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Performance
Class A | Class A3 | Class B | Class C | Class Investor | Class P | Class R | Class S | Class Y

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Performance quoted is past performance and cannot guarantee comparable future results; current performance may be lower or higher. Investment return and principal value will vary so that you may have a gain or a loss when you sell shares.

The Investor Class shares have no sales charge; therefore, performance is at NAV. Investor Class shares are closed to most investors. Please see the prospectus for more details.

  Equity Funds - Class Investor N/As may appear until data is available. Data is  
usually updated between 3 and 6 p.m. CST.  
Class Investor
Incept. Date
Blended Perf.
Incept. Date
Fund
Symbol
Net Fund
Operating
Expenses
Gross
Annual
Operating
Expenses
YTD
11/20/2009
Avg. Annual Total Returns
10/31/2009
Avg. Annual Total Returns
09/30/2009
Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr. Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr.
AIM Basic Balanced Fund NEW
07/15/2005 09/28/2001 BBLTX 1.20% 1.20% (NAV)
30.71% 1.73% 18.51% -6.73% -0.58% N/A 2.10% 2.07% -5.18% 0.11% N/A
AIM Capital Development Fund
11/30/2004 06/17/1996 ACDIX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.26% 1.27% (NAV)
33.85% N/A 17.01% -8.12% 1.15% 3.97% N/A -3.70% -5.65% 2.56% 4.86%
AIM Diversified Dividend Fund1
07/15/2005 12/31/2001 LCEIX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    0.93% 0.94% (NAV)
21.37% 3.49% 10.63% -4.41% 2.31% N/A 3.82% -5.45% -2.64% 2.78% N/A
AIM Dynamics Fund1
09/15/1967 N/A FIDYX 1.22% 1.22% (NAV)
33.36% 7.93% 15.73% -7.73% 1.51% -2.36% 8.08% -3.15% -4.84% 3.04% -0.93%
AIM Energy Fund
01/19/1984 N/A FSTEX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.17% 1.18% (NAV)
37.50% 10.13% 21.57% 4.61% 14.18% 15.17% 10.20% -4.87% 6.00% 14.37% 14.58%
AIM European Growth Fund2,3,4
09/30/2003 11/03/1997 EGINX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.48% 1.49% (NAV)
35.31% N/A 29.52% -4.58% 7.25% 8.54% N/A 1.26% -2.92% 7.97% 9.29%
AIM Financial Services Fund
06/02/1986 N/A FSFSX 1.65% 1.66% (NAV)
26.72% 7.62% -3.68% -27.14% -13.38% -4.94% 7.86% -22.85% -25.38% -12.65% -3.17%
AIM Global Health Care Fund3
07/15/2005 08/07/1989 GTHIX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.  Total annual operating expenses less contractual advisory fee waivers by the advisor in effect through at least December 31, 2009.  See current prospectus for more information.    1.22% 1.23% (NAV)
21.81% N/A 11.80% -2.41% 2.59% 5.88% N/A -2.40% -0.89% 3.41% 6.56%
Class Investor
Incept. Date
Blended Perf.
Incept. Date
Fund
Symbol
Net Fund
Operating
Expenses
Gross
Annual
Operating
Expenses
YTD
11/20/2009
Avg. Annual Total Returns
10/31/2009
Avg. Annual Total Returns
09/30/2009
Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr. Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr.
AIM Gold & Precious Metals Fund3
01/19/1984 N/A FGLDX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.49% 1.50% (NAV)
63.31% 1.82% 98.17% 9.38% 15.52% 16.18% 2.00% 33.28% 13.51% 16.54% 15.10%
AIM International Core Equity Fund3
10/28/1998 N/A IIBCX 1.45% 1.45% (NAV)
28.01% 3.63% 24.35% -5.16% 4.15% 2.83% 3.83% 1.82% -3.59% 5.27% 3.35%
AIM Large Cap Basic Value Fund2,4
09/30/2003 06/30/1999 LCINX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.31% 1.31% (NAV)
39.46% N/A 19.23% -12.78% -3.41% 1.38% N/A -4.29% -10.71% -2.45% 2.28%
AIM Large Cap Growth Fund2,4
09/30/2003 03/01/1999 LCGIX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.31% 1.31% (NAV)
20.65% N/A 10.22% -5.51% 0.62% -1.72% N/A -4.59% -3.61% 1.19% -0.81%
AIM Leisure Fund
01/19/1984 N/A FLISX 1.37% 1.37% (NAV)
27.39% 12.85% 17.11% -9.78% -1.43% 1.83% 13.04% -5.65% -7.06% -0.10% 2.75%
AIM Real Estate Fund1,2
09/30/2003 12/31/1996 REINX 1.44% 1.44% (NAV)
21.28% N/A 2.39% -13.58% 1.33% 11.33% N/A -23.10% -10.82% 3.33% 11.38%
AIM Small Cap Growth Fund4,7 LIMITED OFFERING
04/07/2006 10/18/1995 GTSIX 1.28% 1.28% (NAV)
26.53% N/A 14.77% -4.45% 2.77% 2.36% N/A -5.49% -1.25% 4.26% 3.24%
AIM Structured Core Fund6
04/25/2008 03/31/2006 SCNUX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.01% 1.20% (NAV)
16.95% -5.37% 7.74% -8.96% N/A N/A -4.80% -7.55% -6.92% N/A N/A
Class Investor
Incept. Date
Blended Perf.
Incept. Date
Fund
Symbol
Net Fund
Operating
Expenses
Gross
Annual
Operating
Expenses
YTD
11/20/2009
Avg. Annual Total Returns
10/31/2009
Avg. Annual Total Returns
09/30/2009
Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr. Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr.
AIM Technology Fund6
01/19/1984 N/A FTCHX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2009.  See current prospectus for more information.    1.81% 1.82% (NAV)
47.23% 9.01% 26.72% -5.14% 0.25% -7.65% 9.20% 7.89% -3.37% 2.29% -6.14%
AIM Utilities Fund1,4
06/02/1986 N/A FSTUX 1.51% 1.51% (NAV)
6.91% 7.54% 3.31% -4.05% 6.01% 0.52% 7.70% -6.63% -1.69% 7.48% 1.18%

