Quarterly Portfolio Holdings

as of 12/31/2023

Invesco Emerging Markets Equity Trust - Class A

CUSIP Security Name Share/Par Market Value %TNA Moody Rating Coupon/Div Yield Maturity Date
6889106 TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD 6274314 $121,205,623.30 8.89% N/A
2643674 GRUPO MEXICO SAB DE CV 13804772 $76,574,380.07 5.62% N/A
6135661 KOTAK MAHINDRA BANK LTD 3277902 $75,109,574.51 5.51% N/A
Y74718100 SAMSUNG ELECTRONICS CO LTD 1144481 $69,853,993.86 5.12% N/A
BK1N461 HDFC BANK LTD 3315106 $67,884,254.22 4.98% N/A
B01NPJ1 TATA CONSULTANCY SERVICES LTD 1354392 $61,687,955.20 4.52% N/A
98850P109 YUM CHINA HOLDINGS INC 1425813 $60,497,245.59 4.44% N/A
4682329 PERNOD RICARD SA 319143 $56,409,734.99 4.14% N/A
44332N106 H WORLD GROUP LTD 1552205 $53,335,286.56 3.91% N/A
BCRWZ18 CIE FINANCIERE RICHEMONT SA 361019 $49,856,520.47 3.66% N/A
BMMV2K8 TENCENT HOLDINGS LTD 1253841 $47,337,064.08 3.47% N/A
CASHUSD00 USD CURRENCY CASH 40887346 $40,887,345.82 3.00% 0.00
98980A105 ZTO EXPRESS CAYMAN INC 1916422 $40,781,460.16 2.99% N/A
BW1YVH8 WAL-MART DE MEXICO SAB DE CV 8610363 $36,295,103.86 2.66% N/A
2242059 FOMENTO ECONOMICO MEXICANO SAB DE CV 2377169 $30,941,965.46 2.27% N/A
02390A101 AMERICA MOVIL SAB DE CV 1517053 $28,095,821.56 2.06% N/A
6346913 LG CHEM LTD 68430 $26,890,738.72 1.97% N/A
BG7ZWY7 AMBEV SA 9298418 $26,309,588.69 1.93% N/A
BYNJCV6 SAMSUNG BIOLOGICS CO LTD 39015 $22,966,442.69 1.68% N/A
B1FW751 GALP ENERGIA SGPS SA 1306914 $19,250,008.10 1.41% N/A
B15C557 TOTALENERGIES SE 262919 $17,882,604.05 1.31% N/A
B4PFFW4 PRADA SPA 3133500 $17,916,874.47 1.31% N/A
64110W102 NETEASE INC 186448 $17,369,495.68 1.27% N/A
B4MXNL6 OBEROI REALTY LTD 993788 $17,227,259.54 1.26% N/A
Y80676102 SM INVESTMENTS CORP 954373 $15,019,447.06 1.10% N/A
G2519Y108 CREDICORP LTD 96297 $14,437,809.21 1.06% N/A
B037HR3 ITAU UNIBANCO HOLDING SA 1977971 $14,013,444.11 1.03% N/A
G6683N103 NU HOLDINGS LTD/CAYMAN ISLANDS 1680595 $13,999,356.35 1.03% N/A
B01C1P6 BANK CENTRAL ASIA TBK PT 22992800 $14,039,870.73 1.03% N/A
6606996 FIRSTRAND LTD 3462384 $13,891,372.02 1.02% N/A
B0J7D91 DAIICHI SANKYO CO LTD 493700 $13,555,088.81 0.99% N/A
BG36ZK1 B3 SA - BRASIL BOLSA BALCAO 4400300 $13,194,098.92 0.97% N/A
2945422 WEG SA 1307808 $9,976,772.59 0.73% N/A
722304102 PDD HOLDINGS INC 66339 $9,706,059.09 0.71% N/A
91912E105 VALE SA 613271 $9,726,478.06 0.71% N/A
Y1R0BL301 BUNDL TECHNOLOGIES PVT LTD SERIES K 1325 $8,896,023.92 0.65% N/A
KYG9808A1058 WUXI XDC CAYMAN INC RST 2067500 $8,472,546.82 0.62% N/A
4057808 LOREAL SA 16282 $8,118,055.67 0.60% N/A
04016X101 ARGENX SE 21099 $8,026,692.57 0.59% N/A
0045614 ANTOFAGASTA PLC 367398 $7,865,471.86 0.58% N/A
B08K3S0 LOCALIZA RENT A CAR SA 550275 $7,255,676.10 0.53% N/A
BQGZWP9 HAVELLS INDIA LTD 423372 $6,956,683.51 0.51% N/A
6196408 CHUGAI PHARMACEUTICAL CO LTD 171300 $6,529,957.21 0.48% N/A
