   484,155
Canacol Energy Ltd., 5.75%, 11/24/2028(a)

  220,000   151,934
Colombia Telecomunicaciones S.A. E.S.P., 4.95%, 07/17/2030(a)

  220,000   141,707
Ecopetrol S.A.        
5.38%, 06/26/2026(c)

  355,000   350,849
8.63%, 01/19/2029

  289,000   305,850
6.88%, 04/29/2030(c)

  370,000   361,992
4.63%, 11/02/2031

  260,000   214,275
8.88%, 01/13/2033(c)

  410,000   433,215
8.38%, 01/19/2036

  350,000   354,681
7.38%, 09/18/2043

  208,000   192,908
5.88%, 05/28/2045

  420,000   312,677
5.88%, 11/02/2051

  130,000   93,301
Empresas Publicas de Medellin E.S.P.        
4.25%, 07/18/2029(a)

  250,000   215,711
4.38%, 02/15/2031(a)

  260,000   212,340
EnfraGen Energia Sur S.A./EnfraGen Spain S.A./Prime Energia S.p.A., 5.38%, 12/30/2030(a)

  320,000   250,663
GeoPark Ltd., 5.50%, 01/17/2027(a)

  220,000   196,283
Grupo Aval Ltd., 4.38%, 02/04/2030(a)

  250,000   207,309
  Principal
Amount
  Value
Colombia-(continued)
Grupo de Inversiones Suramericana S.A., 5.50%, 04/29/2026(a)

$ 200,000   $195,459
SierraCol Energy Andina LLC, 6.00%, 06/15/2028(a)

  270,000   227,816
        5,734,344
Costa Rica-0.14%
Instituto Costarricense de Electricidad, 6.38%, 05/15/2043(a)

  220,000   190,498
Czech Republic-0.24%
Allwyn Entertainment Financing (UK) PLC, 7.88%, 04/30/2029(a)

  310,000   321,082
France-2.78%
Altice France S.A.        
8.13%, 02/01/2027(a)

  560,000   500,938
5.50%, 01/15/2028(a)

  480,000   379,990
5.13%, 07/15/2029(a)

  900,000   660,882
5.50%, 10/15/2029(a)

  670,000   494,937
Calderys Financing LLC, 11.25%, 06/01/2028(a)

  210,000   223,476
CGG S.A., 8.75%, 04/01/2027(a)

  220,000   194,020
Electricite de France S.A., 9.13%(a)(b)(e)

  470,000   526,081
Iliad Holding S.A.S.U.        
6.50%, 10/15/2026(a)

  340,000   334,548
7.00%, 10/15/2028(a)

  400,000   396,774
        3,711,646
Georgia-0.15%
Georgian Railway JSC, 4.00%, 06/17/2028(a)

  220,000   201,796
Germany-1.63%
Cerdia Finanz GmbH, 10.50%, 03/06/2024(a)(f)

  273,000   280,638
Cheplapharm Arzneimittel GmbH, 5.50%, 01/15/2028(a)

  220,000   210,869
Mercer International, Inc., 5.13%, 02/01/2029

  330,000   283,659
Norddeutsche Landesbank-Girozentrale, 6.25%, 04/10/2024(a)

  200,000   198,482
TK Elevator U.S. Newco, Inc., 5.25%, 07/15/2027(a)

  680,000   656,549
ZF North America Capital, Inc.        
4.75%, 04/29/2025(a)

  306,000   301,536
6.88%, 04/14/2028(a)

  120,000   123,705
7.13%, 04/14/2030(a)

  120,000   126,693
        2,182,131
Ghana-0.57%
Kosmos Energy Ltd., 7.13%, 04/04/2026(a)

  290,000   279,193
Tullow Oil PLC, 10.25%, 05/15/2026(a)

  520,000   479,274
        758,467
Guatemala-0.55%
Central American Bottling Corp./CBC Bottling Holdco S.L./Beliv Holdco S.L., 5.25%, 04/27/2029(a)

  279,000   260,988
CT Trust, 5.13%, 02/03/2032(a)

  200,000   176,171
Investment Energy Resources Ltd., 6.25%, 04/26/2029(a)

  310,000   295,073
        732,232
Hong Kong-2.61%
Bank of Communications (Hong Kong) Ltd., 3.73%(a)(b)(e)

  250,000   244,725
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Hong Kong-(continued)
Bank of East Asia Ltd. (The)        
5.83%(a)(b)(e)

$ 290,000   $261,181
5.88%(a)(b)(e)

  290,000   261,000
CAS Capital No. 1 Ltd., 4.00%(a)(b)(e)

  340,000   295,807
China CITIC Bank International Ltd.        
3.25%(a)(b)(e)

  270,000   256,649
4.80%(a)(b)(e)

  270,000   265,605
FWD Group Holdings Ltd., 5.75%, 07/09/2024(a)

  200,000   199,050
Melco Resorts Finance Ltd.        
4.88%, 06/06/2025(a)

  250,000   243,281
5.25%, 04/26/2026(a)

  220,000   210,513
5.63%, 07/17/2027(a)

  270,000   255,992
5.75%, 07/21/2028(a)

  180,000   168,297
5.38%, 12/04/2029(a)

  320,000   284,260
Nanyang Commercial Bank Ltd., 6.50%(a)(b)(e)

  290,000   288,092
Seaspan Corp., 5.50%, 08/01/2029(a)

  287,000   247,047
        3,481,499
Hungary-0.22%
OTP Bank Nyrt., 8.75%, 05/15/2033(a)(b)

  290,000   300,295
India-3.02%
Adani Green Energy Ltd., 4.38%, 09/08/2024(a)

  340,000   332,575
CA Magnum Holdings, 5.38%, 10/31/2026(a)

  250,000   234,956
Delhi International Airport Ltd., 6.45%, 06/04/2029(a)

  220,000   217,413
Greenko Dutch B.V., 3.85%, 03/29/2026(a)

  203,500   192,053
Greenko Power II Ltd., 4.30%, 12/13/2028(a)

  225,000   204,777
Greenko Solar Mauritius Ltd.        
5.55%, 01/29/2025(a)

  220,000   217,525
5.95%, 07/29/2026(a)

  240,000   235,170
Greenko Wind Projects Mauritius Ltd., 5.50%, 04/06/2025(a)

  150,000   148,515
JSW Hydro Energy Ltd., 4.13%, 05/18/2031(a)

  257,600   225,589
JSW Steel Ltd.        
5.95%, 04/18/2024(a)

  220,000   219,615
3.95%, 04/05/2027(a)

  220,000   205,505
5.05%, 04/05/2032(a)

  220,000   195,117
Network i2i Ltd., 5.65%(a)(b)(e)

  250,000   247,812
Periama Holdings LLC, 5.95%, 04/19/2026(a)

  140,000   138,501
ReNew Wind Energy AP2/ReNew Power Pvt Ltd. other 9 Subsidiaries, 4.50%, 07/14/2028(a)

  260,000   237,476
Shriram Finance Ltd., 4.40%, 03/13/2024(a)

  328,000   327,160
Vedanta Resources Finance II PLC        
9.25%, 04/23/2026(a)

  270,000   217,935
13.88%, 01/21/2027(a)

  250,000   235,969
        4,033,663
Indonesia-0.65%
Indika Energy Capital IV Pte. Ltd., 8.25%, 10/22/2025(a)

  250,000   250,704
Medco Bell Pte. Ltd., 6.38%, 01/30/2027(a)

  60,000   57,882
PT Adaro Indonesia, 4.25%, 10/31/2024(a)

  340,000   334,347
PT Cikarang Listrindo Tbk, 4.95%, 09/14/2026(a)

  230,000   222,930
        865,863
Ireland-0.30%
AerCap Global Aviation Trust, 6.50%, 06/15/2045(a)(b)

  220,000   218,806
AerCap Holdings N.V., 5.88%, 10/10/2079(b)

  190,000   188,833
        407,639
  Principal
Amount
  Value
Israel-3.01%
Energian Israel Finance Ltd.        
4.88%, 03/30/2026(a)

$ 220,000   $203,258
5.38%, 03/30/2028(a)

  220,000   192,577
5.88%, 03/30/2031(a)

  220,000   183,613
8.50%, 09/30/2033(a)

  280,000   263,579
Leviathan Bond Ltd.        
6.13%, 06/30/2025(a)

  210,000   203,292
6.50%, 06/30/2027(a)

  210,000   196,245
6.75%, 06/30/2030(a)

  200,000   179,881
Teva Pharmaceutical Finance Co. LLC, 6.15%, 02/01/2036(c)

  220,000   211,107
Teva Pharmaceutical Finance Netherlands III B.V.        
6.00%, 04/15/2024

  250,000   249,700
3.15%, 10/01/2026(c)

  845,000   786,794
4.75%, 05/09/2027(c)

  320,000   309,600
6.75%, 03/01/2028

  200,000   205,180
5.13%, 05/09/2029

  320,000   308,738
7.88%, 09/15/2029

  200,000   215,973
4.10%, 10/01/2046(c)

  461,000   316,006
        4,025,543
Italy-3.49%
F-Brasile S.p.A./F-Brasile U.S. LLC, 7.38%, 08/15/2026(a)

  100,000   98,975
Intesa Sanpaolo S.p.A.        
5.71%, 01/15/2026(a)(c)

  670,000   668,173
4.20%, 06/01/2032(a)(b)

  340,000   281,757
4.95%, 06/01/2042(a)(b)

  340,000   246,980
Kedrion S.p.A., 6.50%, 09/01/2029(a)

  200,000   179,345
Telecom Italia Capital S.A.        
6.38%, 11/15/2033(c)

  336,000   325,926
6.00%, 09/30/2034

  336,000   315,338
7.20%, 07/18/2036

  386,000   387,833
7.72%, 06/04/2038

  336,000   347,020
Telecom Italia S.p.A., 5.30%, 05/30/2024(a)

  670,000   666,656
UniCredit S.p.A.        
5.86%, 06/19/2032(a)(b)

  450,000   441,171
7.30%, 04/02/2034(a)(b)

  200,000   206,963
5.46%, 06/30/2035(a)(b)

  530,000   497,037
        4,663,174
Jamaica-0.07%
Digicel International Finance Ltd./Digicel international Holdings Ltd., 8.75%, 05/25/2024(a)

  94,000   88,243
Japan-2.75%
Rakuten Group, Inc.        
3.55%, 11/27/2024(a)

  360,000   355,050
10.25%, 11/30/2024(a)

  100,000   103,250
5.13%(a)(b)(e)

  340,000   282,245
6.25%(a)(b)(e)

  280,000   194,586
SoftBank Group Corp.        
4.75%, 09/19/2024(a)

  150,000   148,622
6.00%, 07/30/2025(a)

  200,000   198,600
4.00%, 07/06/2026(a)

  300,000   283,584
5.13%, 09/19/2027(a)

  550,000   523,776
4.63%, 07/06/2028(a)

  360,000   333,367
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Japan-(continued)
5.25%, 07/06/2031(a)

$ 410,000   $375,596
6.88%(a)(b)(e)

  590,000   569,350
Universal Entertainment Corp., 8.75%, 12/11/2024(a)

  289,000   310,675
        3,678,701
Jersey-0.39%
Aston Martin Capital Holdings Ltd., 10.50%, 11/30/2025(a)

