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Invesco Developing Markets R6                                   ODVIX                                                                                              6/30/2021



                                Fund Incep Date:      Benchmark:                     Category:                   Net Assets:      Manager Name:              Manager Start Date:          Expense Ratio:   Expense Rank:
                                12/29/2011         MSCI Emerging Markets             Diversified Emerging Mkts   $53,247.00M      Justin M. Leverenz         05/01/2007                          0.82%                32


                               PORTFOLIO COMPOSITION (Holdings-based)                   INVESTMENT OVERVIEW
                                Assets                                                  The investment seeks capital appreciation. The fund mainly invests in common stocks of issuers in developing and emerging markets throughout the world and
                                                                                        at times it may invest up to 100% of its total assets in foreign securities. Under normal market conditions, it will invest at least 80% of its net assets, plus
                                                  Cash                       2.82%       borrowings for investment purposes, in equity securities of issuers whose principal activities are in a developing market, i.e. are in a developing market or are
                                                  US Stocks                  0.00%       economically tied to a developing market country, and in derivatives and other instruments that have economic characteristics similar to such securities.
                                                  US Bonds                   0.00%
                                                  Non-US Stocks             94.94%
                                                  Preferred Stocks           0.01%       PERFORMANCE
                                                  Convertible Bonds          0.00%
                                                  Other                      2.23%                                               3 Year Rolling Performance (Jul 16-Jun 21)
                                                  Non-US Bonds               0.00%       20
                              Sector Breakdown                                                                                                                                               5th to 25th Percentile
                                                                                                                                                                                             25th to Median
                               Sensitive                                                 15
                               Communication Services                      13.35%                                                                                                            Median to 75th Percentile
                                                                                                                                                                                             75th to 95th Percentile
                               Industrials                                  3.58%
                                                                                         10
                               Technology                                  14.12%
                                                                                                                                                                                             Invesco Developing Markets R6
                               Energy                                       4.05%
                                                                                          5                                                                                                  MSCI Emerging Markets
                               Cyclical
                               Basic Materials                              5.56%
                               Consumer Cyclical                           24.48%         0
                               Real Estate                                  1.80%
                               Financial Services                          20.37%        -5
                               Defensive
                               Consumer Defensive                           6.44%       -10
                               Healthcare                                   6.25%                4/2016   2/2017    4/2017   2/2018   4/2018    2/2019   4/2019    2/2020   4/2020    2/2021
                               Utilities                                    0.00%
                                                                                                                      3M          YTD           1Y           3Y           5Y           7Y          10Y           SI
                               TOP 10 HOLDINGS
                                                                                        Fund                         5.66         6.57       37.35 / 73   11.67 / 39   14.01 / 26   6.53 / 40    6.14 / 21      8.59
                               Taiwan Semiconductor Manufacturing Co Ltd    7.75%
                                                                                        Benchmark                    5.12         7.58       41.36 / 52   11.67 / 40   13.43 / 33   6.74 / 38    4.65 / 43
                               Tencent Holdings Ltd                         6.43%       Peer Group Median            5.00         8.38       41.68 / 50   11.08 / 50   12.20 / 50   6.04 / 50    4.37 / 50
                               Housing Development Finance Corp Ltd         4.85%
                                                                                        Number of Funds                                        289          250          219          181          129
                               Kering SA                                    3.87%
                               NOVATEK PJSC GDR                             3.86%       CALENDAR                    2020       2019        2018        2017       2016        2015       2014        2013       2012
                               AIA Group Ltd                                3.73%       Fund                        17.66      24.53      -11.79      35.33        7.38      -13.67      -4.39       8.85       21.43
                               Huazhu Group Ltd ADR                         3.51%       Benchmark                   18.69      18.90      -14.25      37.75       11.60      -14.60      -1.82       -2.27      18.63
                               Yum China Holdings Inc Ordinary Shares       3.27%       Peer Group Median           16.94      19.14      -15.82      34.95        9.24      -14.24      -2.54       -1.42      19.01
                               Kotak Mahindra Bank Ltd                      3.25%
                               Yandex NV Shs Class-A-                       2.91%
                                                                                         RISK & PERFORMANCE STATISTICS                                     NOTES
                               Total:                                      43.44%
                                                                                                                                          Peer Group
                                                                                        3 Yr                  Fund         Benchmark
                               ASSET LOADINGS  (Returns-based)                                                                              Median
                                                                                        Alpha                  0.46            0.00          -0.44
                                        FUND EXPOSURES (WEIGHT) (Jul 18-Jun 21)         Beta                   0.95            1.00           1.00
                                100
                                 75                                                     R-Squared             95.43          100.00         93.97
                                                                                        Sharpe Ratio           0.62            0.61           0.57
                                 50
                                 25                                                     Up Market Capture     96.69          100.00         98.86
                                  0                                                     Down Market Capture   95.92          100.00        100.87
                                                      Current        Average
                                                   Fund    Bmk    Fund     Bmk           5 Yr                  Fund         Benchmark      Peer Group
                                   Cash             0.0     0.0     0.0      0.0                                                             Median
                                   Europe Lg       18.6     0.0    12.5      2.2         Alpha                  1.29            0.00          -0.95
                                   Europe Sm        8.8     0.0     9.8      0.8         Beta                   0.93            1.00          1.00
                                   AsiaPac Lg       3.8     0.0     1.2      0.4         R-Squared             94.15          100.00         92.61
                                   AsiaPac Sm       0.0     0.0     0.0      0.0         Sharpe Ratio           0.85            0.79          0.70
                                   Emg Europe       7.1    17.2    11.1     20.2         Up Market Capture     95.05          100.00         96.93
                                   Emg Asia        61.8    82.8    65.4     76.4         Down Market Capture   89.68          100.00        100.44

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