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Our Prices

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Invesco Perpetual Asian Equity Income Fund

Prices for Asian Equity Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.6214 0.6160 (0.0054) 3.47 0.6533 0.5292
Accumulation (No Trail) 1.2656 1.2545 (0.0111) 3.46 1.3295 1.0737
Income 0.5495 0.5447 (0.0048) 3.57 0.5777 0.4766
Income (No Trail) 1.1192 1.1094 (0.0098) 3.56 1.1757 0.9672
Y (Acc) 2.2257 2.2061 (0.0196) 3.47 2.3370 2.0000
Y (Inc) 2.1850 2.1657 (0.0193) 3.47 2.2943 2.0000
Z (Acc) 2.3413 2.3207 (0.0206) 3.44 2.4587 1.9825
Z (Inc) 2.1778 2.1586 (0.0192) 3.54 2.2869 1.8784

Invesco Perpetual Asian Fund

Prices for Asian Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 4.5431 4.4766 (0.0665) 0.64 4.7914 3.8250
Accumulation (No Trail) 1.8940 1.8663 (0.0277) 1.09 1.9961 1.5887
Income 4.1124 4.0522 (0.0602) 0.65 4.3371 3.4624
Income (No Trail) 1.7440 1.7184 (0.0256) 1.10 1.8379 1.4629
Y (Acc) 2.2445 2.2116 (0.0329) 1.41 2.3644 1.9955
Y (Inc) 2.2445 2.2116 (0.0329) 1.41 2.3644 1.9954
Z (Acc) 2.4475 2.4116 (0.0359) 1.32 2.5785 2.0492
Z (Inc) 2.3926 2.3576 (0.0350) 1.34 2.5206 2.0033

Invesco Perpetual Balanced Risk 10 Fund

Prices for Balanced Risk 10 Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.5657 0.5615 (0.0042) 0.25 0.5824 0.5220
Accumulation (No Trail) 1.1464 1.1380 (0.0084) 0.62 1.1793 1.0533
Y (Acc) 2.1006 2.0850 (0.0156) 0.97 2.1599 1.9995
Z (Acc) 2.2395 2.2229 (0.0166) 0.71 2.3029 2.0546

Invesco Perpetual Balanced Risk 6 Fund

Prices for Balanced Risk 6 Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.5316 0.5287 (0.0029) N/A 0.5405 0.5070
Accumulation (No Trail) 1.0778 1.0718 (0.0060) 0.19 1.0951 1.0230
Y (Acc) 2.0615 2.0499 (0.0116) 0.45 2.0937 1.9999
Z (Acc) 2.1363 2.1243 (0.0120) 0.29 2.1698 2.0245

Invesco Perpetual Balanced Risk 8 Fund

Prices for Balanced Risk 8 Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.5480 0.5448 (0.0032) 0.03 0.5612 0.5148
Accumulation (No Trail) 1.1107 1.1042 (0.0065) 0.41 1.1366 1.0388
Y (Acc) 2.0799 2.0676 (0.0123) 0.76 2.1274 1.9998
Z (Acc) 2.1765 2.1636 (0.0129) 0.51 2.2263 2.0324

Invesco Perpetual Children's Fund

Prices for Children's Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 3.7928 3.6985 (0.0943) 1.60 4.0596 3.5125
Y (Acc) 1.9580 1.9093 (0.0487) 2.39 2.0409 1.8127
Z (Acc) 2.8499 2.7790 (0.0709) 2.26 3.0348 2.6385

Invesco Perpetual Corporate Bond Fund

Prices for Corporate Bond Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.8044 1.8043 (0.0001) 3.86 1.8104 1.7259
Accumulation (Gross) 2.0123 2.0121 (0.0002) 3.86 2.0183 1.9109
Accumulation (No Trail Gross) 2.2594 2.2593 (0.0001) 4.11 2.2659 2.1405
Accumulation (No Trail) 1.6024 1.6023 (0.0001) 4.11 1.6076 1.5299
Income 0.8992 0.8992 (0.0000) 3.86 0.9022 0.8734
Income (Gross) 0.9031 0.9031 (0.0000) 3.86 0.9058 0.8742
Income (No Trail Gross) 2.1183 2.1181 (0.0002) 4.11 2.1243 2.0482
Income (No Trail) 1.1895 1.1894 (0.0001) 4.11 1.1934 1.1543
Y (Acc) 2.0497 2.0496 (0.0001) 4.41 2.0561 2.0000
Y (Acc) Gross 2.0610 2.0609 (0.0001) 4.40 2.0667 2.0000
Y (Inc) 2.0150 2.0148 (0.0002) 4.41 2.0213 1.9830
Y (Inc) Gross 2.0168 2.0166 (0.0002) 4.40 2.0223 1.9759
Z (Acc) 2.2294 2.2293 (0.0001) 4.36 2.2364 2.1247
Z (Acc) Gross 2.2707 2.2705 (0.0002) 4.35 2.2770 2.1460
Z (Inc) 2.1121 2.1120 (0.0001) 4.36 2.1187 2.0480
Z (Inc) Gross 2.1221 2.1219 (0.0002) 4.35 2.1280 2.0496

