Invesco Peak Retirement™ Destination Fund | |||||||||
Schedule of Investments in Affiliated Issuers–98.14%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–10.74% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 6.90% | $372,819 | $110,607 | $(69,892) | $(102,253) | $2,069 | $6,632 | 41,836 | $313,350 |
Invesco Multi-Asset Income Fund, Class R6 | 3.84% | 201,619 | 48,193 | (25,632) | (46,840) | (2,902) | 9,531 | 23,196 | 174,438 |
Total Alternative Funds | 574,438 | 158,800 | (95,524) | (149,093) | (833) | 16,163 | 487,788 | ||
Domestic Equity Funds–20.93% | |||||||||
Invesco PureBetaSM MSCI USA ETF | 3.13% | — | 178,244 | (2,780) | (33,085) | (519) | 1,271 | 3,967 | 141,860 |
Invesco S&P 500® Enhanced Value ETF | 7.98% | 432,173 | 84,762 | (77,221) | (94,473) | 16,912 | 7,515 | 10,007 | 362,153 |
Invesco S&P 500® High Dividend Low Volatility ETF | 9.82% | 544,492 | 108,848 | (140,140) | (87,404) | 20,214 | 14,523 | 11,404 | 446,010 |
Total Domestic Equity Funds | 976,665 | 371,854 | (220,141) | (214,962) | 36,607 | 23,309 | 950,023 | ||
Fixed Income Funds–54.06% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 8.54% | 424,429 | 129,013 | (78,448) | (78,539) | (8,589) | 9,104 | 43,338 | 387,866 |
Invesco Floating Rate ESG Fund, Class R6 | 6.30% | 300,333 | 63,540 | (55,071) | (22,017) | (748) | 9,589 | 42,439 | 286,037 |
Invesco High Yield Bond Factor ETF | 5.27% | 336,808 | 68,164 | (106,126) | (51,407) | (8,343) | 11,405 | 11,632 | 239,096 |
Invesco Income Fund, Class R6 | 6.23% | 300,088 | 69,833 | (52,151) | (33,115) | (1,885) | 7,490 | 40,454 | 282,770 |
Invesco Intermediate Bond Factor Fund, Class R6 | 3.94% | 199,563 | 55,617 | (41,289) | (30,961) | (3,843) | 2,999 | 19,745 | 179,087 |
Invesco International Bond Fund, Class R6 | 5.55% | 277,190 | 84,663 | (40,155) | (64,564) | (5,307) | 7,205 | 64,241 | 251,827 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 4.56% | 225,495 | 57,393 | (51,505) | (23,092) | (1,183) | 12,358 | 21,395 | 207,108 |
Invesco Taxable Municipal Bond ETF | 10.92% | 545,686 | 193,689 | (110,240) | (121,712) | (11,609) | 11,946 | 19,330 | 495,814 |
Invesco Variable Rate Preferred ETF | 2.75% | 225,763 | 40,305 | (111,408) | (27,067) | (2,675) | 6,481 | 5,704 | 124,918 |
Total Fixed Income Funds | 2,835,355 | 762,217 | (646,393) | (452,474) | (44,182) | 78,577 | 2,454,523 | ||
Foreign Equity Funds–7.60% | |||||||||
Invesco S&P International Developed Low Volatility ETF | 7.60% | 404,075 | 90,239 | (52,519) | (96,941) | 197 | 14,680 | 13,998 | 345,051 |
Money Market Funds–4.81% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(b) | 2.26% | 121,437 | 854,901 | (873,966) | — | — | 793 | 102,372 | 102,372 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(b) | 2.55% | 135,061 | 854,902 | (873,966) | 46 | (58) | 890 | 115,961 | 115,985 |
Total Money Market Funds | 256,498 | 1,709,803 | (1,747,932) | 46 | (58) | 1,683 | 218,357 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $5,114,620) | 98.14% | 5,047,031 | 3,092,913 | (2,762,509) | (913,424) | (8,269) | 134,412 | 4,455,742 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(b) | — | — | 1,346,051 | (1,346,051) | — | — | 148(c) | — | — |
Invesco Private Prime Fund, 3.11%(b) | — | — | 3,140,056 | (3,140,089) | — | 33 | 778(c) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 4,486,107 | (4,486,140) | — | 33 | 926 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $5,114,620) | 98.14% | $5,047,031 | $7,579,020 | $(7,248,649) | $(913,424) | $(8,236) | $135,338 | $4,455,742 | |
OTHER ASSETS LESS LIABILITIES | 1.86% | 84,618 | |||||||
NET ASSETS | 100.00% | $4,540,360 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(c) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2010 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.28%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–9.59% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 6.34% | $34,489 | $17,616 | $(1,594) | $(10,403) | $(122) | $747 | 5,339 | $39,986 |
Invesco Multi-Asset Income Fund, Class R6 | 3.25% | 16,259 | 10,099 | (996) | (4,783) | (104) | 965 | 2,723 | 20,475 |
Total Alternative Funds | 50,748 | 27,715 | (2,590) | (15,186) | (226) | 1,712 | 60,461 | ||
Domestic Equity Funds–23.40% | |||||||||
Invesco Main Street Small Cap Fund, Class R6 | 0.78% | 5,121 | 1,957 | (976) | (938) | (227) | — | 298 | 4,937 |
Invesco PureBetaSM MSCI USA ETF | 2.57% | — | 19,686 | — | (3,487) | — | 147 | 453 | 16,199 |
Invesco S&P 500® Enhanced Value ETF | 9.00% | 53,844 | 20,439 | (6,263) | (11,470) | 196 | 1,073 | 1,568 | 56,746 |
Invesco S&P 500® High Dividend Low Volatility ETF | 11.05% | 65,249 | 24,706 | (10,392) | (10,204) | 335 | 1,957 | 1,782 | 69,694 |
Total Domestic Equity Funds | 124,214 | 66,788 | (17,631) | (26,099) | 304 | 3,177 | 147,576 | ||
Fixed Income Funds–53.50% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 8.63% | 47,477 | 20,218 | (2,778) | (10,167) | (294) | 1,139 | 6,083 | 54,456 |
Invesco Floating Rate ESG Fund, Class R6 | 6.25% | 33,672 | 11,903 | (3,320) | (2,705) | (96) | 1,209 | 5,854 | 39,454 |
Invesco High Yield Bond Factor ETF | 5.32% | 36,478 | 11,689 | (7,573) | (6,351) | (697) | 1,378 | 1,632 | 33,546 |
Invesco Income Fund, Class R6 | 5.76% | 30,889 | 11,529 | (2,078) | (3,886) | (93) | 870 | 5,202 | 36,361 |
Invesco Intermediate Bond Factor Fund, Class R6 | 4.09% | 21,492 | 9,873 | (1,394) | (4,076) | (105) | 376 | 2,844 | 25,790 |
Invesco International Bond Fund, Class R6 | 5.15% | 28,349 | 12,077 | — | (7,961) | — | 836 | 8,281 | 32,465 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 4.56% | 24,406 | 10,492 | (3,011) | (3,082) | (58) | 1,603 | 2,970 | 28,747 |
Invesco Taxable Municipal Bond ETF | 11.05% | 61,504 | 25,771 | (1,628) | (15,778) | (178) | 1,479 | 2,717 | 69,691 |
Invesco Variable Rate Preferred ETF | 2.69% | 22,628 | 5,915 | (8,365) | (2,447) | (780) | 745 | 774 | 16,951 |
Total Fixed Income Funds | 306,895 | 119,467 | (30,147) | (56,453) | (2,301) | 9,635 | 337,461 | ||
Foreign Equity Funds–8.74% | |||||||||
Invesco Developing Markets Fund, Class R6 | 0.93% | 6,304 | 1,841 | — | (2,276) | — | — | 185 | 5,869 |
Invesco S&P International Developed Low Volatility ETF | 7.81% | 43,954 | 19,634 | (2,359) | (11,803) | (175) | 1,836 | 1,998 | 49,251 |
Total Foreign Equity Funds | 50,258 | 21,475 | (2,359) | (14,079) | (175) | 1,836 | 55,120 | ||
Money Market Funds–5.05% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(b) | 1.77% | 10,297 | 81,036 | (80,172) | — | — | 62 | 11,161 | 11,161 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(b) | 1.26% | 7,353 | 57,884 | (57,266) | 3 | (4) | 56 | 7,969 | 7,970 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(b) | 2.02% | 11,768 | 92,612 | (91,625) | — | — | 80 | 12,755 | 12,755 |
Total Money Market Funds | 29,418 | 231,532 | (229,063) | 3 | (4) | 198 | 31,886 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $741,691) | 100.28% | 561,533 | 466,977 | (281,790) | (111,814) | (2,402) | 16,558 | 632,504 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(b) | — | — | 15,894 | (15,894) | — | — | 7(c) | — | — |
Invesco Private Prime Fund, 3.11%(b) | — | — | 38,124 | (38,124) | — | — | 17(c) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 54,018 | (54,018) | — | — | 24 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $741,691) | 100.28% | $561,533 | $520,995 | $(335,808) | $(111,814) | $(2,402) | $16,582 | $632,504 | |
OTHER ASSETS LESS LIABILITIES | (0.28)% | (1,757) | |||||||
