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Home: Fund Overviews: Quarterly Portfolio Holdings:Invesco Stable Value Trust

Quarterly Portfolio Holdings as of 06/30/2009
Invesco Stable Value Trust
Issuer Contract Security Name Share/Par Book Value % Book
Value
Moody
Rating
Duration Market to
Book Ratio
State Street Bank & Trust Company 103081 IGT Invesco Multi-Manager Intermediate Government/Credit Fund 430,049,096 $556,154,830 18.02% Aa3 3.87 99.66
Monumental Life Insurance Company MDA-00604TR Monumental Wrap of Multi-Manager Intermediate G/C Fund 959,805,513 $542,929,357 17.59% Aa3 3.22 98.72
ING Life Insurance Annuity Company 60079 IGT Invesco Short Term Bond Fund 362,666,160 $489,630,468 15.86% Aaa 2.38 99.80
J.P. Morgan Chase Bank 401039-S IGT Invesco Short Term Bond Fund 288,276,542 $389,227,947 12.61% Aaa 2.38 99.80
Pacific Life Insurance Company G-27265.01.0001 IGT Invesco Short Term Bond Fund 269,372,181 $363,454,920 11.78% Aaa 2.38 99.86
Bank of America Corporation 03-098 IGT Invesco Multi-Manager Core Fixed Income Fund 211,988,529 $278,189,928 9.01% Aa3 4.30 94.16
Rabobank Nederland INV070301 IGT Invesco Multi-Manager Core Fixed Income Fund 155,587,112 $204,034,773 6.61% Aa3 4.30 94.23
Bank of America Corporation 03-078 IGT Invesco Short Term Bond Fund 131,633,234 $177,698,656 5.76% Aaa 2.38 99.81
J.P. Morgan Chase Bank 401039-T Multiple Securities1 $42,863,375 1.39% 2.23 99.31
State Street Bank & Trust Company 8165 STIF $42,093,730 1.36% 0.00 100.00


1Multiple Securities for Contract #401039-T issued by J.P. Morgan Chase Bank

Cusip Series Security Name Duration Market Value
912828CE8 USTN 3.125 4-09 U.S. Treasury Note 2.33 $40,514,602
72345JAB7 PINNCL 6.85 09A AB-Cash Flow CBO 0.40 $9,717
Cash on Hand STIF 0.00 $2,043,640
Total Market Value $42,567,960
Book Value $42,863,375



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.
Investment Products offered are: NOT FDIC-Insured, May Lose Value, Not Bank Guaranteed.
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