6194037 KAKAO CORP 147746 $6,213,897.57 0.46% N/A
6450267 SK HYNIX INC 56653 $6,219,356.97 0.46% N/A
6294896 HCL TECHNOLOGIES LTD 341095 $6,003,206.28 0.44% N/A
P1506A107 BANCO SANTANDER CHILE 117136086 $5,721,688.13 0.42% N/A
BKPS6M2 NEW HORIZON HEALTH LTD 1715500 $5,087,092.24 0.37% N/A
669888109 NOVATEK PJSC 77683 $4,482,378.32 0.33% N/A
BL6B9P1 WUXI BIOLOGICS CAYMAN INC 942500 $3,564,659.62 0.26% N/A
N30577105 ERMENEGILDO ZEGNA NV 307765 $3,560,841.05 0.26% N/A
INR CURRENCY CASH 269572792 $3,239,716.88 0.24% N/A
6709099 BANK RAKYAT INDONESIA PERSERO TBK PT 8442900 $3,137,545.29 0.23% N/A
BMZ1C83 ZTO EXPRESS CAYMAN INC 146946 $3,088,471.37 0.23% N/A
6344456 LG H&H CO LTD 10559 $2,930,667.90 0.21% N/A
98887Q104 ZAI LAB LTD 98935 $2,703,893.55 0.20% N/A
07725L102 BEIGENE LTD 14602 $2,633,616.72 0.19% N/A
B3NS1W0 AREZZO INDUSTRIA E COMERCIO SA 198618 $2,641,281.72 0.19% N/A
ABOGENC97 ABOGEN THERAPEUTICS LIMITED SERIES C 70456 $2,246,982.75 0.16% N/A
B03MN70 AKBANK TAS 1703021 $2,101,466.55 0.15% N/A
6372480 MEDIATEK INC 57000 $1,888,997.25 0.14% N/A
BKDXJH5 BUDWEISER BREWING CO APAC LTD 786600 $1,474,591.91 0.11% N/A
BGJW376 MEITUAN 118879 $1,248,043.97 0.09% N/A
BRL CURRENCY CASH 5687066 $1,171,986.72 0.09% N/A
Y8076N112 SM PRIME HOLDINGS INC 1758200 $1,044,155.44 0.08% N/A
B4TX8S1 AIA GROUP LTD 94600 $824,399.55 0.06% N/A
P49501201 GRUPO FINANCIERO BANORTE SAB DE CV 73000 $734,183.42 0.05% N/A
B0D0006 BIM BIRLESIK MAGAZALAR AS 66463 $676,329.45 0.05% N/A
B7FQV64 RAIA DROGASIL SA 101300 $615,974.50 0.05% N/A
MXN CURRENCY CASH 8689429 $511,784.12 0.04% N/A
BMBQDF6 ALLEGRO.EU SA 53351 $451,532.38 0.03% N/A
BMB5YK5 H WORLD GROUP LTD 117800 $404,664.13 0.03% N/A
BNVT3F2 MICROTECH MEDICAL HANGZHOU CO LTD 411500 $337,565.17 0.02% N/A
AED CURRENCY CASH 0 $0.00 0.00% N/A
USDVND SPOT EXCHANGE RATE - PRICE OF 1 USD IN VND VND CURNCY 0 $0.00 0.00% N/A 01/03/2024
CLP CURRENCY CASH 1907995 $2,165.70 0.00% N/A
CASHCNY08 CNY CURRENCY CASH 0 $0.00 0.00% N/A
CASHJPY06 JPY CURRENCY CASH 21422 $151.90 0.00% 0.00
IDR CURRENCY CASH 0 $0.00 0.00% N/A
HKD CURRENCY CASH 855 $109.53 0.00% N/A
PHP CURRENCY CASH 0 $0.00 0.00% N/A
THB CURRENCY CASH 0 $0.00 0.00% N/A
ZAR CURRENCY CASH 2306 $126.08 0.00% N/A
BGLP232 MONCLER SPA 0 $0.00 0.00% N/A
CASHGBP00 GBP CURRENCY CASH 7068 $9,010.13 0.00% 0.00
CASHCHF02 CHF CURRENCY CASH 131 $155.93 0.00% 0.00
CASH SECURITY USD 0 $0.01 0.00% N/A
B56C9L8 SBERBANK OF RUSSIA PJSC 236824 $0.24 0.00% N/A
RUB CURRENCY CASH 5032510 $56,246.98 0.00% N/A
EGP CURRENCY CASH 0 $0.00 0.00% N/A
TRY CURRENCY CASH 178887 $6,056.67 0.00% N/A
CASHPLN00 PLN CURRENCY CASH 0 $0.00 0.00% 0.00
CASHKRW02 KRW CURRENCY CASH 2011 $1.56 0.00% 0.00
TWD CURRENCY CASH 12 $0.39 0.00% N/A
DKK CURRENCY CASH 0 $0.00 0.00% N/A
BNGB8K3 LOCALIZA RENT A CAR SA -RTS 1974 $8,136.01 0.00% N/A 02/05/2024
CASHEUR08 EUR CURRENCY CASH 433 $478.42 0.00% 0.00

