Schedule of Investments(a)  
November 30, 2024
(Unaudited)
 
Principal
Amount
Value
U.S. Dollar Denominated Bonds & Notes–90.34%
Advertising–0.17%
Clear Channel Outdoor Holdings, Inc.,
5.13%, 08/15/2027(b)
 
$94,000
$91,836
Interpublic Group of Cos., Inc. (The),
4.75%, 03/30/2030
 
238,000
237,090
 
 
328,926
Aerospace & Defense–1.75%
BAE Systems PLC (United Kingdom),
5.13%, 03/26/2029(b)
 
200,000
202,619
5.50%, 03/26/2054(b)
 
200,000
206,122
Boeing Co. (The),
6.30%, 05/01/2029(b)
 
71,000
73,977
6.53%, 05/01/2034(b)
 
87,000
92,550
5.93%, 05/01/2060
 
271,000
256,506
Howmet Aerospace, Inc., 4.85%,
10/15/2031
 
31,000
30,883
Huntington Ingalls Industries, Inc.,
5.35%, 01/15/2030
 
62,000
62,548
5.75%, 01/15/2035
 
139,000
141,638
L3Harris Technologies, Inc.,
5.40%, 07/31/2033
 
62,000
63,462
5.60%, 07/31/2053
 
56,000
57,352
Lockheed Martin Corp.,
4.45%, 05/15/2028
 
58,000
58,127
4.75%, 02/15/2034
 
115,000
114,261
4.80%, 08/15/2034
 
5,000
4,976
4.15%, 06/15/2053
 
51,000
42,885
4.30%, 06/15/2062
 
63,000
52,862
5.90%, 11/15/2063
 
87,000
95,562
Northrop Grumman Corp., 4.95%,
03/15/2053
 
44,000
41,498
RTX Corp.,
5.75%, 01/15/2029
 
135,000
140,767
6.00%, 03/15/2031
 
60,000
63,904
5.15%, 02/27/2033
 
201,000
203,858
6.10%, 03/15/2034
 
161,000
173,277
6.40%, 03/15/2054
 
117,000
133,651
TransDigm, Inc.,
6.75%, 08/15/2028(b)
 
216,000
220,581
6.38%, 03/01/2029(b)
 
190,000
193,334
6.88%, 12/15/2030(b)
 
90,000
92,797
7.13%, 12/01/2031(b)
 
44,000
45,790
6.63%, 03/01/2032(b)
 
324,000
332,275
6.00%, 01/15/2033(b)
 
109,000
109,084
 
 
3,307,146
Agricultural & Farm Machinery–0.31%
AGCO Corp.,
5.45%, 03/21/2027
 
29,000
29,371
5.80%, 03/21/2034
 
111,000
113,986
John Deere Capital Corp.,
4.70%, 06/10/2030
 
250,000
252,314
5.10%, 04/11/2034
 
184,000
188,527
 
 
584,198
 
Principal
Amount
Value
Agricultural Products & Services–0.03%
Cargill, Inc., 4.75%, 04/24/2033(b)
 
$64,000
$63,743
Air Freight & Logistics–0.43%
GXO Logistics, Inc.,
6.25%, 05/06/2029
 
194,000
200,877
6.50%, 05/06/2034
 
136,000
143,542
United Parcel Service, Inc.,
5.15%, 05/22/2034
 
128,000
131,040
5.50%, 05/22/2054
 
220,000
227,343
5.60%, 05/22/2064
 
102,000
105,624
 
 
808,426
Airport Services–0.20%
Mexico City Airport Trust (Mexico),
5.50%, 07/31/2047(b)
 
468,000
387,143
Apparel Retail–0.12%
Gap, Inc. (The), 3.88%,
10/01/2031(b)
 
158,000
139,108
Victoria’s Secret & Co., 4.63%,
07/15/2029(b)
 
100,000
90,529
 
 
229,637
Application Software–0.27%
Cadence Design Systems, Inc., 4.70%,
09/10/2034
 
66,000
64,827
Cloud Software Group, Inc.,
6.50%, 03/31/2029(b)
 
65,000
63,910
8.25%, 06/30/2032(b)
 
26,000
27,121
Intuit, Inc., 5.20%, 09/15/2033
 
190,000
194,609
SS&C Technologies, Inc.,
5.50%, 09/30/2027(b)
 
40,000
39,907
6.50%, 06/01/2032(b)
 
121,000
123,913
 
 
514,287
Asset Management & Custody Banks–1.56%
Affiliated Managers Group, Inc.,
5.50%, 08/20/2034
 
414,000
416,019
Ameriprise Financial, Inc.,
5.70%, 12/15/2028
 
185,000
193,003
4.50%, 05/13/2032
 
59,000
57,999
5.15%, 05/15/2033
 
231,000
235,692
Apollo Management Holdings L.P.,
4.95%, 01/14/2050(b)(c)
 
30,000
30,088
Ares Capital Corp.,
5.88%, 03/01/2029
 
4,000
4,062
5.95%, 07/15/2029
 
122,000
124,203
Bank of New York Mellon Corp. (The),
4.89%, 07/21/2028(c)
 
284,000
285,921
4.54%, 02/01/2029(c)
 
124,000
123,973
5.06%, 07/22/2032(c)
 
168,000
170,179
5.83%, 10/25/2033(c)
 
104,000
110,144
Series J, 4.97%, 04/26/2034(c)
 
105,000
105,081
BlackRock, Inc., 4.75%, 05/25/2033
 
214,000
214,341
Blackstone Secured Lending Fund,
2.13%, 02/15/2027
 
281,000
262,276
5.88%, 11/15/2027
 
146,000
149,391
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Asset Management & Custody Banks–(continued)
Carlyle Holdings II Finance LLC, 5.63%,
03/30/2043(b)
 
$29,000
$29,024
State Street Corp.,
5.68%, 11/21/2029(c)
 
241,000
250,135
6.12%, 11/21/2034(c)
 
178,000
189,944
 
 
2,951,475
Automobile Manufacturers–1.05%
Allison Transmission, Inc., 3.75%,
01/30/2031(b)
 
306,000
275,253
American Honda Finance Corp.,
4.90%, 01/10/2034
 
3,000
2,986
Ford Motor Credit Co. LLC,
6.95%, 06/10/2026
 
335,000
343,062
7.35%, 11/04/2027
 
7,000
7,386
7.20%, 06/10/2030
 
135,000
144,298
Hyundai Capital America,
5.50%, 03/30/2026(b)
 
96,000
96,757
5.60%, 03/30/2028(b)
 
6,000
6,129
5.35%, 03/19/2029(b)
 
2,000
2,034
Mercedes-Benz Finance North America LLC
(Germany),
5.00%, 01/11/2034(b)
 
150,000
148,603
5.13%, 08/01/2034(b)
 
396,000
395,500
Toyota Motor Credit Corp., 4.55%,
08/09/2029
 
3,000
2,999
Volkswagen Group of America Finance LLC
(Germany),
5.25%, 03/22/2029(b)
 
255,000
254,473
5.60%, 03/22/2034(b)
 
300,000
299,369
 
 
1,978,849
Automotive Parts & Equipment–1.20%
Cougar JV Subsidiary LLC, 8.00%,
05/15/2032(b)
 
130,000
136,518
ERAC USA Finance LLC,
4.60%, 05/01/2028(b)
 
133,000
132,936
5.00%, 02/15/2029(b)
 
121,000
122,852
4.90%, 05/01/2033(b)
 
213,000
212,172
5.20%, 10/30/2034(b)
 
213,000
216,197
NESCO Holdings II, Inc., 5.50%,
04/15/2029(b)
 
198,000
188,515
PHINIA, Inc.,
6.75%, 04/15/2029(b)
 
131,000
134,627
6.63%, 10/15/2032(b)
 
78,000
78,639
ZF North America Capital, Inc. (Germany),
6.88%, 04/14/2028(b)
 
339,000
340,783
7.13%, 04/14/2030(b)
 
318,000
316,095
6.75%, 04/23/2030(b)
 
154,000
150,474
6.88%, 04/23/2032(b)
 
247,000
237,476
 
 
2,267,284
Automotive Retail–0.61%
Advance Auto Parts, Inc., 5.95%,
03/09/2028
 
121,000
122,716
Asbury Automotive Group, Inc.,
4.63%, 11/15/2029(b)
 
71,000
67,463
AutoZone, Inc.,
4.75%, 08/01/2032
 
87,000
85,791
5.20%, 08/01/2033
 
119,000
119,883
Group 1 Automotive, Inc., 6.38%,
01/15/2030(b)
 
92,000
93,268
 
Principal
Amount
Value
Automotive Retail–(continued)
LCM Investments Holdings II LLC,
8.25%, 08/01/2031(b)
 
$130,000
$136,060
Lithia Motors, Inc., 3.88%,
06/01/2029(b)
 
201,000
186,433
O’Reilly Automotive, Inc., 5.00%,
08/19/2034
 
247,000
244,310
Velocity Vehicle Group LLC, 8.00%,
06/01/2029(b)
 
89,000
92,990
 
 
1,148,914
Biotechnology–0.65%
AbbVie, Inc.,
4.80%, 03/15/2029
 
196,000
197,772
5.35%, 03/15/2044
 
98,000
99,456
5.50%, 03/15/2064
 
189,000
192,520
Amgen, Inc.,
5.25%, 03/02/2030
 
71,000
72,610
5.75%, 03/02/2063
 
406,000
413,659
Gilead Sciences, Inc.,
5.25%, 10/15/2033
 
159,000
163,178
5.55%, 10/15/2053
 
81,000
83,870
 
 
1,223,065
Broadcasting–0.13%
AMC Networks, Inc., 10.25%,
01/15/2029(b)
 
10,000
10,642
Gray Television, Inc., 10.50%,
07/15/2029(b)
 
17,000
17,316
Paramount Global,
5.85%, 09/01/2043
 
103,000
93,835
4.95%, 05/19/2050
 
103,000
82,633
6.38%, 03/30/2062(c)
 
10,000
9,655
Sinclair Television Group, Inc., 4.13%,
12/01/2030(b)
 
12,000
9,369
Univision Communications, Inc.,
6.63%, 06/01/2027(b)
 
18,000
17,950
4.50%, 05/01/2029(b)
 
10,000
8,984
 
 
250,384
Broadline Retail–0.05%
Macy’s Retail Holdings LLC,
6.13%, 03/15/2032(b)
 
7,000
6,697
6.70%, 07/15/2034(b)
 
30,000
25,946
4.50%, 12/15/2034
 
75,000
63,524
 
 
96,167
Building Products–0.11%
Carrier Global Corp., 5.90%,
03/15/2034
 
36,000
38,113
Lennox International, Inc., 5.50%,
09/15/2028
 
163,000
167,179
 
 
205,292
Cable & Satellite–0.85%
CCO Holdings LLC/CCO Holdings Capital
Corp.,
6.38%, 09/01/2029(b)
 
66,000
66,377
7.38%, 03/01/2031(b)
 
158,000
164,065
4.50%, 05/01/2032
 
169,000
149,451
4.25%, 01/15/2034(b)
 
110,000
91,807
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Cable & Satellite–(continued)
Charter Communications Operating LLC/
Charter Communications Operating
Capital Corp.,
6.65%, 02/01/2034
 
$258,000
$272,098
5.38%, 04/01/2038
 
42,000
38,738
5.75%, 04/01/2048
 
147,000
131,510
Comcast Corp., 5.50%, 11/15/2032
 
231,000
241,450
Cox Communications, Inc., 5.80%,
12/15/2053(b)
 
184,000
177,009
EchoStar Corp.,
10.75%, 11/30/2029
 
51,000
55,213
6.75% PIK Rate, 0.00% Cash Rate,
11/30/2030(d)
 
42,000
37,962
Virgin Media Secured Finance PLC
(United Kingdom), 5.50%,
05/15/2029(b)
 
200,000
189,999
 
 
1,615,679
Cargo Ground Transportation–0.32%
Penske Truck Leasing Co. L.P./PTL Finance
Corp.,
5.75%, 05/24/2026(b)
 
30,000
30,361
5.35%, 01/12/2027(b)
 
11,000
11,114
4.40%, 07/01/2027(b)
 
32,000
31,723
5.70%, 02/01/2028(b)
 
100,000
102,606
5.55%, 05/01/2028(b)
 
144,000
147,235
Ryder System, Inc.,
4.90%, 12/01/2029
 
114,000
114,316
6.60%, 12/01/2033
 
151,000
166,285
 
 
603,640
Casinos & Gaming–0.26%
Melco Resorts Finance Ltd.
(Hong Kong), 5.38%,
12/04/2029(b)
 
200,000
183,183
Studio City Finance Ltd. (Macau),
5.00%, 01/15/2029(b)
 
200,000
181,489
Viking Cruises Ltd.,
5.88%, 09/15/2027(b)
 
42,000
41,746
9.13%, 07/15/2031(b)
 
85,000
92,083
 
 
498,501
Commercial & Residential Mortgage Finance–0.43%
Aviation Capital Group LLC,
3.50%, 11/01/2027(b)
 
28,000
26,880
6.25%, 04/15/2028(b)
 
11,000
11,419
6.75%, 10/25/2028(b)
 
213,000
225,254
Nationstar Mortgage Holdings, Inc.,
7.13%, 02/01/2032(b)
 