NET ASSETS | 100.00% | $630,747 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(c) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2015 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.76%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–6.89% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 4.62% | $74,415 | $23,516 | $(12,622) | $(20,713) | $(383) | $1,417 | 8,573 | $64,213 |
Invesco Multi-Asset Income Fund, Class R6 | 2.27% | 32,671 | 9,497 | (1,508) | (8,776) | (300) | 1,741 | 4,200 | 31,584 |
Total Alternative Funds | 107,086 | 33,013 | (14,130) | (29,489) | (683) | 3,158 | 95,797 | ||
Domestic Equity Funds–25.85% | |||||||||
Invesco Main Street Small Cap Fund, Class R6 | 2.80% | 54,735 | 11,917 | (16,460) | (9,959) | (1,229) | — | 2,352 | 39,004 |
Invesco PureBetaSM MSCI USA ETF | 2.21% | — | 41,847 | (3,673) | (7,063) | (429) | 293 | 858 | 30,682 |
Invesco S&P 500® Enhanced Value ETF | 9.36% | 165,264 | 22,517 | (28,184) | (31,683) | 2,334 | 2,837 | 3,599 | 130,248 |
Invesco S&P 500® High Dividend Low Volatility ETF | 11.48% | 203,307 | 22,720 | (42,173) | (28,215) | 4,047 | 5,390 | 4,083 | 159,686 |
Total Domestic Equity Funds | 423,306 | 99,001 | (90,490) | (76,920) | 4,723 | 8,520 | 359,620 | ||
Fixed Income Funds–52.34% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 8.59% | 139,327 | 23,629 | (14,809) | (25,814) | (2,769) | 3,009 | 13,360 | 119,564 |
Invesco Floating Rate ESG Fund, Class R6 | 6.17% | 99,121 | 12,377 | (18,352) | (6,350) | (927) | 3,168 | 12,740 | 85,869 |
Invesco High Yield Bond Factor ETF | 5.41% | 102,530 | 16,268 | (24,595) | (16,379) | (2,572) | 3,644 | 3,661 | 75,252 |
Invesco Income Fund, Class R6 | 4.78% | 73,977 | 11,794 | (10,339) | (8,094) | (829) | 1,942 | 9,515 | 66,509 |
Invesco Intermediate Bond Factor Fund, Class R6 | 4.16% | 64,528 | 11,083 | (6,280) | (10,734) | (745) | 998 | 6,378 | 57,852 |
Invesco International Bond Fund, Class R6 | 4.56% | 74,264 | 17,459 | (9,177) | (16,192) | (2,861) | 1,979 | 16,198 | 63,493 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 4.77% | 73,961 | 9,817 | (9,437) | (7,621) | (324) | 4,118 | 6,859 | 66,396 |
Invesco Taxable Municipal Bond ETF | 11.39% | 180,390 | 40,640 | (18,724) | (40,981) | (2,936) | 3,914 | 6,175 | 158,389 |
Invesco Variable Rate Preferred ETF | 2.51% | 57,594 | 9,389 | (24,106) | (7,082) | (908) | 1,767 | 1,593 | 34,887 |
Total Fixed Income Funds | 865,692 | 152,456 | (135,819) | (139,247) | (14,871) | 24,539 | 728,211 | ||
Foreign Equity Funds–10.11% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 1.18% | 24,681 | 3,137 | (5,618) | (4,684) | (1,118) | — | 590 | 16,398 |
Invesco Developing Markets Fund, Class R6 | 1.40% | 24,876 | 5,727 | (2,259) | (7,972) | (868) | — | 615 | 19,504 |
Invesco S&P International Developed Low Volatility ETF | 7.53% | 124,520 | 22,180 | (11,933) | (28,872) | (1,108) | 4,492 | 4,251 | 104,787 |
Total Foreign Equity Funds | 174,077 | 31,044 | (19,810) | (41,528) | (3,094) | 4,492 | 140,689 | ||
Money Market Funds–5.57% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 2.80% | 43,354 | 226,184 | (230,661) | — | — | 277 | 38,877 | 38,877 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 2.77% | 43,051 | 226,184 | (230,661) | 10 | (16) | 277 | 38,560 | 38,568 |
Total Money Market Funds | 86,405 | 452,368 | (461,322) | 10 | (16) | 554 | 77,445 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $1,612,638) | 100.76% | 1,656,566 | 767,882 | (721,571) | (287,174) | (13,941) | 41,263 | 1,401,762 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | — | 95,128 | (95,128) | — | — | 27(d) | — | — |
Invesco Private Prime Fund, 3.11%(c) | — | — | 209,591 | (209,593) | — | 2 | 78(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 304,719 | (304,721) | — | 2 | 105 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $1,612,638) | 100.76% | $1,656,566 | $1,072,601 | $(1,026,292) | $(287,174) | $(13,939) | $41,368 | $1,401,762 | |
OTHER ASSETS LESS LIABILITIES | (0.76)% | (10,530) | |||||||
NET ASSETS | 100.00% | $1,391,232 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2020 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–101.19%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–5.30% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 3.15% | $382,843 | $62,002 | $(56,316) | $(100,399) | $1,527 | $6,491 | 38,673 | $289,657 |
Invesco Macro Allocation Strategy Fund, Class R6 | 0.89% | 123,136 | — | (30,577) | (7,908) | (3,121) | — | 10,728 | 81,530 |
Invesco Multi-Asset Income Fund, Class R6 | 1.26% | 125,351 | 37,727 | (13,170) | (32,675) | (1,628) | 6,525 | 15,373 | 115,605 |
Total Alternative Funds | 631,330 | 99,729 | (100,063) | (140,982) | (3,222) | 13,016 | 486,792 | ||
Domestic Equity Funds–30.65% | |||||||||
Invesco Main Street Small Cap Fund, Class R6 | 4.15% | 586,764 | 86,156 | (176,632) | (99,498) | (15,894) | — | 22,973 | 380,896 |
Invesco PureBetaSM MSCI USA ETF | 6.44% | 624,487 | 365,732 | (212,307) | (217,144) | 31,060 | 7,222 | 16,550 | 591,828 |
Invesco Russell 1000 Dynamic Multifactor ETF | 5.14% | 821,239 | 55,777 | (259,139) | (192,271) | 46,200 | 5,788 | 12,079 | 471,806 |
Invesco S&P 500® Enhanced Value ETF | 4.21% | 379,840 | 203,338 | (102,221) | (115,012) | 20,709 | 8,442 | 10,684 | 386,654 |
Invesco S&P 500® High Dividend Low Volatility ETF | 5.44% | 514,109 | 248,589 | (185,953) | (105,486) | 27,902 | 17,446 | 12,763 | 499,161 |
Invesco U.S. Managed Volatility Fund, Class R6 | 5.27% | 820,799 | 59,148 | (262,688) | (163,124) | 29,877 | — | 40,810 | 484,012 |
Total Domestic Equity Funds | 3,747,238 | 1,018,740 | (1,198,940) | (892,535) | 139,854 | 38,898 | 2,814,357 | ||
Fixed Income Funds–50.87% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 8.75% | 1,060,678 | 147,485 | (206,454) | (167,202) | (31,473) | 20,469 | 89,724 | 803,034 |
Invesco Floating Rate ESG Fund, Class R6 | 5.73% | 628,753 | 81,986 | (141,526) | (40,812) | (2,391) | 18,795 | 78,043 | 526,010 |
Invesco High Yield Bond Factor ETF | 5.34% | 749,467 | 56,079 | (187,294) | (111,536) | (16,561) | 24,511 | 23,846 | 490,155 |
Invesco Income Fund, Class R6 | 2.28% | 186,630 | 98,078 | (47,475) | (27,444) | (121) | 5,952 | 29,995 | 209,668 |
Invesco Intermediate Bond Factor Fund, Class R6 | 4.16% | 493,721 | 70,473 | (101,990) | (69,388) | (10,781) | 6,828 | 42,121 | 382,035 |
Invesco International Bond Fund, Class R6 | 3.41% | 375,455 | 91,844 | (59,581) | (84,891) | (9,721) | 9,579 | 79,874 | 313,106 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 4.76% | 563,057 | 73,863 | (146,537) | (49,002) | (4,598) | 27,485 | 45,122 | 436,783 |
Invesco Taxable Municipal Bond ETF | 11.13% | 1,373,344 | 238,571 | (282,830) | (258,287) | (48,620) | 27,044 | 39,851 | 1,022,178 |
Invesco Variable Rate Investment Grade ETF | 3.59% | 499,346 | 23,041 | (186,538) | (5,905) | (430) | 3,967 | 13,384 | 329,514 |
Invesco Variable Rate Preferred ETF | 1.72% | 185,898 | 59,625 | (54,242) | (28,339) | (4,977) | 7,375 | 7,213 | 157,965 |
Total Fixed Income Funds | 6,116,349 | 941,045 | (1,414,467) | (842,806) | (129,673) | 152,005 | 4,670,448 | ||
Foreign Equity Funds–9.74% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 2.16% | 407,005 | 73,008 | (198,414) | (26,453) | (57,011) | — | 7,125 | 198,135 |
Invesco Developing Markets Fund, Class R6 | 2.07% | 409,798 | 64,493 | (178,805) | (41,821) | (63,715) | — | 5,992 | 189,950 |
Invesco International Small-Mid Company Fund, Class R6 | 1.08% | 194,395 | 26,538 | (53,170) | (68,616) | 310 | — | 2,942 | 99,457 |