  Fixed Income Funds - Class Investor N/As may appear until data is available. Data is  
usually updated between 3 and 6 p.m. CST.  
Class Investor
Incept. Date
Blended Perf.
Incept. Date
Fund
Symbol
Net Fund
Operating
Expenses
Gross
Annual
Operating
Expenses
YTD
11/20/2009
Avg. Annual Total Returns
10/31/2009
Avg. Annual Total Returns
09/30/2009
Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr. Since
Incept. *
1 Yr. 3 Yr. 5 Yr. 10 Yr.
AIM High Yield Fund3,5
09/30/2003 07/11/1978 HYINX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2010. See current prospectus for more information.    0.99% 1.21% (NAV)
50.07% N/A 43.93% 4.93% 5.59% 2.27% N/A 16.07% 4.67% 5.52% 1.94%
AIM Income Fund5
09/30/2003 05/03/1968 AIIVX 1.20% 1.20% (NAV)
10.41% N/A 14.64% -1.95% 0.19% 2.11% N/A 2.27% -2.24% 0.08% 1.88%
AIM Municipal Bond Fund5,6
09/30/2003 03/28/1977 AMBIX Total annual operating expenses less any contractual fee waivers and/or expense reimbursements by the advisor in effect through at least June 30, 2010. See current prospectus for more information.    0.47% 0.76% (NAV)
Current fund performance , including after-tax returns. Current fund performance, including after-tax returns.
AIM U.S. Government Fund5
09/30/2003 04/28/1987 AGIVX 0.98% 0.98% (NAV)
1.60% N/A N/A N/A N/A N/A N/A 8.09% 6.48% 4.73% 5.18%

Performance figures reflect reinvested distributions and changes in net asset value (NAV) and the effect of the maximum sales charge unless otherwise stated.

* Returns are cumulative for funds with less than one year of performance.

1 Had fees not been waived and/or expenses reimbursed in the past, returns would have been lower.

2 Investor Class share's inception date is September 30, 2003; returns since that date are historical returns. All other returns are blended returns of historical Investor Class share performance and restated Class A share performance (for periods prior to the inception date of Investor Class shares) at net asset value and reflect the higher Rule 12b-1 fees applicable to Class A shares. Class A shares inception date as noted in table. Investor Class shares would have had different returns due to differences in the expense structure of the Investor Class.

3 A 2% redemption fee will be imposed on certain redemptions or exchanges out of the fund within 30 days of purchase. Exceptions to the redemption fee are listed in the fund's prospectus.

4 Although the fund's return during certain periods was positively impacted by its investments in initial public offerings (IPOs), there can be no assurance that the fund will have favorable IPO investment opportunities in the future.

5 Investor Class share's inception date is September 30, 2003; returns since that date are historical returns. All other returns are blended returns of historical Investor Class share performance and restated Class A share performance (for periods prior to the inception date of Investor Class shares) at net asset value and reflect the Rule 12b-1 fees applicable to Class A shares. Class A shares inception date as noted in table.

6 Had fees not been waived and/or expenses reimbursed, returns would have been lower.

7 Investor Class shares' inception date is April 7, 2006; returns since that date are historical returns. All other returns are blended returns of historical Investor Class share performance and restated Class A share performance (for periods prior to the inception date of Investor Class shares) at net asset value and reflect the Rule 12b-1 fees applicable to Class A shares. Class A shares inception date is October 10, 1995.

For more information about the risks associated with each fund, click on the fund name or access the fund's prospectus.

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Invesco AimSM is a service mark of Invesco Aim Management Group, Inc. Invesco Aim Advisors, Inc., Invesco Aim Capital Management, Inc., Invesco Aim Private Asset Management, Inc. and Invesco PowerShares Capital Management LLC are the investment advisors for the products and services represented by Invesco Aim; they each provide investment advisory services to individual and institutional clients and do not sell securities. Please refer to each fund’s prospectus for information on the fund’s subadvisors. Invesco Aim Distributors, Inc. is the U.S. distributor for the retail mutual funds, exchange-traded funds and institutional money market funds and the subdistributor for the STIC Global Funds represented by Invesco Aim. All entities are indirect, wholly owned subsidiaries of Invesco Ltd.

Consider the investment objectives, risks, and charges and expenses carefully before investing. For this and other information about AIM funds, please obtain a prospectus from your financial advisor and read it carefully before investing.

NOT FDIC INSURED MAY LOSE VALUE NO BANK GUARANTEE

Invesco Aim Management Group, Inc. data unless otherwise noted.

Invesco Aim Distributors, Inc. 11/2009

© 2009 Invesco Aim Management Group, Inc. All rights reserved.