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Trending ETFs

Invesco Premier Portfolio

mutual fund
IMRXX
Payout Change
Pending
Price as of:
$1.0 +0.0 +0.0%
primary theme
Prime Money Market
IMRXX (Mutual Fund)

Invesco Premier Portfolio

Payout Change
Pending
Price as of:
$1.0 +0.0 +0.0%
primary theme
Prime Money Market
IMRXX (Mutual Fund)

Invesco Premier Portfolio

Payout Change
Pending
Price as of:
$1.0 +0.0 +0.0%
primary theme
Prime Money Market

Name

As of 12/13/2024

Price

Aum/Mkt Cap

YIELD

Annualized forward dividend yield. Multiplies the most recent dividend payout amount by its frequency and divides by the previous close price.

Exp Ratio

Expense ratio is the fund’s total annual operating expenses, including management fees, distribution fees, and other expenses, expressed as a percentage of average net assets.

Watchlist

$1.00

$810 M

4.68%

$0.05

0.25%

Vitals

YTD Return

5.4%

1 yr return

5.4%

3 Yr Avg Return

3.9%

5 Yr Avg Return

2.5%

Net Assets

$810 M

Holdings in Top 10

35.5%

52 WEEK LOW AND HIGH

$1.0
N/A
N/A

Expenses

OPERATING FEES

Expense Ratio 0.25%

SALES FEES

Front Load N/A

Deferred Load N/A

TRADING FEES

Turnover N/A

Redemption Fee N/A


Min Investment

Standard (Taxable)

$1,000

IRA

$250


Fund Classification

Fund Type

Money Market Fund


Name

As of 12/13/2024

Price

Aum/Mkt Cap

YIELD

Annualized forward dividend yield. Multiplies the most recent dividend payout amount by its frequency and divides by the previous close price.

Exp Ratio

Expense ratio is the fund’s total annual operating expenses, including management fees, distribution fees, and other expenses, expressed as a percentage of average net assets.

Watchlist

$1.00

$810 M

4.68%

$0.05

0.25%

IMRXX - Profile

Distributions

  • YTD Total Return 5.4%
  • 3 Yr Annualized Total Return 3.9%
  • 5 Yr Annualized Total Return 2.5%
  • Capital Gain Distribution Frequency Annually
  • Net Income Ratio 0.07%
DIVIDENDS
  • Dividend Yield 4.7%
  • Dividend Distribution Frequency None

Fund Details

  • Legal Name
    Invesco Premier Portfolio
  • Fund Family Name
    INVESCOFDS
  • Inception Date
    Apr 26, 1988
  • Shares Outstanding
    N/A
  • Share Class
    Investor
  • Currency
    USD
  • Domiciled Country
    US
  • Manager
    Management Team