Invesco RAFI™ Strategic Developed ex-US ETF | 1.82% | 313,297 | 12,365 | (108,327) | (56,112) | 5,826 | 6,126 | 7,188 | 167,049 |
Invesco S&P International Developed Low Volatility ETF | 2.61% | 187,338 | 174,434 | (50,144) | (72,262) | (39) | 10,709 | 9,709 | 239,327 |
Total Foreign Equity Funds | 1,511,833 | 350,838 | (588,860) | (265,264) | (114,629) | 16,835 | 893,918 | ||
Money Market Funds–4.63% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 2.18% | 319,469 | 2,170,711 | (2,289,939) | — | — | 1,452 | 200,241 | 200,241 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 2.45% | 343,753 | 2,170,711 | (2,289,939) | 80 | (125) | 1,630 | 224,435 | 224,480 |
Total Money Market Funds | 663,222 | 4,341,422 | (4,579,878) | 80 | (125) | 3,082 | 424,721 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from
securities on loan) (Cost $10,835,289) | 101.19% | 12,669,972 | 6,751,774 | (7,882,208) | (2,141,507) | (107,795) | 223,836 | 9,290,236 |
Invesco Peak Retirement™ 2020 Fund (continued) | |||||||||
Schedule of Investments in Affiliated Issuers–101.19%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | $— | $969,001 | $(969,001) | $— | $— | $197(d) | — | $— |
Invesco Private Prime Fund, 3.11%(c) | — | — | 2,292,643 | (2,292,713) | — | 70 | 552(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 3,261,644 | (3,261,714) | — | 70 | 749 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $10,835,289) | 101.19% | $12,669,972 | $10,013,418 | $(11,143,922) | $(2,141,507) | $(107,725) | $224,585 | $9,290,236 | |
OTHER ASSETS LESS LIABILITIES | (1.19)% | (109,054) | |||||||
NET ASSETS | 100.00% | $9,181,182 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2025 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–102.54%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–5.10% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 2.95% | $740,583 | $118,784 | $(29,688) | $(202,758) | $2,266 | $13,419 | 84,004 | $629,187 |
Invesco Macro Allocation Strategy Fund, Class R6 | 1.95% | 492,821 | 23,268 | (51,371) | (45,983) | (4,527) | — | 54,501 | 414,208 |
Invesco Multi-Asset Income Fund, Class R6 | 0.20% | — | 54,731 | — | (11,743) | — | 2,310 | 5,716 | 42,988 |
Total Alternative Funds | 1,233,404 | 196,783 | (81,059) | (260,484) | (2,261) | 15,729 | 1,086,383 | ||
Domestic Equity Funds–38.59% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 2.54% | 736,567 | 154,845 | (120,401) | (248,705) | 19,622 | — | 21,861 | 541,928 |
Invesco Main Street Small Cap Fund, Class R6 | 4.99% | 1,289,724 | 266,665 | (196,816) | (273,465) | (22,147) | — | 64,171 | 1,063,961 |
Invesco PureBetaSM MSCI USA ETF | 8.48% | 1,476,437 | 972,180 | (114,136) | (530,278) | 2,857 | 21,180 | 50,533 | 1,807,060 |
Invesco Russell 1000 Dynamic Multifactor ETF | 8.48% | 2,150,998 | 378,560 | (231,273) | (518,050) | 25,392 | 20,691 | 46,227 | 1,805,627 |
Invesco S&P 500® Enhanced Value ETF | 0.55% | — | 149,618 | — | (33,448) | — | 2,477 | 3,210 | 116,170 |
Invesco S&P 500® High Dividend Low Volatility ETF | 0.74% | — | 199,454 | (14,391) | (28,409) | 725 | 5,304 | 4,024 | 157,379 |
Invesco U.S. Managed Volatility Fund, Class R6 | 12.81% | 3,436,423 | 428,121 | (466,825) | (706,848) | 36,932 | — | 230,000 | 2,727,803 |
Total Domestic Equity Funds | 9,090,149 | 2,549,443 | (1,143,842) | (2,339,203) | 63,381 | 49,652 | 8,219,928 | ||
Fixed Income Funds–46.13% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 7.66% | 1,726,190 | 380,004 | (109,205) | (345,547) | (20,740) | 38,559 | 182,202 | 1,630,702 |
Invesco Floating Rate ESG Fund, Class R6 | 4.44% | 991,922 | 100,074 | (70,130) | (72,990) | (4,020) | 33,278 | 140,186 | 944,856 |
Invesco High Yield Bond Factor ETF | 5.16% | 1,228,913 | 139,148 | (14,029) | (253,544) | (1,268) | 48,746 | 53,477 | 1,099,220 |
Invesco Income Fund, Class R6 | 2.06% | 493,541 | 22,683 | (24,296) | (57,117) | 3,246 | 11,667 | 62,669 | 438,057 |
Invesco Intermediate Bond Factor Fund, Class R6 | 3.67% | 863,932 | 111,668 | (40,446) | (146,610) | (5,865) | 13,331 | 86,293 | 782,679 |
Invesco International Bond Fund, Class R6 | 2.37% | 493,458 | 146,268 | — | (136,008) | — | 14,013 | 128,500 | 503,718 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 4.44% | 984,485 | 153,890 | (80,924) | (106,484) | (5,319) | 57,220 | 97,691 | 945,648 |
Invesco Taxable Municipal Bond ETF | 11.41% | 2,706,477 | 700,666 | (318,251) | (602,550) | (55,851) | 58,714 | 94,756 | 2,430,491 |
Invesco Variable Rate Investment Grade ETF | 4.61% | 1,107,752 | 65,307 | (171,895) | (16,759) | (2,313) | 12,109 | 39,890 | 982,092 |
Invesco Variable Rate Preferred ETF(b) | 0.31% | — | 78,579 | — | (11,850) | — | 2,671 | 3,047 | 66,729 |
Total Fixed Income Funds | 10,596,670 | 1,898,287 | (829,176) | (1,749,459) | (92,130) | 290,308 | 9,824,192 | ||
Foreign Equity Funds–11.77% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(c) | 2.66% | 985,018 | 131,786 | (311,485) | (133,560) | (104,756) | — | 20,388 | 567,003 |
Invesco Developing Markets Fund, Class R6 | 2.38% | 986,155 | 163,858 | (355,416) | (143,558) | (143,648) | — | 16,006 | 507,391 |
Invesco International Small-Mid Company Fund, Class R6 | 1.46% | 368,952 | 120,973 | — | (178,880) | — | — | 9,200 | 311,045 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 0.97% | 245,879 | 86,960 | (49,371) | (83,910) | 7,916 | 6,391 | 10,101 | 207,474 |
Invesco RAFI™ Strategic Developed ex-US ETF | 2.88% | 738,383 | 80,141 | (32,487) | (181,882) | 8,823 | 20,214 | 26,376 | 612,978 |
Invesco S&P International Developed Low Volatility ETF | 1.42% | 369,187 | 20,521 | — | (87,943) | — | 13,176 | 12,242 | 301,765 |
Total Foreign Equity Funds | 3,693,574 | 604,239 | (748,759) | (809,733) | (231,665) | 39,781 | 2,507,656 | ||
Money Market Funds–0.95% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(d) | 0.33% | 44 | 2,012,255 | (1,941,811) | — | — | 585 | 70,488 | 70,488 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(d) | 0.24% | — | 1,437,325 | (1,386,958) | 9 | (18) | 422 | 50,348 | 50,358 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(d) | 0.38% | 50 | 2,299,720 | (2,219,213) | — | — | 627 | 80,557 | 80,557 |
Total Money Market Funds | 94 | 5,749,300 | (5,547,982) | 9 | (18) | 1,634 | 201,403 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from
securities on loan) (Cost $25,398,252) | 102.54% | 24,613,891 | 10,998,052 | (8,350,818) | (5,158,870) | (262,693) | 397,104 | 21,839,562 |
Invesco Peak Retirement™ 2025 Fund (continued) | |||||||||
Schedule of Investments in Affiliated Issuers–102.54%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.19% | |||||||||
Invesco Private Government Fund, 3.01%(d)(e) | 0.05% | $— | $924,557 | $(913,544) | $— | $— | $118(f) | 11,013 | $11,013 |
Invesco Private Prime Fund, 3.11%(d)(e) | 0.14% | — | 1,734,610 | (1,705,170) | — | 48 | 330(f) | 29,488 | 29,488 |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $40,501) | 0.19% | — | 2,659,167 | (2,618,714) | — | 48 | 448 | 40,501 | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $25,438,753) | 102.73% | $24,613,891 | $13,657,219 | $(10,969,532) | $(5,158,870) | $(262,645) | $397,552 | $21,880,063 | |
OTHER ASSETS LESS LIABILITIES | (2.73)% | (580,963) | |||||||
NET ASSETS | 100.00% | $21,299,100 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | All or a portion of this security was out on loan at September 30, 2022. |
(c) | Effective February 28, 2022, the underlying fund’s name changed. |
