The Invesco Select Risk: Moderately Conservative Investor Fund is a diversified mutual fund designed to deliver total return while maintaining a lower level of risk compared to traditional equity markets. Targeted toward investors seeking a blend of growth and income with moderated exposure to market volatility, the fund strategically allocates assets across a range of Invesco’s actively and passively managed funds. Its portfolio typically emphasizes high-quality bonds and fixed income securities, complemented by measured allocations to equities, including large-cap U.S. stocks and selective international holdings. This approach allows for participation in market gains while aiming to mitigate downside risk, making it well-suited for those with a moderately conservative investment objective. Notable features of the fund include its use of core bond holdings, revenue-weighted equity exposure, and moderate involvement in risk-managed strategies and alternatives. By balancing stability and growth, the Invesco Select Risk: Moderately Conservative Investor Fund serves as a key component in asset allocation strategies for investors seeking consistent performance with dampened fluctuations within the broader financial markets.
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