Fund Description

The Fund invests primarily in high-quality U.S. dollar-denominated short-term debt obligations, including: (i) securities issued by the U.S. government or its agencies; (ii) certificates of deposit and time deposits from U.S. or foreign banks; (iii) repurchase agreements; (iv) commercial paper; and (v) municipal securities.
The Fund may engage in repurchase agreement transactions that are collateralized by cash or government securities. In addition, it may engage in repurchase agreement transactions that are collateralized by non-government securities such as equity securities and fixed income securities that are rated investment grade and below investment grade by nationally recognized statistical rating organizations or unrated securities of comparable quality. The Fund considers repurchase agreements with the Federal Reserve Bank of New York to be U.S. government securities for purposes of the Fund’s investment policies.
The Fund intends to qualify as a Retail Money Market Fund, as defined by Rule 2a-7 under the Investment Company Act of 1940, as amended
(Rule 2a-7), that seeks to maintain a stable price of $1.00 per share by using the amortized cost method to value portfolio securities and rounding the share value to the nearest cent. Retail Money Market Funds may be beneficially owned only by natural persons, as determined in the “Shareholder Account Information – Purchasing Shares” section of this Prospectus. The Fund invests in conformity with the U.S. Securities and Exchange Commission (SEC) rules and regulation requirements for money market funds for the quality, maturity, diversification and liquidity of investments. The Fund invests only in U.S. dollar-denominated securities maturing within 397 calendar days of the date of purchase, with certain exceptions permitted by applicable regulations. The Fund maintains a dollar-weighted average portfolio maturity of no more than 60 calendar days, and a dollar-weighted average life to maturity as determined without exceptions regarding certain interest rate adjustments under Rule 2a-7 of no more than 120 calendar days. The Fund will limit investments to those securities that are Eligible Securities as defined by applicable regulations at the time of purchase. Eligible Securities are (i) Government Securities,(ii) shares of other money market funds, or (iii) securities determined to present minimal credit risks by Invesco Advisers, Inc. (Invesco or the Adviser) pursuant to guidelines approved by the Fund's Board of Trustees (the Board).Government Security generally means any security issued or guaranteed as to principal or interest by theUnited States,or by a person controlled or supervised by and acting as an instrumentality of the government of the United States.
The Fund may invest in U.S. dollar-denominated foreign securities. Some of the Fund’s investments, although U.S. dollar-denominated, may be subject to foreign credit exposure.
The Fund may also invest in daily and weekly variable-rate demand notes. The Fund may invest in securities that are subject to resale restrictions such as those contained in Rule 144A promulgated under the Securities Act of 1933, as amended.
In selecting securities for the Fund’s portfolio, the portfolio managers focus on securities that offer safety, liquidity, and a competitive yield.
The portfolio managers normally hold portfolio securities to maturity, but may sell a security when they deem it advisable, such as when market or credit factors materially change.
The Adviser's credit research process considers factors that may include, but are not limited to, an issuer’s operations, capital structure and environmental, social and governance (“ESG”) considerations. The Adviser may determine that ESG considerations are not material to certain issuers or types of investments held by the Fund. In addition, not all issuers or investments in the Fund may undergo a credit quality analysis that considers ESG factors, and not all investments held by the Fund will rate strongly on ESG criteria.
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IMRXX - Performance

Return Ranking - Trailing

Period IMRXX Return Category Return Low Category Return High Rank in Category (%)
YTD 5.4% -91.2% 5.4% 1.04%
1 Yr 5.4% -91.1% 5.4% 1.04%
3 Yr 3.9%* 0.0% 10.3% 7.61%
5 Yr 2.5%* 0.0% 6.1% 6.02%
10 Yr 1.8%* 0.0% 2.0% 8.89%

* Annualized

Return Ranking - Calendar

Period IMRXX Return Category Return Low Category Return High Rank in Category (%)
2023 0.0% 0.0% 0.1% 52.17%
2022 0.0% 0.0% 0.0% 29.67%
2021 0.0% 0.0% 0.0% 29.89%
2020 0.0% 0.0% 0.0% 31.25%
2019 0.0% 0.0% 0.0% 30.77%

Total Return Ranking - Trailing

Period IMRXX Return Category Return Low Category Return High Rank in Category (%)
YTD 5.4% -91.2% 5.4% 1.04%
1 Yr 5.4% -91.1% 5.4% 1.04%
3 Yr 3.9%* 0.0% 10.3% 7.61%
5 Yr 2.5%* 0.0% 6.1% 6.02%
10 Yr 1.8%* 0.0% 2.0% 8.89%

* Annualized

Total Return Ranking - Calendar

Period IMRXX Return Category Return Low Category Return High Rank in Category (%)
2023 5.6% 0.0% 5.7% 10.87%
2022 1.6% 0.0% 1.8% 16.48%
2021 0.0% 0.0% 0.1% 14.94%
2020 0.8% 0.0% 0.8% 7.50%
2019 2.3% 0.0% 4868.4% 29.49%