(d) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(e) | The security has been segregated to satisfy the commitment to return the cash collateral received in securities lending transactions upon the borrower’s return of the securities loaned. |
(f) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2030 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.19%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–4.92% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 2.90% | $1,205,879 | $180,107 | $— | $(327,257) | $— | $21,423 | 141,352 | $1,058,729 |
Invesco Macro Allocation Strategy Fund, Class R6 | 2.02% | 750,559 | 78,818 | — | (88,722) | — | — | 97,455 | 740,655 |
Total Alternative Funds | 1,956,438 | 258,925 | — | (415,979) | — | 21,423 | 1,799,384 | ||
Domestic Equity Funds–45.17% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 4.46% | 2,075,781 | 521,117 | (274,082) | (664,438) | (29,617) | — | 65,702 | 1,628,761 |
Invesco Main Street Small Cap Fund, Class R6 | 5.08% | 2,074,596 | 410,558 | (154,083) | (452,928) | (22,654) | — | 111,911 | 1,855,489 |
Invesco PureBetaSM MSCI USA ETF | 8.71% | 2,383,831 | 1,798,282 | (101,930) | (895,682) | (1,754) | 36,325 | 89,003 | 3,182,747 |
Invesco Russell 1000 Dynamic Multifactor ETF | 11.20% | 4,728,485 | 967,298 | (526,421) | (1,138,523) | 63,508 | 46,483 | 104,822 | 4,094,347 |
Invesco S&P SmallCap Low Volatility ETF | 0.72% | 389,373 | 18,048 | (72,803) | (98,455) | 26,244 | 6,984 | 6,468 | 262,407 |
Invesco U.S. Managed Volatility Fund, Class R6 | 15.00% | 6,249,164 | 833,514 | (283,084) | (1,322,682) | 5,170 | — | 462,233 | 5,482,082 |
Total Domestic Equity Funds | 17,901,230 | 4,548,817 | (1,412,403) | (4,572,708) | 40,897 | 89,792 | 16,505,833 | ||
Fixed Income Funds–35.77% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 4.32% | 1,378,230 | 535,592 | — | (336,972) | — | 35,494 | 176,184 | 1,576,850 |
Invesco Floating Rate ESG Fund, Class R6 | 3.41% | 1,146,365 | 232,066 | (35,105) | (95,583) | (311) | 40,595 | 185,079 | 1,247,432 |
Invesco High Yield Bond Factor ETF | 4.25% | 1,570,595 | 322,364 | (1,010) | (339,502) | (92) | 64,374 | 75,522 | 1,552,355 |
Invesco Income Fund, Class R6 | 2.01% | 776,409 | 49,195 | — | (90,869) | — | 19,672 | 105,112 | 734,735 |
Invesco Intermediate Bond Factor Fund, Class R6 | 3.18% | 1,188,787 | 186,635 | — | (211,873) | — | 18,515 | 128,285 | 1,163,549 |
Invesco International Bond Fund, Class R6 | 2.03% | 777,511 | 159,650 | — | (195,189) | — | 20,433 | 189,279 | 741,972 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 2.44% | 759,760 | 254,458 | (18,843) | (103,603) | (548) | 53,675 | 92,069 | 891,224 |
Invesco Taxable Municipal Bond ETF | 9.82% | 3,814,823 | 963,222 | (240,368) | (898,803) | (50,926) | 85,000 | 139,881 | 3,587,948 |
Invesco Variable Rate Investment Grade ETF | 4.31% | 1,551,690 | 90,653 | (40,280) | (28,226) | (4) | 18,229 | 63,925 | 1,573,833 |
Total Fixed Income Funds | 12,964,170 | 2,793,835 | (335,606) | (2,300,620) | (51,881) | 355,987 | 13,069,898 | ||
Foreign Equity Funds–13.80% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 3.15% | 1,795,416 | 297,980 | (499,113) | (263,061) | (179,785) | — | 41,404 | 1,151,437 |
Invesco Developing Markets Fund, Class R6 | 2.75% | 1,698,746 | 358,287 | (539,028) | (287,591) | (224,525) | — | 31,732 | 1,005,889 |
Invesco International Select Equity Fund, Class R6 | 0.68% | 793,839 | 72,500 | (443,862) | 4,484 | (177,862) | — | 29,514 | 249,099 |
Invesco International Small-Mid Company Fund, Class R6 | 1.36% | 610,297 | 177,104 | (6,333) | (284,315) | 22 | — | 14,693 | 496,775 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 1.38% | 384,122 | 292,154 | — | (171,033) | — | 14,241 | 24,598 | 505,243 |
Invesco RAFI™ Strategic Developed ex-US ETF | 3.03% | 1,165,228 | 237,925 | — | (295,674) | — | 33,787 | 47,654 | 1,107,479 |
Invesco S&P International Developed Low Volatility ETF | 1.45% | 581,902 | 91,518 | — | (145,614) | — | 21,345 | 21,412 | 527,806 |
Total Foreign Equity Funds | 7,029,550 | 1,527,468 | (1,488,336) | (1,442,804) | (582,150) | 69,373 | 5,043,728 | ||
Money Market Funds–0.53% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.17% | 133,179 | 2,763,215 | (2,833,611) | — | — | 557 | 62,783 | 62,783 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.16% | 112,440 | 1,973,726 | (2,028,323) | 5 | (45) | 520 | 57,791 | 57,803 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.20% | 152,204 | 3,157,960 | (3,238,412) | — | — | 595 | 71,752 | 71,752 |
Total Money Market Funds | 397,823 | 7,894,901 | (8,100,346) | 5 | (45) | 1,672 | 192,338 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from
securities on loan) (Cost $42,465,041) | 100.19% | 40,249,211 | 17,023,946 | (11,336,691) | (8,732,106) | (593,179) | 538,247 | 36,611,181 |
Invesco Peak Retirement™ 2030 Fund (continued) | |||||||||
Schedule of Investments in Affiliated Issuers–100.19%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | $2,658 | $777,905 | $(780,563) | $— | $— | $387(d) | — | $— |
Invesco Private Prime Fund, 3.11%(c) | — | 6,341 | 1,798,258 | (1,804,627) | — | 28 | 1,076(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | 8,999 | 2,576,163 | (2,585,190) | — | 28 | 1,463 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $42,465,041) | 100.19% | $40,258,210 | $19,600,109 | $(13,921,881) | $(8,732,106) | $(593,151) | $539,710 | $36,611,181 | |
OTHER ASSETS LESS LIABILITIES | (0.19)% | (70,877) | |||||||
NET ASSETS | 100.00% | $36,540,304 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2035 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.89%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–5.06% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 3.04% | $629,536 | $234,379 | $— | $(185,392) | $— | $12,303 | 90,591 | $678,523 |
Invesco Macro Allocation Strategy Fund, Class R6 | 2.02% | 430,682 | 70,375 | — | (49,562) | — | — | 59,407 | 451,495 |
Total Alternative Funds | 1,060,218 | 304,754 | — | (234,954) | — | 12,303 | 1,130,018 | ||
Domestic Equity Funds–52.32% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 5.96% | 1,433,670 | 595,396 | (200,038) | (456,510) | (39,740) | — | 53,763 | 1,332,778 |
Invesco Main Street Small Cap Fund, Class R6 | 4.39% | 992,003 | 249,656 | (11,722) | (250,218) | 1,172 | — | 59,161 | 980,891 |
Invesco PureBetaSM MSCI USA ETF | 10.11% | 1,503,774 | 1,584,293 | (238,188) | (600,243) | 9,037 | 24,664 | 63,162 | 2,258,673 |
Invesco Russell 1000 Dynamic Multifactor ETF | 11.97% | 2,631,685 | 957,892 | (235,696) | (691,813) | 11,941 | 29,466 | 68,459 | 2,674,009 |
Invesco S&P SmallCap Low Volatility ETF | 2.47% | 645,395 | 140,316 | (93,823) | (170,658) | 31,173 | 14,086 | 13,616 | 552,403 |
Invesco U.S. Managed Volatility Fund, Class R6 | 17.42% | 3,842,374 | 1,241,514 | (337,413) | (863,841) | 9,588 | — | 328,181 | 3,892,222 |
Total Domestic Equity Funds | 11,048,901 | 4,769,067 | (1,116,880) | (3,033,283) | 23,171 | 68,216 | 11,690,976 | ||
Fixed Income Funds–25.43% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 3.16% | 643,001 | 207,100 | — | (143,638) | — | 15,289 | 78,934 | 706,463 |
Invesco Floating Rate ESG Fund, Class R6 | 1.48% | 204,005 | 150,284 | — | (24,307) | — | 10,069 | 48,959 | 329,982 |
Invesco High Yield Bond Factor ETF | 3.20% | 644,373 | 219,913 | — | (149,959) | — | 28,483 | 34,752 | 714,327 |
Invesco Income Fund, Class R6 | 1.69% | 307,053 | 113,689 | (1,908) | (41,588) | (113) | 8,988 | 53,953 | 377,133 |