For the Invesco Stable Value Trust and IBEW-NECA Stable Value Trust, the underlying Invesco Group Trust portfolio holdings information is available every 10th business day following month end. Please contact your client representative to obtain this information.

** Not Annualized if less than one year. Since Inception performance is as of the first full month the fund was open.

Total return assumes reinvestment of dividends and capital gains for the periods indicated. Past performance is no guarantee of future results.

The monthly adjusted returns are compounded and then annualized to compute the long-term results. Individual Plan performance may vary depending upon the timing of contributions and withdrawals. Investment return and principal value will fluctuate so that, when redeemed, an investor's shares may be worth more or less than when originally purchased.

As with all investments, there are associated risks. Please obtain and read all information carefully before making investment decisions.

Indices presented for comparison are unmanaged and considered to be representative of the stock or bond markets in general. Investors cannot invest directly in an index.

The Invesco Collective Trust Funds are bank collective trust funds for which Invesco Trust Company serves as trustee and investment manager. The funds are not FDIC-insured or registered with the Securities and Exchange Commission. Fund investors and potential investors are strongly encouraged to review the funds' Declaration of Trust for additional information regarding the operation and investment objectives of the funds.

All material presented is compiled from sources believed to be reliable and current, but accuracy cannot be guaranteed. This is not to be construed as an offer to buy or sell any financial instruments. It is not our intention to state, indicate or imply in any manner that current or past results are indicative of future profitability or expectations. As with all investments there are associated inherent risks. Please obtain and review all financial material carefully before investing.

When evaluating whether a fund is appropriate for your investment goals, fund performance, fees and expenses are only a few of the criteria you should consider. You may also consider the investment objective, strategy and risks.

Invesco Custom Intermediate Index, consisting of the following percentages of the Bloomberg Barclays US bond indices (the "Underlying Benchmark Indices"): 30% Intermediate US Treasury, 25% US MBS, 5% CMBS ERISA eligible AAA, 30% USD Corporate 1-5 Year, and 10% Intermediate Corporate (the "Index"). The Underlying Benchmark Indices, including percentages, may be changed from time to time when the investment manager and sub-adviser believe that such changes will benefit the Fund and its investors, without prior notice to investors. Information about the Index and the Underlying Benchmark Indices is available upon request.