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Home: Fund Overviews: Quarterly Portfolio Holdings:Invesco Large Cap Growth Equity Trust

Quarterly Portfolio Holdings as of 06/30/2009
Invesco Large Cap Growth Equity Trust

CUSIP Security Name Share/Par Market Value % TNA Moody
Rating
Coupon / Div Yield Maturity Date
594918104 MICROSOFT CORP 200,900 $5,908,469 5.86% NA 0.52
459200101 INTL BUSINESS MACHINES CORP 36,700 $4,637,045 4.60% NA 2.20
478160104 JOHNSON & JOHNSON 63,600 $3,996,624 3.96% NA 1.96
742718109 PROCTER & GAMBLE CO 60,200 $3,753,470 3.72% NA 1.76
931142103 WAL-MART STORES INC 67,700 $3,693,035 3.66% NA 1.09
30231G102 EXXON MOBIL CORPORATION 44,600 $3,348,122 3.32% NA 1.68
718172109 PHILIP MORRIS INTERNATIONAL 58,600 $2,818,074 2.79% NA 2.32
031162100 AMGEN INC 45,800 $2,580,830 2.56% NA
882508104 TEXAS INSTRUMENTS INC 87,100 $2,202,759 2.18% NA 0.48
037833100 APPLE INC 11,000 $2,199,010 2.18% NA
532457108 LILLY (ELI) & CO 54,000 $1,983,420 1.97% NA 1.96
674599105 OCCIDENTAL PETROLEUM CORP 23,800 $1,922,802 1.91% NA 1.32
585055106 MEDTRONIC INC 44,400 $1,884,336 1.87% NA 0.82
747525103 QUALCOMM INC 41,300 $1,858,500 1.84% NA 0.68
91324P102 UNITEDHEALTH GROUP INCORPORATE 60,700 $1,740,269 1.73% NA 0.03
958102105 WESTERN DIGITAL CORP 45,500 $1,676,220 1.66% NA
191216100 COCA-COLA COMPANY 28,400 $1,624,480 1.61% NA 1.64
191219104 COCA-COLA ENTERPRISES 80,100 $1,573,965 1.56% NA 0.32
38141G104 GOLDMAN SACHS GROUP INC 9,200 $1,560,872 1.55% NA 1.40
88579Y101 3M CO 20,100 $1,556,544 1.54% NA 2.04
364760108 GAP INC 72,500 $1,552,950 1.54% NA 0.34
G5876H105 MARVELL TECHNOLOGY 98,900 $1,525,038 1.51% NA
35671D857 FREEPORT-MCMORAN COPPER 17,300 $1,432,440 1.42% NA 0.60
09062X103 BIOGEN IDEC INC 30,500 $1,431,670 1.42% NA
05329W102 AUTONATION INC 81,000 $1,429,650 1.42% NA
037604105 APOLLO GROUP INC CL A 24,100 $1,375,387 1.36% NA
913017109 UNITED TECHNOLOGIES CORP 19,300 $1,297,732 1.29% NA 1.54
G37260109 GARMIN LTD 42,400 $1,266,912 1.26% NA 0.75
268648102 EMC CORP/MASS 66,300 $1,115,829 1.11% NA
30212P105 EXPEDIA INC 43,600 $1,110,928 1.10% NA
17275R102 CISCO SYSTEMS INC 43,700 $1,022,580 1.01% NA
38259P508 GOOGLE INC CL A 1,740 $1,014,420 1.01% NA
68389X105 ORACLE CORPORATION 45,200 $998,016 0.99% NA 0.20
007865108 AEROPOSTALE INC 30,100 $948,150 0.94% NA
345838106 FOREST LABORATORIES INC 30,500 $935,130 0.93% NA
002824100 ABBOTT LABORATORIES 15,900 $866,391 0.86% NA 1.60
871503108 SYMANTEC CORP 47,900 $850,225 0.84% NA
58933Y105 MERCK & CO. INC. 21,863 $791,659 0.79% NA 1.52
044209104 ASHLAND INC 21,500 $772,495 0.77% NA 0.30
885535104 3COM CORP 103,000 $759,110 0.75% NA
278642103 EBAY INC 30,400 $743,888 0.74% NA
11133T103 BROADRIDGE FINANCIAL SOL 33,200 $729,736 0.72% NA 0.56
228368106 CROWN HOLDINGS INC 28,600 $719,862 0.71% NA
12673P105 CA INC 32,000 $707,200 0.70% NA 0.16