Invesco Intermediate Bond Factor Fund, Class R6 | 2.54% | 539,239 | 129,495 | — | (100,811) | — | 8,920 | 62,616 | 567,923 |
Invesco International Bond Fund, Class R6 | 1.60% | 310,686 | 137,125 | — | (90,166) | — | 9,377 | 91,236 | 357,645 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 1.60% | 305,491 | 92,841 | — | (40,175) | — | 20,558 | 37,000 | 358,157 |
Invesco Taxable Municipal Bond ETF | 6.83% | 1,285,374 | 618,338 | (8,491) | (367,308) | (1,353) | 33,809 | 59,515 | 1,526,560 |
Invesco Variable Rate Investment Grade ETF | 3.33% | 628,079 | 128,842 | — | (12,708) | — | 8,336 | 30,228 | 744,213 |
Total Fixed Income Funds | 4,867,301 | 1,797,627 | (10,399) | (970,660) | (1,466) | 143,829 | 5,682,403 | ||
Foreign Equity Funds–16.42% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 3.61% | 1,172,252 | 334,065 | (397,822) | (164,937) | (137,730) | — | 28,976 | 805,828 |
Invesco Developing Markets Fund, Class R6 | 3.42% | 1,137,371 | 387,161 | (404,675) | (196,358) | (159,390) | — | 24,104 | 764,109 |
Invesco International Select Equity Fund, Class R6 | 0.90% | 427,096 | 108,545 | (210,547) | (40,695) | (82,957) | — | 23,868 | 201,442 |
Invesco International Small-Mid Company Fund, Class R6 | 1.83% | 421,070 | 208,895 | (11,054) | (210,660) | 14 | — | 12,075 | 408,265 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 1.90% | 212,280 | 337,800 | — | (126,114) | — | 10,719 | 20,641 | 423,966 |
Invesco RAFI™ Strategic Developed ex-US ETF | 3.00% | 630,201 | 216,071 | — | (175,449) | — | 19,519 | 28,865 | 670,823 |
Invesco S&P International Developed Low Volatility ETF | 1.76% | 417,450 | 94,372 | (10,336) | (107,756) | 621 | 15,595 | 15,998 | 394,351 |
Total Foreign Equity Funds | 4,417,720 | 1,686,909 | (1,034,434) | (1,021,969) | (379,442) | 45,833 | 3,668,784 | ||
Money Market Funds–1.66% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.58% | 106,048 | 2,263,390 | (2,240,431) | — | — | 411 | 129,007 | 129,007 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.42% | 80,014 | 1,616,708 | (1,602,167) | 5 | (26) | 318 | 94,515 | 94,534 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.66% | 121,198 | 2,586,731 | (2,560,493) | — | — | 440 | 147,436 | 147,436 |
Total Money Market Funds | 307,260 | 6,466,829 | (6,403,091) | 5 | (26) | 1,169 | 370,977 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from
securities on loan) (Cost $26,031,034) | 100.89% | 21,701,400 | 15,025,186 | (8,564,804) | (5,260,861) | (357,763) | 271,350 | 22,543,158 |
Invesco Peak Retirement™ 2035 Fund (continued) | |||||||||
Schedule of Investments in Affiliated Issuers–100.89%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | $— | $1,955,517 | $(1,955,517) | $— | $— | $63(d) | — | $— |
Invesco Private Prime Fund, 3.11%(c) | — | — | 4,571,045 | (4,571,051) | — | 6 | 169(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 6,526,562 | (6,526,568) | — | 6 | 232 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $26,031,034) | 100.89% | $21,701,400 | $21,551,748 | $(15,091,372) | $(5,260,861) | $(357,757) | $271,582 | $22,543,158 | |
OTHER ASSETS LESS LIABILITIES | (0.89)% | (199,402) | |||||||
NET ASSETS | 100.00% | $22,343,756 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2040 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–99.80%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–2.46% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 2.08% | $504,635 | $150,495 | $(1,744) | $(153,071) | $69 | $10,061 | 66,807 | $500,384 |
Invesco Macro Allocation Strategy Fund, Class R6 | 0.38% | — | 101,523 | — | (9,996) | — | — | 12,043 | 91,527 |
Total Alternative Funds | 504,635 | 252,018 | (1,744) | (163,067) | 69 | 10,061 | 591,911 | ||
Domestic Equity Funds–61.07% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 8.58% | 2,314,564 | 896,551 | (352,812) | (682,629) | (109,650) | — | 83,341 | 2,066,024 |
Invesco Main Street Small Cap Fund, Class R6 | 5.15% | 1,405,895 | 381,630 | (224,517) | (317,801) | (4,723) | — | 74,818 | 1,240,484 |
Invesco PureBetaSM MSCI USA ETF | 13.48% | 2,518,932 | 1,918,098 | (301,566) | (947,388) | 58,753 | 35,959 | 90,795 | 3,246,829 |
Invesco Russell 1000 Dynamic Multifactor ETF | 13.08% | 3,410,082 | 1,031,148 | (462,286) | (864,618) | 36,371 | 35,177 | 80,663 | 3,150,697 |
Invesco S&P SmallCap Low Volatility ETF | 2.90% | 746,189 | 180,723 | (48,284) | (185,471) | 3,878 | 17,999 | 17,181 | 697,035 |
Invesco U.S. Managed Volatility Fund, Class R6 | 17.88% | 4,575,979 | 904,749 | (183,594) | (998,125) | 8,026 | — | 363,155 | 4,307,035 |
Total Domestic Equity Funds | 14,971,641 | 5,312,899 | (1,573,059) | (3,996,032) | (7,345) | 89,135 | 14,708,104 | ||
Fixed Income Funds–16.97% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 1.45% | 236,716 | 183,568 | — | (72,008) | — | 7,538 | 38,914 | 348,276 |
Invesco Floating Rate ESG Fund, Class R6 | 0.19% | — | 52,632 | (2,213) | (3,738) | (25) | 1,565 | 6,922 | 46,656 |
Invesco High Yield Bond Factor ETF | 2.17% | 485,844 | 150,867 | — | (114,388) | — | 21,751 | 25,411 | 522,323 |
Invesco Income Fund, Class R6 | 1.07% | 235,490 | 56,166 | (2,553) | (31,499) | (151) | 6,830 | 36,832 | 257,453 |
Invesco Intermediate Bond Factor Fund, Class R6 | 2.51% | 616,955 | 102,453 | (3,533) | (111,014) | (95) | 9,541 | 66,678 | 604,766 |
Invesco International Bond Fund, Class R6 | 1.11% | 250,019 | 86,530 | — | (69,069) | — | 7,120 | 68,235 | 267,480 |
Invesco Short Duration Inflation Protected Fund, Class R6 | 0.29% | — | 80,540 | (2,772) | (7,898) | (60) | 4,221 | 7,212 | 69,810 |
Invesco Taxable Municipal Bond ETF | 5.32% | 1,251,557 | 426,291 | (76,155) | (316,665) | (4,913) | 28,954 | 49,907 | 1,280,115 |
Invesco Variable Rate Investment Grade ETF | 2.86% | 635,346 | 122,138 | (56,267) | (12,050) | 291 | 7,603 | 28,004 | 689,458 |
Total Fixed Income Funds | 3,711,927 | 1,261,185 | (143,493) | (738,329) | (4,953) | 95,123 | 4,086,337 | ||
Foreign Equity Funds–18.55% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 4.10% | 1,472,347 | 340,233 | (453,476) | (218,062) | (153,313) | — | 35,517 | 987,729 |
Invesco Developing Markets Fund, Class R6 | 3.68% | 1,481,885 | 274,688 | (430,285) | (263,694) | (177,040) | — | 27,935 | 885,554 |
Invesco International Select Equity Fund, Class R6 | 1.13% | 627,575 | 109,517 | (294,492) | (30,000) | (140,067) | — | 32,291 | 272,533 |
Invesco International Small-Mid Company Fund, Class R6 | 1.88% | 509,130 | 191,489 | — | (247,867) | — | — | 13,391 | 452,752 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 2.83% | 750,491 | 270,630 | (90,285) | (268,287) | 18,640 | 20,849 | 33,164 | 681,189 |
Invesco RAFI™ Strategic Developed ex-US ETF | 3.04% | 751,329 | 217,594 | (49,969) | (189,593) | 1,816 | 21,528 | 31,462 | 731,177 |
Invesco S&P International Developed Low Volatility ETF | 1.89% | 490,770 | 92,827 | (6,794) | (120,676) | 95 | 17,745 | 18,508 | 456,222 |
Total Foreign Equity Funds | 6,083,527 | 1,496,978 | (1,325,301) | (1,338,179) | (449,869) | 60,122 | 4,467,156 | ||
Money Market Funds–0.75% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.27% | 84,618 | 2,408,418 | (2,428,877) | — | — | 450 | 64,159 | 64,159 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.18% | 43,739 | 1,720,299 | (1,719,329) | 6 | (17) | 317 | 44,689 | 44,698 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.30% | 96,706 | 2,752,478 | (2,775,859) | — | — | 482 | 73,325 | 73,325 |
Total Money Market Funds | 225,063 | 6,881,195 | (6,924,065) | 6 | (17) | 1,249 | 182,182 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from
