Invesco Perp Select Balanced Risk
|Fund Strategy||Multi Asset|
|Investment Advisor||Invesco Asset Management|
|Portfolio Manager||Scott Wolle|
|Fund AUM as of||17 July 2015|
|Fund Inception||23 November 2006|
|Fund Indices||AH Multi Asset UCITS Index|
To provide Shareholders with an attractive total return in differing economic and inflationary environments, and with low correlation to equity and bond market indices by gaining exposure to three asset classes: debt securities, equities and commodities. Exposure to the asset classes will be principally obtained through highly liquid and transparently priced exchange-traded futures contracts, with cash and cash equivalents being held as collateral.