Premier U.S. Government Money Portfolio

Similar documents
Invesco Premier U.S. Government Money Portfolio

Invesco Government Money Market Fund

Invesco Government Money Market Fund

Invesco Premier U.S. Government Money Portfolio

Invesco Premier U.S. Government Money Portfolio

Invesco V.I. Government Money Market Fund

Invesco Government Money Market Fund

Invesco Premier U.S. Government Money Portfolio

Invesco Premier U.S. Government Money Portfolio

Invesco Government Money Market Fund

Invesco Government Money Market Fund

Invesco Government Money Market Fund

Invesco Government Money Market Fund

Invesco V.I. Government Money Market Fund

Liquid Assets Portfolio

Invesco V.I. Money Market Fund

Invesco Premier Portfolio

Invesco Liquid Assets Portfolio

Premier Portfolio. Asset Backed Commercial Paper. Portfolio Holdings. Data as of November 24, 2017 ASSET-BACKED COMMERCIAL PAPER

Invesco Premier Portfolio

Invesco Liquid Assets Portfolio

Invesco Premier Portfolio

Invesco Liquid Assets Portfolio

Invesco Liquid Assets Portfolio

Invesco Premier Portfolio

Invesco Liquid Assets Portfolio

Invesco Liquid Assets Portfolio

Certificate of Deposit Sumitomo Mitsui Banking Corp QM49 40,000, /31/16 08/31/16 40,000, %

Invesco Liquid Assets Portfolio

Certificate of Deposit Banco del Estado de Chile 05969YQX4 $ 25,000, % 09/01/16 09/01/16 $ 25,000, %

Certificate of Deposit Sumitomo Mitsui Banking Corp QM49 450,000, /31/16 08/31/16 450,000, %

Asset Backed Commercial Paper Metlife Short Term Funding LLC 59157TTM5 44,000, /21/17 06/21/17 43,892, %

Invesco Liquid Assets Portfolio

Schedule of Investments November 30, 2017 (Unaudited) Invesco Liquid Assets Portfolio. Commercial Paper 52.14% (a)

Money Market Fund. Annual Shareholder Report. February 28, 2017 INVESTMENT SHARES (TICKER JNSXX) RETIREMENT SHARES (TICKER JRSXX)

Morgan Stanley Institutional Liquidity Funds Portfolio Holdings

Money Market Funds 2018 ANNUAL REPORT

Invesco Liquid Assets Portfolio

Dreyfus Cash Management Funds

51489NQH8 30,000, /07/16 09/07/16 30,000, % Thueringen

AZL GOVERNMENT MONEY MARKET FUND

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

Invesco V.I. Government Money Market Fund

Invesco V.I. Money Market Fund

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

Edward Jones Money Market Fund

Holdings Report GS Sterling Liquid Reserves Fund

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

April 27, RE: Weekly update on the UBS Prime CNAV series of funds. Dear Investor:

Holdings Report GS Sterling Liquid Reserves Fund

June 29, RE: Weekly update on the UBS Select Prime series of funds. Dear Investor:

Invesco V.I. Government Money Market Fund

Semi-Annual Report February 28, 2017

Semi-Annual Shareholder Report

Morgan Stanley Institutional Liquidity Funds Portfolio Holdings

19423CED0 $ 20,000, % 08/29/17 02/26/18 $ 19,999, % Paper II Co. LLC

QUALCOMM INC/DE FORM FWP. (Free Writing Prospectus - Filing under Securities Act Rules 163/433) Filed 05/22/17

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

J.P. Morgan Money Market Funds

Morgan Stanley Institutional Liquidity Funds Portfolio Holdings

Concerned About Interest Rates Rising? Consider Convertibles

Section 5.0 OTHER TABLE OF CONTENTS

MassDevelopment Short Term Asset Reserve Fund

SSGA Funds Institutional Money Market Funds SSGA U.S. Treasury Money Market Fund SSGA Prime Money Market Fund

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

STANDARD CHARTERED PLC, STANDARD CHARTERED BANK STANDARD CHARTERED BANK (HONG KONG) LIMITED

Q&A: SEC Rule 2a-7 Amendments and how they relate to the Wells Fargo Advantage and Evergreen Investments Money Market Funds

Monthly Money Market Holdings Report

Annual Report. For the year ended September 30, U.S. Government Money Market Fund