securities on loan) (Cost $28,072,524) | 99.80% | 25,496,793 | 15,204,275 | (9,967,662) | (6,235,601) | (462,115) | 255,690 | 24,035,690 |
Invesco Peak Retirement™ 2040 Fund (continued) | |||||||||
Schedule of Investments in Affiliated Issuers–99.80%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | $— | $1,050,554 | $(1,050,554) | $— | $— | $625(d) | — | $— |
Invesco Private Prime Fund, 3.11%(c) | — | — | 2,458,205 | (2,458,238) | — | 33 | 1,720(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 3,508,759 | (3,508,792) | — | 33 | 2,345 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $28,072,524) | 99.80% | $25,496,793 | $18,713,034 | $(13,476,454) | $(6,235,601) | $(462,082) | $258,035 | $24,035,690 | |
OTHER ASSETS LESS LIABILITIES | 0.20% | 48,010 | |||||||
NET ASSETS | 100.00% | $24,083,700 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2045 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.79%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Alternative Funds–0.32% | |||||||||
Invesco Global Real Estate Income Fund, Class R6 | 0.32% | $— | $46,601 | $— | $(10,870) | $— | $743 | 4,770 | $35,731 |
Domestic Equity Funds–67.58% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 9.23% | 946,495 | 522,729 | (91,285) | (329,254) | (27,643) | — | 41,188 | 1,021,042 |
Invesco Main Street Small Cap Fund, Class R6 | 5.89% | 630,619 | 226,006 | (44,344) | (162,521) | 1,608 | — | 39,286 | 651,368 |
Invesco PureBetaSM MSCI USA ETF | 16.12% | 1,250,754 | 1,161,760 | (150,638) | (487,046) | 7,877 | 19,426 | 49,852 | 1,782,707 |
Invesco Russell 1000 Dynamic Multifactor ETF | 16.17% | 1,770,140 | 722,013 | (251,460) | (481,941) | 29,415 | 19,689 | 45,780 | 1,788,167 |
Invesco S&P SmallCap Low Volatility ETF | 2.88% | 309,988 | 92,290 | (2,983) | (81,244) | 100 | 7,996 | 7,842 | 318,151 |
Invesco U.S. Managed Volatility Fund, Class R6 | 17.29% | 1,767,488 | 623,661 | (58,976) | (418,978) | (893) | — | 161,241 | 1,912,302 |
Total Domestic Equity Funds | 6,675,484 | 3,348,459 | (599,686) | (1,960,984) | 10,464 | 47,111 | 7,473,737 | ||
Fixed Income Funds–11.31% | |||||||||
Invesco Core Plus Bond Fund, Class R6 | 0.19% | — | 24,570 | — | (4,132) | — | 460 | 2,284 | 20,438 |
Invesco High Yield Bond Factor ETF | 1.62% | 149,695 | 68,535 | (2,338) | (37,056) | (69) | 6,973 | 8,697 | 178,767 |
Invesco Income Fund, Class R6 | 0.19% | — | 23,589 | — | (2,486) | — | 535 | 3,019 | 21,103 |
Invesco Intermediate Bond Factor Fund, Class R6 | 2.57% | 260,448 | 82,925 | (9,984) | (47,945) | (1,142) | 4,259 | 31,345 | 284,302 |
Invesco International Bond Fund, Class R6 | 0.17% | — | 24,553 | — | (5,270) | — | 540 | 4,919 | 19,283 |
Invesco Taxable Municipal Bond ETF | 4.30% | 412,461 | 189,316 | (11,474) | (113,550) | (1,484) | 10,423 | 18,529 | 475,269 |
Invesco Variable Rate Investment Grade ETF | 2.27% | 198,626 | 60,632 | (3,884) | (4,327) | 151 | 2,711 | 10,203 | 251,198 |
Total Fixed Income Funds | 1,021,230 | 474,120 | (27,680) | (214,766) | (2,544) | 25,901 | 1,250,360 | ||
Foreign Equity Funds–20.83% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 4.43% | 653,355 | 208,702 | (196,461) | (106,432) | (69,181) | — | 17,619 | 489,983 |
Invesco Developing Markets Fund, Class R6 | 4.29% | 645,975 | 227,610 | (183,058) | (138,739) | (77,741) | — | 14,954 | 474,047 |
Invesco International Select Equity Fund, Class R6 | 1.23% | 253,368 | 91,404 | (133,468) | (10,898) | (64,521) | — | 16,100 | 135,885 |
Invesco International Small-Mid Company Fund, Class R6 | 1.97% | 198,838 | 129,179 | — | (110,494) | — | — | 6,434 | 217,523 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 3.99% | 404,840 | 201,412 | (10,147) | (155,437) | 1,127 | 13,059 | 21,509 | 441,795 |
Invesco RAFI™ Strategic Developed ex-US ETF | 2.93% | 312,751 | 109,024 | (10,311) | (88,820) | 1,089 | 9,447 | 13,930 | 323,733 |
Invesco S&P International Developed Low Volatility ETF | 1.99% | 198,702 | 82,097 | (2,511) | (58,210) | 120 | 8,358 | 8,933 | 220,198 |
Total Foreign Equity Funds | 2,667,829 | 1,049,428 | (535,956) | (669,030) | (209,107) | 30,864 | 2,303,164 | ||
Money Market Funds–0.75% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.26% | 50,583 | 1,250,281 | (1,271,995) | — | — | 222 | 28,869 | 28,869 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.19% | 36,647 | 893,057 | (909,070) | 2 | (14) | 162 | 20,617 | 20,622 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.30% | 57,809 | 1,428,893 | (1,453,708) | — | — | 238 | 32,994 | 32,994 |
Total Money Market Funds | 145,039 | 3,572,231 | (3,634,773) | 2 | (14) | 622 | 82,485 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from
securities on loan) (Cost $12,819,575) | 100.79% | 10,509,582 | 8,490,839 | (4,798,095) | (2,855,648) | (201,201) | 105,241 | 11,145,477 |
Invesco Peak Retirement™ 2045 Fund (continued) | |||||||||
Schedule of Investments in Affiliated Issuers–100.79%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | $— | $1,371,033 | $(1,371,033) | $— | $— | $108(d) | — | $— |
Invesco Private Prime Fund, 3.11%(c) | — | — | 3,333,153 | (3,333,153) | — | — | 288(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 4,704,186 | (4,704,186) | — | — | 396 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $12,819,575) | 100.79% | $10,509,582 | $13,195,025 | $(9,502,281) | $(2,855,648) | $(201,201) | $105,637 | $11,145,477 | |
OTHER ASSETS LESS LIABILITIES | (0.79)% | (87,231) | |||||||
NET ASSETS | 100.00% | $11,058,246 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2050 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–99.99%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Domestic Equity Funds–71.72% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 8.31% | $1,504,027 | $598,772 | $(36,335) | $(552,928) | $(15,746) | $— | 60,419 | $1,497,790 |
Invesco Main Street Small Cap Fund, Class R6 | 6.09% | 1,156,101 | 286,172 | (55,985) | (284,098) | (4,253) | — | 66,221 | 1,097,937 |
Invesco PureBetaSM MSCI USA ETF | 19.12% | 2,784,369 | 1,803,656 | (182,277) | (978,229) | 19,924 | 39,308 | 96,405 | 3,447,443 |
Invesco Russell 1000 Dynamic Multifactor ETF | 18.60% | 3,526,641 | 926,286 | (232,948) | (906,377) | 38,488 | 37,347 | 85,819 | 3,352,090 |
Invesco S&P SmallCap Low Volatility ETF | 3.29% | 639,665 | 118,708 | (11,695) | (156,963) | 3,866 | 15,098 | 14,631 | 593,581 |
Invesco U.S. Managed Volatility Fund, Class R6 | 16.31% | 2,970,457 | 688,357 | (45,043) | (672,104) | (2,212) | — | 247,846 | 2,939,455 |
Total Domestic Equity Funds | 12,581,260 | 4,421,951 | (564,283) | (3,550,699) | 40,067 | 91,753 | 12,928,296 | ||
Fixed Income Funds–6.13% | |||||||||
Invesco High Yield Bond Factor ETF | 0.27% | — | 60,265 | — | (11,098) | — | 2,139 | 2,392 | 49,167 |
Invesco Intermediate Bond Factor Fund, Class R6 | 2.18% | 362,234 | 98,861 | — | (68,723) | — | 6,002 | 43,260 | 392,372 |
Invesco Taxable Municipal Bond ETF | 2.45% | 362,197 | 228,332 | (39,645) | (103,865) | (6,301) | 9,936 | 17,182 | 440,718 |
Invesco Variable Rate Investment Grade ETF | 1.23% | 180,532 | 45,865 | — | (3,980) | — | 2,565 | 9,034 | 222,417 |
Total Fixed Income Funds | 904,963 | 433,323 | (39,645) | (187,666) | (6,301) | 20,642 | 1,104,674 | ||
Foreign Equity Funds–21.78% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 4.57% | 1,205,045 | 234,917 | (304,545) | (192,303) | (119,158) | — | 29,628 | 823,956 |
Invesco Developing Markets Fund, Class R6 | 4.50% | 1,200,482 | 353,149 | (357,283) | (219,734) | (165,437) | — | 25,589 | 811,177 |