Invesco Perpetual Distribution Fund

Prices for Distribution Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.0683 1.0617 (0.0066) 4.01 1.0860 1.0207
Accumulation (Gross) 1.2117 1.2042 (0.0075) 4.00 1.2305 1.1488
Accumulation (No Trail Gross) 2.4383 2.4232 (0.0151) 4.00 2.4742 2.3010
Accumulation (No Trail) 1.6304 1.6204 (0.0100) 4.00 1.6562 1.5507
Income 0.6464 0.6425 (0.0039) 4.01 0.6632 0.6311
Income (Gross) 0.6467 0.6427 (0.0040) 4.01 0.6635 0.6312
Income (No Trail Gross) 2.2242 2.2105 (0.0137) 4.01 2.2769 2.1705
Income (No Trail) 1.1232 1.1162 (0.0070) 4.01 1.1500 1.0963
Y (Acc) 2.0290 2.0165 (0.0125) 4.00 2.0602 1.9804
Y (Acc) Gross 2.0396 2.0270 (0.0126) 4.00 2.0688 1.9864
Y (Inc) 1.9854 1.9731 (0.0123) 4.01 2.0305 1.9378
Y (Inc) Gross 1.9848 1.9725 (0.0123) 4.01 2.0295 1.9368
Z (Acc) 2.4025 2.3877 (0.0148) 4.00 2.4396 2.2808
Z (Acc) Gross 2.4477 2.4326 (0.0151) 4.00 2.4829 2.3057
Z (Inc) 2.2321 2.2183 (0.0138) 4.01 2.2835 2.1786
Z (Inc) Gross 2.2328 2.2190 (0.0138) 4.01 2.2836 2.1787

Invesco Perpetual Emerging Countries Fund

Prices for Emerging Countries Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 2.5658 2.5332 (0.0326) 0.45 2.7314 2.2050
Accumulation (No Trail) 1.6729 1.6516 (0.0213) 0.92 1.7796 1.4324
Income 2.3344 2.3047 (0.0297) 0.46 2.4851 2.0155
Income (No Trail) 1.5768 1.5567 (0.0201) 0.92 1.6773 1.3629
Y (Acc) 2.2052 2.1771 (0.0281) 1.23 2.3448 1.9956
Y (Inc) 2.1782 2.1504 (0.0278) 1.23 2.3160 1.9955
Z (Acc) 2.4120 2.3813 (0.0307) 1.15 2.5649 2.0614
Z (Inc) 2.3514 2.3215 (0.0299) 1.17 2.5004 2.0336

Invesco Perpetual Emerging European Fund

Prices for Emerging European Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.3833 0.3754 (0.0079) 2.38 0.4730 0.3592
Accumulation (No Trail) 0.7934 0.7769 (0.0165) 2.91 0.9739 0.7411
Income 0.3587 0.3512 (0.0075) 2.44 0.4534 0.3410
Income (No Trail) 0.7232 0.7082 (0.0150) 3.00 0.9144 0.6875
Y (Acc) 1.9874 1.9461 (0.0413) 3.18 2.1776 1.8892
Y (Inc) 1.9248 1.8848 (0.0400) 3.18 2.1776 1.8297
Z (Acc) 1.9102 1.8705 (0.0397) 3.11 2.3403 1.7816
Z (Inc) 1.8032 1.7657 (0.0375) 3.21 2.2803 1.7141

Invesco Perpetual European Equity Fund

Prices for European Equity Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 7.8927 7.6336 (0.2591) 1.14 8.5871 7.1790
Accumulation (No Trail) 1.3863 1.3408 (0.0455) 1.54 1.5053 1.2607
Income 6.8267 6.6026 (0.2241) 1.15 7.4273 6.2094
Income (No Trail) 1.2032 1.1637 (0.0395) 1.56 1.3065 1.0942
Y (Acc) 1.9194 1.8563 (0.0631) 1.95 2.0815 1.7452
Y (Inc) 1.9193 1.8563 (0.0630) 1.95 2.0815 1.7452
Z (Acc) 3.0992 2.9974 (0.1018) 1.90 3.3620 2.8181
Z (Inc) 3.0439 2.9439 (0.1000) 1.90 3.3019 2.7678

Invesco Perpetual European Equity Income Fund

Prices for European Equity Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.6985 0.6774 (0.0211) 2.30 0.7584 0.6358
Accumulation (No Trail) 1.4314 1.3883 (0.0431) 2.29 1.5512 1.3027
Income 0.5581 0.5413 (0.0168) 2.34 0.6060 0.5081
Income (No Trail) 1.1441 1.1096 (0.0345) 2.33 1.2398 1.0412
Y (Acc) 1.9259 1.8678 (0.0581) 2.30 2.0845 1.7525
Y (Inc) 1.9044 1.8470 (0.0574) 2.30 2.0612 1.7330
Z (Acc) 3.1002 3.0067 (0.0935) 2.30 3.3563 2.8212
Z (Inc) 2.9777 2.8879 (0.0898) 2.30 3.2238 2.7097

Invesco Perpetual European High Income Fund

Prices for European High Income Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.7886 0.7825 (0.0061) 3.11 0.8094 0.7578
Accumulation (No Trail) 1.6179 1.6054 (0.0125) 3.11 1.6580 1.5491
Income 0.5920 0.5874 (0.0046) 3.17 0.6131 0.5778
Income (No Trail) 1.2145 1.2051 (0.0094) 3.16 1.2557 1.1852
Y (Acc) 1.9882 1.9729 (0.0153) 3.11 2.0359 1.9401
Y (Inc) 1.9475 1.9325 (0.0150) 3.11 2.0120 1.9004
Z (Acc) 2.5206 2.5012 (0.0194) 3.11 2.5816 2.4106
Z (Inc) 2.3707 2.3523 (0.0184) 3.16 2.4495 2.3133