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

Cavanal Hill Cash Management Fund

Merrill Lynch Retirement Plus

Asset Backed Commercial Paper Metlife Short Term Funding LLC 59157TTM5 44,000, /21/17 06/21/17 43,975, %

Invesco Money Market Fund

U.S. Fixed Income: A Refresher on Rising Rates

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

Semi-Annual Report. For the six months ended March 31, U.S. Government Money Market Fund

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

U.S.$77,500,000,000 Debt Issuance Programme

SPDR BofA Merrill Lynch Emerging Markets Corporate Bond UCITS ETF

Holdings Report Goldman Sachs USD Liquid Reserves Fund

US Dollar Liquidity Portfolio

JPMorgan Liquid Assets Money Market Fund Schedule of Portfolio Investments as of November 30, 2017 (Unaudited)

GLOBAL CAPITAL MARKETS LEAGUE TABLES

A guide to reading your deposit account statement.

FEDERATED SHORT-TERM STERLING PRIME FUND FSSPF - 1. Portfolio as of December 15, 2017 Current Net Assets -- 3,771,541,381

FEDERATED GOVERNMENT OBLIGATIONS FUND GOF - 1. Portfolio as of March 15, 2018 Current Net Assets -- $ 72,290,071,237

Annual Report December 31, 2017

Federated Government Ultrashort Duration Fund

Sterling Liquidity Portfolio

Sterling Liquidity Portfolio

Virginia State Non-Arbitrage Program SNAP Fund Portfolio

TABLE OF CONTENTS. Summary Portfolio Statistics Cash Flow Analysis Participant Cash Balances 06 Investment Fund Participants

TABLE OF CONTENTS. Summary Portfolio Statistics Cash Flow Analysis Participant Cash Balances 06 Investment Fund Participants

Sterling Liquidity Portfolio

HSBC Prime Money Market Fund

$2,000,000, Year Fixed Rate Notes, Due 2021

JPMorgan Ultra-Short Income ETF Schedule of Portfolio Investments as of May 31, (Unaudited)

- 1 - EXECUTION COPY FINAL TERMS. Date: 24 August 2018

Merrill Lynch Retirement Plus

Transcription:

Data as of May, 07 U.S. Government Agency Repurchase Agreement REPURCHASE AGREEMENT 85,789,69 85,789,69 ABN AMRO BANK NV BIVPUY 0.8 06/0/07 06/0/07 US GOVT COLL 00,000,000 00,000,000 Credit Agricole Corporate & Investment Bank S.A. BIVPU0 0.8 06/0/07 06/0/07 US GOVT COLL 00,000,000 00,000,000 Sumitomo Mitsui Banking Corp. BIVPUW5 0.8 06/0/07 06/0/07 US GOVT COLL 6.0. 6. 985,789,69 985,789,69 Repurchase Agreement 5.85 REPURCHASE AGREEMENT - OPEN 00,000,000 00,000,000 Societe Generale S.A. BIVN6JL7 0.8 06/0/07 06/07/07 US GOVT COLL.8 00,000,000 00,000,000 Repurchase Agreement - Open.8 REPURCHASE AGREEMENT - TERM 5,000,000 5,000,000 Credit Agricole Corporate & Investment Bank S.A. BIVPRGG 0.79 06/06/07 06/06/07 US GOVT COLL 75,000,000 75,000,000 ING Financial s LLC BIVMDPF9 0.8 06/5/07 06/5/07 US GOVT COLL 65,000,000 65,000,000 ING Financial s LLC BIVMUQT0 0.8 06/5/07 06/5/07 US GOVT COLL 50,000,000 50,000,000 ING Financial s LLC BIVPU79 0.96 06/0/07 07/0/07 US GOVT COLL 50,000,000 50,000,000 ING Financial s LLC BIVPU75.05 06/0/07 0/0/07 US GOVT COLL 05,000,000 05,000,000 RBC CAPITAL MARKETS LLC BIVP8Y0 0.79 06/06/07 06/06/07 US GOVT COLL 90,000,000 90,000,000 RBC CAPITAL MARKETS LLC BIVPFQU7 0.90 06/07/07 06/07/07 US GOVT COLL 75,000,000 75,000,000 RBC CAPITAL MARKETS LLC BIVMY8 0.8 06/07/07 06/07/07 US GOVT COLL 80,000,000 80,000,000 RBC CAPITAL MARKETS LLC BIVPU6Z5 0.9 06/0/07 06/07/07 US GOVT COLL 65,000,000 65,000,000 RBC CAPITAL MARKETS LLC BIVP5WS7 0.89 06/07/07 06/07/07 US GOVT COLL 0.0..0.69.5..50.0 880,000,000 880,000,000 Repurchase Agreement - Term.,65,789,69,65,789,69 U.S. Government Agency Repurchase Agreement Total.8