91911X104 VALEANT PHARMACEUTICALS 21,400 $699,566 0.69% NA
025816109 AMERICAN EXPRESS COMPANY 16,700 $698,561 0.69% NA 0.72
46120E602 INTUITIVE SURGICAL INC 2,200 $617,188 0.61% NA
595112103 MICRON TECHNOLOGY INC 80,400 $604,608 0.60% NA
039483102 ARCHER-DANIELS-MIDLAND CO 18,900 $582,309 0.58% NA 0.56
887317303 TIME WARNER INC 17,900 $549,888 0.55% NA 0.75
093671105 BLOCK H & R INC 26,800 $544,040 0.54% NA 0.60
G7945J104 SEAGATE TECHNOLOGY 35,900 $543,167 0.54% NA
23331A109 D.R. HORTON INC 47,900 $492,412 0.49% NA 0.15
242370104 DEAN FOODS CO 29,000 $461,100 0.46% NA
879868107 TEMPLE-INLAND INC 25,500 $458,745 0.45% NA 0.40
688239201 OSHKOSH CORP 11,400 $452,922 0.45% NA
345370860 FORD MOTOR COMPANY 50,900 $452,501 0.45% NA
03060R101 AMERICREDIT CORP 24,100 $444,645 0.44% NA
428236103 HEWLETT-PACKARD CO 8,800 $431,728 0.43% NA 0.32
421933102 HEALTH MGMT ASSOCIATES INC CL A 68,300 $418,679 0.42% NA
460146103 INTERNATIONAL PAPER CO 15,800 $402,110 0.40% NA 0.10
690768403 OWENS-ILLINOIS INC 12,500 $390,875 0.39% NA
92343V104 VERIZON COMMUNICATIONS 12,300 $386,958 0.38% NA 1.90
064058100 BANK OF NEW YORK MELLON CORP 14,400 $383,616 0.38% NA 0.36
035710409 ANNALY CAPITAL MANAGEMENT INC 20,700 $381,087 0.38% NA 2.76
55616P104 MACY'S INC 23,200 $378,392 0.38% NA 0.20
878237106 TECH DATA CORP 8,900 $374,779 0.37% NA
452308109 ILLINOIS TOOL WORKS 7,700 $374,528 0.37% NA 1.24
00206R102 AT&T INC 13,900 $374,466 0.37% NA 1.64
713448108 PEPSICO INC 6,000 $373,320 0.37% NA 1.80
270321102 EARTHLINK INC 45,100 $371,173 0.37% NA 0.56
92553P201 VIACOM INC CL B NON-VTG 12,400 $367,536 0.36% NA
755111507 RAYTHEON COMPANY 7,100 $365,863 0.36% NA 1.24
783764103 RYLAND GROUP INC 19,700 $360,707 0.36% NA 0.12
457153104 INGRAM MICRO INC CL A 20,200 $343,198 0.34% NA
74460D109 PUBLIC STORAGE 4,200 $334,236 0.33% NA 2.20
126349109 CSG SYSTEMS INTL INC 17,000 $329,120 0.33% NA
76009N100 RENT A CTR INC 18,500 $327,265 0.32% NA
141665109 CAREER EDUCATION CORP 12,400 $322,772 0.32% NA
959802109 WESTERN UNION CO 16,600 $306,270 0.30% NA 0.04
69329Y104 PDL BIOPHARMA INC 46,400 $301,600 0.30% NA 0.50
45867G101 INTERDIGITAL INC 12,500 $297,375 0.29% NA
437076102 HOME DEPOT INC 10,800 $295,488 0.29% NA 0.90
026375105 AMERICAN GREETINGS CORP CL A 13,500 $279,450 0.28% NA 0.48
307000109 FAMILY DOLLAR STORES 9,000 $274,590 0.27% NA 0.54
166764100 CHEVRON CORP 3,500 $273,140 0.27% NA 2.72
92046N102 VALUECLICK INC 26,800 $252,724 0.25% NA
067774109 BARNES & NOBLE INC 10,600 $247,404 0.25% NA 1.00
058498106 BALL CORP 5,000 $247,050 0.24% NA 0.40
552676108 MDC HOLDINGS INC 8,000 $237,520 0.24% NA 1.00
749121109 QWEST COMMUNICATIONS INTL INC 54,600 $199,290 0.20% NA 0.32
824348106 SHERWIN-WILLIAMS CO 3,200 $194,688 0.19% NA 1.42
928298108 VISHAY INTERTECHNOLOGY INC 26,000 $188,500 0.19% NA
