Invesco Dividend Income Fd Inv C: (MF: FSTUX)

NAV

$18.23

NAV Day Change

-0.18 (-0.98%)

 

 

May 22 06:05 PM ET

General Information As Of 04/30/13

%Yield 2.61
%SEC Yield NA
%YTD Return (as of 04/30/13) 13.54
Objective* Equity - Sector Utilities
Peer* UT LV

Portfolio Statistics

%Unrealized Gain YTD 18.14
Net Assets (Mil $) 04/30/2013 65.38
%Turnover 04/30/2013 14.00

Fees

%Max Sales Load NA
%Min Sales Load NA
%Max Deferred Load NA

Expenses

%Max 12b-1 Fee 0.25
%Max Management Fee 0.75
Redemption Fee NA
Expense Ratio 1.31

Allocation

Large Growth 24.69
Large Value 38.37
Small Growth 0.00
Small Value 0.00
Foreign Stock 9.67
Emerging Market 0.00
Precious Metal 0.00
Intermediate Bond 0.00
Foreign Bond 0.00
High Yield Bond 0.00

Portfolio Information

Composition

As of 01/31/2013 %of Net Assets
Stock 93.14
Cash 4.74
Bonds 0.00
Preferred 0.00
Convertibles 0.00
Foreign Stock 4.67
Foreign Bonds 0.00
Hedge 0.00
Other 2.12

Sector / Country Weightings

As of 04/30/2013 % of Portfolio
Utilities 88.37
Other 6.86
Technology 4.77

Portfolio Holdings

Top Equity Holdings (As of 01/31/2013) % of Portfolio Value (Mil$)
PORTLAND GENERAL ELECTRIC 5.34 19.10
AMERICAN ELECTRIC POWER 5.18 18.52
PEPCO HOLDINGS INC 5.05 18.06
EXELON CORP 4.95 17.69
NATIONAL GRID PLC 4.67 16.69
XCEL ENERGY INC 4.65 16.63
SOUTHERN CO/THE 4.51 16.14
SEMPRA ENERGY 4.19 14.98
DUKE ENERGY CORP 4.15 14.84

Contact Information

Family Invesco
Addrerss P. O. Box 4739
Houston, TX 77210-4739
Phone 800 959-4246

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Zacks Mutual Fund Rank: 1 - Strong Buy

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Fund Description

The fund was incepted in June 1986 and is managed by Invesco. The fund seeks capital growth and income. The fund invests primarily in the stocks of companies that produce, generate, transmit or distribute natural gas or electricity, as well as in companies that provide telecommunications services, including local, long distance, and wireless. The fund concentrates on companies with stable and consistent earnings power, defensible market positions, and a blended mix of earnings growth and dividend yield. The fund offers dividends quarterly and capital gains annually.

Stock Holding % of Net Assets

As Of 01/31/2013
Total Issues 32
Avg. P/E 15.24
Avg. P/Book 1.81
Avg. EPS Growth 4.19
Avg. Market Value (Mil $) 20,219

Risk

3 Year 5 Year 10 Year
Beta 0.36 0.54 0.58
Alpha 8.48 0.27 5.35
R Squared 0.35 0.53 0.46
Std. Dev. 9.17 13.89 12.62
Sharpe 1.49 0.28 2.00

Shareholder Information

Manager Meggan Walsh
Since 01/09
Manager Rating 2.90
Inception Date 06/02/1986
Shareholders NA
Dividends Paid Q
Minimum Initial Investment $1,000
Minimum Subsequent Investment $50
IRA Minimum $250
IRA Available Y Check Writing N Phone Invest Y
Phone Exchange Y Phone Redeem Y Auto Invest Y
Wire Redeem Y Wire Fee Y Wire Transfer Y

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