Invesco Perpetual European Opportunities Fund

Prices for European Opportunities Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.7575 0.7407 (0.0168) 0.43 0.8494 0.6924
Accumulation (No Trail) 1.5777 1.5427 (0.0350) 0.85 1.7656 1.4418
Income 0.7410 0.7246 (0.0164) 0.43 0.8309 0.6773
Income (No Trail) 1.5077 1.4743 (0.0334) 0.86 1.6873 1.3779
Y (Acc) 1.8214 1.7810 (0.0404) 1.24 2.0358 1.6643
Y (Inc) 1.8214 1.7810 (0.0404) 1.24 2.0357 1.6643
Z (Acc) 2.9014 2.8371 (0.0643) 1.19 3.2438 2.6513
Z (Inc) 2.8708 2.8072 (0.0636) 1.19 3.2096 2.6234

Invesco Perpetual European Smaller Companies Fund

Prices for European Smaller Companies Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.6054 1.5744 (0.0310) N/A 1.8641 1.4713
Accumulation (No Trail) 1.9614 1.9235 (0.0379) 0.49 2.2730 1.7971
Y (Acc) 1.7880 1.7535 (0.0345) 0.82 2.0697 1.6381
Z (Acc) 2.8727 2.8172 (0.0555) 0.75 3.3256 2.6319

Invesco Perpetual Global Balanced Index Fund

Prices for Global Balanced Index Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation (No Trail) 1.4979 1.4769 (0.0210) 1.67 1.5261 1.3622

Invesco Perpetual Global Bond Fund

Prices for Global Bond Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.2074 1.2068 (0.0006) 1.24 1.2145 1.1597
Accumulation (Gross) 1.2819 1.2812 (0.0007) 1.24 1.2892 1.2303
Accumulation (No Trail Gross) 2.0821 2.0810 (0.0011) 1.49 2.0937 1.9968
Accumulation (No Trail) 1.3540 1.3534 (0.0006) 1.49 1.3618 1.2997
Income 0.8021 0.8017 (0.0004) 1.24 0.8068 0.7704
Income (Gross) 0.8034 0.8030 (0.0004) 1.24 0.8079 0.7710
Income (No Trail Gross) 2.0370 2.0360 (0.0010) 1.49 2.0484 1.9536
Income (No Trail) 1.2452 1.2446 (0.0006) 1.49 1.2524 1.1953
Y (Acc) 2.0549 2.0538 (0.0011) 1.78 2.0665 1.9710
Y (Acc) Gross 2.0594 2.0584 (0.0010) 1.78 2.0707 1.9733
Y (Inc) 2.0425 2.0415 (0.0010) 1.78 2.0541 1.9592
Y (Inc) Gross 2.0434 2.0424 (0.0010) 1.78 2.0546 1.9580
Z (Acc) 2.0778 2.0767 (0.0011) 1.74 2.0896 1.9933
Z (Acc) Gross 2.0926 2.0916 (0.0010) 1.73 2.1041 2.0054
Z (Inc) 2.0360 2.0350 (0.0010) 1.74 2.0476 1.9533
Z (Inc) Gross 2.0398 2.0387 (0.0011) 1.73 2.0509 1.9547

Invesco Perpetual Global Distribution Fund

Prices for Global Distribution Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.5087 0.5058 (0.0029) 4.73 0.5162 0.4929
Accumulation (Gross) 0.5105 0.5077 (0.0028) 4.73 0.5177 0.4946
Accumulation (No Trail Gross) 1.0235 1.0177 (0.0058) 4.73 1.0374 0.9913
Accumulation (No Trail) 1.0196 1.0138 (0.0058) 4.73 1.0342 0.9878
Income 0.5022 0.4993 (0.0029) 4.74 0.5133 0.4866
Income (Gross) 0.5024 0.4996 (0.0028) 4.74 0.5133 0.4867
Income (No Trail Gross) 1.0072 1.0015 (0.0057) 4.74 1.0270 0.9755
Income (No Trail) 1.0066 1.0009 (0.0057) 4.74 1.0268 0.9752
Y (Acc) 2.0417 2.0302 (0.0115) 4.73 2.0705 1.9779
Y (Acc) Gross 2.0497 2.0381 (0.0116) 4.73 2.0768 1.9850
Y (Inc) 2.0156 2.0042 (0.0114) 4.74 2.0542 1.9526
Y (Inc) Gross 2.0171 2.0056 (0.0115) 4.74 2.0545 1.9534
Z (Acc) 2.0412 2.0297 (0.0115) 4.73 2.0701 1.9775
Z (Acc) Gross 2.0493 2.0377 (0.0116) 4.73 2.0765 1.9847
Z (Inc) 2.0152 2.0038 (0.0114) 4.74 2.0541 1.9523
Z (Inc) Gross 2.0167 2.0053 (0.0114) 4.74 2.0544 1.9531

Invesco Perpetual Global Equity Fund

Prices for Global Equity Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 4.4849 4.3850 (0.0999) 0.47 4.6969 4.1563
Accumulation (No Trail) 1.9695 1.9257 (0.0438) 0.96 2.0611 1.8248
Income 4.0907 3.9996 (0.0911) 0.47 4.2840 3.7909
Income (No Trail) 1.8432 1.8021 (0.0411) 0.97 1.9289 1.7078
Y (Acc) 2.0217 1.9766 (0.0451) 1.27 2.1148 1.8729
Y (Inc) 1.9967 1.9522 (0.0445) 1.27 2.0887 1.8498
Z (Acc) 2.8286 2.7656 (0.0630) 1.21 2.9591 2.6205
Z (Inc) 2.7603 2.6987 (0.0616) 1.22 2.8876 2.5572