  510,000   515,506
Kuwait-0.28%
Kuwait Projects Co. S.P.C Ltd.        
4.23%, 10/29/2026(a)

  220,000   194,873
4.50%, 02/23/2027(a)

  200,000   175,321
        370,194
Luxembourg-1.59%
Albion Financing 1 S.a.r.l./Aggreko Holdings, Inc., 6.13%, 10/15/2026(a)

  250,000   245,819
Altice Financing S.A.        
5.00%, 01/15/2028(a)

  540,000   485,120
5.75%, 08/15/2029(a)

  720,000   628,267
Altice France Holding S.A.        
10.50%, 05/15/2027(a)

  600,000   345,459
6.00%, 02/15/2028(a)

  516,000   230,769
ARD Finance S.A., 7.25% PIK Rate, 6.50% Cash Rate, 06/30/2027(a)(d)

  400,000   193,696
        2,129,130
Macau-2.45%
Champion Path Holdings Ltd.        
4.50%, 01/27/2026(a)

  220,000   208,717
4.85%, 01/27/2028(a)

  220,000   194,676
MGM China Holdings Ltd.        
5.38%, 05/15/2024(a)

  340,000   337,973
5.88%, 05/15/2026(a)

  340,000   331,775
4.75%, 02/01/2027(a)

  140,000   130,802
Studio City Finance Ltd.        
6.50%, 01/15/2028(a)

  220,000   204,196
5.00%, 01/15/2029(a)

  290,000   247,828
Wynn Macau Ltd.        
4.88%, 10/01/2024(a)

  270,000   267,633
5.50%, 01/15/2026(a)

  250,000   242,295
5.50%, 10/01/2027(a)

  340,000   319,990
5.63%, 08/26/2028(a)

  410,000   381,932
5.13%, 12/15/2029(a)

  450,000   400,602
        3,268,419
Mexico-4.37%
Alsea S.A.B. de C.V., 7.75%, 12/14/2026(a)

  220,000   222,651
Borr IHC Ltd./Borr Finance LLC, 10.00%, 11/15/2028(a)

  350,000   363,512
Braskem Idesa S.A.P.I.        
7.45%, 11/15/2029(a)

  200,000   141,030
6.99%, 02/20/2032(a)

  340,000   221,738
CEMEX S.A.B. de C.V.        
5.45%, 11/19/2029(a)

  340,000   338,008
5.20%, 09/17/2030(a)

  320,000   311,982
3.88%, 07/11/2031(a)

  300,000   267,263
5.13%(a)(b)(e)

  450,000   428,899
9.13%(a)(b)(e)

  250,000   266,493
Grupo Aeromexico S.A.B. de C.V., 8.50%, 03/17/2027(a)

  340,000   326,105
  Principal
Amount
  Value
Mexico-(continued)
Nemak S.A.B. de C.V., 3.63%, 06/28/2031(a)

$ 220,000   $176,793
Petroleos Mexicanos        
6.88%, 10/16/2025

  60,000   59,568
4.50%, 01/23/2026

  70,000   65,889
6.88%, 08/04/2026

  134,000   130,781
6.49%, 01/23/2027

  100,000   94,067
6.50%, 03/13/2027

  270,000   253,358
5.35%, 02/12/2028

  100,000   87,755
6.50%, 01/23/2029

  80,000   71,076
8.75%, 06/02/2029

  90,000   86,994
6.84%, 01/23/2030

  160,000   137,483
5.95%, 01/28/2031

  175,000   138,227
6.70%, 02/16/2032

  450,000   367,698
10.00%, 02/07/2033

  110,000   108,853
6.63%, 06/15/2035

  136,000   102,454
6.50%, 06/02/2041

  70,000   47,207
5.50%, 06/27/2044

  50,000   30,017
6.38%, 01/23/2045

  40,000   25,239
6.75%, 09/21/2047

  370,000   236,317
6.35%, 02/12/2048

  70,000   43,273
7.69%, 01/23/2050

  390,000   272,896
6.95%, 01/28/2060

  230,000   147,663
Total Play Telecomunicaciones S.A. de C.V.        
7.50%, 11/12/2025(a)

  240,000   140,867
6.38%, 09/20/2028(a)

  282,000   123,269
        5,835,425
Moldova-0.12%
Aragvi Finance International DAC, 8.45%, 04/29/2026(a)

  220,000   158,187
Morocco-0.46%
OCP S.A.        
3.75%, 06/23/2031(a)

  140,000   118,701
6.88%, 04/25/2044(a)

  270,000   249,818
5.13%, 06/23/2051(a)

  340,000   246,599
        615,118
Netherlands-1.50%
Sunrise FinCo I B.V., 4.88%, 07/15/2031(a)

  360,000   317,185
Trivium Packaging Finance B.V.        
5.50%, 08/15/2026(a)

  270,000   263,727
8.50%, 08/15/2027(a)

  310,000   303,468
VZ Secured Financing B.V., 5.00%, 01/15/2032(a)

  480,000   419,912
Ziggo B.V., 4.88%, 01/15/2030(a)

  440,000   393,881
Ziggo Bond Co. B.V.        
6.00%, 01/15/2027(a)

  130,000   126,998
5.13%, 02/28/2030(a)

  220,000   185,780
        2,010,951
Nigeria-0.73%
Access Bank PLC, 6.13%, 09/21/2026(a)

  20,000   18,448
IHS Holding Ltd.        
5.63%, 11/29/2026(a)

  220,000   199,326
6.25%, 11/29/2028(a)

  220,000   186,358
IHS Netherlands Holdco B.V., 8.00%, 09/18/2027(a)

  420,000   388,176
Seplat Energy PLC, 7.75%, 04/01/2026(a)

  200,000   186,633
        978,941
Norway-0.23%
Seadrill Finance Ltd., 8.38%, 08/01/2030(a)

  300,000   312,449
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Oman-1.20%
Bank muscat SAOG, 4.75%, 03/17/2026(a)

$ 220,000   $215,878
Lamar Funding Ltd., 3.96%, 05/07/2025(a)

  250,000   243,013
Mazoon Assets Co. SAOC, 5.20%, 11/08/2027(a)

  220,000   216,583
OmGrid Funding Ltd., 5.20%, 05/16/2027(a)

  220,000   216,685
OQ SAOC, 5.13%, 05/06/2028(a)

  340,000   333,956
Oryx Funding Ltd., 5.80%, 02/03/2031(a)

  270,000   268,657
Oztel Holdings SPC Ltd., 6.63%, 04/24/2028(a)

  110,000   114,044
        1,608,816
Pakistan-0.10%
Pakistan Water & Power Development Authority, 7.50%, 06/04/2031(a)

  235,000   136,199
Panama-0.43%
C&W Senior Financing DAC, 6.88%, 09/15/2027(a)

  350,000   332,005
Telecomunicaciones Digitales S.A., 4.50%, 01/30/2030(a)

  270,000   237,347
        569,352
Paraguay-0.17%
Telefonica Celular del Paraguay S.A., 5.88%, 04/15/2027(a)

  230,000   223,232
Peru-0.76%
Cia de Minas Buenaventura S.A.A., 5.50%, 07/23/2026(a)

  50,000   47,848
Peru LNG S.r.l., 5.38%, 03/22/2030(a)

  220,000   181,287
Petroleos del Peru S.A.        
4.75%, 06/19/2032(a)

  450,000   332,253
5.63%, 06/19/2047(a)

  700,000   449,616
        1,011,004
Poland-0.13%
Canpack S.A./Canpack US LLC, 3.88%, 11/15/2029(a)

  200,000   176,260
Russia-0.21%
Chelyabinsk Pipe Plant Via Chelpipe Finance DAC, 4.50%, 09/19/2024(a)(g)

  300,000   238,500
O1 Properties Finance PLC, 0.50%, 09/27/2028(a)

  500,000   37,500
        276,000
Saudi Arabia-0.57%
Arabian Centres Sukuk II Ltd., 5.63%, 10/07/2026(a)

  390,000   360,237
Arabian Centres Sukuk Ltd., 5.38%, 11/26/2024(a)

  20,000   19,663
Dar Al-Arkan Sukuk Co. Ltd.        
6.75%, 02/15/2025(a)

  70,000   69,924
8.00%, 02/25/2029(a)

  300,000   307,701
        757,525
Singapore-0.47%
GLP Pte. Ltd.        
3.88%, 06/04/2025(a)

  350,000   274,400
4.50%(a)(b)(e)

  399,000   157,884
Puma International Financing S.A., 5.00%, 01/24/2026(a)

  200,000   189,933
        622,217
South Africa-2.49%
Bidvest Group UK PLC (The), 3.63%, 09/23/2026(a)

  160,000   149,342
  Principal
Amount
  Value
South Africa-(continued)
Eskom Holdings SOC Ltd.        
7.13%, 02/11/2025(a)

$ 413,000   $411,782
8.45%, 08/10/2028(a)

  20,000   20,038
Liquid Telecommunications Financing PLC, 5.50%, 09/04/2026(a)

  280,000   176,116
MTN (Mauritius) Investments Ltd., 6.50%, 10/13/2026(a)

  220,000   223,080
Sasol Financing USA LLC        
5.88%, 03/27/2024

  470,000   468,898
4.38%, 09/18/2026(c)

  290,000   271,366
6.50%, 09/27/2028(c)

  340,000   322,113
8.75%, 05/03/2029(a)

  250,000   254,659
5.50%, 03/18/2031

  380,000   319,393
Stillwater Mining Co.        
4.00%, 11/16/2026(a)

  300,000   266,100
4.50%, 11/16/2029(a)

  240,000   189,348
Transnet SOC Ltd., 8.25%, 02/06/2028(a)

  250,000   251,893
        3,324,128
South Korea-0.18%
Woori Bank, 4.25%(a)(b)(e)

  250,000   246,515
Spain-0.26%
Cellnex Finance Co. S.A., 3.88%, 07/07/2041(a)

  290,000   226,229
Codere Finance 2 (Luxembourg) S.A., 11.63% PIK Rate, 2.00% Cash Rate, 11/30/2027(a)(d)

  209,644   14,675
Grifols S.A., 4.75%, 10/15/2028(a)

  120,000   102,862
        343,766
Switzerland-0.54%
Consolidated Energy Finance S.A., 5.63%, 10/15/2028(a)

  90,000   75,039
Oriflame Investment Holding PLC, 5.13%, 05/04/2026(a)

  260,000   74,284
VistaJet Malta Finance PLC/Vista Management Holding, Inc.        
7.88%, 05/01/2027(a)

  195,000   164,962
9.50%, 06/01/2028(a)

  155,000   131,490
6.38%, 02/01/2030(a)

  380,000   271,540
        717,315
Tanzania-0.18%
HTA Group Ltd., 7.00%, 12/18/2025(a)

  240,000   237,689
Thailand-0.48%
Bangkok Bank PCL, 3.73%, 09/25/2034(a)(b)

  340,000   302,654
Kasikornbank PCL, 3.34%, 10/02/2031(a)(b)

  360,000   333,679
        636,333
Togo-0.07%
Ecobank Transnational, Inc., 9.50%, 04/18/2024(a)

  100,000   99,948
Trinidad-0.37%
Heritage Petroleum Co. Ltd., 9.00%, 08/12/2029(a)

