We believe that a balanced portfolio is achievable, but it's the perspective that matters. It's not about balancing dollar contributions across asset classes, it's about balancing risk.
|Global Balanced||Invesco has a variety of approaches to our global balanced investment strategies. We have several global balanced solutions that leverage our existing product line as underlying investments in several strategic allocation products structured to meet a variety of investment objectives. Finally, we have several income--oriented balanced portfolios investing in exchange-traded products and unit trusts.|
|Target Maturity||As an alternative approach to allocation by risk tolerance, Invesco has a series of target maturity, or target date, products underpinned by our innovative Balanced-Risk Allocation strategy which seeks to balance risk among derivatives of stocks, bonds and commodities. As each product approaches its target date, an allocation to cash is introduced as well.|
|Target Risk||Invesco has three target risk allocation products to help build a long-term investment strategy that may help keep a portfolio on track toward your financial goals throughout market cycles. Effectively managing risk through portfolio diversification may help lessen the impact of market volatility over time.|
|US Balanced||We believe that a balanced portfolio is achievable, but it's the perspective that matters. It’s not about balancing dollar contributions across asset classes, it's about balancing risk.|
About Risk and Other Important Information
This information is provided for informational purposes only and is not to be construed as investment advice or a recommendation of a particular strategy or product. Nor should it be construed as an offer to buy or sell any financial instruments. As with all investments there are associated inherent risks. Please obtain and review all financial material carefully before investing.