131,000
135,272
Nationwide Building Society (United
Kingdom), 6.56%,
10/18/2027(b)(c)
 
242,000
248,961
Radian Group, Inc., 6.20%,
05/15/2029
 
146,000
150,828
Rocket Mortgage LLC/Rocket Mortgage
Co-Issuer, Inc., 2.88%,
10/15/2026(b)
 
24,000
22,926
 
 
821,540
Commodity Chemicals–0.12%
Mativ Holdings, Inc., 8.00%,
10/01/2029(b)
 
234,000
236,224
 
Principal
Amount
Value
Communications Equipment–0.02%
Cisco Systems, Inc., 5.30%,
02/26/2054
 
$41,000
$42,059
Computer & Electronics Retail–0.13%
Dell International LLC/EMC Corp.,
6.02%, 06/15/2026
 
142,000
144,214
Leidos, Inc., 5.75%, 03/15/2033
 
98,000
101,040
 
 
245,254
Construction Machinery & Heavy Transportation Equipment–
0.23%
Cummins, Inc.,
4.90%, 02/20/2029
 
61,000
61,918
5.45%, 02/20/2054
 
142,000
145,759
Northriver Midstream Finance L.P.
(Canada), 6.75%, 07/15/2032(b)
 
225,000
230,743
 
 
438,420
Consumer Electronics–0.22%
LG Electronics, Inc. (South Korea),
5.63%, 04/24/2027(b)
 
200,000
203,084
5.63%, 04/24/2029(b)
 
200,000
205,298
 
 
408,382
Consumer Finance–0.77%
American Express Co.,
5.65%, 04/23/2027(c)
 
192,000
194,268
5.53%, 04/25/2030(c)
 
249,000
255,897
Capital One Financial Corp., 7.15%,
10/29/2027(c)
 
117,000
121,763
FirstCash, Inc., 6.88%,
03/01/2032(b)
 
380,000
387,918
Navient Corp., 5.00%, 03/15/2027
 
100,000
98,739
OneMain Finance Corp.,
6.63%, 05/15/2029
 
333,000
340,176
4.00%, 09/15/2030
 
4,000
3,598
7.13%, 11/15/2031
 
50,000
51,541
 
 
1,453,900
Consumer Staples Merchandise Retail–0.14%
Dollar General Corp.,
5.00%, 11/01/2032
 
44,000
42,791
5.50%, 11/01/2052
 
124,000
116,322
Walmart, Inc., 4.50%, 09/09/2052
 
105,000
96,798
 
 
255,911
Copper–0.01%
Freeport-McMoRan, Inc., 4.38%,
08/01/2028
 
17,000
16,699
Distillers & Vintners–0.04%
Brown-Forman Corp., 4.75%,
04/15/2033
 
37,000
36,996
Constellation Brands, Inc., 4.90%,
05/01/2033
 
31,000
30,636
 
 
67,632
Distributors–0.46%
Genuine Parts Co.,
6.50%, 11/01/2028
 
353,000
373,876
4.95%, 08/15/2029
 
253,000
253,034
6.88%, 11/01/2033
 
213,000
238,646
 
 
865,556
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Diversified Banks–15.19%
ABN AMRO Bank N.V. (Netherlands),
5.52%, 12/03/2035(b)(c)
 
$200,000
$200,675
Africa Finance Corp. (Supranational),
4.38%, 04/17/2026(b)
 
1,080,000
1,063,347
Australia and New Zealand Banking Group
Ltd. (Australia),
6.74%, 12/08/2032(b)
 
333,000
364,181
5.20%, 09/30/2035(b)(c)
 
680,000
669,077
6.75%(b)(c)(e)
 
784,000
796,389
Banco Bilbao Vizcaya Argentaria S.A.
(Spain), 9.38%(c)(e)
 
14,000
15,277
Banco Santander S.A. (Spain),
5.55%, 03/14/2028(c)
 
200,000
202,372
8.00%(c)(e)
 
190,476
196,729
9.63%(c)(e)
 
200,000
219,239
9.63%(c)(e)
 
200,000
229,932
Bank of America Corp.,
5.43%, 08/15/2035(c)
 
297,000
296,931
5.52%, 10/25/2035(c)
 
270,000
271,341
7.75%, 05/14/2038
 
650,000
788,883
2.68%, 06/19/2041(c)
 
22,000
15,970
Series AA, 6.10%(c)(e)
 
540,000
540,270
Series DD, 6.30%(c)(e)
 
164,000
166,053
Bank of Montreal (Canada),
7.70%, 05/26/2084(c)
 
456,000
475,656
7.30%, 11/26/2084(c)
 
250,000
258,643
Bank of Nova Scotia (The) (Canada),
8.63%, 10/27/2082(c)
 
429,000
458,408
8.00%, 01/27/2084(c)
 
235,000
247,712
Banque Federative du Credit Mutuel
S.A. (France), 5.19%,
02/16/2028(b)
 
341,000
344,603
BNP Paribas S.A. (France), 5.28%,
11/19/2030(b)(c)
 
300,000
301,441
BPCE S.A. (France), 5.72%,
01/18/2030(b)(c)
 
3,000
3,048
Canadian Imperial Bank of Commerce
(Canada), 6.95%, 01/28/2085(c)
 
412,000
413,391
Citigroup, Inc.,
5.50%, 09/13/2025
 
399,000
400,836
5.17%, 02/13/2030(c)
 
123,000
124,350
4.54%, 09/19/2030(c)
 
334,000
328,967
2.57%, 06/03/2031(c)
 
22,000
19,451
6.17%, 05/25/2034(c)
 
266,000
278,574
5.83%, 02/13/2035(c)
 
328,000
334,783
5.41%, 09/19/2039(c)
 
419,000
410,405
Series AA, 7.63%(c)(e)
 
206,000
218,655
Series BB, 7.20%(c)(e)
 
143,000
148,500
Series CC, 7.13%(c)(e)
 
95,000
97,973
Series DD, 7.00%(c)(e)
 
166,000
175,006
Series EE, 6.75%(c)(e)
 
520,000
519,514
Series T, 6.25%(c)(e)
 
177,000
178,895
Series V, 4.70%(c)(e)
 
102,000
101,676
Series W, 4.00%(c)(e)
 
147,000
143,901
Comerica, Inc., 5.98%,
01/30/2030(c)
 
62,000
63,327
Corporacion Financiera de Desarrollo
S.A. (Peru), 5.95%, 04/30/2029(b)
 
200,000
201,448
 
Principal
Amount
Value
Diversified Banks–(continued)
Credit Agricole S.A. (France),
5.34%, 01/10/2030(b)(c)
 
$169,000
$171,413
6.25%, 01/10/2035(b)(c)
 
27,000
27,808
6.70%(b)(c)(e)
 
585,000
564,994
Fifth Third Bancorp,
2.38%, 01/28/2025
 
43,000
42,826
1.71%, 11/01/2027(c)
 
52,000
49,123
6.34%, 07/27/2029(c)
 
30,000
31,397
4.77%, 07/28/2030(c)
 
140,000
138,846
4.34%, 04/25/2033(c)
 
73,000
69,360
HSBC Holdings PLC (United Kingdom),
5.60%, 05/17/2028(c)
 
274,000
277,979
5.29%, 11/19/2030(c)
 
290,000
292,065
7.40%, 11/13/2034(c)
 
305,000
339,532
5.87%, 11/18/2035(c)
 
243,000
244,477
6.00%(c)(e)
 
866,000
854,129
6.88%(c)(e)
 
216,000
216,747
6.95%(c)(e)
 
200,000
201,512
ING Groep N.V. (Netherlands), 5.34%,
03/19/2030(c)
 
200,000
203,117
JPMorgan Chase & Co.,
5.57%, 04/22/2028(c)
 
205,000
208,880
4.32%, 04/26/2028(c)
 
153,000
151,483
4.85%, 07/25/2028(c)
 
119,000
119,241
5.30%, 07/24/2029(c)
 
186,000
189,250
5.01%, 01/23/2030(c)
 
129,000
129,961
5.58%, 04/22/2030(c)
 
163,000
167,860
5.00%, 07/22/2030(c)
 
284,000
286,111
4.60%, 10/22/2030(c)
 
310,000
307,336
4.59%, 04/26/2033(c)
 
96,000
93,758
5.72%, 09/14/2033(c)
 
243,000
251,920
5.34%, 01/23/2035(c)
 
99,000
100,864
Series W, 5.79% (3 mo. Term SOFR
+ 1.26%), 05/15/2047(f)
 
304,000
283,190
Series NN, 6.88%(c)(e)
 
166,000
175,705
KeyBank N.A., 5.85%, 11/15/2027
 
269,000
276,704
KeyCorp,
5.91% (SOFR + 1.25%),
05/23/2025(f)
 
83,000
83,163
2.55%, 10/01/2029
 
52,000
46,684
4.79%, 06/01/2033(c)
 
60,000
57,844
Mitsubishi UFJ Financial Group, Inc. (Japan),
5.26%, 04/17/2030(c)
 
344,000
351,100
5.41%, 04/19/2034(c)
 
205,000
211,802
5.43%, 04/17/2035(c)
 
364,000
374,354
8.20%(c)(e)
 
222,000
245,431
Mizuho Financial Group, Inc. (Japan),
5.38%, 07/10/2030(c)
 
200,000
203,960
5.59%, 07/10/2035(c)
 
325,000
335,525
Morgan Stanley Bank N.A., 5.88%,
10/30/2026
 
393,000
402,367
National Securities Clearing Corp.,
5.10%, 11/21/2027(b)
 
335,000
339,939
Nordea Bank Abp (Finland),
6.30%(b)(c)(e)
 
200,000
192,464
Panama Infrastructure Receivable
Purchaser PLC (United Kingdom),
0.00%, 04/05/2032(b)(g)
 
533,000
372,314
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Diversified Banks–(continued)
PNC Financial Services Group, Inc. (The),
5.58%, 06/12/2029(c)
 
$234,000
$239,875
4.63%, 06/06/2033(c)
 
7,000
6,734
5.07%, 01/24/2034(c)
 
118,000
117,537
Royal Bank of Canada (Canada),
4.95%, 02/01/2029
 
82,000
83,067
7.50%, 05/02/2084(c)
 
414,000
431,639
Societe Generale S.A. (France),
8.13%(b)(c)(e)
 
287,000
284,311
Standard Chartered PLC (United Kingdom),
6.75%, 02/08/2028(b)(c)
 
109,000
112,925
5.01%, 10/15/2030(b)(c)
 
200,000
198,592
7.75%(b)(c)(e)
 
194,000
199,578
Sumitomo Mitsui Financial Group, Inc.
(Japan), 6.60%(c)(e)
 
165,000
170,623
Sumitomo Mitsui Trust Bank Ltd. (Japan),
5.65%, 09/14/2026(b)
 
200,000
203,432
5.20%, 03/07/2029(b)
 
206,000
210,002
5.35%, 03/07/2034(b)
 
200,000
205,373
Synovus Bank, 5.63%, 02/15/2028
 
896,000
902,088
Toronto-Dominion Bank (The) (Canada),
5.15%, 09/10/2034(c)
 
170,000
168,443
8.13%, 10/31/2082(c)
 
349,000
367,556
7.25%, 07/31/2084(c)
 
315,000
323,486
U.S. Bancorp,
5.78%, 06/12/2029(c)
 
183,000
188,731
4.97%, 07/22/2033(c)
 
92,000
90,133
UBS AG (Switzerland), 5.65%,
09/11/2028
 
243,000
251,412
Wells Fargo & Co.,
5.71%, 04/22/2028(c)
 
132,000
134,667
5.57%, 07/25/2029(c)
 
131,000
134,325
5.20%, 01/23/2030(c)
 
149,000
151,105
5.39%, 04/24/2034(c)
 
89,000
90,182
5.56%, 07/25/2034(c)
 
52,000
53,350
5.50%, 01/23/2035(c)
 
177,000
181,463
5.38%, 11/02/2043
 
663,000
647,473
6.85%(c)(e)
 
199,000
206,687
7.63%(c)(e)
 
151,000
161,204
Westpac Banking Corp. (Australia),
5.41%, 08/10/2033(c)
 
14,000
14,111
5.62%, 11/20/2035(c)
 
212,000
214,546
 
 
28,715,014
Diversified Capital Markets–0.94%
Ares Strategic Income Fund, 5.70%,
03/15/2028(b)
 
288,000
289,066
Credit Suisse Group AG (Switzerland),
4.50%(b)(c)(e)(h)(i)
 
268,000
16,080
5.25%(b)(c)(e)(h)(i)
 
248,000
14,880
UBS Group AG (Switzerland),
5.71%, 01/12/2027(b)(c)
 
256,000
258,127
4.75%, 05/12/2028(b)(c)
 
303,000
302,063
6.30%, 09/22/2034(b)(c)
 
295,000
316,597
4.38%(b)(c)(e)
 
258,000
220,375
Series 31, 7.75%(b)(c)(e)
 
346,000
362,415
 
 
1,779,603
 
Principal
Amount
Value
Diversified Chemicals–0.06%
Celanese US Holdings LLC,
6.60%, 11/15/2028
 
$29,000
$30,040
6.95%, 11/15/2033
 
35,000
37,454
Cerdia Finanz GmbH (Germany),
9.38%, 10/03/2031(b)
 
