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Invesco Funds - Invesco Usd Ultra-short Term Debt Fund A Accumulation Usd (0P00000AMZ)

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103.601 -0.002    -0.00%
22/11 - Closed. Currency in USD
  • Morningstar Rating:
  • Total Assets: 94.87M
Type:  Fund
Market:  Luxembourg
Issuer:  Invesco Management S.A.
ISIN:  LU0028121183 
Asset Class:  Bond
Invesco Funds Invesco USD Reserve Fund A Accumul 103.601 -0.002 -0.00%

0P00000AMZ Overview

 
On this page you'll find an in-depth profile of Invesco Funds - Invesco Usd Ultra-short Term Debt Fund A Accumulation Usd. Learn about the key management, total assets, investment strategy and contact information of 0P00000AMZ among other information.
Category

USD Ultra Short - Term Bond

Total Assets

94.87M

Expenses

0.39%

Inception Date

Jan 02, 1991

Investment Strategy

The Fund seeks to achieve a positive gross return through a conservative allocation (low duration and high credit quality) to rates and credit. Due to the prevailing interest rate environment or other factors, it is possible that this may not be achieved. The Fund seeks to achieve its objective by investing in debt securities and Money Market Instruments. Debt securities may include government debt securities, fixed and floating rate corporate debt securities, ABS, Money Market Instruments.

Contact Information

Address 37A Avenue JF Kennedy
Luxembourg, L-1855
Luxembourg
Phone (+353) 1 4398100

Top Executives

Name Title Since Until
Marques Mercier Senior Portfolio Manager 2018 Now
Biography Marques Mercier is a Senior Portfolio Manager for Invesco Fixed Income. He is responsible for the management of all cash management products, including institutional, retail and offshore money funds, as well as private accounts. Mr. Mercier joined Invesco in 1994 as a representative in the transfer agency. In 1996, he was promoted to portfolio administrator for money market funds. Mr. Mercier assumed his current position in 1998. Mr. Mercier earned a BA degree in English and an MBA from the University of Houston.
Joseph S. Madrid Analyst 2018 Now
Biography Joseph Madrid is a Senior Portfolio Manager for Invesco Fixed Income. He is responsible for contributing to the strategy and management of cash management products, including institutional, retail and offshore funds, as well as private accounts and ultra-short bond portfolios. Mr. Madrid began his investment career in 2002 as a financial analyst with J.P. Morgan Chase & Co. Prior to joining Invesco, he was a portfolio manager in client service and a senior fixed income securities analyst with National City Corp. He joined Invesco in 2009 and was previously a fixed income analyst.
Laurie F. Brignac Senior Portfolio Manager 2018 Now
Biography Laurie Brignac is Head of Global Liquidity Portfolio Management and a Ssenior Pportfolio Mmanager for Invesco Fixed Income. Ms. Brignac and is responsible for the management of cash management products, including institutional, retail and offshore money market funds, as well as private accounts. Ms. Brignac has been in the investment business since 1989. She joined Invesco in 1992 as a money market trader and was promoted to investment officer in 1994 and senior portfolio manager in 2002. Her duties have expanded to include all forms of short-term taxable fixed income products.
Paul Mueller Director 2001 2018
Biography Paul joined Invesco as Fixed Income Product Director with responsibility for our UK enhanced and short Gilt Products. After moving to portfolio management, Paul manages a number of Sterling and Euro single currency funds, including those with large Index Linked elements, and several global bond funds. Paul has official decision making responsibilities for UK Duration, Euro Short Duration, UK and Europe Yield Curve, UK and European Inflation Linked Bonds, and UK versus Europe country spread. Previously, Paul worked within Local Government for seven years qualifying as an accountant (CPFA) with the London Borough of Hillingdon in 1993. He began his investment career with the Union Bank of Switzerland in 1995 as a consultant advising Public Sector clients. Paul has a degree from Essex University in Accountancy, Finance and Economics.
David Taylor Portfolio Manager 2001 2014
Biography David Taylor began his career as an analyst in the research department at Wedd Durlacher and moved into fund management in 1987 with the Merchant Navy Officers Pension Fund. He joined Gartmore Investment Limited in 1991, during this time, he ran a combination of institutional funds and investment trusts, namely the Clydesdale Investment Trust and London & Strathclyde Trust. In 1995, he moved to LGT to manage small cap retail funds and latterly spent nearly seven years as head of UK smaller companies at HSBC Asset Management. He joined Chelverton Asset Management in January 2006.
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