Invesco S&P 500 Minimum Variance ETF logo

Invesco S&P 500 Minimum Variance ETF (SPMV)

Delisted
23 Feb 2026
BATS BATS
$
50. 75
+0.25
+0.495%
$
3.55M Market Cap
- P/E Ratio
0.55% Div Yield
758 Volume
- Eps
$ 50.5
Previous Close
Day Range
50.75 50.76
Year Range
42.38 52
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Summary

This company has been delisted from its primary exchange and is no longer publicly traded.
As a result, real-time price data, dividend updates, and corporate disclosures may no longer be available.

SPMV Chart

Invesco S&P 500 Minimum Variance ETF (SPMV) FAQ

What does "Delisted" mean?

Invesco S&P 500 Minimum Variance ETF has been removed from the exchange and is no longer publicly traded.

What was the last recorded dividend?

The last recorded dividend was paid on Feb 23, 2026 in the amount of $0.14 per share.

How long did the company pay dividends?

The company paid dividends for 8 years prior to delisting.

Were there any stock splits?

No stock splits were recorded prior to delisting.

What was the last known trading price?

The stock last traded at $50.75 on Feb 23, 2026 before being delisted.

Invesco S&P 500 Minimum Variance ETF Profile

Capital Markets Industry
Financials Sector
- CEO
BATS Exchange
46138E347 CUSIP
US Country
- Employees
23 Feb 2026 Last Dividend
- Last Split
- IPO Date

Overview

The implied company specializes in offering financial investment solutions, primarily focusing on mirroring the performance of a specifically curated subset of the S&P 500 Index. By deploying a managed volatility equity strategy, the firm aims to provide investors with a more stable investment option that endeavors to minimize the total volatility typically associated with the broader S&P 500 Index. This is achieved while striving to maintain other key characteristics that investors might expect from an S&P 500 investment, such as market cap, sector allocation, and dividend yield similarities.

Products and Services

  • Managed Volatility Equity Strategy

    This product targets investors looking for exposure to the S&P 500 Index but with a preference for lower volatility. By investing at least 90% of its assets in the securities comprising the underlying index curated for reduced volatility, the strategy seeks to provide a safer harbor during market turbulence, compared to the broader index.

  • Subset of Constituent Securities of the S&P 500 Index

    Selection focuses on a subset of S&P 500 securities, identified through a rigorous process designed to pick stocks that contribute to lower portfolio volatility. This subset aims to reflect the performance of the S&P 500 Index with reduced risk, making it an appealing option for conservative investors or those with a lower risk tolerance.

Contact Information

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