Data as of May, 07 U.S. Treasury Repurchase Agreement REPURCHASE AGREEMENT 500,000,000 500,000,000 BNP Paribas Securities Corp. BIVPUC9 0.86 06/0/07 06/0/07 US TREASURY COLLATERAL 7,05,66 7,05,66 CIBC World s Corp. BIVPUS 06/0/07 06/0/07 US TREASURY COLLATERAL 8.0.78 67,05,66 67,05,66 Repurchase Agreement 0.8 REPURCHASE AGREEMENT - TERM 0,000,000 0,000,000 Merrill Lynch Pierce Fenner & Smith, Inc. BIVPK79 0.8 06/0/07 06/0/07 US TREASURY COLLATERAL 0,00,650 0,00,650 Metropolitan Life Insurance Company BIVPUK0 0.85 06/07/07 06/07/07 US TREASURY COLLATERAL 75,000,000 75,000,000 Societe Generale S.A. BIVP606 06/07/07 06/07/07 US TREASURY COLLATERAL.9.5. 5,00,650 5,00,650 Repurchase Agreement - Term 6.67,088,059,76,088,059,76 U.S. Treasury Repurchase Agreement Total 7.9 AGENCY DEBENTURE,5,000,5, Federal Home Loan Bank 79FW.00 06/09/07 06/09/07 FEDERAL HOME LOAN 0.8 5,765,000 5,767,5 Federal Home Loan Bank 79DD8.00 06//07 06//07 FEDERAL HOME LOAN 0.57 7,88,00 7,88,00 Federal Home Loan Mortgage Corp. 95XJQ9.08 06/07/07 06/07/07 FEDERAL HOME LOAN 0.8 6,078,00 6,080,587 Agency Debenture.0 AGENCY DISCOUNT NOTE 50,000,000 9,998,900 Federal Home Loan Bank 85GJ9 0.6 06/0/07 06/0/07 FEDERAL HOME LOAN 6,000,000 5,995,0 Federal Home Loan Bank 85GW0 0.67 06//07 06//07 FEDERAL HOME LOAN 0.6 00,000,000 99,9,00 Federal Home Loan Bank 85GY6 0.7 06/6/07 06/6/07 FEDERAL HOME LOAN. 50,000,000 9,978,050 Federal Home Loan Bank 85HD 0.7 06//07 06//07 FEDERAL HOME LOAN 60,000,000 59,97,0 Federal Home Loan Bank 85JA5 0.8 07//07 07//07 FEDERAL HOME LOAN 0.96 50,000,000 9,889,050 Federal Home Loan Bank 85KW5 0.9 08/5/07 08/5/07 FEDERAL HOME LOAN 50,000,000 9,85,750 Federal Home Loan Bank 85MX.0 0//07 0//07 FEDERAL HOME LOAN 76,000,000 75,58,50 Agency Discount Note 7.65