Invesco Perpetual Global Equity Income Fund

Prices for Global Equity Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.1271 1.1088 (0.0183) 3.09 1.1553 1.0531
Accumulation (No Trail) 2.3195 2.2818 (0.0377) 3.08 2.3758 2.1668
Income 0.9473 0.9319 (0.0154) 3.16 0.9818 0.8850
Income (No Trail) 1.9494 1.9176 (0.0318) 3.16 2.0164 1.8209
Y (Acc) 2.0381 2.0049 (0.0332) 3.09 2.0867 1.9037
Y (Inc) 1.9926 1.9601 (0.0325) 3.09 2.0586 1.8611
Z (Acc) 2.6975 2.6536 (0.0439) 3.07 2.7620 2.5196
Z (Inc) 2.5456 2.5041 (0.0415) 3.15 2.6304 2.3775

Invesco Perpetual Global ex UK Core Equity Index Fund

Prices for Global ex UK Core Equity Index Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation (No Trail) 1.6036 1.5865 (0.0171) 1.26 1.6335 1.4124

Invesco Perpetual Global ex UK Enhanced Index Fund

Prices for Global ex UK Enhanced Index Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation (No Trail) 1.8647 1.8463 (0.0184) 1.68 1.8989 1.6445

Invesco Perpetual Global Financial Capital Fund

Prices for Global Financial Capital Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.8436 0.8392 (0.0044) 5.06 0.8557 0.7886
Accumulation (Gross) 0.8731 0.8685 (0.0046) 5.06 0.8820 0.8080
Accumulation (No Trail Gross) 2.6397 2.6258 (0.0139) 5.05 2.6623 2.4308
Accumulation (No Trail) 1.7103 1.7013 (0.0090) 5.06 1.7314 1.5909
Income 0.7541 0.7502 (0.0039) 5.06 0.7649 0.7185
Income (Gross) 0.7589 0.7549 (0.0040) 5.06 0.7677 0.7192
Income (No Trail Gross) 2.4225 2.4097 (0.0128) 5.05 2.4445 2.2845
Income (No Trail) 1.5291 1.5210 (0.0081) 5.06 1.5479 1.4497
Y (Acc) 2.0408 2.0301 (0.0107) 5.06 2.0639 1.9888
Y (Acc) Gross 2.0531 2.0423 (0.0108) 5.05 2.0701 1.9895
Y (Inc) 2.0024 1.9919 (0.0105) 5.06 2.0251 1.9624
Y (Inc) Gross 2.0049 1.9944 (0.0105) 5.05 2.0216 1.9641
Z (Acc) 2.5883 2.5747 (0.0136) 5.06 2.6183 2.4037
Z (Acc) Gross 2.6472 2.6332 (0.0140) 5.05 2.6693 2.4338
Z (Inc) 2.4165 2.4037 (0.0128) 5.06 2.4444 2.2872
Z (Inc) Gross 2.4294 2.4166 (0.0128) 5.05 2.4496 2.2872

Invesco Perpetual Global Opportunities Fund

Prices for Global Opportunities Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.8933 0.8713 (0.0220) 0.46 0.9160 0.8227
Accumulation (No Trail) 2.2867 2.2304 (0.0563) 0.95 2.3356 2.1057
Y (Acc) 2.0197 1.9699 (0.0498) 1.24 2.0507 1.8595
Z (Acc) 2.9582 2.8854 (0.0728) 1.19 3.0155 2.7237

Invesco Perpetual Global Smaller Companies Fund

Prices for Global Smaller Companies Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 15.6780 15.5313 (0.1467) N/A 16.3511 14.7014
Accumulation (No Trail) 2.2787 2.2573 (0.0214) 0.39 2.3748 2.1363
Income 14.9974 14.8571 (0.1403) N/A 15.6413 14.0632
Income (No Trail) 2.1918 2.1712 (0.0206) 0.39 2.2842 2.0548
Y (Acc) 2.0418 2.0227 (0.0191) 0.79 2.1270 1.9140
Y (Inc) 2.0278 2.0088 (0.0190) 0.79 2.1123 1.9008
Z (Acc) 2.8137 2.7874 (0.0263) 0.63 2.9314 2.6352
Z (Inc) 2.7708 2.7448 (0.0260) 0.64 2.8866 2.5974

Invesco Perpetual Global Targeted Returns Fund

Prices for Global Targeted Returns Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.5452 0.5455 (0.0003) 0.54 0.5504 0.5154
Accumulation (No Trail) 1.0961 1.0967 (0.0006) 0.94 1.1063 1.0320
Y (Acc) 2.0554 2.0564 (0.0010) 1.13 2.0736 1.9961
Z (Acc) 2.1973 2.1984 (0.0011) 1.09 2.2170 2.0650

Invesco Perpetual High Income Fund

Prices for High Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 7.4569 7.3239 (0.1330) 3.18 7.5693 6.7398
Accumulation (No Trail) 1.5863 1.5579 (0.0284) 3.17 1.6092 1.4274
Income 4.2462 4.1704 (0.0758) 3.26 4.3250 3.9621
Income (No Trail) 1.2039 1.1824 (0.0215) 3.25 1.2240 1.1192
Y (Acc) 2.0982 2.0607 (0.0375) 3.18 2.1279 1.9582
Y (Inc) 2.0564 2.0196 (0.0368) 3.18 2.0881 1.9268
Z (Acc) 2.7510 2.7019 (0.0491) 3.16 2.7901 2.4700
Z (Inc) 2.5685 2.5226 (0.0459) 3.24 2.6089 2.3831