88632Q103 TIBCO SOFTWARE INC 20,500 $176,300 0.17% NA
911312106 UNITED PARCEL SERVICE INC 3,000 $172,410 0.17% NA 1.80
477839104 JOHN BEAN TECHNOLOGIES CORP 9,200 $157,964 0.16% NA 0.28
744320102 PRUDENTIAL FINANCIAL INC 3,000 $149,550 0.15% NA 0.70
421924309 HEALTHSOUTH CORP 8,000 $140,320 0.14% NA
205363104 COMPUTER SCIENCES CORP 2,400 $132,744 0.13% NA
64107N206 NET 1 UEPS TECHNOLOGIES INC 7,100 $132,628 0.13% NA
63934E108 NAVISTAR INTERNATIONAL 3,800 $125,438 0.12% NA
142339100 CARLISLE COS INC 3,900 $125,229 0.12% NA 0.64
513847103 LANCASTER COLONY CORP 2,400 $114,528 0.11% NA 1.20
580135101 MCDONALD'S CORPORATION 1,700 $107,525 0.11% NA 2.20
375558103 GILEAD SCIENCES INC 2,200 $101,442 0.10% NA
416196103 HARTE-HANKS INC 10,400 $99,944 0.10% NA 0.30
404251100 HNI CORP 3,900 $98,553 0.10% NA 0.86
55272X102 MFA FINANCIAL INC 12,400 $93,868 0.09% NA 1.00
42805T105 HERTZ GLOBAL HOLDINGS INC 9,500 $93,100 0.09% NA
248019101 DELUXE CORP 7,200 $92,880 0.09% NA 1.00
218868107 CORINTHIAN COLLEGES INC 6,100 $90,402 0.09% NA
441060100 HOSPIRA INC 1,700 $79,815 0.08% NA
163072101 CHEESECAKE FACTORY (THE) 4,100 $77,203 0.08% NA
759509102 RELIANCE STEEL & ALUMINUM CO 1,800 $73,584 0.07% NA 0.40
62944T105 NVR INC 100 $67,315 0.07% NA
539830109 LOCKHEED MARTIN CORPORATION 800 $61,784 0.06% NA 2.52
04269Q100 ARRIS GROUP INC 5,900 $58,941 0.06% NA
09643P207 BLYTH INC 1,800 $58,554 0.06% NA 0.20
267475101 DYCOM INDUSTRIES INC 7,400 $57,646 0.06% NA
30161N101 EXELON CORPORATION 1,100 $52,998 0.05% NA 2.10
005125109 ACXIOM CORP 4,400 $50,776 0.05% NA
24522P103 DEL MONTE FOODS CO 4,700 $49,303 0.05% NA 0.20
981811102 WORTHINGTON INDUSTRIES 4,200 $49,182 0.05% NA 0.40
810186106 SCOTTS MIRACLE-GRO CO/THE 1,200 $47,916 0.05% NA 0.50
571903202 MARRIOTT INTERNATIONAL CL A 1 $17 0.00% NA 0.35



Portfolio holdings are unaudited. Quarterly portfolio holdings include open derivatives positions and any collateral supporting those positions but excludes any idle cash and cash equivalents awaiting investment and/or collateral supporting securities on loan.

For audited portfolio holdings of this or any other Institutional Retirement Trust collective trust fund, please refer to our most recent annual financial statements.

Portfolio characteristics are subject to change and current holdings may differ. It should not be assumed that any of the holdings discussed were or will prove to be profitable, or that the investment recommendations or decisions we make in the future will be profitable or will equal the investment performance of the holdings discussed herein.

If you are an institutional investor and would like more recent holdings, please log on to your account(s). If you are a plan participant and would like more recent holdings, please contact your plan sponsor or recordkeeper.
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