46,000
48,143
 
 
115,637
Diversified Financial Services–3.02%
AerCap Ireland Capital DAC/AerCap
Global Aviation Trust (Ireland),
6.95%, 03/10/2055(c)
 
150,000
155,596
Aircastle Ltd./Aircastle Ireland DAC,
5.75%, 10/01/2031(b)
 
155,000
159,240
Apollo Debt Solutions BDC, 6.90%,
04/13/2029(b)
 
32,000
33,312
Apollo Global Management, Inc.,
6.38%, 11/15/2033
 
164,000
181,415
5.80%, 05/21/2054
 
138,000
145,849
Avolon Holdings Funding Ltd. (Ireland),
6.38%, 05/04/2028(b)
 
249,000
258,525
5.75%, 03/01/2029(b)
 
276,000
282,598
5.75%, 11/15/2029(b)
 
180,000
184,629
BlackRock Funding, Inc.,
4.90%, 01/08/2035
 
93,000
93,937
5.35%, 01/08/2055
 
91,000
92,691
Blue Owl Technology Finance Corp. II,
6.75%, 04/04/2029(b)
 
318,000
321,018
Corebridge Financial, Inc.,
6.05%, 09/15/2033
 
184,000
194,645
5.75%, 01/15/2034
 
204,000
211,694
GGAM Finance Ltd. (Ireland), 6.88%,
04/15/2029(b)
 
90,000
92,075
Horizon Mutual Holdings, Inc., 6.20%,
11/15/2034(b)
 
806,000
814,172
Jackson Financial, Inc., 5.67%,
06/08/2032
 
17,000
17,465
Jane Street Group/JSG Finance, Inc.,
7.13%, 04/30/2031(b)
 
150,000
156,219
6.13%, 11/01/2032(b)
 
517,000
519,520
Jefferies Finance LLC/JFIN Co-Issuer
Corp., 6.63%, 10/15/2031(b)
 
178,000
179,334
Jefferson Capital Holdings LLC, 9.50%,
02/15/2029(b)
 
163,000
174,172
LPL Holdings, Inc., 5.70%,
05/20/2027
 
186,000
189,153
Macquarie Airfinance Holdings Ltd. (United
Kingdom),
6.40%, 03/26/2029(b)
 
67,000
69,336
5.15%, 03/17/2030(b)
 
190,000
187,406
6.50%, 03/26/2031(b)
 
167,000
173,731
Nuveen LLC,
5.55%, 01/15/2030(b)
 
83,000
85,628
5.85%, 04/15/2034(b)
 
143,000
148,115
OPEC Fund for International
Development (The) (Supranational),
4.50%, 01/26/2026(b)
 
345,000
344,148
Provident Funding Associates L.P./PFG
Finance Corp., 9.75%,
09/15/2029(b)
 
139,000
144,779
Scientific Games Holdings
L.P./Scientific Games US FinCo, Inc.,
6.63%, 03/01/2030(b)
 
95,000
92,534
 
 
5,702,936
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Diversified Metals & Mining–0.74%
BHP Billiton Finance (USA) Ltd. (Australia),
5.10%, 09/08/2028
 
$236,000
$240,694
5.25%, 09/08/2030
 
175,000
180,060
5.25%, 09/08/2033
 
302,000
309,985
Corporacion Nacional del Cobre de
Chile (Chile), 5.13%,
02/02/2033(b)
 
200,000
193,881
Glencore Funding LLC (Australia),
5.37%, 04/04/2029(b)
 
111,000
113,057
5.63%, 04/04/2034(b)
 
196,000
201,274
5.89%, 04/04/2054(b)
 
75,000
76,895
Hudbay Minerals, Inc. (Canada),
6.13%, 04/01/2029(b)
 
86,000
86,845
 
 
1,402,691
Diversified REITs–0.30%
CubeSmart L.P., 2.50%, 02/15/2032
 
18,000
15,342
Trust Fibra Uno (Mexico), 5.25%,
01/30/2026(b)
 
464,000
462,696
Uniti Group L.P./Uniti Group Finance,
Inc./CSL Capital LLC, 10.50%,
02/15/2028(b)
 
88,000
93,564
 
 
571,602
Diversified Support Services–0.23%
Element Fleet Management Corp.
(Canada), 6.32%, 12/04/2028(b)
 
153,000
161,279
Neptune Bidco US, Inc., 9.29%,
04/15/2029(b)
 
29,000
26,935
Ritchie Bros. Holdings, Inc. (Canada),
6.75%, 03/15/2028(b)
 
48,000
49,479
7.75%, 03/15/2031(b)
 
192,000
203,308
 
 
441,001
Drug Retail–0.96%
CK Hutchison International (23) Ltd. (United
Kingdom),
4.75%, 04/21/2028(b)
 
331,000
331,660
4.88%, 04/21/2033(b)
 
302,000
301,682
CVS Pass-Through Trust,
6.04%, 12/10/2028
 
385,568
388,582
5.77%, 01/10/2033(b)
 
779,674
784,743
 
 
1,806,667
Electric Utilities–6.76%
Alabama Power Co., 5.85%,
11/15/2033
 
43,000
45,784
American Electric Power Co., Inc.,
5.20%, 01/15/2029
 
139,000
141,380
Brookfield Infrastructure Finance ULC
(Canada), 6.75%, 03/15/2055(c)
 
186,000
188,295
California Buyer Ltd./Atlantica
Sustainable Infrastructure PLC
(Spain), 6.38%, 02/15/2032(b)
 
179,000
179,319
CenterPoint Energy Houston Electric LLC,
5.20%, 10/01/2028
 
78,000
79,735
5.05%, 03/01/2035
 
100,000
100,864
Series AJ, 4.85%, 10/01/2052
 
206,000
193,438
Chile Electricity Lux MPC II S.a.r.l.
(Chile), 5.58%, 10/20/2035(b)
 
315,000
310,590
Connecticut Light and Power Co. (The),
5.25%, 01/15/2053
 
84,000
84,994
 
Principal
Amount
Value
Electric Utilities–(continued)
Consolidated Edison Co. of New York, Inc.,
5.50%, 03/15/2034
 
$3,000
$3,134
6.15%, 11/15/2052
 
46,000
50,906
5.90%, 11/15/2053
 
124,000
133,668
Constellation Energy Generation LLC,
6.13%, 01/15/2034
 
57,000
61,233
6.50%, 10/01/2053
 
53,000
59,245
5.75%, 03/15/2054
 
147,000
150,768
Dominion Energy South Carolina, Inc.,
6.25%, 10/15/2053
 
67,000
76,274
Duke Energy Carolinas LLC, 5.35%,
01/15/2053
 
162,000
163,013
Duke Energy Corp.,
5.00%, 12/08/2027
 
55,000
55,560
4.85%, 01/05/2029
 
135,000
135,768
5.00%, 08/15/2052
 
174,000
159,956
6.45%, 09/01/2054(c)
 
120,000
122,126
Duke Energy Indiana LLC, 5.40%,
04/01/2053
 
126,000
126,978
Edison International, 7.88%,
06/15/2054(c)
 
224,000
235,292
Electricite de France S.A. (France),
6.00%, 01/22/2114(b)
 
1,455,000
1,471,271
Enel Finance America LLC (Italy),
7.10%, 10/14/2027(b)
 
204,000
216,142
Enel Finance International N.V. (Italy),
7.05%, 10/14/2025(b)
 
212,000
215,886
Entergy Corp., 7.13%, 12/01/2054(c)
 
198,000
203,572
Entergy Louisiana LLC, 5.15%,
09/15/2034
 
123,000
124,046
Entergy Texas, Inc., 5.55%,
09/15/2054
 
92,000
93,828
Evergy Metro, Inc., 4.95%,
04/15/2033
 
56,000
56,060
Eversource Energy, 5.50%,
01/01/2034
 
117,000
119,018
Exelon Corp., 5.60%, 03/15/2053
 
194,000
197,549
FirstEnergy Pennsylvania Electric Co.,
5.20%, 04/01/2028(b)
 
27,000
27,440
FirstEnergy Transmission LLC,
4.55%, 01/15/2030(b)
 
81,000
79,781
5.00%, 01/15/2035(b)
 
94,000
93,406
Georgia Power Co.,
4.65%, 05/16/2028
 
79,000
79,275
4.95%, 05/17/2033
 
90,000
90,517
Mercury Chile Holdco LLC (Chile),
6.50%, 01/24/2027(b)
 
317,000
314,744
MidAmerican Energy Co.,
5.35%, 01/15/2034
 
37,000
38,360
5.85%, 09/15/2054
 
84,000
90,457
5.30%, 02/01/2055
 
113,000
112,801
National Rural Utilities Cooperative Finance
Corp.,
4.85%, 02/07/2029
 
5,000
5,058
5.00%, 02/07/2031
 
172,000
175,550
5.80%, 01/15/2033
 
81,000
86,026
5.00%, 08/15/2034
 
207,000
207,865
7.13%, 09/15/2053(c)
 
608,000
634,704
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Electric Utilities–(continued)
NextEra Energy Capital Holdings, Inc.,
4.63%, 07/15/2027
 
$210,000
$210,706
5.00%, 07/15/2032
 
57,000
57,377
5.25%, 03/15/2034
 
217,000
219,939
5.55%, 03/15/2054
 
269,000
272,631
6.75%, 06/15/2054(c)
 
91,000
94,934
Ohio Power Co., 5.65%, 06/01/2034
 
145,000
149,859
Oklahoma Gas and Electric Co., 5.60%,
04/01/2053
 
404,000
415,458
Oncor Electric Delivery Co. LLC,
4.65%, 11/01/2029(b)
 
91,000
91,302
5.65%, 11/15/2033
 
131,000
138,187
Pacific Gas and Electric Co., 5.90%,
10/01/2054
 
82,000
84,275
PacifiCorp,
5.10%, 02/15/2029
 
141,000
143,213
5.30%, 02/15/2031
 
109,000
111,806
5.45%, 02/15/2034
 
170,000
173,746
5.80%, 01/15/2055
 
133,000
136,730
PPL Capital Funding, Inc., 5.25%,
09/01/2034
 
68,000
68,792
Public Service Co. of Colorado, 5.25%,
04/01/2053
 
90,000
88,465
Public Service Co. of New Hampshire,
5.35%, 10/01/2033
 
52,000
53,791
San Diego Gas & Electric Co.,
5.35%, 04/01/2053
 
234,000
234,235
5.55%, 04/15/2054
 
163,000
168,654
Sierra Pacific Power Co., 5.90%,
03/15/2054
 
2,000
2,112
Southern Co. (The),
5.70%, 10/15/2032
 
82,000
86,135
4.85%, 03/15/2035
 
157,000
154,292
Series B, 4.00%, 01/15/2051(c)
 
184,000
180,676
Southwestern Electric Power Co.,
5.30%, 04/01/2033
 
73,000
73,958
Tampa Electric Co., 5.00%,
07/15/2052
 
64,000
60,070
Union Electric Co.,
5.20%, 04/01/2034
 
215,000
219,536
5.13%, 03/15/2055
 
98,000
95,196
Virginia Electric & Power Co.,
5.00%, 04/01/2033
 
81,000
81,360
5.35%, 01/15/2054
 
100,000
100,482
Series C, 4.63%, 05/15/2052
 
37,000
33,140
Vistra Operations Co. LLC,
5.63%, 02/15/2027(b)
 
43,000
43,039
5.00%, 07/31/2027(b)
 
43,000
42,636
4.38%, 05/01/2029(b)
 
8,000
7,653
7.75%, 10/15/2031(b)
 
436,000
463,526
6.88%, 04/15/2032(b)
 
234,000
242,978
6.95%, 10/15/2033(b)
 
157,000
172,871
6.00%, 04/15/2034(b)
 
99,000
102,856
5.70%, 12/30/2034(b)
 
117,000
118,818
 
 
12,787,110
Electrical Components & Equipment–0.41%
EnerSys,
4.38%, 12/15/2027(b)
 
50,000
47,832
6.63%, 01/15/2032(b)
 
41,000
41,975
 
Principal
Amount
Value
Electrical Components & Equipment–(continued)
Regal Rexnord Corp.,
6.05%, 04/15/2028
 
$112,000
$115,223
6.30%, 02/15/2030
 
17,000
17,738
6.40%, 04/15/2033
 
362,000
381,736
Sensata Technologies, Inc., 3.75%,
02/15/2031(b)
 
93,000
83,358
Vertiv Group Corp., 4.13%,
11/15/2028(b)
 
94,000
89,596
 
 
777,458
Electronic Components–0.29%
Amphenol Corp.,
5.00%, 01/15/2035
 
134,000
133,980
5.38%, 11/15/2054
 
76,000
76,542
Corning, Inc., 5.45%, 11/15/2079
 
350,000
335,851
 
 
546,373
Electronic Manufacturing Services–0.11%
EMRLD Borrower L.P./Emerald
Co-Issuer, Inc., 6.63%,
12/15/2030(b)
 
178,000
180,190
Jabil, Inc., 3.00%, 01/15/2031
 
26,000
23,234
 
 
203,424
Environmental & Facilities Services–0.46%
GFL Environmental, Inc., 3.50%,
09/01/2028(b)
 
