| Fund Management |
Fund Trustee & Investment Manager
The trustee and investment manager for the Fund is Invesco National Trust Company, a limited purpose national trust bank.
|
Fund Sub-Advisor
Invesco Advisers, Inc.
|
Portfolio Management
Team Managed - Invesco Global Asset Allocation; Scott E. Wolle, CFA (Lead) |
|
- Investment Objective
- The investment objective of the Fund is to outperform the Index by 3.75% over a rolling three- to five-year investment horizon. The Fund will strive to achieve this objective with an active investment process that includes two elements: return seeking and benchmark hedging. The process is implemented using a portable alpha approach that combines the two elements within the Fund.
The return seeking element consists of a global tactical asset allocation (GTAA) overlay strategy with tracking error targeted at 5.0% resulting in a 0.75 target information ratio. Tracking error is defined as the annualized standard deviation of excess return from the strategy. The GTAA strategy is combined with the benchmark hedging element resulting in a fully funded mandate consistent with the return and risk profile of the Index.
-
- Investor Profile
- Invesco GTAA Alpha Overlay - Global Balanced Trust be appropriate for investors who seek total return in excess of the Index, with an investment strategy that generates excess returns uncorrelated to traditional markets.
|
| |
| Key Facts |
| Category |
Absolute Return |
| Type of Management | Actively Managed |
| Fund Inception Date | 08/06/2008 |
| Performance Start Date | 08/31/2008 |
| CUSIP | 46X156XX9 |
| Tax ID (EIN)/Plan # | 37-6425977/001 |
| Share Class | Class C |
| Total Net Assets ($mil) | $37.48 |
| Share Price (NAV) | $8.41 |
| Annual Portfolio Turnover* | 25.40% |
*As of 12/31/2009
|
|
| Fund Style |
Portable Alpha
|
 |
|
|
|
| |
|
|
| |
|
|
|
Fund Holdings
| %TNA |
| Short Term Investments | 8.09 |
| SSgA Passive WG Bond ex-U.S. Index Fund | 30.06 |
| Invesco GTAA Alpha Overlay Trust | 29.81 |
| SSgA Daily EAFE Index Fund | 21.09 |
| SSgA U.S. Treasury 3-10 Year Index Fund | 8.05 |
| iShares MSCI Canada Index Fund | 2.90 |
| Total |
100.00 |
| |
Risk Allocation*
|
Risk |
Contribution |
| Commodities |
0.85% |
24.13% |
| Currencies |
0.93% |
26.51% |
| Developed Equities |
0.66% |
18.86% |
| Emerging Equities |
0.29% |
8.16% |
| Fixed Income |
0.78% |
22.34% |
| Total Risk |
3.51% |
100.00% |
|
|
|
| *Risk Allocation pertains to the actively managed holdings in the portfolio, the Invesco GTAA Alpha Overlay Trust. |
|
|
| |
|
|