Quarterly Portfolio Holdings

as of 03/31/2024

Invesco Diversified Dividend Trust - Class C

CUSIP Security Name Share/Par Market Value %TNA Moody Rating Coupon/Div Yield Maturity Date
46625H100 JPMORGAN CHASE & CO 12851 $2,574,055.30 2.99% N/A
931142103 WALMART INC 40821 $2,464,669.93 2.86% N/A
166764100 CHEVRON CORP 15477 $2,441,341.98 2.84% N/A
CASHUSD00 USD CURRENCY CASH 2419763 $2,419,762.58 2.81% 0.00
58933Y105 MERCK & CO INC 16515 $2,193,000.39 2.55% N/A
949746101 WELLS FARGO & CO 34254 $1,985,361.84 2.31% N/A
617446448 MORGAN STANLEY 20583 $1,938,095.28 2.25% N/A
718172109 PHILIP MORRIS INTERNATIONAL INC 19807 $1,840,466.44 2.14% N/A
032654105 ANALOG DEVICES INC 8893 $1,758,946.47 2.04% N/A
026874784 AMERICAN INTERNATIONAL GROUP INC 22130 $1,729,902.10 2.01% N/A
075887109 BECTON DICKINSON & CO 6980 $1,727,201.00 2.01% N/A
20825C104 CONOCOPHILLIPS 13274 $1,689,514.72 1.96% N/A
254687106 WALT DISNEY CO/THE 13729 $1,679,880.44 1.95% N/A
594918104 MICROSOFT CORP 3947 $1,660,581.84 1.93% N/A
194162103 COLGATE-PALMOLIVE CO 17587 $1,583,709.35 1.84% N/A
693475105 PNC FINANCIAL SERVICES GROUP INC/THE 9676 $1,563,641.60 1.82% N/A
478160104 JOHNSON & JOHNSON 9900 $1,566,081.00 1.82% N/A
92826C839 VISA INC 5322 $1,485,263.76 1.73% N/A
91324P102 UNITEDHEALTH GROUP INC 2998 $1,483,110.60 1.72% N/A
G25508105 CRH PLC 16893 $1,463,102.73 1.70% N/A
580135101 MCDONALDS CORP 5161 $1,455,143.95 1.69% N/A
369604301 GENERAL ELECTRIC CO 8067 $1,416,000.51 1.65% N/A
907818108 UNION PACIFIC CORP 5711 $1,404,506.23 1.63% N/A
548661107 LOWES COS INC 5290 $1,347,521.70 1.57% N/A
98956P102 ZIMMER BIOMET HOLDINGS INC 10220 $1,351,288.40 1.57% N/A
701094104 PARKER-HANNIFIN CORP 2368 $1,316,110.72 1.53% N/A
29364G103 ENTERGY CORP 11628 $1,228,847.04 1.43% N/A
H84989104 TE CONNECTIVITY LTD 8275 $1,201,861.00 1.40% N/A
74340W103 PROLOGIS INC 9049 $1,178,360.78 1.37% N/A
565849106 MARATHON OIL CORP 41426 $1,174,012.84 1.36% N/A
09247X101 BLACKROCK INC 1406 $1,172,182.20 1.36% N/A
808513105 CHARLES SCHWAB CORP/THE 15247 $1,102,967.98 1.28% N/A
26614N102 DUPONT DE NEMOURS INC 14127 $1,083,117.09 1.26% N/A
416515104 HARTFORD FINANCIAL SERVICES GROUP INC/THE 10067 $1,042,681.04 1.21% N/A
H57312649 NESTLE SA 9813 $1,041,852.58 1.21% N/A
0989529 ASTRAZENECA PLC 7655 $1,031,519.07 1.20% N/A
025816109 AMERICAN EXPRESS CO 4548 $1,035,534.12 1.20% N/A
693506107 PPG INDUSTRIES INC 7087 $1,026,906.30 1.19% N/A
69351T106 PPL CORP 36038 $1,001,405.93 1.16% N/A
