Invesco Communications S&P US Select Sector UCITS ETF (XLCS.L)
About this ETF
This fund seeks to mirror the net total return performance of its benchmark, the S&P Select Sector Capped 20% Communications Index, after deducting associated fees. This specific index tracks the communication services companies found within the broader S&P 500. Individual components are weighted based on their float-adjusted market capitalization, with a cap of 19% per constituent; any weight exceeding this limit is reallocated among the remaining uncapped holdings. To achieve its investment goal, the fund employs a hybrid strategy. It maintains a portfolio of equities, which typically generates the majority of its returns, though these holdings may not precisely replicate the index's composition. To improve tracking accuracy and ensure greater consistency than what purely physical replication could offer, the fund…
Price
Top 10 holdings
| META PLATFORMS CL A ORD META | 18.50% |
| NETFLIX ORD NFLX | 15.20% |
| ALPHABET CL A ORD GOOGL | 13.10% |
| ALPHABET CL C ORD GOOG | 10.40% |
| VERIZON COMMUNICATIONS ORD VZ | 8.40% |
| WALT DISNEY ORD DIS | 7.50% |
| AT&T ORD T | 7.30% |
| T MOBILE US ORD TMUS | 3.70% |
| COMCAST CL A ORD CMCSA | 3.70% |
| WARNER BROS. DISCOVERY SRS A ORD WBD | 2.80% |
Sector mix
Price chart
Returns
| 1 month | -0.17% |
| 3 months | -3.92% |
| 6 months | -3.01% |
| Year to date | -3.66% |
| 1 year | +0.52% |
| 3 years (ann.) | +20.06% |
| 5 years (ann.) | +6.79% |
| 10 years (ann.) | — |
Risk profile
| Volatility (1y, ann.) | 14.45% |
| Sharpe (1y) | 0.11 |
| Sharpe (3y) | 1.23 |
| Sortino (1y) | 0.20 |
| Max drawdown (1y) | -12.35% |
| Max drawdown (5y) | -47.62% |
| Max drawdown (full) | -47.62% |
| Beta vs S&P 500 (1y) | 0.36 |
| Correlation vs S&P 500 (1y) | 0.31 |
Technical outlook as of 2026-07-13
The Monte Carlo cone is drawn on the price chart above (Forecast overlay); RSI, MACD and the rest of the oscillators live in its indicator panels.
Full holdings
| Constituent | ISIN | Market value | Weight |
|---|---|---|---|
| Loading… | |||
Sector breakdown
Geographic exposure
Cost vs. peers
Comparison universe: 6,948 funds of the same asset class.
Cost impact calculator
Dividend history
Accumulating share class Income is reinvested inside the fund instead of being paid out. (inferred from the absence of distributions)
No distributions on record — accumulating share classes reinvest income instead of paying it out.
ESG profile
Benchmark: average of 4,066 funds of the same asset class with derived ESG data.
Similar ETFs
| Fund | TER | AUM (USD) | Yield (TTM) | Return 1y | Sharpe 1y |
|---|---|---|---|---|---|
| Vanguard Total Stock Market ETF VTI | 0.03% | 2.30T | 1.05% | +19.93% | 1.48 |
| Vanguard S&P 500 ETF VOO | 0.03% | 1.70T | 1.07% | +19.68% | 1.49 |
| iShares Core S&P 500 ETF IVV | 0.03% | 894.38B | 1.09% | +19.68% | 1.49 |
| State Street SPDR S&P 500 ETF SPY | 0.09% | 789.23B | 1.00% | +19.71% | 1.49 |
| SPDR S&P 500 ETF Trust 1557.T | 0.09% | 789.09B | 0.49% | +37.54% | 2.26 |
| State Street SPDR S&P 500 ETF SPY.AX | 0.09% | 788.13B | 1.00% | +11.84% | 1.13 |
| Vanguard Total International Stock ETF VXUS | 0.05% | 652.30B | 2.61% | +20.58% | 1.21 |
| Invesco QQQ Trust, Series 1 QQQ | 0.18% | 481.14B | 0.43% | +28.14% | 1.43 |
| Vanguard Growth ETF VUG | 0.03% | 393.80B | 0.39% | +16.85% | 0.99 |
| Vanguard FTSE Developed Markets ETF VEA | 0.03% | 317.30B | 2.60% | +21.64% | 1.23 |
Cheaper alternatives
No fund of the class reaches 60% portfolio overlap — showing the cheapest funds of the class instead.
| Fund | TER | AUM (USD) | Overlap |
|---|---|---|---|
| Vanguard Growth ETF VUG | 0.03% | 393.80B | 15.7% |
| Vanguard S&P 500 ETF VOO | 0.03% | 1.70T | 10.4% |
| iShares Core S&P 500 UCITS ETF CSSPX.MI | 0.07% | 151.54B | 10.0% |
| iShares Core S&P 500 UCITS ETF CSP1.L | 0.07% | 151.66B | 10.0% |
| iShares Core S&P 500 UCITS ETF CSPX.AS | 0.07% | 151.54B | 10.0% |

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