Fund |
A |
C |
R |
Y |
R5 |
R6 |
Investor |
Prospectus
Date |
Invesco
American Value Fund |
MSAVX |
MSVCX |
MSARX |
MSAIX |
MSAJX |
MSAFX |
N/A |
August
26, 2022 |
Invesco
Comstock Fund |
ACSTX |
ACSYX |
ACSRX |
ACSDX |
ACSHX |
ICSFX |
N/A |
August
26, 2022 |
Invesco
Comstock Select Fund |
CGRWX |
CGRCX |
CGRNX |
CGRYX |
IOVVX |
OGRIX |
N/A |
August
26, 2022 |
Invesco
Dividend Income Fund |
IAUTX |
IUTCX |
IRTCX |
IAUYX |
FSIUX |
IFUTX |
FSTUX |
August
26, 2022 |
Invesco
Energy Fund |
IENAX |
IEFCX |
N/A |
IENYX |
IENIX |
IENSX |
FSTEX |
August
26, 2022 |
Invesco
Gold & Special Minerals Fund |
OPGSX |
OGMCX |
OGMNX |
OGMYX |
IOGYX |
OGMIX |
N/A |
August
26, 2022 |
Invesco
Small Cap Value Fund |
VSCAX |
VSMCX |
VSRAX |
VSMIX |
N/A |
SMVSX |
N/A |
August
26, 2022 |
Invesco
Technology Fund |
ITYAX |
ITHCX |
N/A |
ITYYX |
FTPIX |
FTPSX |
FTCHX |
August
26, 2022 |
Invesco
Value Opportunities Fund |
VVOAX |
VVOCX |
VVORX |
VVOIX |
VVONX |
VVOSX |
N/A |
August
26, 2022 |
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A-1 | |
B-1 | |
C-1 | |
D-1 | |
E-1 | |
F-1 | |
G-1 | |
H-1 | |
I-1 | |
J-1 | |
K-1 | |
L-1 | |
M-1 | |
N-1 | |
O-1 |
Fund
Name |
Fund
History |
Invesco
American Value Fund |
Prior
to September 24, 2012, Invesco American Value Fund was known as Invesco
Van
Kampen
American Value Fund.
On
June 1, 2010, Invesco Van Kampen American Value Fund assumed the assets
and liabilities
of
Van Kampen American Value Fund. |
Invesco
Comstock Fund |
Prior
to September 24, 2012, Invesco Comstock Fund was known as Invesco Van
Kampen
Comstock
Fund.
On
June 1, 2010, Invesco Van Kampen Comstock Fund assumed the assets and
liabilities of
Van
Kampen Comstock Fund. |
Invesco
Comstock Select Fund* |
Prior
to February 28, 2020, Invesco Comstock Select Fund was known as Invesco
Oppenheimer
Value Fund.
On
May 24, 2019, Invesco Comstock Select Fund assumed the assets and
liabilities of its
predecessor
fund Oppenheimer Value Fund. |
Invesco
Dividend Income Fund |
Prior
to February 6, 2013, Invesco Dividend Income Fund was known as Invesco
Utilities Fund.
Prior
to April 30, 2010, Invesco Utilities Fund was known as AIM Utilities
Fund. |
Invesco
Energy Fund |
Prior
to April 30, 2010, Invesco Energy Fund was known as AIM Energy
Fund. |
Invesco
Gold & Special Minerals
Fund* |
Prior
to September 30, 2020, Invesco Gold & Special Minerals Fund was known
as Invesco
Oppenheimer
Gold & Special Minerals Fund.
On
May 24, 2019, Invesco Oppenheimer Gold & Special Minerals Fund assumed
the assets
and
liabilities of its predecessor fund Oppenheimer Gold & Special
Minerals Fund. |
Invesco
Small Cap Value Fund |
Prior
to September 24, 2012, Invesco Small Cap Value Fund was known as Van
Kampen Small
Cap
Value Fund.
On
June 1, 2010, Invesco Van Kampen Small Cap Value Fund assumed the assets
and
liabilities
of Van Kampen Small Cap Value Fund. |
Invesco
Technology Fund |
Prior
to April 30, 2010, Invesco Technology Fund was known as AIM Technology
Fund. |
Invesco
Value Opportunities Fund |
Prior
to September 24, 2012, Invesco Value Opportunities Fund was known as
Invesco Van
Kampen
Value Opportunities Fund.
On
June 1, 2010, Invesco Van Kampen Value Opportunities Fund assumed the
assets and
liabilities
of Van Kampen Value Opportunities Fund.
