Invesco Zacks Multi-Assetome ETF company info

What does Invesco Zacks Multi-Assetome ETF do?
Invesco Zacks Multi-Asset Income ETF (NYSE:CVY) is an exchange-traded fund that focuses on providing investors with high income through diversified investments. It targets income-generating assets across multiple asset classes, including but not limited to equity, real estate investment trusts (REITs), master limited partnerships (MLPs), preferred stocks, and bond securities. The fund aims to achieve a blend of high yield and potential for capital growth by utilizing Zacks Investment Research's proprietary selection methodology. This approach rigorously evaluates various income-producing investments to construct a balanced and dynamic portfolio. The primary objective of Invesco Zacks Multi-Asset Income ETF is to offer investors an avenue for regular income while maintaining a possibility for capital appreciation, making it an attractive option for income-focused investors looking for diversified exposure across the income-generating spectrum.
Invesco Zacks Multi-Assetome ETF company media
Company Snapshot

Is Invesco Zacks Multi-Assetome ETF a public or private company?


How many people does Invesco Zacks Multi-Assetome ETF employ?


What sector is Invesco Zacks Multi-Assetome ETF in?

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Where is the head office for Invesco Zacks Multi-Assetome ETF?

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Head Office
Atlanta, United States

What year was Invesco Zacks Multi-Assetome ETF founded?

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Year Founded
What does Invesco Zacks Multi-Assetome ETF specialise in?
/Income Generation /Diversified Portfolio /Low management fees /Tradable Securities /Risk Management /Added Income

What are the products and/or services of Invesco Zacks Multi-Assetome ETF?

Overview of Invesco Zacks Multi-Assetome ETF offerings
Capital Appreciation Potential: While the primary focus is on income generation, CVY also has the potential for capital appreciation if the market value of the underlying assets held by the ETF increases. This could include price appreciation of the bonds or REITs in the portfolio.
Active Management: Unlike passively managed index funds, CVY is actively managed by a team of investment professionals at Invesco. These managers select the specific bonds and REITs based on their research and judgement, aiming to maximize returns while managing risk.
Diversification: CVY holds a variety of income-producing assets across different asset classes, aiming to spread out risk and reduce the impact of negative performance in any single security.
Transparency: The holdings and performance of CVY are publicly available. Investors can find information about the specific bonds and REITs held by the ETF, their weightings within the portfolio, and the fund's historical performance data.
Potential for Lower Volatility: The combination of income-producing assets, particularly investment-grade bonds, may offer lower overall volatility compared to some equity-heavy investment options. However, some volatility can still be expected, especially if interest rates or real estate markets experience fluctuations.