US Fixed Income

Invesco Core Plus Bond

Targets monthly income and total return opportunities through multi-sector allocations

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Why this strategy

This strategy applies a robust multi-asset framework to deliver strong long-term absolute, relative, and risk-adjusted performance. By utilizing a foundational core allocation that combines sector exposures to drive alpha, we can effectively provide value to investors seeking current income as well as opportunities for capital appreciation.  

How we do it

We believe that informed, active, and agile rotation across themes, sectors, and securities allows us to effectively manage intra-cycle drawdowns and deliver strong risk-adjusted performance over time. We accomplish this by applying a disciplined, research-intensive process that combines top-down and bottom-up analysis through a risk-controlled framework. We leverage Invesco’s fixed income platform to drive diversified sources of relative value from high-quality government, corporate, and securitized securities combined with high yield, emerging market, and other fixed income investments.