Invesco Perpetual High Yield Fund

Prices for High Yield Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.0660 1.0674 (0.0014) 4.57 1.0760 1.0267
Accumulation (Gross) 1.2307 1.2323 (0.0016) 4.57 1.2410 1.1758
Accumulation (No Trail Gross) 2.3953 2.3984 (0.0031) 4.57 2.4140 2.2776
Accumulation (No Trail) 2.1976 2.2005 (0.0029) 4.57 2.2171 2.1068
Income 0.4434 0.4440 (0.0006) 4.57 0.4514 0.4380
Income (Gross) 0.4446 0.4452 (0.0006) 4.57 0.4523 0.4384
Income (No Trail Gross) 2.1958 2.1986 (0.0028) 4.57 2.2294 2.1566
Income (No Trail) 1.7029 1.7052 (0.0023) 4.57 1.7304 1.6755
Y (Acc) 2.0313 2.0339 (0.0026) 4.57 2.0487 1.9991
Y (Acc) Gross 2.0417 2.0443 (0.0026) 4.57 2.0571 2.0000
Y (Inc) 1.9941 1.9967 (0.0026) 4.57 2.0244 1.9841
Y (Inc) Gross 1.9950 1.9976 (0.0026) 4.57 2.0238 1.9844
Z (Acc) 2.3558 2.3588 (0.0030) 4.57 2.3761 2.2549
Z (Acc) Gross 2.4025 2.4056 (0.0031) 4.57 2.4207 2.2807
Z (Inc) 2.1950 2.1979 (0.0029) 4.57 2.2289 2.1565
Z (Inc) Gross 2.1990 2.2018 (0.0028) 4.57 2.2312 2.1568

Invesco Perpetual Hong Kong & China Fund

Prices for Hong Kong & China Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 4.5058 4.4480 (0.0578) 0.70 4.8119 3.9085
Accumulation (No Trail) 1.7777 1.7549 (0.0228) 1.13 1.8971 1.5383
Y (Acc) 2.1937 2.1655 (0.0282) 1.48 2.3400 1.8956
Z (Acc) 2.7474 2.7121 (0.0353) 1.34 2.9309 2.3746

Invesco Perpetual Income & Growth Fund

Prices for Income & Growth Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 8.8606 8.6817 (0.1789) 3.39 9.1909 8.2659
Accumulation (No Trail) 2.0752 2.0332 (0.0420) 3.37 2.1483 1.9355
Income 3.9919 3.9113 (0.0806) 3.48 4.2242 3.7240
Income (No Trail) 1.7059 1.6714 (0.0345) 3.46 1.8015 1.5910
Y (Acc) 2.0259 1.9849 (0.0410) 3.39 2.0947 1.8893
Y (Inc) 1.9859 1.9458 (0.0401) 3.39 2.0948 1.8520
Z (Acc) 2.6037 2.5511 (0.0526) 3.37 2.6928 2.4282
Z (Inc) 2.4264 2.3774 (0.0490) 3.46 2.5599 2.2629

Invesco Perpetual Income Fund

Prices for Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 28.8898 28.4079 (0.4819) 3.19 29.3767 26.1996
Accumulation (No Trail) 1.5793 1.5530 (0.0263) 3.18 1.6050 1.4259
Income 16.5437 16.2678 (0.2759) 3.27 17.1056 15.5043
Income (No Trail) 1.1905 1.1707 (0.0198) 3.26 1.2302 1.1108
Y (Acc) 2.0918 2.0568 (0.0350) 3.19 2.1251 1.9579
Y (Inc) 2.0244 1.9906 (0.0338) 3.19 2.0911 1.9022
Z (Acc) 2.7630 2.7168 (0.0462) 3.18 2.8071 2.4891
Z (Inc) 2.5846 2.5415 (0.0431) 3.26 2.6700 2.4060

Invesco Perpetual Japan Fund

Prices for Japan Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 2.7993 2.6922 (0.1071) 0.16 2.9263 2.5104
Accumulation (No Trail) 1.3232 1.2726 (0.0506) 0.62 1.3777 1.1838
Y (Acc) 2.1421 2.0602 (0.0819) 0.95 2.1732 1.9137
Z (Acc) 3.1302 3.0105 (0.1197) 0.88 3.2527 2.7971

Invesco Perpetual Japanese Smaller Companies Fund

Prices for Japanese Smaller Companies Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.6584 0.6390 (0.0194) N/A 0.7429 0.5811
Accumulation (No Trail) 1.6684 1.6192 (0.0492) N/A 1.8755 1.4694
Y (Acc) 1.9645 1.9065 (0.0580) 0.56 2.0492 1.7277
Z (Acc) 3.0201 2.9309 (0.0892) 0.07 3.3883 2.6568

Invesco Perpetual Latin American Fund

Prices for Latin American Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.4715 1.4381 (0.0334) 0.98 1.7202 1.3391
Accumulation (No Trail) 1.4154 1.3833 (0.0321) 1.49 1.6535 1.2841
Income 1.2376 1.2096 (0.0280) 0.99 1.4469 1.1362
Income (No Trail) 1.2927 1.2634 (0.0293) 1.51 1.5102 1.1884
Y (Acc) 2.0319 1.9858 (0.0461) 1.79 2.3725 1.9111
Y (Inc) 1.9997 1.9543 (0.0454) 1.79 2.3348 1.8808
Z (Acc) 1.7975 1.7568 (0.0407) 1.75 2.0991 1.6281
Z (Inc) 1.7351 1.6958 (0.0393) 1.77 2.0261 1.5961