|
Fund |
2022 |
2021 |
Invesco
American Value Fund* |
117% |
58% |
Invesco
Dividend Income Fund* |
38 |
4 |
Invesco
Energy Fund** |
18 |
68 |
Invesco
Technology Fund*** |
95 |
59 |
Information |
Approximate
Date of Website Posting |
Information
Remains Posted
on
Website |
Select
portfolio holdings information,
such
as top ten holdings as of the
month-end |
15
calendar days after month-end |
Until
replaced with the
following
month’s top ten
holdings |
|
|
|
Select
portfolio holdings information
(e.g.,
buys/sells,
contributors/detractors
and/or
relevant
to market environment) |
15
calendar days after month-end |
Until
replaced with the
following
month’s select
portfolio
holdings
information |
|
|
|
Complete
portfolio holdings
information
as of calendar month-
end |
30
calendar days after month-end |
For twelve
months from
the date of
posting |
|
|
|
Information |
Approximate
Date of Website Posting |
Information
Remains Posted
on
Website |
Complete
portfolio holdings
information
as of fiscal quarter-end |
60-70
calendar days after fiscal quarter-end |
For twelve
months from
the date of
posting |
|
|
|
Information |
Approximate
Date of Website Posting |
Information
Remains Posted
on
Website |
Select
portfolio holdings information,
such
as top ten holdings as of the
month-end |
15
calendar days after month-end |
Until
replaced with the
following
month’s top ten
holdings |
|
|
|
Select
portfolio holdings information
(e.g.,
buys/sells,
contributors/detractors
and/or
relevant
to market environment) |
15
calendar days after month-end |
Until
replaced with the
following
quarter’s select
portfolio
holdings
information |
|
|
|
Complete
portfolio holdings
information
as of calendar quarter-
end |
30
calendar days after calendar quarter-end |
For twelve
months from
the date of
posting |
|
|
|
Complete
portfolio holdings
information
as of fiscal quarter-end |
60-70
calendar days after fiscal quarter-end |
For twelve
months from
the date of
posting |
|
|
|
Fund
Name |
Adviser/Sub-Adviser |
Invesco
American Value Fund |
Invesco
Advisers, Inc. |
Invesco
Comstock Fund |
Invesco
Advisers, Inc. |
Invesco
Comstock Select Fund |
Invesco
Advisers, Inc. |
Invesco
Dividend Income Fund |
Invesco
Advisers, Inc. |
Invesco
Energy Fund |
Invesco
Advisers, Inc. |
Invesco
Gold & Special Minerals
Fund |
Invesco
Advisers, Inc. |
Invesco
Small Cap Value Fund |
Invesco
Advisers, Inc. |
Invesco
Technology Fund |
Invesco
Advisers, Inc. |
Invesco
Value Opportunities Fund |
Invesco
Advisers, Inc. |
Fund
Name |
Net
Assets Per Advisory Agreement |
Annual
Rate |
Invesco
American Value Fund |
First
$500 million |
0.72% |
|
Next
$500 million |
0.715% |
|
Next
$1 billion |
0.585% |
|
Next
$4 billion |
0.5625% |
|
Over
$6 billion |
0.5425% |
|
|
|
Invesco
Comstock Fund |
First
$1 billion |
0.50% |
|
Next
$1 billion |
0.45% |
|
Next
$1 billion |
0.40% |
|
Over
$3 billion |
0.35% |
Fund
Name |
Net
Assets Per Advisory Agreement |
Annual
Rate |
|
|
|
Invesco
Comstock Select Fund* |
First
$300 million |
0.625% |
|
Next
$100 million |
0.50% |
|
Next
$4.6 billion |
0.45% |
|
Over
$5 billion |
0.43% |
|
|
|
Invesco
Dividend Income Fund |
First
$500 million |
0.6325% |
|
Next
$500 million |
0.6125% |
|
Next
$600 million |
0.60% |
|
Next
$400 million |
0.5325% |
|
Next
$2 billion |
0.45% |
|
Next
$2 billion |
0.40% |
|
Next
$2 billion |
0.375% |
|
Over
$8 billion |
0.35% |
|
|
|
Invesco
Energy Fund |
First
$350 million |
0.75% |
|
Next
$350 million |
0.65% |
|
Next
$1.3 billion |
0.55% |
|
Next
$2 billion |
0.45% |
|
Next
$2 billion |
0.40% |
|
Next
$2 billion |
0.375% |
|
Over
$8 billion |
0.35% |
|
|
|
Invesco
Gold & Special Minerals
Fund* |
First
$200 million |
0.75% |
|
Next
$150 million |
0.72% |
|
Next
$350 million |
0.68% |
|
Next
$1.3 billion |
0.56% |
|
Next
$2 billion |
0.46% |
|
Next
$2 billion |
0.41% |
|
Next
$2 billion |
0.385% |
|
Over
$8 billion |
0.36% |
|
|
|
Invesco
Small Cap Value Fund |
First
$500 million |
0.67% |
|
Next
$500 million |
0.645% |
|
Over
$1 billion |
0.62% |
|
|
|
Invesco
Technology Fund |
First
$500 million |
0.67% |
|
Next
$500 million |
0.64% |
|
Next
$1 billion |
0.52% |
|
Next
$2 billion |
0.45% |
|
Next
$2 billion |
0.40% |
|
Next
$2 billion |
0.375% |
|
Over
$8 billion |
0.35% |
|
|
|
Invesco
Value Opportunities Fund |
First
$250 million |
0.695% |
|
Next
$250 million |
0.67% |
|
Next
$500 million |
0.645% |
|
Next
$1.5 billion |
0.62% |
|
Next
$2.5 billion |
0.595% |
|
Next
$2.5 billion |
0.57% |
|
Next
$2.5 billion |
0.545% |
Fund
Name |
Net
Assets Per Advisory Agreement |
Annual
Rate |
|
Over
$10 billion |
0.52% |