96,000
90,739
Republic Services, Inc.,
4.88%, 04/01/2029
 
5,000
5,048
5.00%, 12/15/2033
 
143,000
143,905
5.00%, 04/01/2034
 
2,000
2,009
Veralto Corp.,
5.35%, 09/18/2028
 
217,000
221,727
5.45%, 09/18/2033
 
129,000
132,267
Waste Management, Inc., 5.35%,
10/15/2054
 
179,000
182,102
Wrangler Holdco Corp. (Canada),
6.63%, 04/01/2032(b)
 
90,000
92,800
 
 
870,597
Financial Exchanges & Data–0.49%
Intercontinental Exchange, Inc.,
4.35%, 06/15/2029
 
100,000
98,923
4.60%, 03/15/2033
 
96,000
94,290
4.95%, 06/15/2052
 
143,000
135,942
5.20%, 06/15/2062
 
187,000
181,896
Moody’s Corp., 5.25%, 07/15/2044
 
186,000
184,547
Nasdaq, Inc.,
5.35%, 06/28/2028
 
49,000
50,139
5.55%, 02/15/2034
 
78,000
80,494
5.95%, 08/15/2053
 
32,000
33,833
6.10%, 06/28/2063
 
64,000
68,214
 
 
928,278
Food Retail–0.15%
Kroger Co. (The),
4.65%, 09/15/2029
 
97,000
97,271
5.65%, 09/15/2064
 
181,000
178,561
 
 
275,832
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Gas Utilities–0.25%
Atmos Energy Corp.,
5.90%, 11/15/2033
 
$72,000
$77,378
6.20%, 11/15/2053
 
55,000
62,195
5.00%, 12/15/2054
 
91,000
86,633
Piedmont Natural Gas Co., Inc.,
5.40%, 06/15/2033
 
128,000
131,296
Southern Co. Gas Capital Corp.,
5.75%, 09/15/2033
 
64,000
67,041
Southwest Gas Corp., 5.45%,
03/23/2028
 
55,000
56,200
 
 
480,743
Gold–0.05%
New Gold, Inc. (Canada), 7.50%,
07/15/2027(b)
 
87,000
88,127
Health Care Distributors–0.04%
Cardinal Health, Inc., 5.45%,
02/15/2034
 
73,000
74,295
Health Care Equipment–0.11%
Smith & Nephew PLC (United Kingdom),
5.40%, 03/20/2034
 
6,000
6,078
Stryker Corp.,
4.25%, 09/11/2029
 
58,000
57,260
4.63%, 09/11/2034
 
150,000
146,832
 
 
210,170
Health Care Facilities–0.75%
Adventist Health System, 5.76%,
12/01/2034
 
74,000
75,933
HCA, Inc.,
5.45%, 09/15/2034
 
26,000
25,983
5.90%, 06/01/2053
 
201,000
200,873
Providence St. Joseph Health Obligated
Group, Series 21-A, 2.70%,
10/01/2051
 
216,000
133,180
Select Medical Corp., 6.25%,
12/01/2032(b)
 
159,000
159,426
Tenet Healthcare Corp., 6.75%,
05/15/2031
 
266,000
272,781
Universal Health Services, Inc.,
4.63%, 10/15/2029
 
129,000
125,748
5.05%, 10/15/2034
 
227,000
217,678
UPMC,
5.04%, 05/15/2033
 
154,000
155,007
5.38%, 05/15/2043
 
53,000
53,955
 
 
1,420,564
Health Care REITs–0.26%
Alexandria Real Estate Equities, Inc.,
5.25%, 05/15/2036
 
53,000
53,166
5.63%, 05/15/2054
 
264,000
265,926
Diversified Healthcare Trust, 0.00%,
01/15/2026(b)(g)
 
139,000
130,713
MPT Operating Partnership L.P./MPT
Finance Corp., 3.50%,
03/15/2031
 
29,000
18,954
Omega Healthcare Investors, Inc.,
3.25%, 04/15/2033
 
24,000
20,627
 
 
489,386
 
Principal
Amount
Value
Health Care Services–1.01%
Catalent Pharma Solutions, Inc.,
3.50%, 04/01/2030(b)
 
$28,000
$27,590
CommonSpirit Health,
5.32%, 12/01/2034
 
235,000
239,115
5.55%, 12/01/2054
 
78,000
79,250
Community Health Systems, Inc.,
5.63%, 03/15/2027(b)
 
43,000
41,652
8.00%, 12/15/2027(b)
 
47,000
47,195
5.25%, 05/15/2030(b)
 
63,000
53,820
4.75%, 02/15/2031(b)
 
42,000
34,136
Concentra Escrow Issuer Corp.,
6.88%, 07/15/2032(b)
 
77,000
79,426
CVS Health Corp.,
5.00%, 01/30/2029
 
185,000
185,561
5.25%, 01/30/2031
 
28,000
28,077
5.30%, 06/01/2033
 
140,000
138,977
DaVita, Inc., 6.88%, 09/01/2032(b)
 
255,000
263,559
Icon Investments Six DAC,
5.81%, 05/08/2027
 
200,000
203,936
5.85%, 05/08/2029
 
210,000
215,775
Piedmont Healthcare, Inc., 2.86%,
01/01/2052
 
111,000
73,803
Quest Diagnostics, Inc., 6.40%,
11/30/2033
 
100,000
109,378
Star Parent, Inc., 9.00%,
10/01/2030(b)
 
85,000
87,869
 
 
1,909,119
Health Care Supplies–0.64%
Medline Borrower L.P.,
3.88%, 04/01/2029(b)
 
27,000
25,330
5.25%, 10/01/2029(b)
 
94,000
91,848
Medline Borrower L.P./Medline
Co-Issuer, Inc., 6.25%,
04/01/2029(b)
 
89,000
90,764
Solventum Corp.,
5.40%, 03/01/2029(b)
 
259,000
262,742
5.60%, 03/23/2034(b)
 
298,000
302,667
5.90%, 04/30/2054(b)
 
242,000
247,848
6.00%, 05/15/2064(b)
 
193,000
196,798
 
 
1,217,997
Home Improvement Retail–0.40%
Americold Realty Operating Partnership
L.P., 5.41%, 09/12/2034
 
107,000
105,538
Lowe’s Cos., Inc.,
5.63%, 04/15/2053
 
234,000
237,141
5.75%, 07/01/2053
 
35,000
36,318
5.80%, 09/15/2062
 
193,000
197,380
5.85%, 04/01/2063
 
171,000
176,316
 
 
752,693
Homebuilding–0.10%
KB Home, 4.80%, 11/15/2029
 
93,000
90,300
Taylor Morrison Communities, Inc.,
5.13%, 08/01/2030(b)
 
93,000
90,836
 
 
181,136
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Hotel & Resort REITs–0.38%
Phillips Edison Grocery Center Operating
Partnership I L.P.,
5.75%, 07/15/2034
 
$54,000
$55,505
4.95%, 01/15/2035
 
122,000
118,003
RHP Hotel Properties L.P./RHP Finance
Corp., 6.50%, 04/01/2032(b)
 
134,000
136,318
RLJ Lodging Trust L.P.,
3.75%, 07/01/2026(b)
 
48,000
46,748
4.00%, 09/15/2029(b)
 
101,000
92,285
Service Properties Trust,
5.50%, 12/15/2027
 
141,000
135,035
4.95%, 10/01/2029
 
31,000
25,309
4.38%, 02/15/2030
 
140,000
109,342
 
 
718,545
Hotels, Resorts & Cruise Lines–0.54%
Carnival Corp., 6.00%,
05/01/2029(b)
 
88,000
88,382
Choice Hotels International, Inc.,
5.85%, 08/01/2034
 
104,000
106,293
Hilton Domestic Operating Co., Inc.,
5.88%, 04/01/2029(b)
 
78,000
78,748
6.13%, 04/01/2032(b)
 
236,000
238,506
Marriott International, Inc.,
4.80%, 03/15/2030
 
133,000
132,990
5.30%, 05/15/2034
 
94,000
95,406
Royal Caribbean Cruises Ltd.,
6.25%, 03/15/2032(b)
 
63,000
64,416
6.00%, 02/01/2033(b)
 
222,000
224,929
 
 
1,029,670
Housewares & Specialties–0.09%
Newell Brands, Inc.,
6.38%, 09/15/2027
 
15,000
15,257
6.38%, 05/15/2030
 
95,000
97,005
6.63%, 05/15/2032
 
52,000
53,043
 
 
165,305
Independent Power Producers & Energy Traders–0.21%
FIEMEX Energia - Banco Actinver S.A.
Institucion de Banca Multiple
(Mexico), 7.25%, 01/31/2041(b)
 
215,000
215,086
Vistra Corp.,
7.00%(b)(c)(e)
 
92,000
92,955
Series C, 8.88%(b)(c)(e)
 
85,000
91,352
 
 
399,393
Industrial Conglomerates–0.35%
Honeywell International, Inc.,
4.25%, 01/15/2029
 
116,000
115,670
4.88%, 09/01/2029
 
182,000
185,195
4.95%, 09/01/2031
 
259,000
263,947
5.00%, 02/15/2033
 
88,000
89,604
 
 
654,416
Industrial Machinery & Supplies & Components–0.33%
Enpro, Inc., 5.75%, 10/15/2026
 
90,000
90,219
ESAB Corp., 6.25%, 04/15/2029(b)
 
90,000
91,672
Ingersoll Rand, Inc.,
5.20%, 06/15/2027
 
143,000
144,998
5.40%, 08/14/2028
 
26,000
26,610
 
Principal
Amount
Value
Industrial Machinery & Supplies & Components–(continued)
Nordson Corp.,
5.60%, 09/15/2028
 
$36,000
$37,188
5.80%, 09/15/2033
 
78,000
82,310
nVent Finance S.a.r.l. (United
Kingdom), 5.65%, 05/15/2033
 
16,000
16,376
Roller Bearing Co. of America, Inc.,
4.38%, 10/15/2029(b)
 
147,000
138,699
 
 
628,072
Industrial REITs–0.97%
LXP Industrial Trust, 6.75%,
11/15/2028
 
56,000
59,208
Prologis L.P.,
4.88%, 06/15/2028
 
113,000
114,486
4.63%, 01/15/2033
 
217,000
214,758
4.75%, 06/15/2033
 
228,000
226,214
5.13%, 01/15/2034
 
108,000
109,283
5.00%, 03/15/2034
 
361,000
361,995
5.00%, 01/31/2035
 
219,000
219,092
5.25%, 06/15/2053
 
292,000
288,196
5.25%, 03/15/2054
 
236,000
233,976
 
 
1,827,208
Insurance Brokers–0.34%
Alliant Holdings Intermediate LLC/Alliant
Holdings Co-Issuer,
6.75%, 04/15/2028(b)
 
91,000
91,961
7.00%, 01/15/2031(b)
 
45,000
45,737
Aon Corp./Aon Global Holdings PLC,
5.35%, 02/28/2033
 
50,000
51,187
AssuredPartners, Inc., 7.50%,
02/15/2032(b)
 
2,000
2,036
Marsh & McLennan Cos., Inc.,
5.40%, 09/15/2033
 
163,000
169,869
6.25%, 11/01/2052
 
56,000
63,500
5.45%, 03/15/2053
 
52,000
52,862
5.70%, 09/15/2053
 
151,000
159,680
 
 
636,832
Integrated Oil & Gas–1.07%
BP Capital Markets PLC, 6.13%(c)(e)
 
409,000
408,879
Ecopetrol S.A. (Colombia),
7.75%, 02/01/2032
 
235,000
230,883
8.88%, 01/13/2033
 
417,000
429,870
8.38%, 01/19/2036
 
156,000
153,771
Eni S.p.A. (Italy), 5.50%,
05/15/2034(b)
 
217,000
220,475
Occidental Petroleum Corp.,
5.20%, 08/01/2029
 
53,000
53,217
5.38%, 01/01/2032
 
35,000
34,849
5.55%, 10/01/2034
 
79,000
78,615
6.20%, 03/15/2040
 
305,000
312,577
4.63%, 06/15/2045
 
125,000
98,979
 
 
2,022,115
Integrated Telecommunication Services–3.25%
AT&T, Inc.,
5.40%, 02/15/2034
 
159,000
163,513
3.55%, 09/15/2055
 
2,329,000
1,656,877
British Telecommunications PLC (United
Kingdom), 4.25%,
11/23/2081(b)(c)
 
470,000
457,454
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Integrated Telecommunication Services–(continued)
Iliad Holding S.A.S. (France), 8.50%,
04/15/2031(b)
 
$454,000
$483,750
Level 3 Financing, Inc.,
10.50%, 04/15/2029(b)
 
17,000
19,104
11.00%, 11/15/2029(b)
 
25,000
28,438
10.50%, 05/15/2030(b)
 
17,000
18,742
Telecom Italia Capital S.A. (Italy),
6.38%, 11/15/2033
 
93,000
93,946
7.72%, 06/04/2038
 
38,000
40,343
Telefonica Emisiones S.A. (Spain),
7.05%, 06/20/2036
 
492,000
555,934
Verizon Communications, Inc.,
4.50%, 08/10/2033
 
1,998,000
1,931,570
3.40%, 03/22/2041
 
31,000
24,466
3.00%, 11/20/2060
 
135,000
83,733
3.70%, 03/22/2061
 
83,000
60,317
Windstream Services LLC/Windstream Escrow
Finance Corp.,
7.75%, 08/15/2028(b)
 