Invesco Perpetual Managed Growth Fund

Prices for Managed Growth Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.5456 1.5162 (0.0294) 0.76 1.6020 1.4185
Accumulation (No Trail) 1.8656 1.8301 (0.0355) 1.19 1.9324 1.7066
Income 1.2945 1.2699 (0.0246) 0.77 1.3417 1.1974
Income (No Trail) 1.7338 1.7008 (0.0330) 1.20 1.7958 1.6054
Y (Acc) 2.0821 2.0424 (0.0397) 1.56 2.1557 1.9489
Y (Inc) 2.0526 2.0135 (0.0391) 1.56 2.1253 1.9214
Z (Acc) 2.7363 2.6842 (0.0521) 1.37 2.8333 2.4992
Z (Inc) 2.6650 2.6143 (0.0507) 1.39 2.7596 2.4686

Invesco Perpetual Managed Income Fund

Prices for Managed Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.5252 1.5008 (0.0244) 2.76 1.5642 1.4134
Accumulation (No Trail) 1.8205 1.7914 (0.0291) 2.75 1.8660 1.6819
Income 0.9655 0.9501 (0.0154) 2.81 0.9901 0.9110
Income (No Trail) 1.5456 1.5209 (0.0247) 2.80 1.5841 1.4535
Y (Acc) 2.0752 2.0420 (0.0332) 2.76 2.1263 1.9615
Y (Inc) 2.0474 2.0147 (0.0327) 2.76 2.0977 1.9352
Z (Acc) 2.6393 2.5971 (0.0422) 2.74 2.7045 2.4347
Z (Inc) 2.4889 2.4491 (0.0398) 2.80 2.5502 2.3371

Invesco Perpetual Money Fund

Prices for Money Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.9000 0.9000 (0.0000) 0.21 0.9001 0.8980
Accumulation (Gross) 0.9508 0.9508 (0.0000) 0.21 0.9508 0.9481
Z (Acc) 2.0046 2.0046 (0.0000) 0.46 2.0047 1.9999
Z (Acc) Gross 2.0058 2.0058 (0.0000) 0.46 2.0058 1.9999

Invesco Perpetual Monthly Income Plus Fund

Prices for Monthly Income Plus Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 2.9043 2.8980 (0.0063) 4.69 2.9335 2.7797
Accumulation (Gross) 3.3808 3.3733 (0.0075) 4.68 3.4100 3.2062
Accumulation (No Trail Gross) 2.3966 2.3913 (0.0053) 4.68 2.4155 2.2622
Accumulation (No Trail) 1.6664 1.6627 (0.0037) 4.69 1.6818 1.5875
Income 1.1158 1.1134 (0.0024) 4.70 1.1367 1.1033
Income (Gross) 1.1179 1.1154 (0.0025) 4.70 1.1386 1.1049
Income (No Trail Gross) 2.1595 2.1547 (0.0048) 4.70 2.1948 2.1273
Income (No Trail) 1.0940 1.0916 (0.0024) 4.70 1.1123 1.0785
Y (Acc) 2.0408 2.0363 (0.0045) 4.68 2.0589 1.9993
Y (Acc) Gross 2.0527 2.0482 (0.0045) 4.68 2.0680 2.0000
Y (Inc) 1.9923 1.9879 (0.0044) 4.70 2.0235 1.9695
Y (Inc) Gross 1.9920 1.9876 (0.0044) 4.70 2.0225 1.9683
Z (Acc) 2.3535 2.3483 (0.0052) 4.69 2.3745 2.2385
Z (Acc) Gross 2.4042 2.3988 (0.0054) 4.68 2.4223 2.2656
Z (Inc) 2.1652 2.1605 (0.0047) 4.70 2.1998 2.1312
Z (Inc) Gross 2.1662 2.1614 (0.0048) 4.70 2.1998 2.1305

Invesco Perpetual Pacific Fund

Prices for Pacific Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 9.7705 9.5651 (0.2054) 0.30 10.1531 8.4965
Accumulation (No Trail) 1.8032 1.7653 (0.0379) 0.73 1.8725 1.5623
Income 9.0047 8.8154 (0.1893) 0.30 9.3573 7.8305
Income (No Trail) 1.7254 1.6891 (0.0363) 0.74 1.7917 1.4949
Y (Acc) 2.2307 2.1837 (0.0470) 1.08 2.3153 1.9837
Y (Inc) 2.2307 2.1837 (0.0470) 1.08 2.3153 1.9837
Z (Acc) 2.9093 2.8481 (0.0612) 0.96 3.0199 2.5160
Z (Inc) 2.8614 2.8011 (0.0603) 0.98 2.9702 2.4745