  220,000   233,090
Trinidad Generation Unlimited, 5.25%, 11/04/2027(a)

  270,000   265,227
        498,317
Turkey-5.54%
Akbank T.A.S.        
5.13%, 03/31/2025(a)

  220,000   217,525
6.80%, 06/22/2031(a)(b)

  240,000   236,369
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Turkey-(continued)
Anadolu Efes Biracilik ve Malt Sanayii A.S., 3.38%, 06/29/2028(a)

$ 220,000   $191,146
Aydem Yenilenebilir Enerji A.S., 7.75%, 02/02/2027(a)

  310,000   292,452
Eldorado Gold Corp., 6.25%, 09/01/2029(a)

  195,000   185,913
KOC Holding A.S., 6.50%, 03/11/2025(a)

  340,000   340,653
Mersin Uluslararasi Liman Isletmeciligi AS, 8.25%, 11/15/2028(a)

  200,000   206,750
QNB Finansbank A.S., 6.88%, 09/07/2024(a)

  290,000   291,756
T.C. Ziraat Bankasi A.S.        
5.38%, 03/02/2026(a)

  270,000   261,936
9.50%, 08/01/2026(a)

  220,000   232,013
Turk Telekomunikasyon A.S.        
4.88%, 06/19/2024(a)

  220,000   218,416
6.88%, 02/28/2025(a)

  213,000   212,187
Turkiye Ihracat Kredi Bankasi A.S.        
6.13%, 05/03/2024(a)

  200,000   200,076
9.38%, 01/31/2026(a)

  220,000   230,055
5.75%, 07/06/2026(a)

  340,000   331,095
Turkiye Is Bankasi A.S.        
6.13%, 04/25/2024(a)

  300,000   300,238
7.75%, 01/22/2030(a)(b)

  140,000   139,158
Turkiye Petrol Rafinerileri A.S., 4.50%, 10/18/2024(a)

  310,000   306,292
Turkiye Sise ve Cam Fabrikalari A.S., 6.95%, 03/14/2026(a)

  310,000   311,181
Turkiye Vakiflar Bankasi T.A.O.        
8.13%, 03/28/2024(a)

  270,000   271,336
5.25%, 02/05/2025(a)

  300,000   296,523
6.50%, 01/08/2026(a)

  340,000   337,354
5.50%, 10/01/2026(a)

  235,000   226,075
9.00%, 10/12/2028(a)

  270,000   282,679
Ulker Biskuvi Sanayi A.S., 6.95%, 10/30/2025(a)

  200,000   196,852
WE Soda Investments Holding PLC, 9.50%, 10/06/2028(a)

  350,000   358,424
Yapi ve Kredi Bankasi A.S.        
5.85%, 06/21/2024(a)

  226,000   226,302
8.25%, 10/15/2024(a)

  100,000   101,401
9.25%, 10/16/2028(a)

  290,000   306,182
7.88%, 01/22/2031(a)(b)

  100,000   100,564
        7,408,903
Ukraine-0.09%
Ukraine Railways Via Rail Capital Markets PLC, 8.25%, 07/09/2026(a)(g)

  200,000   115,500
United Arab Emirates-1.40%
DIB Tier 1 Sukuk (3) Ltd., 6.25%(a)(b)(e)

  340,000   339,677
DP World Salaam, 6.00%(a)(b)(e)

  470,000   467,062
Emirates NBD Bank PJSC, 6.13%(a)(b)(e)

  250,000   249,332
GEMS MENASA Cayman Ltd./GEMS Education Delaware LLC, 7.13%, 07/31/2026(a)

  400,000   396,490
MAF Global Securities Ltd., 7.88%(a)(b)(e)

  220,000   227,466
Shelf Drilling Holdings Ltd., 9.63%, 04/15/2029(a)

  200,000   194,335
        1,874,362
United Kingdom-6.13%
180 Medical, Inc., 3.88%, 10/15/2029(a)

  220,000   196,842
British Telecommunications PLC, 4.25%, 11/23/2081(a)(b)

  240,000   225,264
  Principal
Amount
  Value
United Kingdom-(continued)
Celtic Resources Holdings DAC, 4.13%, 10/09/2024(a)(h)

$ 300,000   $0
Connect Finco S.a.r.l./Connect US Finco LLC, 6.75%, 10/01/2026(a)

  703,000   690,276
Drax Finco PLC, 6.63%, 11/01/2025(a)

  235,000   233,531
eG Global Finance PLC, 12.00%, 11/30/2028(a)

  200,000   211,573
Harbour Energy PLC, 5.50%, 10/15/2026(a)

  235,000   229,461
Ithaca Energy (North Sea) PLC, 9.00%, 07/15/2026(a)

  280,000   278,982
Jaguar Land Rover Automotive PLC        
7.75%, 10/15/2025(a)

  310,000   313,213
4.50%, 10/01/2027(a)

  220,000   208,428
Mclaren Finance PLC, 7.50%, 08/01/2026(a)

  280,000   247,044
Neptune Energy Bondco PLC, 6.63%, 05/15/2025(a)

  200,000   200,054
Petrofac Ltd., 9.75%, 11/15/2026(a)

  270,000   144,184
Rolls-Royce PLC        
3.63%, 10/14/2025(a)

  450,000   435,962
5.75%, 10/15/2027(a)

  450,000   451,706
Standard Chartered PLC, 7.01%(a)(b)(e)

  200,000   205,082
Virgin Media Finance PLC, 5.00%, 07/15/2030(a)

  220,000   196,286
Virgin Media Secured Finance PLC        
5.50%, 05/15/2029(a)

  440,000   423,561
4.50%, 08/15/2030(a)

  410,000   366,663
Virgin Media Vendor Financing Notes IV DAC, 5.00%, 07/15/2028(a)

  220,000   207,672
VMED O2 UK Financing I PLC        
4.25%, 01/31/2031(a)

  410,000   358,867
4.75%, 07/15/2031(a)

  430,000   385,659
Vodafone Group PLC        
6.25%, 10/03/2078(a)(b)

  440,000   439,331
7.00%, 04/04/2079(b)(c)

  771,000   798,434
3.25%, 06/04/2081(b)

  188,000   175,407
4.13%, 06/04/2081(b)

  380,000   330,558
5.13%, 06/04/2081(b)

  313,000   237,057
        8,191,097
United States-2.26%
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.        
5.25%, 04/30/2025(a)

  110,000   107,779
4.13%, 08/15/2026(a)

  350,000   315,558
5.25%, 08/15/2027(a)

  160,000   119,897
5.25%, 08/15/2027(a)

  250,000   187,340
CITGO Petroleum Corp., 7.00%, 06/15/2025(a)

  100,000   100,059
CNG Holdings, Inc., 14.50%, 06/30/2026(a)

  300,000   257,309
Constellium SE, 3.75%, 04/15/2029(a)

  250,000   224,955
Dresdner Funding Trust I, 8.15%, 06/30/2031(a)

  350,000   389,610
LCPR Senior Secured Financing DAC        
6.75%, 10/15/2027(a)

  320,000   311,096
5.13%, 07/15/2029(a)

  170,000   149,248
Mohegan Tribal Gaming Authority, 7.88%, 10/15/2024(a)

  500,000   482,870
OPENLANE, Inc., 5.13%, 06/01/2025(a)

  140,000   138,163
Playtika Holding Corp., 4.25%, 03/15/2029(a)

  231,000   199,193
Wesco Aircraft Holdings, Inc., 8.50%, 11/15/2024(a)

  296,000   26,640
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
United States-(continued)
WeWork Cos. LLC/WW Co-Obligor, Inc., 5.00%, 07/10/2025(a)(g)(i)

$ 200,000   $9,000
WeWork Cos. US LLC, 7.88%, 05/01/2025(a)(g)(i)

  100,000   3,500
        3,022,217
Uruguay-0.10%
Navios South American Logistics, Inc./Navios Logistics Finance US, Inc., 10.75%, 07/01/2025(a)

  135,000   134,785
Uzbekistan-0.19%
Uzbekneftegaz JSC, 4.75%, 11/16/2028(a)

  310,000   259,661
Vietnam-0.19%
Mong Duong Finance Holdings B.V., 5.13%, 05/07/2029(a)

  276,687   259,918
Zambia-1.26%
First Quantum Minerals Ltd.        
7.50%, 04/01/2025(a)

  300,000   296,721
6.88%, 03/01/2026(a)

  450,000   429,039
6.88%, 10/15/2027(a)

  670,000   603,673
8.63%, 06/01/2031(a)

  380,000   352,925
        1,682,358
Total U.S. Dollar Denominated Bonds & Notes

(Cost $128,700,161)

  130,518,801
  Shares    
Common Stocks & Other Equity Interests-0.20%
United States-0.20%
Cumulus Media, Inc., Class A(j)

  3   14
Hornbeck Offshore Services, Inc.(j)(k)

  323   16,958
Hornbeck Offshore Services, Inc., Wts., TBA(j)(k)

  3,246   159,865
Hornbeck Offshore Services, Inc., Wts., TBA(j)(k)

  2,673   67,493
PetroQuest Energy, Inc.(h)(j)

  290   0
Premier Brands Group Holdings Co.(j)(l)

  3,222   3,826
Premier Brands Group Holdings Co., Wts., expiring 03/21/2024(j)(l)

  10,096   1,792
  Shares   Value
United States-(continued)
TRU Taj LLC/TRU Taj Finance, Inc.(j)

  2,156   $5,929
Venator Materials PLC(j)

  9   8,685
Total Common Stocks & Other Equity Interests

(Cost $355,604)

  264,562
Preferred Stocks-0.12%
Guitar Center Holdings, Inc., Series A, Pfd., 0.00%(h)(m)

(Cost $220,500)

  2,000   163,000
Money Market Funds-0.42%
Invesco Government & Agency Portfolio, Institutional Class, 5.24%(n)(o)

(Cost $556,181)

  556,181   556,181
TOTAL INVESTMENTS IN SECURITIES

(excluding investments purchased with cash collateral from securities on loan)-98.41%

(Cost $129,832,446)

  131,502,544
Investments Purchased with Cash Collateral from Securities on Loan
Money Market Funds-4.11%
Invesco Private Government Fund, 5.29%(n)(o)(p)

  1,358,475   1,358,475
Invesco Private Prime Fund, 5.52%(n)(o)(p)

  4,136,632   4,139,528
Total Investments Purchased with Cash Collateral from Securities on Loan

(Cost $5,497,868)

  5,498,003
TOTAL INVESTMENTS IN SECURITIES-102.52%

(Cost $135,330,314)

  137,000,547
OTHER ASSETS LESS LIABILITIES-(2.52)%

  (3,363,100)
NET ASSETS-100.00%

  $133,637,447
 
See accompanying notes which are an integral part of this schedule.