Invesco International Select Equity Fund, Class R6 | 1.44% | 547,693 | 125,799 | (263,045) | (19,326) | (132,630) | — | 30,627 | 258,491 |
Invesco International Small-Mid Company Fund, Class R6 | 2.08% | 403,682 | 187,166 | (7,388) | (208,612) | 133 | — | 11,091 | 374,981 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 4.33% | 743,859 | 356,384 | (40,518) | (268,880) | (10,962) | 23,060 | 37,969 | 779,883 |
Invesco RAFI™ Strategic Developed ex-US ETF | 2.90% | 558,464 | 112,838 | (7,340) | (142,304) | 917 | 16,334 | 22,486 | 522,575 |
Invesco S&P International Developed Low Volatility ETF | 1.96% | 361,813 | 85,692 | — | (93,531) | — | 13,816 | 14,360 | 353,974 |
Total Foreign Equity Funds | 5,021,038 | 1,455,945 | (980,119) | (1,144,690) | (427,137) | 53,210 | 3,925,037 | ||
Money Market Funds–0.36% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.13% | 73,058 | 1,840,428 | (1,890,497) | — | — | 365 | 22,989 | 22,989 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.09% | 53,163 | 1,314,591 | (1,351,305) | 5 | (19) | 266 | 16,431 | 16,435 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.14% | 83,494 | 2,103,348 | (2,160,568) | — | — | 392 | 26,274 | 26,274 |
Total Money Market Funds | 209,715 | 5,258,367 | (5,402,370) | 5 | (19) | 1,023 | 65,698 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $20,913,189) | 99.99% | 18,716,976 | 11,569,586 | (6,986,417) | (4,883,050) | (393,390) | 166,628 | 18,023,705 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | 23,637 | 629,047 | (652,684) | — | — | 409(d) | — | — |
Invesco Private Prime Fund, 3.11%(c) | — | 55,153 | 1,466,376 | (1,521,637) | 5 | 103 | 1,130(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | 78,790 | 2,095,423 | (2,174,321) | 5 | 103 | 1,539 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $20,913,189) | 99.99% | $18,795,766 | $13,665,009 | $(9,160,738) | $(4,883,045) | $(393,287) | $168,167 | $18,023,705 | |
OTHER ASSETS LESS LIABILITIES | 0.01% | 1,976 | |||||||
NET ASSETS | 100.00% | $18,025,681 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2055 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.59%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Domestic Equity Funds–72.62% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 8.13% | $477,566 | $281,431 | $(32,490) | $(172,894) | $(11,992) | $— | 21,848 | $541,621 |
Invesco Main Street Small Cap Fund, Class R6 | 6.23% | 374,943 | 142,174 | (4,303) | (97,622) | (285) | — | 25,025 | 414,907 |
Invesco PureBetaSM MSCI USA ETF | 19.45% | 901,330 | 771,512 | (26,534) | (353,840) | 2,759 | 14,365 | 36,220 | 1,295,227 |
Invesco Russell 1000 Dynamic Multifactor ETF | 19.10% | 1,140,598 | 495,386 | (52,637) | (317,476) | 6,313 | 13,632 | 32,570 | 1,272,184 |
Invesco S&P SmallCap Low Volatility ETF | 3.40% | 207,839 | 74,625 | — | (55,961) | — | 5,542 | 5,583 | 226,503 |
Invesco U.S. Managed Volatility Fund, Class R6 | 16.31% | 959,066 | 383,813 | (24,549) | (231,139) | (908) | — | 91,593 | 1,086,283 |
Total Domestic Equity Funds | 4,061,342 | 2,148,941 | (140,513) | (1,228,932) | (4,113) | 33,539 | 4,836,725 | ||
Fixed Income Funds–5.02% | |||||||||
Invesco Intermediate Bond Factor Fund, Class R6 | 2.01% | 119,752 | 36,486 | — | (22,486) | — | 1,950 | 14,747 | 133,752 |
Invesco Taxable Municipal Bond ETF | 2.06% | 116,975 | 53,141 | (1,103) | (31,363) | (38) | 2,813 | 5,365 | 137,612 |
Invesco Variable Rate Investment Grade ETF | 0.95% | 56,084 | 8,177 | — | (1,111) | — | 720 | 2,565 | 63,150 |
Total Fixed Income Funds | 292,811 | 97,804 | (1,103) | (54,960) | (38) | 5,483 | 334,514 | ||
Foreign Equity Funds–22.34% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 4.79% | 385,532 | 144,589 | (103,503) | (68,913) | (38,662) | — | 11,472 | 319,043 |
Invesco Developing Markets Fund, Class R6 | 4.39% | 388,876 | 164,500 | (129,691) | (75,159) | (55,714) | — | 9,237 | 292,812 |
Invesco International Select Equity Fund, Class R6 | 1.43% | 179,510 | 59,744 | (89,948) | (20,528) | (33,588) | — | 11,278 | 95,190 |
Invesco International Small-Mid Company Fund, Class R6 | 2.22% | 132,839 | 89,354 | — | (74,262) | — | — | 4,375 | 147,931 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 4.43% | 235,286 | 161,150 | (1,454) | (100,160) | 112 | 8,356 | 14,359 | 294,934 |
Invesco RAFI™ Strategic Developed ex-US ETF | 3.07% | 177,978 | 78,950 | — | (52,509) | — | 5,653 | 8,796 | 204,419 |
Invesco S&P International Developed Low Volatility ETF | 2.01% | 119,413 | 48,904 | — | (34,443) | — | 4,870 | 5,431 | 133,874 |
Total Foreign Equity Funds | 1,619,434 | 747,191 | (324,596) | (425,974) | (127,852) | 18,879 | 1,488,203 | ||
Money Market Funds–0.61% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.21% | 33,196 | 772,166 | (791,237) | — | — | 142 | 14,125 | 14,125 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.15% | 23,712 | 551,546 | (565,161) | 3 | (10) | 103 | 10,088 | 10,090 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.25% | 37,939 | 882,474 | (904,270) | — | — | 152 | 16,143 | 16,143 |
Total Money Market Funds | 94,847 | 2,206,186 | (2,260,668) | 3 | (10) | 397 | 40,358 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $7,635,078) | 100.59% | 6,068,434 | 5,200,122 | (2,726,880) | (1,709,863) | (132,013) | 58,298 | 6,699,800 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | — | 1,327,176 | (1,327,176) | — | — | 79(d) | — | — |
Invesco Private Prime Fund, 3.11%(c) | — | — | 3,278,531 | (3,278,631) | — | 100 | 211(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 4,605,707 | (4,605,807) | — | 100 | 290 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $7,635,078) | 100.59% | $6,068,434 | $9,805,829 | $(7,332,687) | $(1,709,863) | $(131,913) | $58,588 | $6,699,800 | |
OTHER ASSETS LESS LIABILITIES | (0.59)% | (39,466) | |||||||
NET ASSETS | 100.00% | $6,660,334 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2060 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.51%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Domestic Equity Funds–72.44% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 8.17% | $653,657 | $250,914 | $(43,237) | $(220,367) | $(17,691) | $— | 25,142 | $623,276 |
Invesco Main Street Small Cap Fund, Class R6 | 6.28% | 501,079 | 109,433 | (8,178) | (125,779) | 2,785 | — | 28,911 | 479,340 |
Invesco PureBetaSM MSCI USA ETF | 19.77% | 1,197,089 | 785,203 | (46,142) | (423,552) | (4,027) | 17,563 | 42,186 | 1,508,571 |
Invesco Russell 1000 Dynamic Multifactor ETF | 18.99% | 1,504,217 | 390,133 | (60,641) | (384,688) | 418 | 16,295 | 37,108 | 1,449,439 |
Invesco S&P SmallCap Low Volatility ETF | 3.37% | 274,150 | 56,361 | (4,730) | (69,579) | 850 | 6,655 | 6,336 | 257,052 |
Invesco U.S. Managed Volatility Fund, Class R6 | 15.86% | 1,271,352 | 255,425 | (32,000) | (280,464) | (4,328) | — | 102,024 | 1,209,985 |
Total Domestic Equity Funds | 5,401,544 | 1,847,469 | (194,928) | (1,504,429) | (21,993) | 40,513 | 5,527,663 | ||
Fixed Income Funds–5.15% | |||||||||
Invesco Intermediate Bond Factor Fund, Class R6 | 2.02% | 151,843 | 41,568 | (10,784) | (26,456) | (1,791) | 2,465 | 17,021 | 154,380 |
Invesco Taxable Municipal Bond ETF | 2.08% | 151,781 | 50,429 | (4,284) | (38,965) | (726) | 3,583 | 6,169 | 158,235 |
Invesco Variable Rate Investment Grade ETF | 1.05% | 75,857 | 7,302 | (1,729) | (1,418) | 3 | 916 | 3,250 | 80,015 |
Total Fixed Income Funds | 379,481 | 99,299 | (16,797) | (66,839) | (2,514) | 6,964 | 392,630 | ||
