Indexed Performance (% growth)

Invesco International Balanced-Risk Allocation Chart

Standardised rolling 12-month performance (%)

30/12/11 -
31/12/12
31/12/12 -
31/12/13
31/12/13 -
31/12/14
31/12/14 -
31/12/15
31/12/15 -
30/12/16
Invesco
Balanced-Risk Allocation A
7.13 1.12 5.89 -5.10 9.86

The standardised past performance information is updated on a quarterly basis. Should you require more up-to-date past performance information please see above chart.

Cumulative growth (%)

6 mths
1 yr
3 yrs
5 yrs
10 yrs
Invesco
Balanced-Risk Allocation A
1.08 9.86 10.40 19.59
IA

Annualised returns (%)

3 yrs
5 yrs
10 yrs
Invesco
Balanced-Risk Allocation A
3.35 3.64
IA

Past performance is not a guide to future returns. If a fund has not been in existence for the full period requested, the start date for all funds on the chart will default to that fund's launch date. Note, when selecting a specific range of dates, data is only available for the last 10 year period.

Cumulative and annualised performance figures are to 30 December 2016. Graph figures are as at the end of the relevant month unless otherwise stated. Standardised past performance figures are as at 30 December 2016. (Source: Lipper)

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