Data as of May, 07 AGENCY FLOATER 0,000,000 0,000,0 Federal Farm Credit Bank EDMX7.0 06/05/07 06/05/07 FEDERAL FARM CREDIT FUNDING CORP 0,000,000 0,005,00 Federal Farm Credit Bank EGHZ.0 06/06/07 07/06/07 FEDERAL FARM CREDIT FUNDING CORP 0,000,000 0,006,0 Federal Farm Credit Bank EDQD7.0 06//07 07//07 FEDERAL FARM CREDIT FUNDING CORP 0,000,000 0,00,90 Federal Farm Credit Bank EDYR7.05 06/6/07 07/5/07 FEDERAL FARM CREDIT FUNDING CORP 0,000,000 0,005,560 Federal Farm Credit Bank EFNV5.05 06//07 08/0/07 FEDERAL FARM CREDIT FUNDING CORP,50,000,5, Federal Farm Credit Bank EDTT9.08 06/9/07 08/9/07 FEDERAL FARM CREDIT FUNDING CORP 5,000,000 5,00,005 Federal Farm Credit Bank EEWD8.0 06/0/07 0/0/07 FEDERAL FARM CREDIT FUNDING CORP 5,000,000 5,005,690 Federal Farm Credit Bank EGDY8.06 06/07/07 /07/07 FEDERAL FARM CREDIT FUNDING CORP,500,000,50, Federal Farm Credit Bank EEXN5.0 06/08/07 /08/07 FEDERAL FARM CREDIT FUNDING CORP 8,000,000 8,009,0 Federal Farm Credit Bank EEX5.06 06/7/07 /7/07 FEDERAL FARM CREDIT FUNDING CORP,75,000,88,0 Federal Farm Credit Bank EEWS5.0 06/0/07 0/0/08 FEDERAL FARM CREDIT FUNDING CORP 5,500,000 5,570,5 Federal Farm Credit Bank EEZM5.0 06/9/07 0/7/08 FEDERAL FARM CREDIT FUNDING CORP 5,000,000,987,75 Federal Farm Credit Bank EGJ 0.79 07//07 0//08 FEDERAL FARM CREDIT FUNDING CORP 8,865,000 8,899,768 Federal Farm Credit Bank EEDP.0 06/0/07 0/0/08 FEDERAL FARM CREDIT FUNDING CORP 5,000,000 5,0,65 Federal Farm Credit Bank EGGX7. 06//07 0//08 FEDERAL FARM CREDIT FUNDING CORP 9,565,000 9,576,698 Federal Farm Credit Bank EEZ5.0 06//07 0//08 FEDERAL FARM CREDIT FUNDING CORP 6,00,000 6,08,878 Federal Farm Credit Bank EFHX8.0 06/09/07 0/09/08 FEDERAL FARM CREDIT FUNDING CORP 6,765,000 6,776,5 Federal Farm Credit Bank EEZC7.0 06/6/07 0/6/08 FEDERAL FARM CREDIT FUNDING CORP,000,000,008, Federal Farm Credit Bank EGVX0.09 06/05/07 0/0/08 FEDERAL FARM CREDIT FUNDING CORP 9,500,000 9,50,095 Federal Home Loan Bank 0A9R0.00 06/5/07 08/5/07 FEDERAL HOME LOAN 0,000,000 0,0,00 Federal Home Loan Bank 0A7YH.0 06/05/07 09/05/07 FEDERAL HOME LOAN,500,000,508,55 Federal Home Loan Bank 0A7WN.09 07/7/07 0/7/07 FEDERAL HOME LOAN,500,000,5,0 Federal Home Loan Bank 0A7WH.09 07/7/07 0/7/07 FEDERAL HOME LOAN 8,00,000 8,06,6 Federal Home Loan Bank 0A7X8.08 08/0/07 /0/07 FEDERAL HOME LOAN 0. 0. 0.0 0.07 0. 0.0 0.8 0.0 0.0 0.5 0.0 0. 0.05 0.5 0. 0.8 0.8 0.