Invesco Perpetual Tactical Bond Fund

Prices for Tactical Bond Fund
Share class NAV Previous day's NAV Distribution yield (%) 12 month NAV high 12 month NAV low
Accumulation 0.6855 0.6854 (0.0001) 0.91 0.6877 0.6555
Accumulation (Gross) 0.7099 0.7097 (0.0002) 0.91 0.7120 0.6764
Accumulation (No Trail Gross) 2.2490 2.2484 (0.0006) 1.41 2.2547 2.1320
Accumulation (No Trail) 1.3972 1.3969 (0.0003) 1.41 1.4011 1.3308
Income 0.6012 0.6011 (0.0001) 0.91 0.6031 0.5804
Income (Gross) 0.6023 0.6022 (0.0001) 0.91 0.6042 0.5807
Income (No Trail Gross) 2.1391 2.1386 (0.0005) 1.41 2.1446 2.0571
Income (No Trail) 1.2054 1.2051 (0.0003) 1.41 1.2087 1.1612
X (Acc) 2.0387 2.0381 (0.0006) 1.72 2.0439 1.9947
X (Acc) Gross 2.0440 2.0435 (0.0005) 1.72 2.0487 1.9947
X (Inc) 2.0184 2.0179 (0.0005) 1.72 2.0236 1.9850
X (Inc) Gross 2.0187 2.0181 (0.0006) 1.72 2.0233 1.9810
Y (Acc) 2.0375 2.0369 (0.0006) 1.65 2.0429 1.9947
Y (Acc) Gross 2.0432 2.0427 (0.0005) 1.65 2.0480 1.9947
Y (Inc) 2.0134 2.0129 (0.0005) 1.65 2.0187 1.9805
Y (Inc) Gross 2.0128 2.0123 (0.0005) 1.65 2.0175 1.9759
Z (Acc) 2.2269 2.2263 (0.0006) 1.60 2.2327 2.1182
Z (Acc) Gross 2.2556 2.2550 (0.0006) 1.60 2.2610 2.1349
Z (Inc) 2.1369 2.1364 (0.0005) 1.60 2.1426 2.0571
Z (Inc) Gross 2.1421 2.1415 (0.0006) 1.60 2.1472 2.0580

Invesco Perpetual UK Aggressive Fund

Prices for UK Aggressive Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.9466 1.8954 (0.0512) 1.29 2.1316 1.8060
Accumulation (No Trail) 1.5932 1.5513 (0.0419) 1.73 1.7386 1.4779
Income 1.6485 1.6052 (0.0433) 1.31 1.8052 1.5295
Income (No Trail) 1.3702 1.3342 (0.0360) 1.76 1.4953 1.2710
Y (Acc) 1.9107 1.8604 (0.0503) 2.10 2.0205 1.7721
Y (Inc) 1.9107 1.8604 (0.0503) 2.10 2.0205 1.7721
Z (Acc) 3.1136 3.0317 (0.0819) 1.95 3.3918 2.8879
Z (Inc) 3.0101 2.9310 (0.0791) 1.99 3.2791 2.7919

Invesco Perpetual UK Enhanced Index Fund

Prices for UK Enhanced Index Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation (No Trail) 3.8298 3.7448 (0.0850) 3.12 4.0088 3.5557
Income (No Trail) 2.4661 2.4114 (0.0547) 3.19 2.6308 2.2897

Invesco Perpetual UK Growth Fund

Prices for UK Growth Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 5.2364 5.1044 (0.1320) 1.59 5.5814 4.8364
Accumulation (No Trail) 1.3778 1.3431 (0.0347) 2.01 1.4637 1.2723
Income 3.3794 3.2943 (0.0851) 1.61 3.6022 3.1213
Income (No Trail) 1.1526 1.1235 (0.0291) 2.06 1.2244 1.0643
Y (Acc) 1.9602 1.9107 (0.0495) 2.38 2.0396 1.8098
Y (Inc) 1.9602 1.9107 (0.0495) 2.38 2.0397 1.8098
Z (Acc) 2.8661 2.7938 (0.0723) 2.25 3.0396 2.6464
Z (Inc) 2.7380 2.6690 (0.0690) 2.30 2.9038 2.5281

Invesco Perpetual UK Smaller Companies Equity Fund

Prices for UK Smaller Companies Equity Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 7.1778 7.0932 (0.0846) 0.59 7.8676 6.7698
Accumulation (No Trail) 2.3248 2.2974 (0.0274) 1.09 2.5399 2.1922
Income 5.5358 5.4705 (0.0653) 0.59 6.1036 5.2211
Income (No Trail) 2.1698 2.1441 (0.0257) 1.10 2.3967 2.0460
Y (Acc) 1.8707 1.8486 (0.0221) 1.39 2.0173 1.7638
Y (Inc) 1.8450 1.8232 (0.0218) 1.39 2.0173 1.7395
Z (Acc) 2.7475 2.7150 (0.0325) 1.35 2.9967 2.5905
Z (Inc) 2.6728 2.6412 (0.0316) 1.36 2.9548 2.5201

Invesco Perpetual UK Strategic Income Fund

Prices for UK Strategic Income Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 1.6907 1.6590 (0.0317) 3.37 1.7097 1.5209
Accumulation (No Trail) 6.6810 6.5557 (0.1253) 3.36 6.7522 5.9837
Income 1.2875 1.2633 (0.0242) 3.46 1.3243 1.1982
Income (No Trail) 5.0881 4.9927 (0.0954) 3.45 5.2307 4.7174
Y (Acc) 2.0750 2.0361 (0.0389) 3.36 2.0963 1.9305
Y (Inc) 2.0048 1.9672 (0.0376) 3.36 2.0600 1.8651
Z (Acc) 2.9626 2.9070 (0.0556) 3.36 2.9933 2.6474
Z (Inc) 2.7650 2.7131 (0.0519) 3.44 2.8416 2.5577

Invesco Perpetual US Equity Fund

Prices for US Equity Fund
Share class NAV Previous day's NAV Historic yield (%) 12 month NAV high 12 month NAV low
Accumulation 5.1883 5.1569 (0.0314) N/A 5.3599 4.5152
Accumulation (No Trail) 2.1494 2.1363 (0.0131) 0.04 2.2189 1.8636
Y (Acc) 2.1817 2.1684 (0.0133) 0.72 2.2512 1.9136
Z (Acc) 2.9544 2.9364 (0.0180) 0.27 3.0488 2.5569
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Please note

ICVCs

Historic yields are shown for all ICVCs1, except for all fixed interest funds and the Invesco Perpetual Money Fund for which distribution yields are shown.