Invesco Global ex-US High Yield Corporate Bond ETF (PGHY)—(continued)
January 31, 2024
(Unaudited)
Investment Abbreviations:
DAC-Designated Activity Co.
Pfd.-Preferred
PIK-Pay-in-Kind
TBA-To Be Announced
Wts.-Warrants
    
Notes to Schedule of Investments:
(a) Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at January 31, 2024 was $113,881,691, which represented 85.22% of the Fund’s Net Assets.
(b) Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(c) All or a portion of this security was out on loan at January 31, 2024.
(d) All or a portion of this security is Pay-in-Kind. Pay-in-Kind securities pay interest income in the form of securities.
(e) Perpetual bond with no specified maturity date.
(f) Security has an irrevocable call by the issuer or mandatory put by the holder. Maturity date reflects such call or put.
(g) Defaulted security. Currently, the issuer is in default with respect to principal and/or interest payments. The aggregate value of these securities at January 31, 2024 was $366,500, which represented less than 1% of the Fund’s Net Assets.
(h) Security valued using significant unobservable inputs (Level 3). See Note 1.
(i) The borrower has filed for protection in federal bankruptcy court.
(j) Non-income producing security.
(k) Acquired as part of the Hornbeck Offshore Services, Inc. reorganization.
(l) Acquired as part of the Nine West Holding, Inc. reorganization.
(m) Acquired as part of the Guitar Center, Inc. reorganization.
(n) Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in affiliates for the three months ended January 31, 2024.
    
  Value
October 31, 2023
  Purchases
at Cost
  Proceeds
from Sales
  Change in
Unrealized
Appreciation
  Realized
Gain
  Value
January 31, 2024
  Dividend
Income
Investments in Affiliated Money Market Funds:                          
Invesco Government & Agency Portfolio, Institutional Class $1,053,548   $4,853,474   $(5,350,841)   $-   $-   $556,181   $4,053
Investments Purchased with Cash Collateral from Securities on Loan:                          
Invesco Private Government Fund 1,358,201   6,300,644   (6,300,370)   -   -   1,358,475   16,651*
Invesco Private Prime Fund 3,493,247   8,699,234   (8,055,120)   28   2,139   4,139,528   48,336*
Total $5,904,996   $19,853,352   $(19,706,331)   $28   $2,139   $6,054,184   $69,040
    
* Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any.
    
(o) The rate shown is the 7-day SEC standardized yield as of January 31, 2024.
(p) The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return of the securities loaned.  
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Schedule of Investments
Invesco International Corporate Bond ETF (PICB)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Non-U.S. Dollar Denominated Bonds & Notes-98.59%(a)
Australia-2.56%
APA Infrastructure Ltd., 3.50%, 03/22/2030(b)

GBP 200,000   $229,694
Australia & New Zealand Banking Group Ltd.        
4.05%, 05/12/2025

AUD 400,000   262,891
0.75%, 09/29/2026(b)

EUR 100,000   101,911
Australia and New Zealand Banking Group Ltd., 3.65%, 01/20/2026(b)

EUR 200,000   218,639
BHP Billiton Finance Ltd., Series 12, 4.30%, 09/25/2042

GBP 350,000   392,623
Commonwealth Bank of Australia        
4.20%, 08/18/2025

AUD 350,000   230,329
4.90%, 08/17/2028

AUD 300,000   200,265
Glencore Finance (Europe) Ltd., 3.13%, 03/26/2026(b)

GBP 146,000   178,020
National Australia Bank Ltd.        
3.90%, 05/30/2025

AUD 350,000   229,522
2.90%, 02/25/2027

AUD 500,000   314,888
2.13%, 05/24/2028(b)

EUR 100,000   104,625
1.38%, 08/30/2028(b)

EUR 200,000   200,704
NBN Co. Ltd., 1.00%, 12/03/2025(b)

AUD 450,000   278,472
Sydney Airport Finance Co. Pty. Ltd., 4.38%, 05/03/2033(b)

EUR 100,000   114,317
Westpac Banking Corp.        
3.70%, 01/16/2026(b)

EUR 100,000   109,395
5.00%, 01/15/2029

AUD 400,000   267,759
        3,434,054
Belgium-0.17%
Belfius Bank S.A., 4.13%, 09/12/2029

EUR 200,000   224,789
Canada-20.58%
Bank of Montreal        
3.65%, 04/01/2027

CAD 720,000   523,576
4.31%, 06/01/2027

CAD 900,000   667,349
4.71%, 12/07/2027

CAD 900,000   676,275
5.04%, 05/29/2028

CAD 700,000   532,761
4.54%, 12/18/2028

CAD 600,000   447,846
Bank of Nova Scotia (The)        
5.50%, 12/29/2025

CAD 500,000   378,493
1.85%, 11/02/2026

CAD 850,000   591,937
2.95%, 03/08/2027

CAD 800,000   569,823
Bell Canada        
3.35%, 03/12/2025

CAD 550,000   403,914
3.00%, 03/17/2031

CAD 300,000   201,922
5.85%, 11/10/2032

CAD 500,000   401,063
3.50%, 09/30/2050

CAD 450,000   253,506
Brookfield Finance II, Inc., 5.43%, 12/14/2032(b)

CAD 400,000   303,261
Canadian Imperial Bank of Commerce        
2.75%, 03/07/2025

CAD 600,000   437,862
2.00%, 04/17/2025

CAD 650,000   469,286
1.10%, 01/19/2026

CAD 500,000   349,710
5.00%, 12/07/2026

CAD 400,000   301,692
2.25%, 01/07/2027

CAD 600,000   420,110
4.95%, 06/29/2027

CAD 700,000   528,690
5.50%, 01/14/2028

CAD 400,000   308,491
CPPIB Capital, Inc.        
4.45%, 09/01/2027(b)

AUD 450,000   299,213
4.20%, 05/02/2028(b)

AUD 600,000   394,666
  Principal
Amount
  Value
Canada-(continued)
Federation des caisses Desjardins du Quebec        
5.20%, 10/01/2025

CAD 400,000   $300,390
1.09%, 01/21/2026

CAD 300,000   209,880
4.41%, 05/19/2027

CAD 300,000   222,849
5.47%, 11/17/2028

CAD 500,000   387,426
National Bank of Canada        
5.30%, 11/03/2025

CAD 400,000   301,144
2.24%, 11/04/2026

CAD 325,000   228,555
5.22%, 06/14/2028

CAD 700,000   536,114
Ontario Teachers’ Finance Trust        
0.50%, 05/06/2025(b)

EUR 200,000   209,761
0.90%, 05/20/2041(b)

EUR 200,000   148,251
Original Wempi, Inc., 7.79%, 10/04/2027

CAD 400,000   314,626
Rogers Communications, Inc.        
3.10%, 04/15/2025

CAD 400,000   292,220
3.65%, 03/31/2027

CAD 500,000   363,089
3.25%, 05/01/2029

CAD 400,000   279,250
4.25%, 04/15/2032

CAD 300,000   213,657
6.75%, 11/09/2039

CAD 550,000   461,740
Royal Bank of Canada        
1.94%, 05/01/2025

CAD 500,000   360,989
3.37%, 09/29/2025

CAD 1,100,000   803,637
5.34%, 06/23/2026

CAD 500,000   379,357
5.24%, 11/02/2026

CAD 600,000   455,556
2.33%, 01/28/2027

CAD 800,000   561,518
3.63%, 06/14/2027(b)

GBP 200,000   244,728
4.61%, 07/26/2027

CAD 650,000   487,214
4.64%, 01/17/2028

CAD 700,000   525,792
5.00%, 01/24/2028(b)

GBP 200,000   255,592
4.63%, 05/01/2028

CAD 950,000   713,248
2.13%, 04/26/2029(b)

EUR 200,000   204,529
5.23%, 06/24/2030

CAD 500,000   387,515
Suncor Energy, Inc., 5.60%, 11/17/2025

CAD 400,000   302,665
TELUS Corp., 5.25%, 11/15/2032

CAD 400,000   306,273
Thomson Reuters Corp., 2.24%, 05/14/2025

CAD 550,000   397,558
Toronto-Dominion Bank (The)        
1.94%, 03/13/2025

CAD 550,000   398,307
2.67%, 09/09/2025

CAD 1,300,000   939,945
1.13%, 12/09/2025

CAD 600,000   421,641
4.34%, 01/27/2026

CAD 600,000   445,582
5.42%, 07/10/2026

CAD 500,000   380,143
2.26%, 01/07/2027

CAD 650,000   455,839
0.50%, 01/18/2027(b)

EUR 100,000   100,817
2.88%, 04/05/2027(b)

GBP 400,000   479,836
4.21%, 06/01/2027

CAD 1,000,000   739,636
2.55%, 08/03/2027(b)

EUR 200,000   212,172
5.38%, 10/21/2027

CAD 700,000   538,309
5.49%, 09/08/2028

CAD 500,000   388,664
3.63%, 12/13/2029(b)

EUR 150,000   164,446
1.95%, 04/08/2030(b)

EUR 200,000   199,391
3.13%, 08/03/2032(b)

EUR 100,000   105,735
TransCanada PipeLines Ltd.        
3.80%, 04/05/2027

CAD 750,000   547,839
5.28%, 07/15/2030(b)

CAD 400,000   306,893
4.18%, 07/03/2048(b)

CAD 400,000   246,149
4.34%, 10/15/2049(b)

CAD 300,000   188,340
        27,576,253
China-0.07%
Prosus N.V., 1.29%, 07/13/2029(b)

EUR 100,000   89,201
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Denmark-0.69%
Danske Bank A/S, 0.63%, 05/26/2025(b)

EUR 100,000   $104,612
Orsted A/S        
4.88%, 01/12/2032(b)

GBP 300,000   374,762
5.75%, 04/09/2040(b)

GBP 150,000   194,707
5.38%, 09/13/2042(b)

GBP 200,000   248,876
        922,957
Finland-0.80%
Nordea Bank Abp        
1.13%, 02/16/2027(b)

EUR 130,000   132,479
4.13%, 05/05/2028(b)

EUR 200,000   223,614
0.50%, 11/02/2028(b)

EUR 100,000   95,328
2.50%, 05/23/2029(b)

EUR 200,000   208,490
OP Corporate Bank PLC        
0.50%, 08/12/2025(b)

EUR 100,000   103,957
2.88%, 12/15/2025(b)

EUR 200,000   216,113
0.10%, 11/16/2027(b)

EUR 100,000   96,871
        1,076,852
France-24.88%
Action Logement Services        
4.13%, 10/03/2038(b)

EUR 100,000   116,779
0.75%, 07/19/2041(b)

EUR 100,000   70,153
3.63%, 05/25/2043(b)

EUR 100,000   109,346
Aeroports de Paris S.A., 2.75%, 04/02/2030(b)

EUR 200,000   213,130
Airbus SE        
1.63%, 06/09/2030(b)

EUR 200,000   200,219
2.38%, 06/09/2040(b)

EUR 200,000   184,348
ALD S.A., 4.88%, 10/06/2028(b)

EUR 100,000   114,923
Banque Federative du Credit Mutuel S.A.        
0.01%, 03/07/2025(b)

EUR 200,000   208,666
1.00%, 05/23/2025(b)

EUR 200,000   210,159
0.75%, 07/17/2025(b)

EUR 200,000   208,790
3.00%, 09/11/2025(b)

EUR 100,000   107,611
1.25%, 12/05/2025(b)

GBP 200,000   237,944
1.63%, 01/19/2026(b)

EUR 100,000   105,029
5.00%, 01/19/2026(b)

GBP 200,000   254,920
2.38%, 03/24/2026(b)

EUR 100,000   106,051
0.01%, 05/11/2026(b)

EUR 200,000   201,986
0.75%, 06/08/2026(b)

EUR 200,000   204,979
1.00%, 07/16/2026(b)

