| 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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Portfolio Management
Invesco National Trust Company determines the asset allocation, underlying fund selections and target weightings. The underlying funds are actively managed by teams of investment professionals. More information on the management teams of the underlying funds may be found at invesconationaltrust.com.
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- Investment Objective
- The primary investment objective of this collective trust fund is to achieve both long-term capital growth and current investment income, as is consistent with a moderate asset allocation approach.
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- Investor Profile
- The Invesco Moderate Asset Allocation Trust may be appropriate for investors with a moderately long time horizon of five to fifteen years who can absorb some risk, but who also desire to safeguard a relatively balanced portion of their investment.
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| Key Facts |
| Category | Asset Allocation |
| Type of Management | Passive Management |
| Fund Inception Date | 05/25/1993 |
| Performance Start Date | 05/31/1993 |
| CUSIP | 46X568XX5 |
| Tax ID (EIN)/Plan # | 84-1227972/001 |
| Share Class | Class C |
| Total Net Assets ($mil)* |
$0.00 |
| Share Price (NAV) | $31.39 |
| Annual Portfolio Turnover** |
23.70% |
*Fund closed on 03/31/2010
**As of 12/31/2009
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| Fund Style |
Asset Allocation - Target Risk
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Fund Holdings
| %TNA |
| Invesco Structured Core Equity Trust | 35.20 |
| Invesco Core Fixed Income Trust | 19.86 |
| Invesco Intermediate Bond Trust | 14.89 |
| Invesco International Equity Trust | 10.07 |
| Invesco Structured Small Cap Core Equity Trust | 9.90 |
| Invesco Equity Real Estate Securities Trust | 5.10 |
| Invesco Stable Value Trust | 4.98 |
| Total |
100.00 |
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