47,000
47,409
8.25%, 10/01/2031(b)
 
47,000
49,108
Zegona Finance PLC (United Kingdom),
8.63%, 07/15/2029(b)
 
400,000
426,000
 
 
6,140,704
Interactive Media & Services–0.98%
Baidu, Inc. (China),
3.08%, 04/07/2025
 
210,000
208,529
1.72%, 04/09/2026
 
210,000
201,661
Match Group Holdings II LLC, 3.63%,
10/01/2031(b)
 
5,000
4,342
Meta Platforms, Inc.,
4.30%, 08/15/2029
 
149,000
148,453
4.55%, 08/15/2031
 
81,000
80,904
4.75%, 08/15/2034
 
135,000
135,016
4.45%, 08/15/2052
 
261,000
233,069
5.40%, 08/15/2054
 
166,000
169,614
4.65%, 08/15/2062
 
198,000
178,855
5.75%, 05/15/2063
 
204,000
216,858
5.55%, 08/15/2064
 
276,000
285,191
 
 
1,862,492
Investment Banking & Brokerage–2.79%
Brookfield Finance, Inc. (Canada),
5.97%, 03/04/2054
 
94,000
99,831
Charles Schwab Corp. (The), Series K,
5.00%(c)(e)
 
117,000
114,717
Goldman Sachs Group, Inc. (The),
5.68% (SOFR + 0.81%),
03/09/2027(f)
 
331,000
331,450
5.78% (SOFR + 1.12%),
02/24/2028(f)
 
61,000
61,573
5.73%, 04/25/2030(c)
 
154,000
158,990
5.05%, 07/23/2030(c)
 
235,000
236,305
4.69%, 10/23/2030(c)
 
182,000
180,517
5.85%, 04/25/2035(c)
 
175,000
183,498
5.33%, 07/23/2035(c)
 
188,000
189,919
5.02%, 10/23/2035(c)
 
313,000
309,453
4.80%, 07/08/2044
 
13,000
12,184
Series T, 3.80%(c)(e)
 
13,000
12,473
Series W, 7.50%(c)(e)
 
303,000
325,096
Series X, 7.50%(c)(e)
 
344,000
360,824
 
Principal
Amount
Value
Investment Banking & Brokerage–(continued)
Series Y, 6.13%(c)(e)
 
$10,000
$10,040
Icahn Enterprises L.P./Icahn Enterprises
Finance Corp.,
10.00%, 11/15/2029(b)
 
94,000
96,523
9.00%, 06/15/2030
 
87,000
86,421
Jefferies Financial Group, Inc., 4.15%,
01/23/2030
 
30,000
28,913
Morgan Stanley,
5.12%, 02/01/2029(c)
 
80,000
80,801
5.16%, 04/20/2029(c)
 
320,000
323,510
5.45%, 07/20/2029(c)
 
68,000
69,489
6.41%, 11/01/2029(c)
 
156,000
164,847
5.17%, 01/16/2030(c)
 
64,000
64,826
5.04%, 07/19/2030(c)
 
169,000
170,270
4.65%, 10/18/2030(c)
 
269,000
266,690
5.25%, 04/21/2034(c)
 
306,000
309,095
5.42%, 07/21/2034(c)
 
157,000
159,934
5.47%, 01/18/2035(c)
 
151,000
154,276
5.83%, 04/19/2035(c)
 
155,000
162,611
5.32%, 07/19/2035(c)
 
262,000
265,914
5.95%, 01/19/2038(c)
 
68,000
69,581
5.94%, 02/07/2039(c)
 
203,000
207,933
 
 
5,268,504
Leisure Facilities–0.12%
NCL Corp. Ltd.,
5.88%, 02/15/2027(b)
 
94,000
94,169
8.13%, 01/15/2029(b)
 
43,000
45,666
Six Flags Entertainment Corp./Six Flags
Theme Parks, Inc., 6.63%,
05/01/2032(b)
 
88,000
90,248
 
 
230,083
Leisure Products–0.05%
Brunswick Corp., 5.85%,
03/18/2029
 
95,000
97,522
Life & Health Insurance–3.28%
AIA Group Ltd. (Hong Kong),
5.38%, 04/05/2034(b)
 
200,000
204,678
4.95%, 03/30/2035(b)
 
210,000
207,751
5.40%, 09/30/2054(b)
 
200,000
197,354
American National Group, Inc., 5.00%,
06/15/2027
 
143,000
142,666
Athene Global Funding, 5.58%,
01/09/2029(b)
 
247,000
252,102
Athene Holding Ltd.,
6.15%, 04/03/2030
 
28,000
29,492
6.25%, 04/01/2054
 
133,000
140,123
Corebridge Global Funding,
6.05% (SOFR + 1.30%),
09/25/2026(b)(f)
 
357,000
360,511
5.90%, 09/19/2028(b)
 
134,000
139,005
5.20%, 01/12/2029(b)
 
222,000
225,201
5.20%, 06/24/2029(b)
 
215,000
217,895
Delaware Life Global Funding,
Series 21-1, 2.66%,
06/29/2026(b)
 
1,080,000
1,040,298
F&G Annuities & Life, Inc., 7.40%,
01/13/2028
 
190,000
199,572
GA Global Funding Trust, 5.50%,
01/08/2029(b)
 
152,000
155,129
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Life & Health Insurance–(continued)
MAG Mutual Holding Co., 4.75%,
04/30/2041(b)(i)
 
$1,039,000
$940,991
MetLife, Inc.,
5.00%, 07/15/2052
 
59,000
56,445
5.25%, 01/15/2054
 
293,000
290,932
New York Life Global Funding, 4.55%,
01/28/2033(b)
 
184,000
180,437
Nippon Life Insurance Co. (Japan),
5.95%, 04/16/2054(b)(c)
 
281,000
288,932
Pacific Life Global Funding II,
5.55% (SOFR + 0.80%),
03/30/2025(b)(f)
 
233,000
233,330
5.29% (SOFR + 0.62%),
06/04/2026(b)(f)
 
92,000
92,148
Pricoa Global Funding I, 4.65%,
08/27/2031(b)
 
150,000
148,342
Sammons Financial Group, Inc.,
4.75%, 04/08/2032(b)
 
24,000
22,417
Sumitomo Life Insurance Co. (Japan),
5.88%(b)(c)(e)
 
443,000
444,838
 
 
6,210,589
Managed Health Care–0.48%
Humana, Inc., 5.75%, 12/01/2028
 
76,000
78,273
UnitedHealth Group, Inc.,
4.25%, 01/15/2029
 
84,000
83,277
5.30%, 02/15/2030
 
299,000
308,481
5.35%, 02/15/2033
 
253,000
261,887
4.50%, 04/15/2033
 
30,000
29,287
5.63%, 07/15/2054
 
85,000
88,248
5.20%, 04/15/2063
 
66,000
63,544
 
 
912,997
Marine Transportation–0.39%
A.P. Moller - Maersk A/S (Denmark),
5.88%, 09/14/2033(b)
 
115,000
121,111
Stena International S.A. (Sweden),
7.25%, 01/15/2031(b)
 
100,000
103,451
7.63%, 02/15/2031(b)
 
494,000
515,898
 
 
740,460
Metal, Glass & Plastic Containers–0.06%
Clydesdale Acquisition Holdings, Inc.,
6.63%, 04/15/2029(b)
 
75,000
75,444
OI European Group B.V., 4.75%,
02/15/2030(b)
 
45,000
41,088
 
 
116,532
Mortgage REITs–0.01%
Blackstone Mortgage Trust, Inc.,
7.75%, 12/01/2029(b)
 
17,000
17,293
Movies & Entertainment–0.07%
Lions Gate Capital Holdings 1, Inc.,
5.50%, 04/15/2029(b)
 
103,000
91,126
Netflix, Inc., 5.40%, 08/15/2054
 
33,000
33,776
Warnermedia Holdings, Inc., 4.28%,
03/15/2032
 
17,000
15,347
 
 
140,249
 
Principal
Amount
Value
Multi-Family Residential REITs–0.29%
AvalonBay Communities, Inc.,
5.00%, 02/15/2033
 
$41,000
$41,377
5.30%, 12/07/2033
 
164,000
168,053
Mid-America Apartments L.P., 5.30%,
02/15/2032
 
263,000
269,928
UDR, Inc., 5.13%, 09/01/2034
 
63,000
62,610
 
 
541,968
Multi-line Insurance–0.25%
Acrisure LLC/Acrisure Finance, Inc.,
7.50%, 11/06/2030(b)
 
90,000
91,902
Allianz SE (Germany), 3.50%(b)(c)(e)
 
400,000
385,060
 
 
476,962
Multi-Utilities–2.11%
Ameren Illinois Co., 4.95%,
06/01/2033
 
88,000
88,708
Black Hills Corp., 6.15%,
05/15/2034
 
241,000
257,668
CenterPoint Energy, Inc., 6.70%,
05/15/2055(c)
 
318,000
319,058
Dominion Energy, Inc.,
5.38%, 11/15/2032
 
277,000
284,168
6.63%, 05/15/2055(c)
 
148,000
152,011
Series B, 7.00%, 06/01/2054(c)
 
153,000
162,523
Series A, 6.88%, 02/01/2055(c)
 
119,000
125,483
DTE Electric Co., 5.20%, 03/01/2034
 
86,000
87,986
DTE Energy Co.,
4.95%, 07/01/2027
 
98,000
98,662
5.85%, 06/01/2034
 
59,000
62,049
ENGIE S.A. (France),
5.25%, 04/10/2029(b)
 
205,000
209,061
5.63%, 04/10/2034(b)
 
200,000
205,660
5.88%, 04/10/2054(b)
 
205,000
209,859
NiSource, Inc.,
5.25%, 03/30/2028
 
31,000
31,559
5.35%, 04/01/2034
 
146,000
148,615
6.95%, 11/30/2054(c)
 
93,000
95,369
6.38%, 03/31/2055(c)
 
104,000
104,691
Public Service Enterprise Group, Inc.,
5.88%, 10/15/2028
 
237,000
247,076
6.13%, 10/15/2033
 
158,000
169,079
Sempra,
6.40%, 10/01/2054(c)
 
219,000
219,727
6.88%, 10/01/2054(c)
 
200,000
204,941
6.55%, 04/01/2055(c)
 
240,000
241,236
6.63%, 04/01/2055(c)
 
173,000
174,519
WEC Energy Group, Inc., 4.75%,
01/15/2028
 
91,000
91,653
 
 
3,991,361
Office REITs–0.86%
Boston Properties L.P., 5.75%,
01/15/2035
 
364,000
365,375
Brandywine Operating Partnership L.P.,
8.30%, 03/15/2028
 
320,000
337,990
8.88%, 04/12/2029
 
190,000
205,334
Cousins Properties L.P., 5.88%,
10/01/2034
 
149,000
152,129
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Office REITs–(continued)
Office Properties Income Trust,
9.00%, 03/31/2029(b)
 
$98,000
$96,775
9.00%, 09/30/2029(b)
 
525,000
459,373
 
 
1,616,976
Oil & Gas Drilling–0.25%
Delek Logistics Partners L.P./Delek
Logistics Finance Corp., 7.13%,
06/01/2028(b)
 
93,000
93,550
Patterson-UTI Energy, Inc., 7.15%,
10/01/2033
 
85,000
91,139
Summit Midstream Holdings LLC,
8.63%, 10/31/2029(b)
 
89,000
93,195
Transocean, Inc., 8.75%,
02/15/2030(b)
 
106,250
110,765
Valaris Ltd., 8.38%, 04/30/2030(b)
 
86,000
87,649
 
 
476,298
Oil & Gas Exploration & Production–0.95%
Aethon United BR L.P./Aethon United
Finance Corp., 7.50%,
10/01/2029(b)
 
260,000
269,837
ConocoPhillips Co., 5.70%,
09/15/2063
 
69,000
70,960
Diamondback Energy, Inc.,
5.15%, 01/30/2030
 
128,000
129,578
5.90%, 04/18/2064
 
71,000
70,843
Expand Energy Corp., 5.38%,
03/15/2030
 
81,000
80,469
Hilcorp Energy I L.P./Hilcorp Finance Co.,
6.25%, 04/15/2032(b)
 
26,000
24,747
8.38%, 11/01/2033(b)
 
42,000
44,402
6.88%, 05/15/2034(b)
 
173,000
167,840
7.25%, 02/15/2035(b)
 
400,000
391,853
Transocean Titan Financing Ltd.,
8.38%, 02/01/2028(b)
 
285,000
293,594
Uzbekneftegaz JSC (Uzbekistan),
4.75%, 11/16/2028(b)
 
278,000
245,641
 
 
1,789,764
Oil & Gas Refining & Marketing–0.38%
CVR Energy, Inc., 8.50%,
01/15/2029(b)
 
173,000
170,146
Empresa Nacional del Petroleo (Chile),
5.95%, 07/30/2034(b)
 
210,000
211,955
Phillips 66 Co., 5.30%, 06/30/2033
 
149,000
150,961
Raizen Fuels Finance S.A. (Brazil),
5.70%, 01/17/2035(b)
 
