|
Invesco
PureBetaSM
US Aggregate Bond ETF |
Cboe
BZX Exchange, Inc. |
Management
Fees |
|
| |
Other
Expenses |
|
| |
Total
Annual Fund Operating Expenses |
|
|
1
Year |
3
Years |
5
Years |
10
Years |
$ |
$ |
$ |
$ |
|
Period
Ended |
Returns |
|
|
- |
|
|
|
|
|
- |
|
Inception
Date |
1
Year |
Since
Inception |
Return
Before Taxes |
- |
||
Return
After Taxes on Distributions |
|
- |
|
Return
After Taxes on Distributions and Sale of Fund
Shares |
- |
||
| |||
ICE
BofA US Broad Market Index℠ for
fees, expenses or taxes) |
- |
||
|
Name |
Title
with Adviser/Trust |
Date
Began
Managing
the
Fund |
Peter
Hubbard |
Head of
Equities and Director of
Portfolio
Management of the
Adviser;
Vice President of the Trust |
September
2017 |
| ||
Richard
Ose |
Senior
Portfolio Manager of the
Adviser |
September
2017 |
| ||
Tom
Boksa |
Portfolio
Manager of the Adviser |
December
2019 |
| ||
Gary
Jones |
Portfolio
Manager of the Adviser |
September
2017 |
| ||
Gregory
Meisenger |
Portfolio
Manager of the Adviser |
May
2021 |
|
Years
Ended August 31, |
Ten
Months Ended
August
31,
2018 |
For
the Period
September
27, 2017(a)
Through
October
31,
2017 | |||
|
2022 |
2021 |
2020 |
2019 | ||
Per
Share Operating Performance: |
|
|
|
|
|
|
Net
asset value at beginning of period |
$26.10 |
$26.89 |
$25.94 |
$24.23 |
$24.96 |
$25.00 |
Net
investment income(b) |
0.50 |
0.45 |
0.62 |
0.67 |
0.52 |
0.06 |
Net
realized and unrealized gain (loss) on investments |
(3.39) |
(0.56) |
1.02 |
1.74 |
(0.70) |
(0.05) |
Total
from investment operations |
(2.89) |
(0.11) |
1.64 |
2.41 |
(0.18) |
0.01 |
Distributions
to shareholders from: |
|
|
|
|
|
|
Net
investment income |
(0.49) |
(0.56) |
(0.69) |
(0.70) |
(0.54) |
(0.05) |
Net
realized gains |
(0.08) |
(0.12) |
- |
- |
- |
- |
Return
of capital |
- |
- |
- |
- |
(0.01) |
- |
Total
distributions |
(0.57) |
(0.68) |
(0.69) |
(0.70) |
(0.55) |
(0.05) |
Net
asset value at end of period |
$22.64 |
$26.10 |
$26.89 |
$25.94 |
$24.23 |
$24.96 |
Market
price at end of period(c) |
$22.59 |
$26.11 |
$26.93 |
$25.96 |
$24.25 |
$24.96 |
Net
Asset Value Total Return(d) |
(11.19)% |
(0.42)% |
6.42% |
10.14% |
(0.72)% |
0.05%(e) |
Market
Price Total Return(d) |
(11.42)% |
(0.53)% |
6.49% |
10.14% |
(0.64)% |
0.05%(e) |
Ratios/Supplemental
Data: |
|
|
|
|
|
|
Net
assets at end of period (000's omitted) |
$49,806 |
$23,488 |
$29,577 |
$25,940 |
$24,233 |
$24,964 |
Ratio
to average net assets of: |
|
|
|
|
|
|
Expenses,
after Waivers |
0.05% |
0.05% |
0.05% |
0.08%(f) |
0.05%(g) |
0.04%(g) |
Expenses,
prior to Waivers |
0.05% |
0.05% |
0.05% |
0.08%(f) |
0.05%(g) |
0.05%(g) |
Net
investment income |
2.10% |
1.70% |
2.36% |
2.71%(f) |
2.55%(g) |
2.44%(g) |
Portfolio
turnover rate(h) |
23% |
42% |
30% |
29% |
20% |
0%(i) |
(a) |
Commencement
of investment operations. |
(b) |
Based
on average shares outstanding. |
(c) |
The
mean between the last bid and ask prices. |
(d) |
Net
asset value total return is calculated assuming an initial investment made
at the net asset value at the beginning of the period, reinvestment of all
dividends and distributions at net asset value
during
the period, and redemption at net asset value on the last day of the
period. Net asset value total return includes adjustments in accordance
with accounting principles generally accepted in
the
United States of America and as such, the net asset value for financial
reporting purposes and the returns based upon those net asset values may
differ from the net asset value and returns
for
shareholder transactions. Market price total return is calculated assuming
an initial investment made at the market price at the beginning of the
period, reinvestment of all dividends and
distributions
at market price during the period, and sale at the market price on the
last day of the period. Total investment returns calculated for a period
of less than one year are not annualized. |
(e) |
The
net asset value total return from Fund Inception (September 29, 2017, the
first day of trading on the Exchange) to October 31, 2017 was 0.01%. The
market price total return from Fund
Inception
to October 31, 2017 was 0.29%. |
(f) |
Ratios
include non-recurring costs associated with a proxy statement of
0.03%. |
(g) |
Annualized. |
(h) |
Portfolio
turnover rate is not annualized for periods less than one year, if
applicable, and does not include securities received or delivered from
processing creations or redemptions. |
(i) |
Amount
represents less than 0.5%. |
Call: |
Invesco
Distributors, Inc. at 1-800-983-0903
Monday
through Friday
8:00
a.m. to 5:00 p.m. Central
Time |
Write: |
Invesco
Exchange-Traded Fund Trust II
c/o
Invesco Distributors, Inc.
11
Greenway Plaza, Suite 1000
Houston,
Texas 77046-1173 |
Visit: |
www.invesco.com/ETFs |