NAV & Total Return History


IMRXX - Holdings

Concentration Analysis

IMRXX Category Low Category High IMRXX % Rank
Net Assets 810 M 16.1 M 14.9 B 20.83%
Number of Holdings 68 1 345 87.50%
Net Assets in Top 10 421 M 22.7 M 21.7 B 75.00%
Weighting of Top 10 35.52% 14.2% 100.0% 29.17%

Top 10 Holdings

  1. Tri-Party Bofa Securities Inc 7.82%
  2. Tri-Party Bofa Securities Inc 7.82%
  3. Tri-Party Bofa Securities Inc 7.82%
  4. Tri-Party Bofa Securities Inc 7.82%
  5. Tri-Party Bofa Securities Inc 7.82%
  6. Tri-Party Bofa Securities Inc 7.82%
  7. Tri-Party Bofa Securities Inc 7.82%
  8. Tri-Party Bofa Securities Inc 7.82%
  9. Tri-Party Bofa Securities Inc 7.82%
  10. Tri-Party Bofa Securities Inc 7.82%

Asset Allocation

Weighting Return Low Return High IMRXX % Rank
Cash
89.55% 35.74% 100.00% 69.79%
Bonds
8.76% 0.00% 64.26% 34.38%
Convertible Bonds
1.69% 0.00% 13.25% 22.92%
Stocks
0.00% 0.00% 1.03% 31.25%
Preferred Stocks
0.00% 0.00% 1.01% 37.50%
Other
0.00% 0.00% 0.04% 31.25%

Bond Sector Breakdown

Weighting Return Low Return High IMRXX % Rank
Cash & Equivalents
91.88% 35.74% 100.00% 58.33%
Corporate
4.80% 0.00% 14.24% 14.58%
Municipal
3.32% 0.00% 49.89% 38.54%
Derivative
0.00% 0.00% 0.36% 30.21%
Securitized
0.00% 0.00% 0.98% 32.29%
Government
0.00% 0.00% 30.63% 80.21%

Bond Geographic Breakdown

Weighting Return Low Return High IMRXX % Rank
US
5.86% 0.00% 64.26% 44.79%
Non US
2.90% 0.00% 2.90% 5.21%

IMRXX - Expenses

Operational Fees

IMRXX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Expense Ratio 0.25% 0.12% 4.99% 72.92%
Management Fee 0.25% 0.05% 0.57% 79.17%
12b-1 Fee N/A 0.00% 1.00% N/A
Administrative Fee N/A 0.05% 0.55% N/A

Sales Fees

IMRXX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Front Load N/A N/A N/A N/A
Deferred Load N/A 1.00% 1.00% N/A

Trading Fees

IMRXX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Max Redemption Fee N/A N/A N/A N/A

Related Fees

Turnover provides investors a proxy for the trading fees incurred by mutual fund managers who frequently adjust position allocations. Higher turnover means higher trading fees.

IMRXX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Turnover N/A 0.00% 212.00% N/A

IMRXX - Distributions

Dividend Yield Analysis

IMRXX Category Low Category High IMRXX % Rank
Dividend Yield 4.68% 0.00% 5.40% 7.29%

Dividend Distribution Analysis

IMRXX Category Low Category High Category Mod
Dividend Distribution Frequency None Monthly Monthly Monthly

Net Income Ratio Analysis

IMRXX Category Low Category High IMRXX % Rank
Net Income Ratio 0.07% -1.14% 1.97% 8.70%

Capital Gain Distribution Analysis

IMRXX Category Low Category High Capital Mode
Capital Gain Distribution Frequency Annually Annually Annually Annually

Distributions History

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IMRXX - Fund Manager Analysis

Managers

Management Team


Start Date

Tenure

Tenure Rank

Dec 14, 2006

15.47

15.5%

Team Managed

Tenure Analysis

Category Low Category High Category Average Category Mode
0.25 35.25 14.98 18.68