GBP 300,000   349,077
1.25%, 05/26/2027(b)

EUR 200,000   204,134
3.13%, 09/14/2027(b)

EUR 200,000   216,644
3.88%, 01/26/2028(b)

EUR 200,000   220,372
5.38%, 05/25/2028(b)

GBP 100,000   130,542
0.25%, 07/19/2028(b)

EUR 100,000   94,236
0.63%, 11/03/2028(b)

EUR 200,000   190,178
4.13%, 03/13/2029(b)

EUR 200,000   225,361
1.75%, 03/15/2029(b)

EUR 100,000   99,445
1.88%, 06/18/2029(b)

EUR 200,000   197,641
2.63%, 11/06/2029(b)

EUR 100,000   103,260
0.75%, 01/17/2030(b)

EUR 100,000   91,980
4.38%, 05/02/2030(b)

EUR 200,000   225,496
1.25%, 06/03/2030(b)

EUR 100,000   93,873
0.63%, 02/21/2031(b)

EUR 200,000   177,416
4.75%, 11/10/2031(b)

EUR 200,000   230,671
1.13%, 01/19/2032(b)

EUR 200,000   181,096
5.13%, 01/13/2033(b)

EUR 200,000   231,151
3.75%, 02/01/2033(b)

EUR 300,000   332,520
4.13%, 06/14/2033(b)

EUR 200,000   227,126
  Principal
Amount
  Value
France-(continued)
BNP Paribas S.A.        
1.50%, 11/17/2025(b)

EUR 100,000   $105,169
3.38%, 01/23/2026(b)

GBP 300,000   369,554
1.13%, 06/11/2026(b)

EUR 200,000   206,524
0.13%, 09/04/2026(b)

EUR 200,000   200,519
2.25%, 01/11/2027(b)

EUR 100,000   105,567
1.88%, 12/14/2027(b)

GBP 400,000   455,452
1.50%, 05/23/2028(b)

EUR 100,000   101,735
1.38%, 05/28/2029(b)

EUR 200,000   195,365
3.63%, 09/01/2029(b)

EUR 200,000   218,499
1.63%, 07/02/2031(b)

EUR 200,000   185,501
1.25%, 07/13/2031(b)

GBP 400,000   389,189
2.10%, 04/07/2032(b)

EUR 200,000   192,609
5.75%, 06/13/2032(b)

GBP 300,000   395,016
0.63%, 12/03/2032(b)

EUR 200,000   168,349
4.13%, 05/24/2033(b)

EUR 200,000   229,962
2.00%, 09/13/2036(b)

GBP 200,000   184,128
Bouygues S.A.        
2.25%, 06/29/2029(b)

EUR 200,000   208,457
0.50%, 02/11/2030(b)

EUR 100,000   93,116
3.88%, 07/17/2031(b)

EUR 100,000   112,652
4.63%, 06/07/2032(b)

EUR 100,000   118,441
3.25%, 06/30/2037(b)

EUR 100,000   105,335
5.38%, 06/30/2042(b)

EUR 200,000   256,558
BPCE S.A.        
1.00%, 04/01/2025(b)

EUR 200,000   210,702
0.63%, 04/28/2025(b)

EUR 200,000   209,617
0.25%, 01/15/2026(b)

EUR 200,000   204,417
0.38%, 02/02/2026(b)

EUR 100,000   102,497
3.63%, 04/17/2026(b)

EUR 100,000   109,303
0.50%, 02/24/2027(b)

EUR 200,000   199,096
1.75%, 04/26/2027(b)

EUR 100,000   103,853
3.50%, 01/25/2028(b)

EUR 200,000   218,982
4.38%, 07/13/2028(b)

EUR 100,000   112,066
1.00%, 10/05/2028(b)

EUR 100,000   98,579
5.25%, 04/16/2029(b)

GBP 300,000   374,512
0.25%, 01/14/2031(b)

EUR 200,000   175,847
0.75%, 03/03/2031(b)

EUR 100,000   90,254
1.00%, 01/14/2032(b)

EUR 100,000   89,258
4.00%, 11/29/2032(b)

EUR 200,000   226,078
4.50%, 01/13/2033(b)

EUR 200,000   228,523
Capgemini SE, 2.38%, 04/15/2032(b)

EUR 200,000   204,848
Carrefour S.A., 2.63%, 12/15/2027(b)

EUR 100,000   106,550
Cie de Saint-Gobain S.A.        
3.88%, 11/29/2030(b)

EUR 100,000   112,171
1.88%, 03/15/2031(b)

EUR 200,000   199,357
Coentreprise de Transport d’Electricite S.A.        
1.50%, 07/29/2028(b)

EUR 200,000   202,302
2.13%, 07/29/2032(b)

EUR 200,000   197,377
Credit Agricole Assurances S.A.        
2.00%, 07/17/2030(b)

EUR 200,000   191,191
1.50%, 10/06/2031(b)

EUR 300,000   268,008
Credit Agricole S.A.        
1.38%, 03/13/2025(b)

EUR 200,000   212,006
1.00%, 09/18/2025(b)

EUR 200,000   209,633
0.38%, 10/21/2025(b)

EUR 200,000   206,983
1.25%, 04/14/2026(b)

EUR 300,000   312,410
1.88%, 12/20/2026(b)

EUR 200,000   208,987
1.38%, 05/03/2027(b)

EUR 300,000   308,569
3.38%, 07/28/2027(b)

EUR 200,000   218,414
0.13%, 12/09/2027

EUR 200,000   192,959
 
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
France-(continued)
0.38%, 04/20/2028(b)

EUR 200,000   $192,142
1.13%, 02/24/2029(b)

EUR 200,000   197,129
1.75%, 03/05/2029(b)

EUR 300,000   300,804
1.00%, 07/03/2029(b)

EUR 200,000   193,058
2.50%, 08/29/2029(b)

EUR 200,000   209,230
4.88%, 10/23/2029(b)

GBP 300,000   384,733
4.13%, 03/07/2030(b)

EUR 200,000   227,584
3.88%, 04/20/2031(b)

EUR 300,000   337,036
0.88%, 01/14/2032(b)

EUR 200,000   178,341
1.13%, 07/12/2032(b)

EUR 200,000   181,908
4.00%, 01/18/2033(b)

EUR 200,000   227,703
4.38%, 11/27/2033(b)

EUR 200,000   228,161
3.88%, 11/28/2034(b)

EUR 200,000   225,206
Credit Mutuel Arkea S.A., 3.38%, 09/19/2027(b)

EUR 100,000   108,988
Electricite de France S.A.        
1.00%, 10/13/2026(b)

EUR 200,000   205,715
4.13%, 03/25/2027(b)

EUR 100,000   111,677
6.25%, 05/30/2028(b)

GBP 200,000   268,055
4.38%, 10/12/2029(b)

EUR 100,000   114,043
4.63%, 04/26/2030(b)

EUR 200,000   231,442
2.00%, 10/02/2030(b)

EUR 100,000   99,394
5.88%, 07/18/2031

GBP 200,000   263,711
4.25%, 01/25/2032(b)

EUR 100,000   112,936
1.00%, 11/29/2033(b)

EUR 300,000   255,151
6.13%, 06/02/2034(b)

GBP 500,000   664,714
4.75%, 10/12/2034(b)

EUR 200,000   233,340
5.50%, 03/27/2037(b)

GBP 200,000   246,433
5.50%, 10/17/2041(b)

GBP 600,000   725,817
4.63%, 01/25/2043(b)

EUR 100,000   111,998
2.00%, 12/09/2049(b)

EUR 200,000   140,706
5.13%, 09/22/2050(b)

GBP 400,000   448,360
5.63%, 01/25/2053(b)

GBP 200,000   235,929
6.00%, 01/23/2114(b)

GBP 500,000   590,342
ENGIE S.A.        
2.38%, 05/19/2026(b)

EUR 200,000   213,804
3.63%, 01/11/2030(b)

EUR 200,000   221,566
4.00%, 01/11/2035(b)

EUR 100,000   112,094
5.63%, 04/03/2053(b)

GBP 300,000   386,773
5.00%, 10/01/2060(b)

GBP 350,000   415,481
EssilorLuxottica S.A.        
0.13%, 05/27/2025(b)

EUR 200,000   208,589
0.38%, 01/05/2026(b)

EUR 200,000   206,509
Holding d’Infrastructures de Transport S.A.S.U., 1.48%, 01/18/2031(b)

EUR 100,000   93,730
Kering S.A.        
3.63%, 09/05/2031(b)

EUR 100,000   112,132
3.88%, 09/05/2035(b)

EUR 200,000   227,414
La Banque Postale S.A., 4.00%, 05/03/2028(b)

EUR 200,000   223,306
Orange S.A.        
8.13%, 01/28/2033

EUR 150,000   226,066
0.63%, 12/16/2033(b)

EUR 200,000   172,313
5.38%, 11/22/2050(b)

GBP 150,000   195,531
Pernod Ricard S.A., 1.13%, 04/07/2025(b)

EUR 200,000   211,519
RTE Reseau de Transport d’Electricite SADIR        
1.63%, 11/27/2025(b)

EUR 200,000   211,342
3.75%, 07/04/2035(b)

EUR 100,000   112,404
  Principal
Amount
  Value
France-(continued)
Societe Generale S.A.        
0.13%, 02/24/2026(b)

EUR 200,000   $204,063
4.25%, 09/28/2026(b)

EUR 200,000   222,613
0.75%, 01/25/2027(b)

EUR 200,000   200,363
4.13%, 06/02/2027(b)

EUR 200,000   223,014
0.25%, 07/08/2027(b)

EUR 200,000   196,362
4.00%, 11/16/2027(b)

EUR 200,000   222,708
0.13%, 02/18/2028(b)

EUR 100,000   96,082
2.13%, 09/27/2028(b)

EUR 200,000   206,170
1.75%, 03/22/2029(b)

EUR 100,000   99,272
2.63%, 05/30/2029(b)

EUR 200,000   211,303
1.25%, 06/12/2030(b)

EUR 200,000   187,699
4.25%, 11/16/2032(b)

EUR 200,000   231,924
5.63%, 06/02/2033(b)

EUR 100,000   116,009
6.25%, 06/22/2033(b)

GBP 300,000   410,931
Suez S.A.        
2.88%, 05/24/2034(b)

EUR 100,000   100,972
6.63%, 10/05/2043(b)

GBP 300,000   426,188
TotalEnergies Capital Canada Ltd., 2.13%, 09/18/2029(b)

EUR 200,000   207,392
TotalEnergies Capital International S.A.        
2.50%, 03/25/2026(b)

EUR 200,000   214,650
1.62%, 05/18/2040(b)

EUR 100,000   84,318
Unibail-Rodamco-Westfield SE        
0.63%, 05/04/2027(b)

EUR 200,000   199,576
1.38%, 12/04/2031(b)

EUR 100,000   91,611
        33,335,877
Germany-8.37%
Amprion GmbH, 3.97%, 09/22/2032(b)

EUR 100,000   112,522
Aroundtown S.A., 0.38%, 04/15/2027(b)

EUR 200,000   177,911
BASF SE, 1.50%, 03/17/2031(b)

EUR 100,000   96,945
Bayer AG        
0.75%, 01/06/2027(b)

EUR 200,000   201,154
0.38%, 01/12/2029(b)