The historic yield reflects distributions declared over the past twelve months as a percentage of the mid-market price of the fund, as at the date shown. It does not include any entry charge and investors may be subject to tax on their distributions.

For the Invesco Perpetual Asian Equity Income, European Equity Income, European High Income, Global Equity Income, High Income, Income, Income & Growth, Managed Income and UK Strategic Income funds, the ongoing charge is charged to capital. This has the effect of increasing the distribution(s) for the year by the amount of the ongoing charge and constraining each fund's capital performance by an equivalent extent.

The distribution yields shown are expressed as % per annum of current NAV of the fund. They are estimates for the next 12 months, assuming that the fund’s portfolio remains unchanged and there are no defaults of deferrals of coupon payments or capital repayments. They are not guaranteed and investors may be subject to tax on distributions. They do not reflect the entry charge of the fund. For the Invesco Perpetual Corporate Bond, Global Bond and Tactical Bond funds, they are shown net of the ongoing charge. Cash income is estimated coupons from bonds and, where applicable, estimated dividends from equities.

The distribution yield estimates the cash distribution to the shareholders: in addition to expected cash income, it includes the amortised annual value of unrealised capital gains/losses of current bond holdings, calculated with reference to their historic purchase price and expected redemption value (known as 'effective yield from purchase price' method). For the Invesco Perpetual Corporate Bond, Global Bond and Tactical Bond funds, the distribution yield is the same as the underlying yield. For the Invesco Perpetual Distribution, Global Distribution, Global Financial Capital, High Yield and Monthly Income Plus funds, the distribution yield is gross of the ongoing charge, which is charged to capital.

The underlying yield is calculated in the same way as the distribution yield, but is always net of the ongoing charge. The underlying yield for the Invesco Perpetual Distribution, Global Distribution, Global Financial Capital, High Yield and Monthly Income Plus funds is, therefore, lower than the distribution yield by the amount of the ongoing charge. The underlying yield for these funds is shown as at month end on our fund factsheets, available here.

The yield shown for the Invesco Perpetual Money Fund is expressed as % per annum of current NAV of the fund. It is an estimate for the next 12 months, assuming that the fund’s portfolio remains unchanged and there are no defaults or deferrals of coupon payments or capital repayments. It is not guaranteed. It is shown net of the ongoing fund charge. Investors may be subject to tax on distributions. Cash income is estimated coupons from bonds and, where applicable, estimated dividends from equities. The distribution yield estimates the cash distribution to the shareholders: in addition to expected cash income, it includes the amortised annual value of unrealised capital gains/losses of current bond holdings, calculated with reference to their historic purchase price and expected redemption value (known as ‘effective yield from purchase price’ method). For this fund, the distribution yield is the same as the underlying yield.

Where, in the Manager's judgement, there is significant uncertainty that a bond holding will be redeemed at par, the amortised capital component for that holding is retained in the fund's capital and not distributed. This has the effect of reducing the estimated redemption, distribution and underlying yields and the actual distribution rate.

1 Where there is insufficient historical data available to calculate the historic yield we have shown an estimated yield, using the most appropriate basis of calculation. It does not include any entry charge and investors may be subject to tax on their distributions.

Share class availability

X, Y and Z share classes are only available to investors who satisfy certain criteria such as nominees and fund platforms which have a written agreement in place with us to buy the relevant share classes.

No Trail shares are available to investors who invest through a financial adviser or other third party. Where financial advice has been received, no commission is payable on the shares. Where financial advice has not been received, initial commission is available.

Gross shares pay any distributions gross of tax. Investors must be eligible for gross interest distributions and invest a minimum of £1 million.

Offshore funds

Gross annual yield is shown for all offshore funds, except bond funds where the estimated gross redemption yield is shown.

The prices for the offshore funds are calculated on a forward pricing basis. As a result, these prices are not indicative of the next valuation point.

The yields shown are expressed as a % per annum of the current NAV of the funds. They are an estimate for the next 12 months, assuming that the funds’ portfolios remain unchanged and there are no defaults or deferrals of coupon payments or capital repayments. Cash income is estimated coupons from bonds. The gross current yield is an indication of the expected cash income over the next 12 months. The estimated gross redemption yield is a longer-term picture indicating expected annual total return. This means that in addition to expected cash income, it includes the amortised annual value of unrealised capital gains or losses of bond holdings currently held by the funds, calculated with reference to their current market price and expected redemption value made upon maturity of the bonds. Neither of the yields is guaranteed. Nor do they reflect the funds charges or the entry charge of the funds. Investors may be subject to tax on distributions.

Investment trusts and companies

Share prices of the investment trusts and companies fluctuate continuously. The prices above are indicative only and may be substantially different to the price achieved on a given transaction. All prices are in pence Sterling. Source Morningstar.