200,000
192,618
 
 
725,680
Oil & Gas Storage & Transportation–5.12%
Antero Midstream Partners L.P./Antero
Midstream Finance Corp., 6.63%,
02/01/2032(b)
 
201,000
204,782
Columbia Pipelines Operating Co. LLC,
5.70%, 10/01/2054(b)
 
184,000
183,756
Eastern Energy Gas Holdings LLC,
5.65%, 10/15/2054
 
83,000
82,861
El Paso Natural Gas Co. LLC, 8.38%,
06/15/2032
 
62,000
74,400
 
Principal
Amount
Value
Oil & Gas Storage & Transportation–(continued)
Enbridge, Inc. (Canada),
5.70%, 03/08/2033
 
$153,000
$158,772
7.38%, 01/15/2083(c)
 
201,000
205,560
7.63%, 01/15/2083(c)
 
161,000
170,148
Series NC5, 8.25%, 01/15/2084(c)
 
168,000
178,161
Energy Transfer L.P.,
5.55%, 02/15/2028
 
30,000
30,728
6.40%, 12/01/2030
 
33,000
35,263
5.75%, 02/15/2033
 
99,000
101,735
6.55%, 12/01/2033
 
46,000
49,862
5.55%, 05/15/2034
 
122,000
124,008
5.00%, 05/15/2050
 
140,000
125,004
5.95%, 05/15/2054
 
168,000
169,730
8.00%, 05/15/2054(c)
 
148,000
157,522
6.05%, 09/01/2054
 
250,000
257,595
7.13%, 10/01/2054(c)
 
450,000
458,489
Enterprise Products Operating LLC,
5.35%, 01/31/2033
 
17,000
17,539
4.20%, 01/31/2050
 
146,000
123,825
Series D,
6.88%, 03/01/2033
 
42,000
47,479
7.73% (3 mo. Term SOFR +
3.25%), 08/16/2077(f)
 
148,000
147,274
Genesis Energy L.P./Genesis Energy Finance
Corp.,
8.00%, 01/15/2027
 
35,000
35,771
7.75%, 02/01/2028
 
50,000
50,644
8.88%, 04/15/2030
 
56,000
58,402
7.88%, 05/15/2032
 
122,000
123,061
GreenSaif Pipelines Bidco S.a.r.l. (Saudi
Arabia),
5.85%, 02/23/2036(b)
 
205,000
205,729
6.13%, 02/23/2038(b)
 
200,000
204,847
6.51%, 02/23/2042(b)
 
200,000
209,066
6.10%, 08/23/2042(b)
 
200,000
201,025
Howard Midstream Energy
Partners LLC, 7.38%,
07/15/2032(b)
 
178,000
183,571
Kinder Morgan, Inc.,
7.80%, 08/01/2031
 
96,000
110,652
5.20%, 06/01/2033
 
7,000
7,000
MPLX L.P.,
4.80%, 02/15/2029
 
134,000
134,069
4.70%, 04/15/2048
 
160,000
138,292
5.50%, 02/15/2049
 
209,000
202,144
4.95%, 03/14/2052
 
222,000
197,678
5.65%, 03/01/2053
 
30,000
29,557
New Fortress Energy, Inc., 6.50%,
09/30/2026(b)
 
31,000
28,945
NGL Energy Operating LLC/NGL Energy
Finance Corp.,
8.13%, 02/15/2029(b)
 
43,000
44,077
8.38%, 02/15/2032(b)
 
246,000
251,981
Northern Natural Gas Co.,
3.40%, 10/16/2051(b)
 
32,000
22,462
5.63%, 02/01/2054(b)
 
48,000
48,810
ONEOK Partners L.P., 6.85%,
10/15/2037
 
158,000
176,013
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Oil & Gas Storage & Transportation–(continued)
ONEOK, Inc.,
5.65%, 11/01/2028
 
$41,000
$42,293
4.40%, 10/15/2029
 
187,000
183,779
5.80%, 11/01/2030
 
30,000
31,299
6.35%, 01/15/2031
 
225,000
241,023
6.10%, 11/15/2032
 
69,000
73,047
6.05%, 09/01/2033
 
161,000
169,664
6.63%, 09/01/2053
 
234,000
260,257
Plains All American Pipeline L.P./PAA
Finance Corp., 3.55%,
12/15/2029
 
26,000
24,461
Prairie Acquiror L.P., 9.00%,
08/01/2029(b)
 
134,000
139,081
South Bow Canadian Infrastructure Holdings
Ltd. (Canada),
7.50%, 03/01/2055(b)(c)
 
100,000
104,740
7.63%, 03/01/2055(b)(c)
 
177,000
183,246
South Bow USA Infrastructure Holdings LLC
(Canada),
5.58%, 10/01/2034(b)
 
58,000
58,011
6.18%, 10/01/2054(b)
 
123,000
124,689
Tallgrass Energy Partners
L.P./Tallgrass Energy Finance Corp.,
7.38%, 02/15/2029(b)
 
377,000
383,975
Targa Resources Corp.,
5.20%, 07/01/2027
 
124,000
125,600
5.50%, 02/15/2035
 
69,000
70,046
6.25%, 07/01/2052
 
147,000
155,873
Venture Global LNG, Inc.,
9.50%, 02/01/2029(b)
 
228,000
254,840
7.00%, 01/15/2030(b)
 
44,000
45,031
9.88%, 02/01/2032(b)
 
369,000
410,567
9.00%(b)(c)(e)
 
126,000
130,656
Western Midstream Operating L.P.,
6.15%, 04/01/2033
 
119,000
123,789
5.45%, 11/15/2034
 
71,000
70,474
Williams Cos., Inc. (The),
5.30%, 08/15/2028
 
247,000
251,842
4.80%, 11/15/2029
 
139,000
138,905
4.65%, 08/15/2032
 
16,000
15,577
5.65%, 03/15/2033
 
16,000
16,516
5.80%, 11/15/2054
 
79,000
81,707
 
 
9,679,277
Other Specialized REITs–0.05%
Iron Mountain, Inc.,
4.50%, 02/15/2031(b)
 
50,000
46,612
5.63%, 07/15/2032(b)
 
47,000
45,981
 
 
92,593
Other Specialty Retail–0.25%
Bath & Body Works, Inc.,
6.88%, 11/01/2035
 
89,000
93,151
6.75%, 07/01/2036
 
92,000
95,539
PetSmart, Inc./PetSmart Finance Corp.,
4.75%, 02/15/2028(b)
 
250,000
238,959
Tractor Supply Co., 5.25%,
05/15/2033
 
47,000
47,675
 
 
475,324
 
Principal
Amount
Value
Packaged Foods & Meats–0.27%
J.M. Smucker Co. (The), 6.20%,
11/15/2033
 
$77,000
$82,736
McCormick & Co., Inc., 4.70%,
10/15/2034
 
109,000
105,587
Minerva (Luxembourg) S.A. (Brazil),
8.88%, 09/13/2033(b)
 
205,000
216,451
The Campbell’s Company,
5.20%, 03/21/2029
 
2,000
2,035
5.25%, 10/13/2054
 
108,000
104,271
 
 
511,080
Paper & Plastic Packaging Products & Materials–0.38%
Graphic Packaging International LLC,
6.38%, 07/15/2032(b)
 
213,000
217,229
LABL, Inc.,
5.88%, 11/01/2028(b)
 
34,000
30,437
8.63%, 10/01/2031(b)
 
46,000
43,411
Owens-Brockway Glass Container, Inc.,
7.25%, 05/15/2031(b)
 
47,000
46,882
Smurfit Kappa Treasury Unlimited Co.
(Ireland),
5.20%, 01/15/2030(b)
 
139,000
141,013
5.44%, 04/03/2034(b)
 
128,000
130,871
5.78%, 04/03/2054(b)
 
103,000
106,947
 
 
716,790
Paper Products–0.00%
Magnera Corp., 7.25%,
11/15/2031(b)
 
5,000
4,933
Passenger Airlines–1.33%
American Airlines Pass-Through Trust,
Series 2021-1, Class B, 3.95%,
07/11/2030
 
139,400
129,872
Series 2021-1, Class A, 2.88%,
07/11/2034
 
135,699
119,609
American Airlines, Inc./AAdvantage
Loyalty IP Ltd., 5.75%,
04/20/2029(b)
 
364,000
363,721
AS Mileage Plan IP Ltd.,
5.02%, 10/20/2029(b)
 
122,000
119,267
5.31%, 10/20/2031(b)
 
140,000
137,252
British Airways Pass-Through Trust
(United Kingdom), Series 2021-1,
Class A, 2.90%, 03/15/2035(b)
 
98,424
88,829
Delta Air Lines, Inc./SkyMiles IP Ltd.,
4.50%, 10/20/2025(b)
 
71,604
71,253
4.75%, 10/20/2028(b)
 
308,319
306,323
United Airlines Pass-Through Trust,
Series 2016-1, Class B, 3.65%,
01/07/2026
 
176,428
172,615
Series 2020-1, Class A, 5.88%,
10/15/2027
 
141,939
145,500
Series 2018-1, Class AA, 3.50%,
03/01/2030
 
161,876
153,115
Series 2019-1, Class A, 4.55%,
08/25/2031
 
141,139
128,843
Series 2019-1, Class AA, 4.15%,
08/25/2031
 
219,188
212,278
Series 24-A, 5.88%, 02/15/2037
 
179,000
187,229
Series AA, 5.45%, 02/15/2037
 
167,000
171,577
 
 
2,507,283
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Passenger Ground Transportation–0.22%
Uber Technologies, Inc.,
4.30%, 01/15/2030
 
$176,000
$172,313
4.80%, 09/15/2034
 
111,000
108,726
5.35%, 09/15/2054
 
146,000
142,515
 
 
423,554
Personal Care Products–0.30%
Kenvue, Inc.,
5.05%, 03/22/2028
 
75,000
76,581
5.00%, 03/22/2030
 
152,000
155,469
4.90%, 03/22/2033
 
183,000
184,274
5.10%, 03/22/2043
 
78,000
77,802
5.20%, 03/22/2063
 
74,000
72,718
 
 
566,844
Pharmaceuticals–1.21%
AstraZeneca Finance LLC (United
Kingdom), 4.90%, 02/26/2031
 
187,000
189,798
Bausch Health Cos., Inc.,
5.50%, 11/01/2025(b)
 
46,000
45,032
11.00%, 09/30/2028(b)
 
49,000
48,061
Bristol-Myers Squibb Co.,
4.90%, 02/22/2029
 
49,000
49,715
5.90%, 11/15/2033
 
119,000
127,841
6.25%, 11/15/2053
 
74,000
83,063
6.40%, 11/15/2063
 
114,000
129,706
Eli Lilly and Co.,
5.00%, 02/09/2054
 
2,000
1,949
5.05%, 08/14/2054
 
246,000
241,932
5.10%, 02/09/2064
 
151,000
146,865
5.20%, 08/14/2064
 
67,000
66,159
Endo Finance Holdings, Inc., 8.50%,
04/15/2031(b)
 
86,000
91,648
HLF Financing S.a.r.l. LLC/Herbalife
International, Inc., 12.25%,
04/15/2029(b)
 
9,000
9,498
Merck & Co., Inc.,
5.00%, 05/17/2053
 
80,000
77,164
5.15%, 05/17/2063
 
45,000
43,677
Novartis Capital Corp. (Switzerland),
3.80%, 09/18/2029
 
135,000
131,380
4.00%, 09/18/2031
 
159,000
153,871
4.20%, 09/18/2034
 
163,000
155,913
4.70%, 09/18/2054
 
120,000
112,369
Pfizer Investment Enterprises Pte. Ltd.,
4.45%, 05/19/2028
 
208,000
207,579
4.75%, 05/19/2033
 
169,000
167,284
 
 
2,280,504
Precious Metals & Minerals–0.11%
Anglo American Capital PLC (South
Africa), 5.75%, 04/05/2034(b)
 
200,000
206,067
Property & Casualty Insurance–0.35%
Fairfax Financial Holdings Ltd. (Canada),
6.35%, 03/22/2054
 
143,000
152,559
6.10%, 03/15/2055(b)
 
304,000
315,623
Markel Group, Inc., 6.00%(c)(e)
 
115,000
115,129
Travelers Cos., Inc. (The), 5.45%,
05/25/2053
 
69,000
71,530
 
 
654,841
 
Principal
Amount
Value
Rail Transportation–0.61%
Burlington Northern Santa Fe LLC,
5.20%, 04/15/2054
 
$202,000
$201,853
CSX Corp., 4.90%, 03/15/2055
 
94,000
88,619
Norfolk Southern Corp.,
5.05%, 08/01/2030
 
32,000
32,648
5.55%, 03/15/2034
 
91,000
94,898
5.35%, 08/01/2054
 
94,000
94,044
5.95%, 03/15/2064
 
131,000
141,228
TTX Co., 5.05%, 11/15/2034(b)
 
277,000
279,276
Union Pacific Corp., 5.15%,
01/20/2063
 
230,000
224,681
 
 
1,157,247
Real Estate Development–0.57%
Greystar Real Estate Partners LLC,
7.75%, 09/01/2030(b)
 