EUR 100,000   93,138
1.13%, 01/06/2030(b)

EUR 100,000   92,532
0.63%, 07/12/2031(b)

EUR 200,000   170,308
1.38%, 07/06/2032(b)

EUR 100,000   87,804
4.63%, 05/26/2033(b)

EUR 200,000   222,675
Bayer Capital Corp. B.V.        
1.50%, 06/26/2026(b)

EUR 300,000   311,087
2.13%, 12/15/2029(b)

EUR 300,000   296,115
Commerzbank AG        
1.00%, 03/04/2026(b)

EUR 195,000   202,699
0.50%, 12/04/2026(b)

EUR 119,000   120,433
Deutsche Bahn Finance GmbH        
0.63%, 04/15/2036(b)

EUR 200,000   162,470
0.63%, 12/08/2050(b)

EUR 100,000   59,045
1.13%, 05/29/2051(b)

EUR 100,000   67,464
Deutsche Bank AG, 1.63%, 01/20/2027(b)

EUR 200,000   205,162
Deutsche Boerse AG        
3.88%, 09/28/2026(b)

EUR 200,000   221,982
3.88%, 09/28/2033(b)

EUR 200,000   229,056
E.ON International Finance B.V.        
6.25%, 06/03/2030(b)

GBP 300,000   408,680
6.38%, 06/07/2032

GBP 400,000   552,737
4.75%, 01/31/2034(b)

GBP 200,000   244,453
5.88%, 10/30/2037(b)

GBP 350,000   464,369
6.75%, 01/27/2039(b)

GBP 250,000   356,323
6.13%, 07/06/2039(b)

GBP 350,000   471,572
E.ON SE, 3.88%, 01/12/2035(b)

EUR 166,000   185,796
 
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Germany-(continued)
Grand City Properties S.A., 0.13%, 01/11/2028(b)

EUR 100,000   $91,615
Heidelberg Materials Finance Luxembourg S.A., 1.63%, 04/07/2026(b)

EUR 100,000   105,281
Landesbank Baden-Wuerttemberg, 0.38%, 02/18/2027(b)

EUR 100,000   98,441
Landesbank Hessen-Thueringen Girozentrale, 0.38%, 05/12/2025(b)

EUR 200,000   208,702
Mercedes-Benz Group AG, 2.13%, 07/03/2037(b)(c)

EUR 150,000   146,226
Mercedes-Benz International Finance B.V., 2.63%, 04/07/2025(b)

EUR 200,000   215,249
Robert Bosch GmbH        
3.63%, 06/02/2030(b)

EUR 100,000   111,739
4.00%, 06/02/2035(b)

EUR 200,000   228,376
4.38%, 06/02/2043(b)

EUR 200,000   230,785
RWE AG        
2.50%, 08/24/2025(b)

EUR 200,000   214,548
2.13%, 05/24/2026(b)

EUR 133,000   141,278
2.75%, 05/24/2030(b)

EUR 100,000   105,149
Siemens Financieringsmaatschappij N.V., 2.25%, 03/10/2025(b)

EUR 100,000   107,347
Traton Finance Luxembourg S.A.        
0.13%, 03/24/2025(b)

EUR 200,000   208,270
0.75%, 03/24/2029(b)

EUR 200,000   188,911
Volkswagen Bank GmbH, 4.25%, 01/07/2026(b)

EUR 200,000   220,020
Volkswagen Financial Services AG        
0.13%, 02/12/2027(b)

EUR 100,000   98,919
0.88%, 01/31/2028(b)

EUR 130,000   128,229
Volkswagen Financial Services N.V., 2.13%, 01/18/2028(b)

GBP 200,000   225,764
Volkswagen International Finance N.V.        
4.13%, 11/15/2025(b)

EUR 100,000   109,674
3.88%, 03/29/2026(b)

EUR 100,000   109,452
1.88%, 03/30/2027(b)

EUR 300,000   312,337
0.88%, 09/22/2028(b)

EUR 300,000   290,567
1.63%, 01/16/2030(b)

EUR 175,000   171,843
3.25%, 11/18/2030(b)

EUR 100,000   107,118
4.13%, 11/16/2038(b)

EUR 100,000   112,106
Volkswagen Leasing GmbH, 0.38%, 07/20/2026(b)

EUR 100,000   101,113
Vonovia SE        
0.38%, 06/16/2027(b)

EUR 100,000   97,401
0.25%, 09/01/2028(b)

EUR 100,000   92,472
0.63%, 12/14/2029(b)

EUR 200,000   179,702
0.75%, 09/01/2032(b)

EUR 200,000   165,004
1.00%, 06/16/2033(b)

EUR 100,000   82,326
Wintershall Dea Finance B.V.        
0.84%, 09/25/2025(b)

EUR 100,000   103,501
1.33%, 09/25/2028(b)

EUR 200,000   194,836
1.82%, 09/25/2031(b)

EUR 100,000   92,949
        11,211,682
Ireland-0.16%
Smurfit Kappa Acquisitions ULC, 2.88%, 01/15/2026(b)

EUR 200,000   214,408
Italy-5.51%
Assicurazioni Generali S.p.A., 4.13%, 05/04/2026(b)

EUR 100,000   109,952
  Principal
Amount
  Value
Italy-(continued)
ASTM S.p.A.        
1.50%, 01/25/2030(b)

EUR 225,000   $211,111
2.38%, 11/25/2033(b)

EUR 200,000   181,760
Autostrade per l’Italia S.p.A.        
2.00%, 12/04/2028(b)

EUR 100,000   100,526
2.00%, 01/15/2030(b)

EUR 200,000   193,982
Enel Finance International N.V.        
1.50%, 07/21/2025(b)

EUR 100,000   105,720
0.25%, 11/17/2025(b)

EUR 100,000   102,833
1.38%, 06/01/2026(b)

EUR 50,000   52,102
0.38%, 06/17/2027(b)

EUR 100,000   99,096
3.88%, 03/09/2029(b)

EUR 200,000   223,954
2.88%, 04/11/2029(b)

GBP 300,000   346,545
0.38%, 05/28/2029(b)

EUR 100,000   93,539
0.50%, 06/17/2030(b)

EUR 120,000   109,557
0.88%, 09/28/2034(b)

EUR 320,000   262,176
0.88%, 06/17/2036(b)

EUR 100,000   78,443
5.75%, 09/14/2040(b)

GBP 550,000   713,468
Enel S.p.A., 5.75%, 06/22/2037(b)

GBP 180,000   235,797
Eni S.p.A.        
3.75%, 09/12/2025(b)

EUR 100,000   109,334
1.50%, 02/02/2026(b)

EUR 150,000   157,309
1.25%, 05/18/2026(b)

EUR 100,000   104,128
0.38%, 06/14/2028(b)

EUR 200,000   193,133
3.63%, 01/29/2029(b)

EUR 100,000   111,122
0.63%, 01/23/2030(b)

EUR 100,000   93,308
2.00%, 05/18/2031(b)

EUR 150,000   148,853
4.25%, 05/19/2033(b)

EUR 300,000   341,414
Intesa Sanpaolo S.p.A.        
2.13%, 05/26/2025(b)

EUR 125,000   133,216
0.63%, 02/24/2026(b)

EUR 250,000   255,837
4.00%, 05/19/2026(b)

EUR 100,000   110,034
1.00%, 11/19/2026(b)

EUR 202,000   206,205
4.75%, 09/06/2027(b)

EUR 150,000   168,918
0.75%, 03/16/2028(b)

EUR 200,000   196,641
1.75%, 03/20/2028(b)

EUR 150,000   153,063
1.75%, 07/04/2029(b)

EUR 100,000   100,249
4.88%, 05/19/2030(b)

EUR 200,000   230,943
5.13%, 08/29/2031(b)

EUR 100,000   117,287
6.63%, 05/31/2033(b)

GBP 300,000   404,230
Ryanair DAC, 0.88%, 05/25/2026(b)

EUR 100,000   102,872
Snam S.p.A., 0.88%, 10/25/2026(b)

EUR 209,000   213,968
UniCredit S.p.A.        
0.50%, 04/09/2025(b)

EUR 100,000   104,609
0.33%, 01/19/2026(b)

EUR 150,000   153,558
2.13%, 10/24/2026(b)

EUR 159,000   167,832
0.85%, 01/19/2031(b)

EUR 100,000   89,775
        7,388,399
Japan-2.26%
Mizuho Financial Group, Inc.        
5.63%, 06/13/2028(b)

GBP 200,000   261,908
0.69%, 10/07/2030(b)

EUR 100,000   90,353
NTT Finance Corp.        
0.01%, 03/03/2025(b)

EUR 200,000   208,843
Series 16, 0.18%, 12/19/2025

JPY 100,000,000   682,557
Series 18, 0.38%, 09/20/2030

JPY 100,000,000   667,095
Sumitomo Mitsui Financial Group, Inc.        
1.55%, 06/15/2026(b)

EUR 200,000   208,540
0.63%, 10/23/2029(b)

EUR 225,000   209,230
Takeda Pharmaceutical Co. Ltd.        
2.25%, 11/21/2026(b)

EUR 200,000   212,079
 
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Japan-(continued)
3.00%, 11/21/2030(b)

EUR 200,000   $213,618
1.38%, 07/09/2032

EUR 200,000   186,040
2.00%, 07/09/2040

EUR 100,000   85,311
        3,025,574
Luxembourg-0.07%
Logicor Financing S.a.r.l., 1.63%, 07/15/2027(b)

EUR 100,000   99,594
Netherlands-4.76%
ABN AMRO Bank N.V.        
1.00%, 04/16/2025(b)

EUR 200,000   211,264
3.75%, 04/20/2025(b)

EUR 100,000   108,929
1.25%, 05/28/2025(b)

EUR 200,000   210,721
0.60%, 01/15/2027(b)

EUR 300,000   302,003
4.00%, 01/16/2028(b)

EUR 200,000   222,151
5.13%, 02/22/2028(b)

GBP 200,000   257,033
4.38%, 10/20/2028(b)

EUR 200,000   225,144
0.50%, 09/23/2029(b)

EUR 100,000   92,558
4.25%, 02/21/2030(b)

EUR 100,000   112,926
1.00%, 06/02/2033(b)

EUR 100,000   90,135
1.25%, 01/20/2034(b)

EUR 200,000   175,796
4.50%, 11/21/2034(b)

EUR 200,000   231,828
Cooperatieve Rabobank U.A.        
5.25%, 09/14/2027(b)

GBP 100,000   128,188
4.63%, 05/23/2029(b)

GBP 400,000   490,117
4.00%, 01/10/2030(b)

EUR 200,000   224,897
1.13%, 05/07/2031(b)

EUR 200,000   185,884
ING Bank N.V., 4.13%, 10/02/2026(b)

EUR 100,000   110,978
ING Groep N.V.        
2.13%, 01/10/2026(b)

EUR 100,000   106,227
3.00%, 02/18/2026(b)

GBP 400,000   489,650
1.38%, 01/11/2028(b)

EUR 100,000   102,054
2.00%, 09/20/2028(b)

EUR 200,000   206,276
2.50%, 11/15/2030(b)

EUR 200,000   207,139
Koninklijke KPN N.V., 5.75%, 09/17/2029(b)

