invesco euro liquidity portfolio ?dl[iye b gk z jo

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Maturity Schedule (%) Days to maturity 8 30 (%) 425 9.9 8.4 16.5 21.4 Portfolio Composition (%) Security Type 52 32 30 21 3 4.3 2 6 7.9 Since the share class has been recently launched the yield data is available only from March 2020 Important Information 1. The 7-day and 30-day yields represent annualised results net of management fees for the period. 2. iMoneyNet, Inc. is an independent mutual fund performance monitor. The iMoneyNet Euro Accumulating OMFR Category is an unmanaged group of money market funds with similar investment objectives and pricing structures as the Premier Accumulation Class of the Invesco Euro Liquidity Portfolio. iMoneyNet performance figures represent the category average. An investment cannot be made into the category. 3. Monthly yields represent the daily yields net of management fees averaged over the month, on an annualised basis. Management Team Please refer to page 2 for Risk Warnings and Important Information. This marketing document is for consumer use in the UK only, and exclusively for Professional Clients in Austria, France, Germany, Italy, Luxembourg, the Netherlands, Dubai, Isle of Man, Jersey and Guernsey; and in Hong Kong for Professional Investors and in Singapore for Institutional Investors/Accredited Investors only. In the United States, the document is for US Financial inter- mediary use only. This document is not for consumer use in other countries. Please do not redistribute. Glossary: WAM: Weighted average maturity is the weighted average amount of time until all securities in a Fund mature. WAL: Weighted average life is the average length of time when securities are repaid. Fund Information S&P Credit Quality Ratings (%) 665 335 1-Month Assets/Weighted Average Maturity Fund Ratings Invesco Euro Liquidity Portfolio Data as of 30 April 2021, unless otherwise stated Premier Accumulation Class Fund Objective Strategy Typical Investor 147 87 990 84 43 12 43 12 Yields as of 30 April 2021(%) 1 1 6 May 2020 Fund 3 -0.60 -0.59 -0.58 -0.56 -0.55 -0.55 -0.53 -0.48 -0.46 -0.48 Simple Monthly Yields (%) March 5 €1,147.87 2.6 Euro Medium Term Notes/Medium Term Notes -0.60 February -0.61 -0.61 April 2021 1.3 18

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Page 1: Invesco Euro Liquidity Portfolio ?dl[iYe B gk Z jo

Maturity Schedule (%)Days to maturity

8 30

(%)

42 59.98.4

16.521.4

Portfolio Composition (%)Security Type

5 23 2

3 0

21 3

4.32 6

7.9

Since the share class has been recently launched the yield data is available only from March 2020

Important Information

1. The 7-day and 30-day yields represent annualised resultsnet of management fees for the period.2. iMoneyNet, Inc. is an independent mutual fundperformance monitor. The iMoneyNet Euro AccumulatingOMFR Category is an unmanaged group of money marketfunds with similar investment objectives and pricingstructures as the Premier Accumulation Class of the Invesco Euro Liquidity Portfolio. iMoneyNet performance figures represent the category average. An investment cannot be made into the category.3. Monthly yields represent the daily yields net ofmanagement fees averaged over the month, on an annualisedbasis.

Management Team

Please refer to page 2 for Risk Warnings and Important Information. This marketing document is for consumer use in the UK only, and exclusively forProfessional Clients in Austria, France, Germany, Italy, Luxembourg, the Netherlands, Dubai, Isle of Man, Jersey and Guernsey; and in Hong Kong forProfessional Investors and in Singapore for Institutional Investors/Accredited Investors only. In the United States, the document is for US Financial inter-mediary use only. This document is not for consumer use in other countries. Please do not redistribute.

Glossary:WAM: Weighted average maturity is the weightedaverage amount of time until all securities in aFund mature.WAL: Weighted average life is the average lengthof time when securities are repaid.

Fund Information

S&P Credit Quality Ratings (%)66 533 5

1-Month Assets/Weighted Average Maturity

Fund Ratings

Invesco Euro Liquidity Portfolio

Data as of 30 April 2021, unless otherwise statedPremier Accumulation Class

Fund

Objective

Strategy

Typical Investor

147 87990 84

43 1243 12

Yields as of 30 April 2021(%) 1

16

May 2020

Fund3

-0.60

-0.59-0.58-0.56

-0.55-0.55-0.53

-0.48

-0.46

-0.48

Simple Monthly Yields (%)

March

5

€1,147.87

2.6Euro Medium Term Notes/Medium Term Notes

-0.60February

-0.61

-0.61April 2021

1.318

Page 2: Invesco Euro Liquidity Portfolio ?dl[iYe B gk Z jo

Risk Warnings:

Important Information:

Additional information for Professional Clients in Dubai, Isle of Man, Jersey and Guernsey and for consumer use in the UK:

Additional information for Hong Kong Investors:

Additional information for Singapore Investors:

Additional information for Financial Intermediaries in the United States:

Additional information for Professional Clients in Austria, France, Germany, Italy, Luxembourg, the Netherlands:

The Premier Accumulation Class of the Invesco Euro Liquidity Portfolio of Invesco Liquidity Funds is registered in Austria, France, Germany, Italy, Luxembourg and the Netherlands.

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