84,000
88,989
Piedmont Operating Partnership L.P.,
9.25%, 07/20/2028
 
694,000
766,326
6.88%, 07/15/2029
 
212,000
218,753
 
 
1,074,068
Real Estate Services–0.05%
Cushman & Wakefield U.S. Borrower
LLC, 8.88%, 09/01/2031(b)
 
85,000
91,882
Regional Banks–0.75%
Citizens Financial Group, Inc.,
3.25%, 04/30/2030
 
20,000
18,348
5.64%, 05/21/2037(c)
 
150,000
147,754
Huntington Bancshares, Inc., 4.44%,
08/04/2028(c)
 
65,000
64,378
Regions Financial Corp., 5.72%,
06/06/2030(c)
 
182,000
186,421
Synovus Financial Corp., 6.17%,
11/01/2030(c)
 
102,000
103,881
Truist Financial Corp.,
6.05%, 06/08/2027(c)
 
136,000
138,441
7.16%, 10/30/2029(c)
 
155,000
166,838
5.44%, 01/24/2030(c)
 
32,000
32,565
4.92%, 07/28/2033(c)
 
27,000
26,080
6.12%, 10/28/2033(c)
 
113,000
119,742
5.87%, 06/08/2034(c)
 
151,000
157,396
Zions Bancorporation N.A., 6.82%,
11/19/2035(c)
 
253,000
260,615
 
 
1,422,459
Reinsurance–0.92%
Global Atlantic (Fin) Co.,
4.40%, 10/15/2029(b)
 
526,000
504,349
3.13%, 06/15/2031(b)
 
15,000
13,116
4.70%, 10/15/2051(b)(c)
 
407,000
391,571
6.75%, 03/15/2054(b)
 
279,000
294,849
7.95%, 10/15/2054(b)(c)
 
117,000
122,947
Swiss Re Subordinated Finance PLC
(United Kingdom), 5.70%,
04/05/2035(b)(c)
 
400,000
406,320
 
 
1,733,152
Renewable Electricity–0.02%
Idaho Power Co., 5.20%,
08/15/2034
 
40,000
40,731
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Research & Consulting Services–0.05%
Dun & Bradstreet Corp. (The), 5.00%,
12/15/2029(b)
 
$94,000
$91,270
Restaurants–0.30%
1011778 BC ULC/New Red Finance,
Inc. (Canada), 5.63%,
09/15/2029(b)
 
220,000
220,411
McDonald’s Corp., 5.45%,
08/14/2053
 
118,000
118,532
Raising Cane’s Restaurants LLC,
9.38%, 05/01/2029(b)
 
123,000
132,390
Yum! Brands, Inc., 5.38%,
04/01/2032
 
93,000
91,338
 
 
562,671
Retail REITs–0.82%
Agree L.P., 5.63%, 06/15/2034
 
86,000
88,246
Brixmor Operating Partnership L.P.,
5.75%, 02/15/2035
 
64,000
66,254
Kimco Realty OP LLC,
2.25%, 12/01/2031
 
13,000
11,003
4.85%, 03/01/2035
 
149,000
145,646
Kite Realty Group L.P.,
4.95%, 12/15/2031
 
105,000
104,069
5.50%, 03/01/2034
 
36,000
36,567
Kite Realty Group Trust, 4.75%,
09/15/2030
 
109,000
107,995
NNN REIT, Inc.,
5.60%, 10/15/2033
 
64,000
65,981
5.50%, 06/15/2034
 
87,000
88,942
Realty Income Corp.,
4.85%, 03/15/2030
 
31,000
31,173
5.63%, 10/13/2032
 
109,000
113,835
5.38%, 09/01/2054
 
46,000
45,811
Regency Centers L.P.,
4.13%, 03/15/2028
 
127,000
124,859
5.25%, 01/15/2034
 
90,000
91,353
5.10%, 01/15/2035
 
67,000
66,853
Simon Property Group L.P., 4.75%,
09/26/2034
 
367,000
357,075
 
 
1,545,662
Security & Alarm Services–0.05%
Brink’s Co. (The), 6.75%,
06/15/2032(b)
 
90,000
91,911
Self-Storage REITs–0.35%
Extra Space Storage L.P.,
5.70%, 04/01/2028
 
46,000
47,433
2.55%, 06/01/2031
 
26,000
22,513
5.40%, 02/01/2034
 
175,000
177,147
Goodman US Finance Six LLC
(Australia), 5.13%, 10/07/2034(b)
 
49,000
48,555
Public Storage Operating Co.,
5.13%, 01/15/2029
 
27,000
27,637
5.10%, 08/01/2033
 
185,000
188,129
5.35%, 08/01/2053
 
157,000
158,111
 
 
669,525
Semiconductors–0.79%
Broadcom, Inc., 4.30%, 11/15/2032
 
182,000
174,672
 
Principal
Amount
Value
Semiconductors–(continued)
Foundry JV Holdco LLC,
6.15%, 01/25/2032(b)
 
$250,000
$256,387
5.88%, 01/25/2034(b)
 
451,000
453,482
6.25%, 01/25/2035(b)
 
333,000
344,311
Micron Technology, Inc.,
4.98%, 02/06/2026
 
121,000
121,172
5.30%, 01/15/2031
 
112,000
113,569
2.70%, 04/15/2032
 
30,000
25,652
Skyworks Solutions, Inc., 3.00%,
06/01/2031
 
13,000
11,320
 
 
1,500,565
Single-Family Residential REITs–0.29%
American Homes 4 Rent L.P., 5.50%,
07/15/2034
 
206,000
208,987
Ashton Woods USA LLC/Ashton Woods
Finance Co., 6.63%,
01/15/2028(b)
 
85,000
85,884
Invitation Homes Operating Partnership L.P.,
2.30%, 11/15/2028
 
11,000
10,042
4.88%, 02/01/2035
 
241,000
234,582
 
 
539,495
Soft Drinks & Non-alcoholic Beverages–0.16%
Coca-Cola Co. (The), 5.40%,
05/13/2064
 
294,000
299,826
Sovereign Debt–1.13%
Banque Ouest Africaine de
Developpement (Supranational),
5.00%, 07/27/2027(b)
 
200,000
194,908
Brazilian Government International Bond
(Brazil),
6.13%, 01/22/2032
 
173,000
173,357
6.13%, 03/15/2034
 
76,000
74,893
Colombia Government International
Bond (Colombia), 7.50%,
02/02/2034
 
215,000
216,445
Costa Rica Government International
Bond (Costa Rica), 7.30%,
11/13/2054(b)
 
255,000
270,236
Guatemala Government Bond
(Guatemala), 6.05%,
08/06/2031(b)
 
200,000
198,500
Peruvian Government International
Bond (Peru), 5.38%, 02/08/2035
 
84,000
83,272
Romanian Government International Bond
(Romania),
6.63%, 02/17/2028(b)
 
190,000
194,560
5.88%, 01/30/2029(b)
 
124,000
123,094
7.13%, 01/17/2033(b)
 
150,000
155,659
5.75%, 03/24/2035(b)
 
220,000
203,365
Trinidad & Tobago Government
International Bond (Trinidad),
6.40%, 06/26/2034(b)
 
255,000
250,378
 
 
2,138,667
Specialized Consumer Services–0.10%
Carriage Services, Inc., 4.25%,
05/15/2029(b)
 
200,000
184,920
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 
Principal
Amount
Value
Specialized Finance–0.49%
Blackstone Private Credit Fund,
4.95%, 09/26/2027(b)
 
$105,000
$103,651
6.25%, 01/25/2031
 
89,000
91,157
CD&R Smokey Buyer, Inc./Radio
Systems Corp., 9.50%,
10/15/2029(b)
 
47,000
47,435
SMBC Aviation Capital Finance DAC (Ireland),
5.30%, 04/03/2029(b)
 
200,000
202,449
5.55%, 04/03/2034(b)
 
479,000
487,101
 
 
931,793
Specialty Chemicals–0.63%
Sasol Financing USA LLC (South Africa),
4.38%, 09/18/2026
 
353,000
341,026
8.75%, 05/03/2029(b)
 
270,000
278,229
5.50%, 03/18/2031
 
291,000
252,864
Sociedad Quimica y Minera de Chile
S.A. (Chile), 6.50%, 11/07/2033(b)
 
265,000
276,456
Wayfair LLC, 7.25%, 10/31/2029(b)
 
35,000
35,556
 
 
1,184,131
Steel–0.49%
ArcelorMittal S.A. (Luxembourg),
6.55%, 11/29/2027
 
241,000
252,245
Cleveland-Cliffs, Inc.,
6.88%, 11/01/2029(b)
 
137,000
138,061
7.00%, 03/15/2032(b)
 
67,000
67,424
7.38%, 05/01/2033(b)
 
109,000
111,111
6.25%, 10/01/2040
 
25,000
22,493
POSCO (South Korea), 5.63%,
01/17/2026(b)
 
200,000
201,519
Vale Overseas Ltd. (Brazil), 6.40%,
06/28/2054
 
125,000
127,288
 
 
920,141
Systems Software–1.00%
Camelot Finance S.A., 4.50%,
11/01/2026(b)
 
93,000
90,994
Oracle Corp.,
6.25%, 11/09/2032
 
450,000
487,481
4.90%, 02/06/2033
 
169,000
168,346
4.70%, 09/27/2034
 
299,000
291,342
6.90%, 11/09/2052
 
227,000
266,700
5.38%, 09/27/2054
 
350,000
340,296
5.50%, 09/27/2064
 
260,000
252,080
 
 
1,897,239
Technology Hardware, Storage & Peripherals–0.47%
Apple, Inc., 4.10%, 08/08/2062
 
192,000
161,289
Hewlett Packard Enterprise Co.,
5.00%, 10/15/2034
 
222,000
219,132
5.60%, 10/15/2054
 
325,000
322,666
Seagate HDD Cayman, 9.63%,
12/01/2032
 
159,000
181,776
 
 
884,863
Tobacco–0.49%
B.A.T Capital Corp. (United Kingdom),
6.00%, 02/20/2034
 
106,000
111,291
7.08%, 08/02/2043
 
28,000
31,479
 
Principal
Amount
Value
Tobacco–(continued)
Philip Morris International, Inc.,
4.88%, 02/15/2028
 
$14,000
$14,127
5.25%, 09/07/2028
 
186,000
190,278
4.88%, 02/13/2029
 
7,000
7,063
4.63%, 11/01/2029
 
85,000
84,779
5.63%, 11/17/2029
 
16,000
16,659
5.13%, 02/13/2031
 
70,000
71,200
4.75%, 11/01/2031
 
86,000
85,437
5.75%, 11/17/2032
 
78,000
81,830
5.63%, 09/07/2033
 
28,000
29,176
4.90%, 11/01/2034
 
201,000
198,503
 
 
921,822
Trading Companies & Distributors–1.48%
AerCap Global Aviation Trust (Ireland),
6.50%, 06/15/2045(b)(c)
 
1,208,000
1,210,834
Air Lease Corp.,
Series B, 4.65%(c)(e)
 
123,000
120,391
Series C, 4.13%(c)(e)
 
50,000
47,244
Series D, 6.00%(c)(e)
 
84,000
83,315
Aircastle Ltd., 5.25%(b)(c)(e)
 
186,000
182,982
BlueLinx Holdings, Inc., 6.00%,
11/15/2029(b)
 
96,000
94,275
Ferguson Enterprises, Inc., 5.00%,
10/03/2034
 
135,000
132,352
Fortress Transportation and Infrastructure
Investors LLC,
5.50%, 05/01/2028(b)
 
90,000
88,987
7.88%, 12/01/2030(b)
 
247,000
262,501
7.00%, 05/01/2031(b)
 
3,000
3,113
7.00%, 06/15/2032(b)
 
101,000
104,412
Mitsubishi Corp. (Japan),
5.00%, 07/02/2029(b)
 
200,000
203,379
5.13%, 07/17/2034(b)
 
252,000
256,867
 
 
2,790,652
Transaction & Payment Processing Services–0.50%
Fiserv, Inc.,
5.38%, 08/21/2028
 
227,000
231,970
5.63%, 08/21/2033
 
180,000
186,641
5.45%, 03/15/2034
 
288,000
294,792
Mastercard, Inc., 4.85%,
03/09/2033
 
223,000
226,028
 
 
939,431
Wireless Telecommunication Services–1.03%
Sprint Spectrum Co. LLC/Sprint Spectrum Co.
II LLC/Sprint Spectrum Co. III LLC,
4.74%, 03/20/2025(b)
 
92,500
92,391
5.15%, 03/20/2028(b)
 
1,138,900
1,146,198
T-Mobile USA, Inc.,
4.50%, 04/15/2050
 
139,000
120,302
5.65%, 01/15/2053
 
202,000
206,235
6.00%, 06/15/2054
 
57,000
60,992
Vodafone Group PLC (United Kingdom),
5.75%, 02/10/2063
 
44,000
43,458
4.13%, 06/04/2081(c)
 
207,000
185,984
5.13%, 06/04/2081(c)
 
119,000
92,878
 
 
1,948,438
Total U.S. Dollar Denominated Bonds & Notes
(Cost $168,944,891)
170,782,427
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

 

