Invesco Fixed Income's US Government is a fixed income, total return strategy that seeks to outperform the Barclays U.S. Government Index by an average of 50 basis points per year.
The Invesco Edge:
- 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
The US Government Fixed Income strategy generates return by actively managing a diversified portfolio of Treasury, agency and agency mortgage-backed securities. This strategy may use derivatives and rely on out-of-index exposure to Treasury Inflation-Protected Securities (TIPS) and agency mortgage-backed securities to produce returns. Duration, maturity selection, spread volatility, sector and security selection are each potential sources of return. The strategy is designed to maintain a duration range of +/-30% of the index.
The US Government strategy is available as a separate account.