GBP 314,000   415,497
LeasePlan Corp. N.V.        
0.25%, 02/23/2026(b)

EUR 100,000   101,383
0.25%, 09/07/2026(b)

EUR 200,000   199,837
Shell International Finance B.V.        
2.50%, 03/24/2026

EUR 150,000   161,134
1.63%, 01/20/2027(b)

EUR 200,000   209,729
0.50%, 11/08/2031(b)

EUR 100,000   89,575
1.88%, 04/07/2032(b)

EUR 100,000   98,764
1.25%, 11/11/2032(b)

EUR 100,000   92,760
0.88%, 11/08/2039(b)

EUR 200,000   148,281
1.75%, 09/10/2052(b)

GBP 200,000   129,232
TenneT Holding B.V., 4.50%, 10/28/2034(b)

EUR 200,000   238,344
        6,376,434
New Zealand-0.16%
Bank of New Zealand, 5.87%, 09/01/2028(b)

NZD 350,000   221,527
Norway-1.52%
Equinor ASA        
1.38%, 05/22/2032(b)

EUR 100,000   95,472
1.63%, 02/17/2035(b)

EUR 200,000   185,361
Norway Government Bond        
Series 477, 1.75%, 03/13/2025(b)

NOK 3,000,000   279,814
Series 478, 1.50%, 02/19/2026(b)

NOK 2,200,000   201,669
  Principal
Amount
  Value
Norway-(continued)
Series 479, 1.75%, 02/17/2027(b)

NOK 5,000,000   $454,575
Series 480, 2.00%, 04/26/2028(b)

NOK 2,800,000   253,175
Series 481, 1.75%, 09/06/2029(b)

NOK 1,900,000   166,718
Series 482, 1.38%, 08/19/2030(b)

NOK 700,000   58,947
Series 483, 1.25%, 09/17/2031(b)

NOK 900,000   73,283
Series 484, 2.13%, 05/18/2032(b)

NOK 700,000   60,389
Series 486, 3.00%, 08/15/2033(b)

NOK 1,000,000   91,627
SpareBank 1 SR-Bank ASA, 3.75%, 11/23/2027(b)

EUR 100,000   110,310
        2,031,340
Portugal-0.15%
EDP Finance B.V., 1.88%, 09/21/2029(b)

EUR 200,000   202,172
Spain-5.51%
Abertis Infraestructuras S.A.        
2.38%, 09/27/2027(b)

EUR 200,000   210,927
3.00%, 03/27/2031(b)

EUR 100,000   103,743
Banco Bilbao Vizcaya Argentaria S.A.        
1.38%, 05/14/2025(b)

EUR 100,000   105,525
0.75%, 06/04/2025(b)

EUR 100,000   104,803
1.75%, 11/26/2025(b)

EUR 200,000   211,136
1.00%, 06/21/2026(b)

EUR 200,000   206,052
0.38%, 11/15/2026(b)

EUR 100,000   100,423
0.50%, 01/14/2027(b)

EUR 100,000   100,322
3.50%, 02/10/2027(b)

EUR 100,000   108,697
3.38%, 09/20/2027(b)

EUR 200,000   218,882
4.38%, 10/14/2029(b)

EUR 200,000   230,116
Banco de Sabadell S.A., 0.88%, 07/22/2025(b)

EUR 200,000   209,393
Banco Santander S.A.        
2.50%, 03/18/2025(b)

EUR 200,000   214,256
1.38%, 01/05/2026(b)

EUR 200,000   208,485
3.75%, 01/16/2026(b)

EUR 200,000   218,728
3.25%, 04/04/2026(b)

EUR 200,000   215,562
1.50%, 04/14/2026(b)

GBP 200,000   234,838
0.30%, 10/04/2026(b)

EUR 200,000   201,519
3.13%, 01/19/2027(b)

EUR 100,000   107,460
0.50%, 02/04/2027(b)

EUR 200,000   199,721
1.75%, 02/17/2027(b)

GBP 200,000   229,878
1.13%, 06/23/2027(b)

EUR 100,000   101,489
3.88%, 01/16/2028(b)

EUR 200,000   221,982
2.13%, 02/08/2028(b)

EUR 200,000   205,168
0.20%, 02/11/2028(b)

EUR 200,000   192,440
5.13%, 01/25/2030(b)

GBP 200,000   255,804
4.25%, 06/12/2030(b)

EUR 100,000   113,752
1.63%, 10/22/2030(b)

EUR 200,000   186,988
4.88%, 10/18/2031(b)

EUR 200,000   231,285
1.00%, 11/04/2031(b)

EUR 200,000   185,130
CaixaBank S.A.        
1.13%, 03/27/2026(b)

EUR 100,000   103,464
1.38%, 06/19/2026(b)

EUR 200,000   206,363
3.75%, 09/07/2029(b)

EUR 200,000   222,452
4.25%, 09/06/2030(b)

EUR 200,000   226,228
4.38%, 11/29/2033(b)

EUR 200,000   229,082
Iberdrola Finanzas S.A., 1.00%, 03/07/2025(b)

EUR 100,000   105,763
Naturgy Finance B.V.        
1.25%, 01/15/2026(b)

EUR 100,000   104,274
1.38%, 01/19/2027(b)

EUR 200,000   206,253
Telefonica Emisiones S.A.        
5.38%, 02/02/2026(b)

GBP 195,000   249,847
 
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
Spain-(continued)
0.66%, 02/03/2030(b)

EUR 200,000   $188,255
2.59%, 05/25/2031(b)

EUR 100,000   104,642
        7,381,127
Sweden-3.69%
Skandinaviska Enskilda Banken AB        
3.25%, 11/24/2025(b)

EUR 100,000   108,553
4.00%, 11/09/2026(b)

EUR 200,000   220,447
1.75%, 11/11/2026(b)

EUR 200,000   208,732
4.13%, 06/29/2027(b)

EUR 100,000   111,777
3.75%, 02/07/2028(b)

EUR 200,000   219,099
3.88%, 05/09/2028(b)

EUR 100,000   110,943
0.38%, 06/21/2028(b)

EUR 200,000   189,850
0.63%, 11/12/2029(b)

EUR 200,000   185,233
Svenska Handelsbanken AB        
1.00%, 04/15/2025(b)

EUR 200,000   210,897
3.75%, 05/05/2026(b)

EUR 179,000   196,644
0.13%, 11/03/2026(b)

EUR 100,000   99,985
3.38%, 02/17/2028(b)

EUR 100,000   109,641
0.05%, 09/06/2028(b)

EUR 100,000   94,611
1.38%, 02/23/2029(b)

EUR 130,000   128,688
0.50%, 02/18/2030(b)

EUR 200,000   183,514
Swedbank AB        
0.75%, 05/05/2025(b)

EUR 100,000   104,939
3.75%, 11/14/2025(b)

EUR 200,000   218,712
0.25%, 11/02/2026(b)

EUR 100,000   100,478
2.10%, 05/25/2027(b)

EUR 200,000   209,180
4.13%, 11/13/2028(b)

EUR 100,000   112,285
Sweden Government Bond        
Series 1056, 2.25%, 06/01/2032(b)

SEK 500,000   48,678
Series 1058, 2.50%, 05/12/2025(b)

SEK 5,000,000   481,089
Series 1059, 1.00%, 11/12/2026(b)

SEK 5,000,000   466,195
Series 1060, 0.75%, 05/12/2028(b)

SEK 4,000,000   364,851
Series 1061, 0.75%, 11/12/2029(b)

SEK 1,000,000   89,740
Vattenfall AB, 6.88%, 04/15/2039(b)

GBP 250,000   369,346
        4,944,107
Switzerland-2.20%
Credit Suisse AG        
1.13%, 12/15/2025(b)

GBP 300,000   355,063
0.25%, 01/05/2026(b)

EUR 225,000   229,841
7.75%, 03/10/2026(b)

GBP 200,000   267,687
1.50%, 04/10/2026(b)

EUR 150,000   156,198
0.25%, 09/01/2028(b)

EUR 120,000   113,546
Holcim Finance (Luxembourg) S.A.        
2.25%, 05/26/2028(b)

EUR 200,000   209,880
0.50%, 09/03/2030(b)

EUR 100,000   89,671
Richemont International Holding S.A., 2.00%, 03/26/2038(b)

EUR 200,000   185,136
Sika Capital B.V., 3.75%, 11/03/2026(b)

EUR 100,000   110,078
UBS AG        
0.01%, 03/31/2026(b)

EUR 200,000   202,759
0.50%, 03/31/2031(b)

EUR 200,000   178,506
UBS Group AG        
1.25%, 09/01/2026(b)

EUR 200,000   206,568
0.65%, 09/10/2029(b)

EUR 100,000   92,855
0.88%, 11/03/2031(b)

EUR 200,000   176,551
0.63%, 01/18/2033(b)

EUR 248,000   203,982
0.63%, 02/24/2033(b)

EUR 200,000   166,677
        2,944,998
  Principal
Amount
  Value
United Kingdom-12.90%
ABP Finance PLC, 6.25%, 12/14/2026(b)

GBP 200,000   $262,534
Anglian Water Services Financing PLC, 6.00%, 06/20/2039(b)

GBP 200,000   266,924
Annington Funding PLC        
3.18%, 07/12/2029(b)

GBP 150,000   170,959
3.69%, 07/12/2034(b)

GBP 300,000   323,199
3.94%, 07/12/2047(b)

GBP 300,000   289,904
B.A.T. International Finance PLC        
2.25%, 06/26/2028(b)

GBP 227,000   254,483
2.25%, 01/16/2030(b)

EUR 200,000   195,755
6.00%, 11/24/2034(b)

GBP 150,000   185,958
2.25%, 09/09/2052(b)

GBP 200,000   109,684
Barclays PLC        
3.00%, 05/08/2026(b)

GBP 200,000   243,297
3.25%, 02/12/2027(b)

GBP 450,000   543,029
BG Energy Capital PLC, 5.00%, 11/04/2036(b)

GBP 250,000   319,335
Blend Funding PLC        
3.46%, 09/21/2047(b)

GBP 200,000   192,737
2.92%, 04/05/2054(b)

GBP 200,000   165,345
BP Capital Markets PLC        
2.52%, 04/07/2028(b)

EUR 100,000   106,205
1.23%, 05/08/2031(b)

EUR 100,000   94,159
2.82%, 04/07/2032(b)

EUR 200,000   209,358
British Telecommunications PLC        
1.75%, 03/10/2026(b)

EUR 200,000   210,751
1.50%, 06/23/2027(b)

EUR 100,000   102,821
5.75%, 12/07/2028(b)

GBP 150,000   199,431
3.13%, 11/21/2031(b)

GBP 200,000   225,558
6.38%, 06/23/2037(b)

GBP 200,000   274,885
Cadent Finance PLC        
2.13%, 09/22/2028(b)

GBP 250,000   282,811
2.63%, 09/22/2038(b)

GBP 300,000   268,905
2.75%, 09/22/2046(b)

GBP 300,000   240,011
CCEP Finance (Ireland) DAC, 0.88%, 05/06/2033(b)

EUR 100,000   87,961
Centrica PLC        
4.38%, 03/13/2029(b)

GBP 150,000   186,532
7.00%, 09/19/2033(b)

GBP 272,000   389,133
4.25%, 09/12/2044(b)