Shares
Value
Preferred Stocks–3.16%
Aerospace & Defense–0.06%
Boeing Co. (The), 6.00%, Conv. Pfd.
2,000
$110,780
Diversified Banks–1.28%
Wells Fargo & Co., 7.50%, Class A, Series L,
Conv. Pfd.
1,992
2,431,395
Diversified Financial Services–0.25%
Apollo Global Management, Inc., 7.63%,
Pfd.(c)
17,750
482,623
Investment Banking & Brokerage–1.38%
Morgan Stanley, 7.13%, Series E, Pfd.
62,725
1,589,452
Morgan Stanley, 6.88%, Series F, Pfd.
40,000
1,012,800
 
 
2,602,252
Regional Banks–0.19%
M&T Bank Corp., 7.50%, Series J, Pfd.
12,854
353,356
Total Preferred Stocks (Cost $5,982,089)
5,980,406
 
Principal
Amount
 
U.S. Treasury Securities–2.45%
U.S. Treasury Bills–0.31%
4.78% - 4.83%, 01/30/2025(j)(k)
 
$602,000
597,613
U.S. Treasury Bonds–1.60%
4.63%, 11/15/2044
 
499,700
510,046
4.25%, 08/15/2054
 
2,563,300
2,507,628
 
 
3,017,674
U.S. Treasury Notes–0.54%
4.13%, 10/31/2026
 
39,000
38,948
4.13%, 11/15/2027
 
19,000
19,007
4.13%, 10/31/2029
 
21,000
21,035
4.13%, 10/31/2031
 
265,000
264,917
4.25%, 11/15/2034
 
672,400
675,500
 
 
1,019,407
Total U.S. Treasury Securities (Cost $4,554,487)
4,634,694
 
Asset-Backed Securities–2.14%
Jimmy John’s Funding LLC,
Series 2017-1A, Class A2II,
4.85%, 07/30/2047(b)
 
367,129
360,637
Qdoba Funding LLC, Series 2023-1A,
Class A2, 8.50%, 09/14/2053(b)
 
462,840
487,623
Sonic Capital LLC,
Series 2020-1A, Class A2I, 3.85%,
01/20/2050(b)
 
304,485
294,181
Series 2021-1A, Class A2I, 2.19%,
08/20/2051(b)
 
203,350
180,910
Series 2021-1A, Class A2II,
2.64%, 08/20/2051(b)
 
203,350
167,710
 
Principal
Amount
Value
 
Subway Funding LLC,
Series 2024-1A, Class A23,
6.51%, 07/30/2054(b)
 
$233,000
$241,235
Series 2024-1A, Class A2I, 6.03%,
07/30/2054(b)
 
256,000
260,431
Series 2024-1A, Class A2I, 6.27%,
07/30/2054(b)
 
253,365
257,761
Series 2024-3A, Class A23,
5.91%, 07/30/2054(b)
 
250,000
248,117
Series 2024-3A, Class A2I, 5.25%,
07/30/2054(b)
 
235,000
231,664
Series 2024-3A, Class A2I, 5.57%,
07/30/2054(b)
 
240,000
237,862
Wendy’s Funding LLC, Series 2018-1A,
Class A2II, 3.88%, 03/15/2048(b)
 
624,693
601,199
Zaxby’s Funding LLC, Series 2024-1A,
Class A2I, 6.59%, 04/30/2054(b)
 
149,625
152,995
Ziply Fiber Issuer LLC, Series 2024-1A,
Class A2, 6.64%, 04/20/2054(b)
 
308,000
316,577
Total Asset-Backed Securities (Cost $4,089,686)
4,038,902
Variable Rate Senior Loan Interests–0.30%(l)(m)
Coal & Consumable Fuels–0.04%
NGL Energy Operating LLC, Term Loan,
8.32% (1 mo. Term SOFR +
3.75%), 02/02/2031
 
77,610
77,986
Health Care Facilities–0.03%
Select Medical Corp., Term Loan B, -%,
11/30/2031(i)(n)
 
52,920
53,052
Leisure Products–0.04%
Amer Sports Co. (Finland), Term Loan
B, 7.24% (3 mo. Term SOFR +
2.75%), 02/10/2031(i)
 
68,087
68,853
Restaurants–0.19%
Raising Cane’s Restaurants LLC, Term
Loan B, -%, 09/10/2031(n)
 
354,000
356,324
Total Variable Rate Senior Loan Interests
(Cost $552,467)
556,215
Non-U.S. Dollar Denominated Bonds & Notes–0.05%(o)
Health Care REITs–0.05%
MPT Operating Partnership L.P./MPT
Finance Corp., 3.33%,
03/24/2025
(Cost $104,487)
EUR
100,000
101,847
 

Shares
 
Money Market Funds–0.93%
Invesco Government & Agency Portfolio,
Institutional Class, 4.57%(p)(q)
617,079
617,079
Invesco Treasury Portfolio, Institutional
Class, 4.53%(p)(q)
1,146,005
1,146,005
Total Money Market Funds (Cost $1,763,084)
1,763,084
 
Options Purchased–0.05%
(Cost $131,388)(r)
99,453
TOTAL INVESTMENTS IN SECURITIES–99.42%
(Cost $186,122,579)
187,957,028
OTHER ASSETS LESS LIABILITIES—0.58%
1,094,064
NET ASSETS–100.00%
$189,051,092
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

Investment Abbreviations:
Conv.
– Convertible
EUR
– Euro
Pfd.
– Preferred
PIK
– Pay-in-Kind
REIT
– Real Estate Investment Trust
SOFR
– Secured Overnight Financing Rate
Notes to Schedule of Investments:
(a)
Industry and/or sector classifications used in this report are generally according to the Global Industry Classification Standard, which was developed by and is the
exclusive property and a service mark of MSCI Inc. and Standard & Poor’s.
(b)
Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be
resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at
November 30, 2024 was $70,332,774, which represented 37.20% of the Fund’s Net Assets.
(c)
Security issued at a fixed rate for a specific period of time, after which it will convert to a variable rate.
(d)
All or a portion of this security is Pay-in-Kind. Pay-in-Kind securities pay interest income in the form of securities.
(e)
Perpetual bond with no specified maturity date.
(f)
Interest or dividend rate is redetermined periodically. Rate shown is the rate in effect on November 30, 2024.
(g)
Zero coupon bond issued at a discount.
(h)
Defaulted security. Currently, the issuer is in default with respect to principal and/or interest payments. The aggregate value of these securities at November 30,
2024 was $30,960, which represented less than 1% of the Fund’s Net Assets.
(i)
Security valued using significant unobservable inputs (Level 3). See Note 1.
(j)
All or a portion of the value was pledged as collateral to cover margin requirements for open futures contracts.
(k)
Security traded on a discount basis. The interest rate shown represents the discount rate at the time of purchase by the Fund.
(l)
Variable rate senior loan interests often require prepayments from excess cash flow or permit the borrower to repay at its election. The degree to which borrowers
repay, whether as a contractual requirement or at their election, cannot be predicted with any accuracy. As a result, the actual remaining maturity may be
substantially less than the stated maturities shown. However, it is anticipated that the variable rate senior loan interests will have an expected average life of three
to five years.
(m)
Variable rate senior loan interests are, at present, not readily marketable, not registered under the Securities Act of 1933, as amended (the “1933 Act”) and may
be subject to contractual and legal restrictions on sale. Variable rate senior loan interests in the Fund’s portfolio generally have variable rates which adjust to a
base, such as the Secured Overnight Financing Rate ("SOFR"), on set dates, typically every 30 days, but not greater than one year, and/or have interest rates that
float at margin above a widely recognized base lending rate such as the Prime Rate of a designated U.S. bank.
(n)
This variable rate interest will settle after November 30, 2024, at which time the interest rate will be determined.
(o)
Foreign denominated security. Principal amount is denominated in the currency indicated.
(p)
Affiliated holding. Affiliated holdings are investments in entities which are under common ownership or control of Invesco Ltd. or are investments in entities in
which the Fund owns 5% or more of the outstanding voting securities. The table below shows the Fund’s transactions in, and earnings from, its investments in
affiliates for the nine months ended November 30, 2024.
 
Value
February 29, 2024
Purchases
at Cost
Proceeds
from Sales
Change in
Unrealized
Appreciation
Realized
Gain
Value
November 30, 2024
Dividend Income
Investments in Affiliated Money Market Funds:
Invesco Government & Agency Portfolio,
Institutional Class
$2
$11,688,043
$(11,070,966)
$-
$-
$617,079
$13,388
Invesco Liquid Assets Portfolio, Institutional Class
-
4,094,066
(4,094,092)
-
26
-
4,740
Invesco Treasury Portfolio, Institutional Class
2
17,612,299
(16,466,296)
-
-
1,146,005
20,040
Total
$4
$33,394,408
$(31,631,354)
$-
$26
$1,763,084
$38,168
(q)
The rate shown is the 7-day SEC standardized yield as of November 30, 2024.
(r)
The table below details options purchased.
Open Exchange-Traded Index Options Purchased
Description
Type of
Contract
Expiration
Date
Number of
Contracts
Exercise
Price
Notional
Value(a)
Value
Equity Risk
iShares China Large-Cap ETF
Call
06/20/2025
96
USD
36.00
USD
345,600
$7,728
S&P 500 Index
Call
03/31/2025
5
USD
6,100.00
USD
3,050,000
91,725
Total Index Options Purchased
$99,453
(a)
Notional Value is calculated by multiplying the Number of Contracts by the Exercise Price by the multiplier.
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

Open Futures Contracts
Long Futures Contracts
Number of
Contracts
Expiration
Month
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
Interest Rate Risk
U.S. Treasury 2 Year Notes
18
March-2025
$3,709,969
$7,417
$7,417
U.S. Treasury 5 Year Notes
117
March-2025
12,589,383
77,609
77,609
U.S. Treasury 10 Year Notes
78
March-2025
8,672,625
92,971
92,971
U.S. Treasury Long Bonds
82
March-2025
9,799,000
246,457
246,457
U.S. Treasury Ultra Bonds
27
March-2025
3,434,063
131,562
131,562
Subtotal—Long Futures Contracts
556,016
556,016
Short Futures Contracts
 
 
 
 
 
Interest Rate Risk
U.S. Treasury 10 Year Ultra Notes
140
March-2025
(16,071,563
)
(286,866
)
(286,866
)
Total Futures Contracts
$269,150
$269,150
Open Forward Foreign Currency Contracts
Settlement
Date
Counterparty
Contract to
Unrealized
Appreciation
Deliver
Receive
Currency Risk
 
 
 
01/27/2025
State Street Bank & Trust Co.
EUR
83,000
USD
88,152
$100
Abbreviations:
ETF
—Exchange-Traded Fund
EUR
—Euro
USD
—U.S. Dollar
The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.
See accompanying notes which are an integral part of this schedule.
Invesco Bond Fund

Notes to Quarterly Schedule of Portfolio Holdings
November 30, 2024
(Unaudited)
NOTE 1—Additional Valuation Information
Generally Accepted Accounting Principles ("GAAP") defines fair value as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date, under current market conditions. GAAP establishes a hierarchy that prioritizes the inputs to valuation methods, giving the highest priority to readily available unadjusted quoted prices in an active market for identical assets (Level 1) and the lowest priority to significant unobservable inputs (Level 3), generally when market prices are not readily available. Based on the valuation inputs, the securities or other investments are tiered into one of three levels. Changes in valuation methods may result in transfers in or out of an investment’s assigned level:
Level 1 – Prices are determined using quoted prices in an active market for identical assets.
Level 2 – Prices are determined using other significant observable inputs. Observable inputs are inputs that other market participants may use in pricing a security. These may include quoted prices for similar securities, interest rates, prepayment speeds, credit risk, yield curves, loss severities, default rates, discount rates, volatilities and others. When significant events cause market movements to occur after the close of the relevant foreign securities markets, foreign securities may be fair valued utilizing an independent pricing service.
Level 3 – Prices are determined using significant unobservable inputs. In situations where quoted prices or observable inputs are unavailable (for example, when there is little or no market activity for an investment at the end of the period), unobservable inputs may be used. Unobservable inputs reflect Invesco Advisers, Inc.’s assumptions about the factors market participants would use in determining fair value of the securities or instruments and would be based on the best available information.
The following is a summary of the tiered valuation input levels, as of November 30, 2024. The level assigned to the securities valuations may not be an indication of the risk or liquidity associated with investing in those securities. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value received upon actual sale of those investments.
 
Level 1
Level 2
Level 3
Total
Investments in Securities
U.S. Dollar Denominated Bonds & Notes
$
$169,810,476
$971,951
$170,782,427
Preferred Stocks
5,980,406
5,980,406
U.S. Treasury Securities
4,634,694
4,634,694
Asset-Backed Securities
4,038,902
4,038,902
Variable Rate Senior Loan Interests
434,310
121,905
556,215
Non-U.S. Dollar Denominated Bonds & Notes
101,847
101,847
Money Market Funds
1,763,084
1,763,084
Options Purchased
99,453
99,453
Total Investments in Securities
7,842,943
179,020,229
1,093,856
187,957,028
Other Investments - Assets*
Futures Contracts
556,016
556,016
Forward Foreign Currency Contracts
100
100
 
556,016
100
556,116
Other Investments - Liabilities*
Futures Contracts
(286,866
)
(286,866
)
Total Other Investments
269,150
100
269,250
Total Investments
$8,112,093
$179,020,329
$1,093,856
$188,226,278
*
Unrealized appreciation (depreciation).
Invesco Bond Fund


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