911312106 UNITED PARCEL SERVICE INC 6665 $990,618.95 1.15% N/A
126650100 CVS HEALTH CORP 12451 $993,091.76 1.15% N/A
G51502105 JOHNSON CONTROLS INTERNATIONAL PLC 14915 $979,766.35 1.14% N/A
871829107 SYSCO CORP 11908 $966,691.44 1.12% N/A
G1151C101 ACCENTURE PLC 2773 $961,149.53 1.12% N/A
666807102 NORTHROP GRUMMAN CORP 1985 $950,140.10 1.10% N/A
149123101 CATERPILLAR INC 2567 $940,625.81 1.09% N/A
12572Q105 CME GROUP INC 4371 $941,032.59 1.09% N/A
855244109 STARBUCKS CORP 10044 $917,921.16 1.07% N/A
5842359 DEUTSCHE TELEKOM AG 37081 $900,317.41 1.05% N/A
21036P108 CONSTELLATION BRANDS INC 3285 $892,731.60 1.04% N/A
512807108 LAM RESEARCH CORP 853 $830,455.21 0.97% N/A
025537101 AMERICAN ELECTRIC POWER CO INC 9675 $833,017.50 0.97% N/A
863667101 STRYKER CORP 2294 $822,788.98 0.96% N/A
443510607 HUBBELL INC 1986 $824,289.30 0.96% N/A
962166104 WEYERHAEUSER CO 22830 $819,825.30 0.95% N/A
24703L202 DELL TECHNOLOGIES INC 7038 $803,106.18 0.93% N/A
461202103 INTUIT INC 1216 $790,400.00 0.92% N/A
053015103 AUTOMATIC DATA PROCESSING INC 3133 $786,821.62 0.91% N/A
H0010V101 ABB LTD 16548 $768,637.49 0.89% N/A
291011104 EMERSON ELECTRIC CO 6786 $769,668.12 0.89% N/A
92939U106 WEC ENERGY GROUP INC 8447 $693,667.64 0.81% N/A
872540109 TJX COS INC/THE 6431 $652,232.02 0.76% N/A
285512109 ELECTRONIC ARTS INC 4846 $642,918.82 0.75% N/A
BCRWZ18 CIE FINANCIERE RICHEMONT SA 4150 $632,727.17 0.74% N/A
744573106 PUBLIC SERVICE ENTERPRISE GROUP INC 9055 $604,692.90 0.70% N/A
316773100 FIFTH THIRD BANCORP 14926 $560,620.56 0.65% N/A
023608102 AMEREN CORP 7284 $538,724.64 0.63% N/A
16411R208 CHENIERE ENERGY INC 3127 $504,322.56 0.59% N/A
11135F101 BROADCOM INC 381 $504,981.21 0.59% N/A
7333378 LONZA GROUP AG 818 $489,974.61 0.57% N/A
4057808 LOREAL SA 1008 $477,133.99 0.55% N/A
237194105 DARDEN RESTAURANTS INC 2690 $449,633.50 0.52% N/A
59522J103 MID-AMERICA APARTMENT COMMUNITIES INC 3159 $415,661.22 0.48% N/A
142339100 CARLISLE COS INC 878 $344,044.30 0.40% N/A
34964C106 FORTUNE BRANDS INNOVATIONS INC 1156 $97,878.52 0.11% N/A
501889208 LKQ CORP 815 $43,529.15 0.05% N/A
CASHGBP00 GBP CURRENCY CASH 18811 $23,738.40 0.03% 0.00
CASHCHF02 CHF CURRENCY CASH 9488 $10,520.08 0.01% 0.00
CASHCAD09 CAD CURRENCY CASH 204 $150.22 0.00% 0.00
CASHEUR08 EUR CURRENCY CASH 181 $194.81 0.00% 0.00
87612E106 TARGET CORP 0 $0.00 0.00% N/A
CASH SECURITY USD 0 $0.01 0.00% N/A
CASHAUD07 AUD CURRENCY CASH 39 $25.11 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.