| 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.
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Fund Sub-Advisor
Invesco Advisers, Inc.
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Portfolio Management
Team Managed - Invesco Global Asset Allocation; Scott E. Wolle, CFA (Lead)
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- Investment Objective
- The objective of the Fund is to outperform the Index by 1.6% 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 proprietary risk premium capture strategy that targets 2% tracking error and seeks to minimize the risk of large drawdowns with a risk-balanced investment process. Tracking error is defined as the annualized standard deviation of excess return from the strategy. The risk premium capture strategy is combined with the benchmark hedging element resulting in a fully funded mandate consistent with the return and risk profile of the Index.
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- Investor Profile
- Invesco Premia Plus Fixed Income Trust may 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.
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| Key Facts |
| Category | Alternative Beta |
| Type of Management | Actively Managed |
| Fund Inception Date | 09/09/2008 |
| Performance Start Date | 09/30/2008 |
| CUSIP | 46X157XX7 |
| Tax ID (EIN)/Plan # | 26-6399642/001 |
| Share Class | Class C |
| Total Net Assets ($mil) | $70.60 |
| Share Price (NAV) | $11.60 |
| Annual Portfolio Turnover* | 54.28% |
*As of 12/31/2009
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| Fund Style |
Risk Parity
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Fund Holdings
| %TNA |
| Short Term Investments | 3.75 |
| SSg Passive Bond Market Index Fund | 62.25 |
| Invesco Premia Plus Trust | 14.20 |
| SSgA Long Credit Index Fund | 11.17 |
| SSgA Long U.S Treasury Index Fund | 8.62 |
| Total |
100.00 |
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Risk Allocation
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Risk |
Contribution |
| Equities |
0.27% |
21.84% |
| Fixed Income |
0.58% |
47.47% |
| Commodities |
0.38% |
30.69% |
| Total Risk |
1.23% |
100.00% |
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