GBP 250,000   265,321
Clarion Funding PLC, 3.13%, 04/19/2048(b)

GBP 230,000   203,835
Connect Plus (M25) Issuer PLC, 2.61%, 03/31/2039(b)

GBP 259,065   277,163
easyJet FinCo B.V., 1.88%, 03/03/2028(b)

EUR 200,000   203,155
Heathrow Funding Ltd.        
6.75%, 12/03/2026(b)

GBP 200,000   265,495
5.88%, 05/13/2041(b)

GBP 300,000   398,129
4.63%, 10/31/2046(b)

GBP 300,000   336,314
High Speed Rail Finance 1 PLC, 4.38%, 11/01/2038(b)

GBP 250,000   293,745
Housing & Care 21, 3.29%, 11/08/2049(b)

GBP 200,000   180,871
HSBC Holdings PLC        
2.50%, 03/15/2027(b)

EUR 200,000   212,727
2.63%, 08/16/2028(b)

GBP 400,000   466,874
Imperial Brands Finance Netherlands B.V., 1.75%, 03/18/2033(b)

EUR 100,000   85,556
 
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
  Principal
Amount
  Value
United Kingdom-(continued)
Imperial Brands Finance PLC        
5.50%, 09/28/2026(b)

GBP 150,000   $191,405
4.88%, 06/07/2032(b)

GBP 200,000   234,036
Lloyds Bank Corporate Markets PLC, 2.38%, 04/09/2026(b)

EUR 200,000   213,539
Lloyds Banking Group PLC, 1.50%, 09/12/2027(b)

EUR 100,000   102,754
Motability Operations Group PLC        
3.63%, 03/10/2036(b)

GBP 200,000   224,749
2.13%, 01/18/2042(b)

GBP 300,000   248,403
National Grid Electricity Distribution (West Midlands) PLC, 5.75%, 04/16/2032(b)

GBP 225,000   298,533
National Grid PLC, 4.28%, 01/16/2035(b)

EUR 100,000   111,670
Nationwide Building Society        
0.25%, 07/22/2025(b)

EUR 200,000   207,207
4.50%, 11/01/2026(b)

EUR 100,000   111,779
6.13%, 08/21/2028(b)

GBP 300,000   402,920
NatWest Markets PLC        
2.75%, 04/02/2025(b)

EUR 100,000   107,660
0.13%, 11/12/2025(b)

EUR 100,000   102,482
0.13%, 06/18/2026(b)

EUR 200,000   201,808
6.63%, 06/22/2026(b)

GBP 200,000   262,871
1.38%, 03/02/2027(b)

EUR 100,000   102,475
6.38%, 11/08/2027(b)

GBP 255,000   340,356
Places For People Treasury PLC, 6.25%, 12/06/2041(b)

GBP 200,000   268,725
Sanctuary Capital PLC, 2.38%, 04/14/2050(b)

GBP 200,000   152,380
Santander UK Group Holdings PLC, 3.63%, 01/14/2026(b)

GBP 150,000   184,793
Scottish Widows Ltd., 7.00%, 06/16/2043(b)

GBP 150,000   207,715
Severn Trent Utilities Finance PLC, 3.63%, 01/16/2026(b)

GBP 200,000   248,427
Sky Ltd., 2.50%, 09/15/2026(b)

EUR 200,000   213,982
SSE PLC, 8.38%, 11/20/2028(b)

GBP 183,000   269,396
Standard Chartered PLC        
5.13%, 06/06/2034(b)

GBP 200,000   240,292
4.38%, 01/18/2038(b)

GBP 200,000   232,126
T.H.F.C. (Funding No.3) PLC, 5.20%, 10/11/2043(b)

GBP 300,000   376,443
Thames Water Utilities Finance PLC        
4.38%, 01/18/2031(b)

EUR 100,000   103,291
5.13%, 09/28/2037(b)

GBP 150,000   161,864
5.50%, 02/11/2041(b)

GBP 200,000   220,998
Vodafone Group PLC        
1.88%, 09/11/2025(b)

EUR 100,000   106,692
1.13%, 11/20/2025(b)

EUR 100,000   104,978
1.63%, 11/24/2030(b)

EUR 200,000   196,704
1.60%, 07/29/2031(b)

EUR 151,000   146,728
3.38%, 08/08/2049(b)

GBP 300,000   262,831
5.13%, 12/02/2052(b)

GBP 200,000   231,400
3.00%, 08/12/2056(b)

GBP 400,000   307,795
        17,293,056
  Principal
Amount
  Value
United States-1.58%
Medtronic Global Holdings S.C.A.        
3.13%, 10/15/2031

EUR 100,000   $108,748
3.38%, 10/15/2034

EUR 100,000   109,279
1.38%, 10/15/2040

EUR 100,000   79,650
1.63%, 10/15/2050

EUR 200,000   147,745
Stellantis N.V.        
3.88%, 01/05/2026(b)

EUR 100,000   109,444
2.75%, 05/15/2026(b)

EUR 100,000   107,557
0.63%, 03/30/2027(b)

EUR 200,000   200,281
4.50%, 07/07/2028(b)

EUR 200,000   228,387
0.75%, 01/18/2029(b)

EUR 100,000   96,450
4.38%, 03/14/2030(b)

EUR 200,000   228,332
4.25%, 06/16/2031(b)

EUR 200,000   226,038
2.75%, 04/01/2032(b)

EUR 100,000   102,330
1.25%, 06/20/2033(b)

EUR 200,000   177,191
Toyota Motor Credit Corp., 0.13%, 11/05/2027(b)

EUR 200,000   194,549
        2,115,981
Total Non-U.S. Dollar Denominated Bonds & Notes

(Cost $139,838,612)

  132,110,382
  Shares    
Money Market Funds-0.19%
Invesco Government & Agency Portfolio, Institutional Class, 5.24%(d)(e)

(Cost $258,151)

  258,151   258,151
TOTAL INVESTMENTS IN SECURITIES

(excluding investments purchased with cash collateral from securities on loan)-98.78%

(Cost $140,096,763)

  132,368,533
Investments Purchased with Cash Collateral from Securities on Loan
Money Market Funds-0.11%
Invesco Private Government Fund, 5.29%(d)(e)(f)

  43,029   43,029
Invesco Private Prime Fund, 5.52%(d)(e)(f)

  107,831   107,906
Total Investments Purchased with Cash Collateral from Securities on Loan

(Cost $150,879)

  150,935
TOTAL INVESTMENTS IN SECURITIES-98.89%

(Cost $140,247,642)

  132,519,468
OTHER ASSETS LESS LIABILITIES-1.11%

  1,484,299
NET ASSETS-100.00%

  $134,003,767
 
See accompanying notes which are an integral part of this schedule.

Invesco International Corporate Bond ETF (PICB)—(continued)
January 31, 2024
(Unaudited)
Investment Abbreviations:
AUD-Australian Dollar
CAD-Canadian Dollar
EUR-Euro
GBP-British Pound Sterling
JPY-Japanese Yen
NOK-Norwegian Krone
NZD-New Zealand Dollar
SEK-Swedish Krona
    
Notes to Schedule of Investments:
(a) Foreign denominated security. Principal amount is denominated in the currency indicated.
(b) Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at January 31, 2024 was $103,011,811, which represented 76.87% of the Fund’s Net Assets.
(c) All or a portion of this security was out on loan at January 31, 2024.
(d) Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in affiliates for the three months ended January 31, 2024.
    
  Value
October 31, 2023
  Purchases
at Cost
  Proceeds
from Sales
  Change in
Unrealized
Appreciation
  Realized
Gain
  Value
January 31, 2024
  Dividend
Income
Investments in Affiliated Money Market Funds:                          
Invesco Government & Agency Portfolio, Institutional Class $51,669   $1,299,492   $(1,093,010)   $-   $-   $258,151   $1,257
Investments Purchased with Cash Collateral from Securities on Loan:                          
Invesco Private Government Fund 36,733   20,759   (14,463)   -   -   43,029   535*
Invesco Private Prime Fund 93,585   24,011   (9,751)   53   8   107,906   1,412*
Total $181,987   $1,344,262   $(1,117,224)   $53   $8   $409,086   $3,204
    
* Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any.
    
(e) The rate shown is the 7-day SEC standardized yield as of January 31, 2024.
(f) The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return of the securities loaned.  
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.

Notes to Quarterly Schedules of Portfolio Holdings
January 31, 2024
(Unaudited)
NOTE 1—Additional Valuation Information
Generally Accepted Accounting Principles ("GAAP") defines fair value as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date, under current market conditions. GAAP establishes a hierarchy that prioritizes the inputs to valuation methods, giving the highest priority to readily available unadjusted quoted prices in an active market for identical assets (Level 1) and the lowest priority to significant unobservable inputs (Level 3), generally when market prices are not readily available. Based on the valuation inputs, the securities or other investments are tiered into one of three levels. Changes in valuation methods may result in transfers in or out of an investment’s assigned level:
Level 1 — Prices are determined using quoted prices in an active market for identical assets.
Level 2 — Prices are determined using other significant observable inputs. Observable inputs are inputs that other market participants may use in pricing a security. These may include quoted prices for similar securities, interest rates, prepayment speeds, credit risk, yield curves, loss severities, default rates, discount rates, volatilities and others.
Level 3 — Prices are determined using significant unobservable inputs. In situations where quoted prices or observable inputs are unavailable (for example, when there is little or no market activity for an investment at the end of the period), unobservable inputs may be used. Unobservable inputs reflect Invesco Capital Management LLC’s assumptions about the factors market participants would use in determining fair value of the securities or instruments and would be based on the best available information.
The following is a summary of the tiered valuation input levels, as of January 31, 2024. The level assigned to the securities valuations may not be an indication of the risk or liquidity associated with investing in those securities. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value received upon actual sale of those investments.
  Level 1   Level 2   Level 3   Total
Invesco 0-5 Yr US TIPS ETF              
Investments in Securities              
U.S. Treasury Securities $-   $72,952,793   $-   $72,952,793
Money Market Funds 163,900   -   -   163,900
Total Investments $163,900   $72,952,793   $-   $73,116,693
Invesco Emerging Markets Sovereign Debt ETF              
Investments in Securities              
U.S. Dollar Denominated Bonds & Notes $-   $1,465,223,715   $-   $1,465,223,715
Money Market Funds 5,268,524   35,256,368   -   40,524,892
Total Investments $5,268,524   $1,500,480,083   $-   $1,505,748,607
Invesco Global ex-US High Yield Corporate Bond ETF              
Investments in Securities              
U.S. Dollar Denominated Bonds & Notes $-   $130,518,801   $0   $130,518,801
Common Stocks & Other Equity Interests 8,699   255,863   0   264,562
Preferred Stocks -   -   163,000   163,000
Money Market Funds 556,181   5,498,003   -   6,054,184
Total Investments in Securities 564,880   136,272,667   163,000   137,000,547
Other Investments - Assets              
Investments Matured -   267,808   46,505   314,313
Total Investments $564,880   $136,540,475   $209,505   $137,314,860
Invesco International Corporate Bond ETF              
Investments in Securities              
Non-U.S. Dollar Denominated Bonds & Notes $-   $132,110,382   $-   $132,110,382
Money Market Funds 258,151   150,935   -   409,086
Total Investments $258,151   $132,261,317   $-   $132,519,468