BLKC ETF — Holdings & Analysis
The Invesco Alerian Galaxy Blockchain Users and Decentralized Commerce ETF (BLKC) seeks to replicate the Alerian Galaxy Global Blockchain Equity, Trusts and ETPs Index, focusing on companies involved in blockchain technology development, cryptocurrency mining, and related activities. With an expense ratio of 0.60%, BLKC offers exposure to a concentrated portfolio of 71 holdings. The fund has approximately $0.00B in assets under management and distinguishes itself through its targeted approach to blockchain-related equities and a notable dividend yield of 7.62%. Past performance does not guarantee future results.
Invesco Alerian Galaxy Blockchain Users and Decentralized Commerce ETF (BLKC) ETF — Price, Holdings & Analysis
ETF Genel Bakış
Risk Metrikleri
Gider Oranı
En İyi Varlıklar
- Strive Inc Class A (ASST): 2.03%
- Aker ASA Class A (AKER.OL): 1.52%
- Chaince Digital Holdings Inc (CD): 1.46%
- IREN Ltd (IREN): 1.46%
- Advanced Micro Devices Inc (AMD): 1.43%
- Texas Instruments Inc (TXN): 1.42%
- Intel Corp (INTC): 1.40%
- GameStop Corp Class A (GME): 1.38%
- Bitdeer Technologies Group Ordinary Shares Class A (BTDR): 1.38%
Sektör Dağılımı
- Financial Services: 34.4%
- Technology: 29.6%
- Cash & Others: 14.8%
- Consumer Cyclical: 8.4%
- Communication Services: 4.5%
- Consumer Defensive: 2.6%
- Industrials: 2.2%
- Healthcare: 2.1%
- Energy: 1.4%
- United States: 62.3%
- Other: 14.8%
- China: 3.5%
- Singapore: 2.4%
- Hong Kong: 2.3%
- Germany: 2.3%
- Norway: 1.5%
- Australia: 1.5%
- United Kingdom: 1.4%
- Taiwan (Province of China): 1.3%
Temettü Verimi
- <a href="/etf/xlk">State Street Technology Select Sector SPDR ETF (XLK)</a> — 0.08% expense ratio
- <a href="/etf/xlf">State Street Financial Select Sector SPDR ETF (XLF)</a> — 0.08% expense ratio
- <a href="/etf/eem">iShares MSCI Emerging Markets ETF (EEM)</a> — 0.72% expense ratio
- <a href="/etf/spy">State Street SPDR S&P 500 ETF Trust (SPY)</a> — 0.09% expense ratio
- <a href="/etf/qqq">Invesco QQQ Trust, Series 1 (QQQ)</a> — 0.18% expense ratio
- <a href="/etf/rwde">Direxion MSCI Developed Over Emerging Markets ETF (RWDE)</a> — 0.53% expense ratio
- <a href="/etf/fine">Themes European Luxury ETF (FINE)</a> — 0.35% expense ratio
- <a href="/etf/mj">Amplify Alternative Harvest ETF (MJ)</a> — 0.75% expense ratio
- <a href="/etf/qqq">Invesco QQQ Trust, Series 1 (QQQ)</a> (Equity) — 0.18% ER
- <a href="/etf/psmm">Invesco Moderately Conservative Multi-Asset Allocation ETF (PSMM)</a> (Equity) — 0.35% ER
- <a href="/etf/bab">Invesco Taxable Municipal Bond ETF (BAB)</a> (Fixed Income) — 0.28% ER
- <a href="/etf/rspe">Invesco ESG S&P 500 Equal Weight ETF (RSPE)</a> (Equity) — 0.20% ER
- <a href="/etf/omfs">Invesco Russell 2000 Dynamic Multifactor ETF (OMFS)</a> (Equity) — 0.39% ER
- <a href="/etf/pfm">Invesco Dividend Achievers ETF (PFM)</a> (Equity) — 0.52% ER
Risk Metrikleri
- Beta: 2.34
Sorular & Cevaplar
What is BLKC and what does it track?
The Invesco Alerian Galaxy Blockchain Users and Decentralized Commerce ETF (BLKC) is an exchange-traded fund that aims to replicate the performance of the Alerian Galaxy Global Blockchain Equity, Trusts and ETPs Index. This index is composed of companies that are materially engaged in the development of blockchain technology, cryptocurrency mining, cryptocurrency buying, or enabling technologies. BLKC provides investors with a focused exposure to the blockchain economy through a portfolio of 71 holdings. The fund rebalances monthly to maintain its alignment with the index's composition.
What is the expense ratio for BLKC?
The expense ratio for BLKC is 0.60%. This means that for every $10,000 invested in the fund, $60 is charged annually to cover operating expenses. While there isn't a specific category average available for blockchain-focused ETFs, the expense ratio should be considered in the context of the specialized nature of the fund and its investment strategy. Investors should weigh the expense ratio against the potential benefits of targeted exposure to the blockchain sector.
What are the top holdings in BLKC?
As of 2026-03-15, the top holdings in BLKC include Strive Inc Class A, comprising 2.03% of the portfolio. Other significant holdings are Aker ASA Class A at 1.52%, and Chaince Digital Holdings Inc and IREN Ltd, both at 1.46%. Rounding out the top holdings is Advanced Micro Devices Inc (AMD) at 1.43%. These companies represent a mix of firms involved in asset management, technology, and digital infrastructure, reflecting the diverse nature of the blockchain ecosystem.
Is BLKC a good long-term investment?
Whether BLKC is a suitable long-term investment depends on an individual's investment goals, risk tolerance, and belief in the long-term potential of blockchain technology. The fund's focus on a specific sector makes it more volatile than broad market ETFs, as evidenced by its beta of 2.34. the may be worth researching fund's expense ratio of 0.60% and its concentration in Financial Services and Technology sectors. BLKC's dividend yield of 7.62% may be attractive to income-seeking investors. Past performance does not guarantee future results.
How does BLKC compare to similar ETFs?
BLKC differentiates itself through its specific index-tracking approach, focusing on the Alerian Galaxy Global Blockchain Equity, Trusts and ETPs Index. While other ETFs may offer exposure to the blockchain or cryptocurrency sectors, BLKC's methodology and holdings composition may vary. Investors should compare the expense ratios, AUM, and investment strategies of different blockchain-focused ETFs to determine which best aligns with their objectives. BLKC's expense ratio is 0.60% and its AUM is approximately $0.00B. A thorough comparison of holdings and sector allocations is also recommended.
Does BLKC pay dividends?
Yes, BLKC does pay dividends. As of 2026-03-15, the fund has a dividend yield of 7.62%. This yield represents the annual dividend payment relative to the fund's share price. It's important to note that dividend yields can fluctuate and are not guaranteed. Investors seeking income may find BLKC's dividend yield attractive, but should also consider the fund's overall investment strategy and risk profile.