Foreign Equity Funds–22.35% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 4.78% | 518,140 | 114,275 | (133,395) | (84,570) | (49,851) | — | 13,110 | 364,599 |
Invesco Developing Markets Fund, Class R6 | 4.42% | 513,027 | 137,943 | (146,553) | (102,342) | (64,677) | — | 10,643 | 337,398 |
Invesco International Select Equity Fund, Class R6 | 1.39% | 238,843 | 50,330 | (115,219) | (21,131) | (46,674) | — | 12,577 | 106,149 |
Invesco International Small-Mid Company Fund, Class R6 | 2.24% | 169,327 | 93,054 | (1,720) | (89,757) | (86) | — | 5,052 | 170,818 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 4.58% | 310,760 | 164,597 | (5,148) | (120,784) | 227 | 10,185 | 17,023 | 349,652 |
Invesco RAFI™ Strategic Developed ex-US ETF | 2.95% | 237,709 | 60,444 | (11,974) | (62,740) | 1,222 | 6,866 | 9,667 | 224,661 |
Invesco S&P International Developed Low Volatility ETF | 1.99% | 151,652 | 43,164 | (2,256) | (40,527) | 107 | 5,775 | 6,172 | 152,140 |
Total Foreign Equity Funds | 2,139,458 | 663,807 | (416,265) | (521,851) | (159,732) | 22,826 | 1,705,417 | ||
Money Market Funds–0.57% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.16% | 36,215 | 671,094 | (694,863) | — | — | 135 | 12,446 | 12,446 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.22% | 23,461 | 479,353 | (485,869) | 4 | (14) | 135 | 16,931 | 16,935 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.19% | 41,389 | 766,964 | (794,129) | — | — | 144 | 14,224 | 14,224 |
Total Money Market Funds | 101,065 | 1,917,411 | (1,974,861) | 4 | (14) | 414 | 43,605 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $8,659,179) | 100.51% | 8,021,548 | 4,527,986 | (2,602,851) | (2,093,115) | (184,253) | 70,717 | 7,669,315 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | — | 726,077 | (726,077) | — | — | 6(d) | — | — |
Invesco Private Prime Fund, 3.11%(c) | — | — | 1,694,145 | (1,694,145) | — | — | 16(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 2,420,222 | (2,420,222) | — | — | 22 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $8,659,179) | 100.51% | $8,021,548 | $6,948,208 | $(5,023,073) | $(2,093,115) | $(184,253) | $70,739 | $7,669,315 | |
OTHER ASSETS LESS LIABILITIES | (0.51)% | (39,204) | |||||||
NET ASSETS | 100.00% | $7,630,111 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2065 Fund | |||||||||
Schedule of Investments in Affiliated Issuers–100.42%(a) | |||||||||
% of Net Assets 09/30/22 | Value 12/31/21 | Purchases at Cost | Proceeds from Sales | Change in Unrealized Appreciation (Depreciation) | Realized Gain (Loss) | Dividend Income | Shares 09/30/22 | Value 09/30/22 | |
Domestic Equity Funds–72.66% | |||||||||
Invesco Discovery Mid Cap Growth Fund, Class R6 | 8.02% | $468,662 | $247,580 | $(20,889) | $(175,982) | $(10,210) | $— | 20,539 | $509,161 |
Invesco Main Street Small Cap Fund, Class R6 | 6.18% | 366,309 | 140,965 | (14,497) | (97,869) | (2,488) | — | 23,668 | 392,420 |
Invesco PureBetaSM MSCI USA ETF | 19.87% | 880,586 | 801,238 | (73,583) | (343,825) | (2,410) | 14,264 | 35,291 | 1,262,006 |
Invesco Russell 1000 Dynamic Multifactor ETF | 19.11% | 1,114,386 | 461,420 | (57,457) | (302,915) | (1,527) | 13,166 | 31,078 | 1,213,907 |
Invesco S&P SmallCap Low Volatility ETF | 3.41% | 205,547 | 72,230 | (5,727) | (54,989) | (376) | 5,485 | 5,341 | 216,685 |
Invesco U.S. Managed Volatility Fund, Class R6 | 16.07% | 936,993 | 365,524 | (52,532) | (228,201) | (855) | — | 86,082 | 1,020,929 |
Total Domestic Equity Funds | 3,972,483 | 2,088,957 | (224,685) | (1,203,781) | (17,866) | 32,915 | 4,615,108 | ||
Fixed Income Funds–5.07% | |||||||||
Invesco Intermediate Bond Factor Fund, Class R6 | 1.98% | 117,773 | 40,329 | (9,901) | (21,331) | (1,292) | 1,964 | 13,845 | 125,578 |
Invesco Taxable Municipal Bond ETF | 1.98% | 117,404 | 46,709 | (7,006) | (30,136) | (1,337) | 2,853 | 4,898 | 125,634 |
Invesco Variable Rate Investment Grade ETF | 1.11% | 58,716 | 17,321 | (4,115) | (1,133) | (80) | 758 | 2,872 | 70,709 |
Total Fixed Income Funds | 293,893 | 104,359 | (21,022) | (52,600) | (2,709) | 5,575 | 321,921 | ||
Foreign Equity Funds–22.08% | |||||||||
Invesco EQV Emerging Markets All Cap Fund, Class R6(b) | 4.74% | 381,932 | 161,480 | (134,356) | (58,742) | (49,198) | — | 10,828 | 301,116 |
Invesco Developing Markets Fund, Class R6 | 4.51% | 382,309 | 191,232 | (155,410) | (63,842) | (67,840) | — | 9,036 | 286,449 |
Invesco International Select Equity Fund, Class R6 | 1.38% | 176,022 | 55,477 | (90,792) | (14,512) | (38,370) | — | 10,406 | 87,825 |
Invesco International Small-Mid Company Fund, Class R6 | 2.11% | 132,031 | 81,514 | (6,912) | (71,700) | (1,073) | — | 3,959 | 133,860 |
Invesco PureBetaSM FTSE Developed ex-North America ETF | 4.34% | 234,640 | 142,309 | (3,673) | (96,727) | (1,108) | 8,438 | 13,410 | 275,441 |
Invesco RAFI™ Strategic Developed ex-US ETF | 3.04% | 176,159 | 69,570 | (2,645) | (49,188) | (563) | 5,668 | 8,319 | 193,333 |
Invesco S&P International Developed Low Volatility ETF | 1.96% | 117,466 | 39,949 | — | (32,760) | — | 4,711 | 5,057 | 124,655 |
Total Foreign Equity Funds | 1,600,559 | 741,531 | (393,788) | (387,471) | (158,152) | 18,817 | 1,402,679 | ||
Money Market Funds–0.61% | |||||||||
Invesco Government & Agency Portfolio, Institutional Class, 2.88%(c) | 0.19% | — | 811,147 | (799,096) | — | — | 115 | 12,051 | 12,051 |
Invesco Liquid Assets Portfolio, Institutional Class, 2.90%(c) | 0.20% | 9,691 | 579,390 | (576,379) | 4 | (15) | 119 | 12,689 | 12,691 |
Invesco Treasury Portfolio, Institutional Class, 2.87%(c) | 0.22% | — | 927,025 | (913,252) | — | — | 124 | 13,773 | 13,773 |
Total Money Market Funds | 9,691 | 2,317,562 | (2,288,727) | 4 | (15) | 358 | 38,515 | ||
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (excluding investments purchased with cash collateral from securities on loan) (Cost $7,284,130) | 100.42% | 5,876,626 | 5,252,409 | (2,928,222) | (1,643,848) | (178,742) | 57,665 | 6,378,223 | |
Investments Purchased with Cash Collateral from Securities on Loan | |||||||||
Money Market Funds–0.00% | |||||||||
Invesco Private Government Fund, 3.01%(c) | — | — | 466,348 | (466,348) | — | — | 4(d) | — | — |
Invesco Private Prime Fund, 3.11%(c) | — | — | 1,088,121 | (1,088,121) | — | — | 10(d) | — | — |
Total Investments Purchased with Cash Collateral from Securities on Loan (Cost $0) | 0.00% | — | 1,554,469 | (1,554,469) | — | — | 14 | — | |
TOTAL INVESTMENTS IN AFFILIATED ISSUERS (Cost $7,284,130) | 100.42% | $5,876,626 | $6,806,878 | $(4,482,691) | $(1,643,848) | $(178,742) | $57,679 | $6,378,223 | |
OTHER ASSETS LESS LIABILITIES | (0.42)% | (26,805) | |||||||
NET ASSETS | 100.00% | $6,351,418 |
ETF - | Exchange-Traded Fund |
(a) | Each underlying fund and the Fund are affiliated by either having the same investment adviser or an investment adviser under common control with the Fund’s investment adviser. |
(b) | Effective February 28, 2022, the underlying fund’s name changed. |
(c) | The rate shown is the 7-day SEC standardized yield as of September 30, 2022. |
(d) | Represents the income earned on the investment of cash collateral. Does not include rebates and fees paid to lending agent or premiums received from borrowers, if any. |
Invesco Peak Retirement™ 2025 Fund | Level 1 | Level 2 | Level 3 | Total |
Investments in Securities | ||||
Affiliated Issuers | $21,638,159 | $— | $— | $21,638,159 |
Money Market Funds | 201,403 | 40,501 | — | 241,904 |
Total Investments | $21,839,562 | $40,501 | $— | $21,880,063 |