Data as of May, 07 AGENCY FLOATER 0,000,000 0,0,60 Federal Home Loan Bank 0A9Q.05 06/5/07 /5/07 FEDERAL HOME LOAN 9,00,000 9,05,69 Federal Home Loan Bank 0A8Z5.08 08/5/07 /5/07 FEDERAL HOME LOAN 5,000,000 5,005,790 Federal Home Loan Bank 0A9N9.06 06/9/07 /7/07 FEDERAL HOME LOAN 8,000,000 8,09,980 Federal Home Loan Bank 0A8F.06 06/05/07 /05/07 FEDERAL HOME LOAN,000,000,99,58 Federal Home Loan Bank 0AANC8 07//07 0//08 FEDERAL HOME LOAN 50,000,000 9,98,550 Federal Home Loan Bank 0AALT 0.8 07//07 0//08 FEDERAL HOME LOAN,000,000,00,808 Federal Home Loan Bank 0A8ZD8.0 08/08/07 0/08/08 FEDERAL HOME LOAN 0,000,000 0,07,660 Federal Home Loan Bank 0A9M.07 06/6/07 0/6/08 FEDERAL HOME LOAN 50,000,000 50,0,00 Federal Home Loan Bank 0A9DY 0.9 06/06/07 0/06/08 FEDERAL HOME LOAN,000,000,008,0 Federal Home Loan Bank 0A7G90. 06/08/07 0/08/08 FEDERAL HOME LOAN 5,000,000 5,00,50 Federal Home Loan Bank 0A9FG 0.9 06/09/07 0/09/08 FEDERAL HOME LOAN 0,000,000 0,06,00 Federal Home Loan Bank 0A9HE 0.95 06//07 0//08 FEDERAL HOME LOAN 5,000,000 5,00,550 Federal Home Loan Bank 0A9J8 0.96 06/5/07 0/5/08 FEDERAL HOME LOAN 0,000,000 0,007,50 Federal Home Loan Bank 0A9JG7 0.96 06/6/07 0/6/08 FEDERAL HOME LOAN 5,000,000,998,575 Federal Home Loan Bank 0A9MX6 0.9 06/9/07 0/9/08 FEDERAL HOME LOAN 55,000,000 55,0,50 Federal Home Loan Bank 0A9JP7 0.97 06/9/07 0/9/08 FEDERAL HOME LOAN 55,000,000 55,0,705 Federal Home Loan Bank 0A9MK 0.9 06/9/07 0/9/08 FEDERAL HOME LOAN 0,000,000 0,0,80 Federal Home Loan Bank 0A9JU6 0.97 06/6/07 0/6/08 FEDERAL HOME LOAN 60,000,000 60,06,80 Federal Home Loan Bank 0A9P 0.9 07/06/07 0/06/08 FEDERAL HOME LOAN 50,000,000 50,0,000 Federal Home Loan Bank 0A9PF 0.9 07//07 0//08 FEDERAL HOME LOAN 0,000,000 0,00,880 Federal Home Loan Bank 0A9R5 0.90 07//07 0//08 FEDERAL HOME LOAN 7,000,000 7,000,9 Federal Home Loan Bank 0A9SU6 0.89 07/0/07 0/0/08 FEDERAL HOME LOAN 0,000,000 9,999,960 Federal Home Loan Bank 0A9TN 0.88 07//07 0//08 FEDERAL HOME LOAN 80,000,000 79,97,00 Federal Home Loan Bank 0AATD0 0.8 08//07 05//08 FEDERAL HOME LOAN 0.5 0.9 0. 0.06 0.06 0.0 0. 0.0 0.0 0.88 0.88 0.8 0.96.0 0.6 0. 0.6.9

Data as of May, 07 AGENCY FLOATER 50,000,000 50,006,800 Federal Home Loan Bank 0ABL7 0.86 06/05/07 07/0/08 FEDERAL HOME LOAN 0,000,000 0,0,500 Federal Home Loan Bank 0AALR7 0.9 06//07 07//08 FEDERAL HOME LOAN 56,000,000 56,09,880 Federal Home Loan Bank 0AAPE 0.9 06//07 07//08 FEDERAL HOME LOAN 5,000,000 5,000,5 Federal Home Loan Bank 0ABS 0.86 06//07 0/0/08 FEDERAL HOME LOAN 0,000,000 0,00,880 Federal Home Loan Bank 0ABY9 0.86 06//07 0/0/08 FEDERAL HOME LOAN 8,000,000 8,997,759 Federal Home Loan Bank 0AB6D 0.85 06//07 0//08 FEDERAL HOME LOAN 7,000,000 7,000,90 Federal Home Loan Bank 0ABC6 0.90 06/6/07 0/6/08 FEDERAL HOME LOAN 50,000,000 9,988,950 Federal Home Loan Bank 0ABDK9 0.86 06/05/07 /05/08 FEDERAL HOME LOAN 8,000,000 7,997,7 Federal Home Loan Bank 0ABFB7 0.86 06/09/07 /09/08 FEDERAL HOME LOAN 5,000,000,987,60 Federal Home Loan Bank 0ABG 0.87 06/9/07 /9/08 FEDERAL HOME LOAN,000,000,00,776 Federal Home Loan Mortgage Corp. G8HY8. 06//07 07//07 FEDERAL HOME LOAN 0,000,000 0,0,80 Federal Home Loan Mortgage Corp. G9K7. 07/0/07 0/08/08 FEDERAL HOME LOAN 6,800,000 6,87,90 Federal Home Loan Mortgage Corp. G8PF0. 06/08/07 0/08/08 FEDERAL HOME LOAN 9,800,000 9,798,6 Federal Home Loan Mortgage Corp. GAUP7 0.90 07//07 07//08 FEDERAL HOME LOAN 5,000,000 5,00,70 Federal National Mortgage Association 5G0F8.0 06/0/07 07/0/07 FEDERAL NATIONAL 0,000,000 0,007,60 Federal National Mortgage Association 5G0F.00 06/6/07 08/6/07 FEDERAL NATIONAL 5,000,000 5,00,55 Federal National Mortgage Association 5G0E66.00 06/08/07 09/08/07 FEDERAL NATIONAL 5,000,000 5,00,65 Federal National Mortgage Association 5G0F57.00 06/05/07 0/05/07 FEDERAL NATIONAL,075,000,080,9 Federal National Mortgage Association 5G0L5.0 06//07 0//08 FEDERAL NATIONAL 5,800,000 5,800,000 Overseas Private Investment Corp. 6905ZZ.0 06/07/07 06/07/07 UNITED STATES OF 0,000,000 0,000,000 Overseas Private Investment Corp. 6905M87.0 06/07/07 06/07/07 UNITED STATES OF 9,08,000 9,08,000 Overseas Private Investment Corp. 6905RV 0.98 06/5/07 06/5/07 UNITED STATES OF,697,50,000,698,7,88 Agency Floater 7.8,7,58,00,7,80,85 Total 5.97 0. 0.90 0.6. 0. 0. 0.56 0.06 0. 0. 0.05 0.7 0.5

