Invesco Fixed Income's High Yield product is a total return strategy that strives to provide a disciplined pursuit of current income and capital appreciation that is competitive with industry benchmarks and peers over a market cycle. The product is benchmarked against the Barclays US High Yield 2% Issuer Capped Index.
The Invesco Edge:
- The extensive global platform essential for successful fixed-income portfolio management
- Distinct investment culture and approach focused on diversified alpha generation
- Flexible delivery of investment solutions to meet global and local client needs
Invesco High Yield generates returns by actively managing a diverse portfolio of high yield securities in multiple sectors and industries. This strategy exploits the entire high yield quality spectrum and combines a top-down industry and sector allocation with rigorous bottom-up credit analysis and valuation of individual issuers. The strategy employs disciplined portfolio construction which places a strong emphasis on risk management: we seek to outperform relative to our benchmark, with below market risk. While duration is not a key component of effective management in the portfolio, we have generally maintained a duration range of +/- 20% of the index.
Invesco's High Yield strategy is available as a separate account and a commingled fund..