Invesco Balanced-Risk Retirement 2050 Fund Class C (TNECX)

8.21
Net Asset Value
+0.37%
1 Day
+4.32%
Year-to-Date
Overall Morningstar Rating
Target date 2046-2050
Style or Category
No Load
Sales Expenses
3.17%
Expense Ratio
Low
Morningstar Risk Rating™
Investment Objective The investment seeks to provide total return with a low to moderate correlation to traditional financial market indices, and as a secondary objective, capital preservation. The fund seeks to meet its investment objective by building a portfolio that includes Invesco Balanced-Risk Allocation Fund, Invesco Balanced-Risk Aggressive Allocation Fund and two affiliated money market funds, Liquid Assets Portfolio and Premier Portfolio. The fund is designed for investors who expect to need all or most of their money in the fund at retirement and for investors who plan to withdraw the value of their account in the fund gradually after retirement.

Performance

1 month+1.86% 3 years+5.77%
3 months+2.34% 5 years+9.11%
1 year+9.09% Since inception+2.34%
Data through --

Peer Comparisonvs. Target date 2046-2050

 TNECXCategory
Performance 5-yr return+9.11%+10.07%
Expense ratio3.17%1.04%
Risk 5 year sharpe ratio1.200.88
Net assets$50.6M$600.1M
Average market cap--$31.2B
Average P/E--18.1
Portfolio turnover93%93%

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Fund Management and Purchase Info

Fund familyInvesco
Fund manager & tenureMark Ahnrud / 5 Years
Minimal initial investment$1,000.00
Minimum IRA investment$250.00

Holdings

Fixed income57.74%
Cash23.26%
U.S. stock19.01%
International stock0.00%
Other0.00%
Top 5 Sectors
Portfolio weighting
Financial service 24.47%
Industrial materials 11.18%
Consumer service 10.51%
Consumer goods 10.29%
Healthcare 9.90%
Top 10 Holdings
Portfolio weighting
-- 83.53%
ALLFX Invesco Balanced-Risk Allocation Fund Class R615.41%

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