Data as of May, 07 U.S. Treasury Debt NOTES, BONDS, AND TIPS 0,000,000 0,005,70 U.S. Treasury 988X5.0 06/0/07 0/0/09 UNITED STATES OF 0,000,000 0,005,70 Notes, Bonds, and TIPs 0.6 US TREASURY BILLS 00,000,000 99,68,00 U.S. Treasury 9796LM9 0.9 08/0/07 08/0/07 UNITED STATES OF 65,000,000 6,676,70 U.S. Treasury 9796KF5 0.9 08/7/07 08/7/07 UNITED STATES OF 75,000,000 7,69,5 U.S. Treasury 9796LZ0.0 0/6/07 0/6/07 UNITED STATES OF 50,000,000 8,98,000 U.S. Treasury 9796MA.0 /0/07 /0/07 UNITED STATES OF 690,000,000 687,978,895 US Treasury Bills.09 70,000,000 77,98,65 U.S. Treasury Debt Total.7 0.6..65..0 6,,0,068 6,9,65,068 GRAND TOTAL 00.00 To access the most recent months of publicly available information filed by the fund with the Securities and Exchange Commission, please click on the following link: Form N-MFP: Premier U.S. Government Money You could lose money by investing in the Fund. Although the Fund seeks to preserve your investment at $.00 per share, it cannot guarantee it will do so. An investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund s sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time. For more information about the Premier U.S. Government Money, please contact our Global Liquidity Sales Consultants at 800 659 005, Option or visit invesco.com/us. All data provided by Invesco unless otherwise noted. s may include other unique identifiers, such as the central index key (CIK), International Securities Identification Number (ISIN) or Legal Entity Identifier (LEI) or an internal identifier, if other identifiers mentioned unavailable. Past performance is no guarantee to future results. The security coupon/yield is not an indication of fund performance. Based on Weighted Average (WAM). WAM represents the average time until maturity for securities in a portfolio, weighted in proportion to the dollar amount that is invested in the portfolio. WAM measures the sensitivity of fixed-income portfolios to interest rate changes. s with longer WAMs are more sensitive to changes in interest rates; shorter WAMs indicate less sensitivity. Based on Weighted Average Life (WAL). WAL represents a fund's sensitivity to changes in credit spreads and other spread risks. WAL differs from WAM, in the respect that it uses a security's final maturity date, whereas WAM uses a security's next interest rate reset date. WAL should always be equal to or greater than WAM. data is subject to change and may not represent current or future portfolio composition. Nor has it been audited or adjusted for certain financial statement reclassifications. An audit could potentially result in adjustments to the data. Additional attributes, if applicable, are available upon request: Short-term ratings for S&P, Moody s, Fitch Ratings and the Dominion Bond Rating Service (DBRS ), long-term ratings for S&P, Moody s and Fitch Ratings, industry and exposure to underlying asset class. NOT FDIC INSURED MAY LOSE VALUE NO BANK GUARANTEE An investor should consider the investment objectives, risks, fees and expenses carefully before investing. Please read the prospectus or other offering documents carefully before investing. For this and more complete information, contact your financial advisor or visit invesco.com/fundprospectus. invesco.com/us CM-PH-AGMF-E05 06/7 Invesco Distributors, Inc.