Invesco Global Strategic Income Fund Class Y (OSIYX)
NASDAQ · Mutual Fund
· Delayed Price · Currency is USD
3.160
0.00 (0.00%)
May 7, 2025, 4:00 PM EDT
OSIYX Holdings List
As of Mar 31, 2025
No. | Symbol | Name | % Weight |
---|---|---|---|
1 | n/a | 10 Year Treasury Note Future June 25 | 41.13% |
2 | n/a | 2 Year Treasury Note Future June 25 | 17.38% |
3 | n/a | Brl/Usd Cfwd202542 | 15.51% |
4 | n/a | Usd/Brl Cfwd202542 | 15.30% |
5 | G2SF 5.5 4.11 | Government National Mortgage Association 5.5% | 11.82% |
6 | n/a | Usd/Inr Cfwd2027319 | 11.35% |
7 | n/a | Inr/Usd Cfwd2027319 | 11.26% |
8 | n/a | Usd/Gbp Cfwd2025618 | 9.05% |
9 | G2SF 5 4.11 | Government National Mortgage Association 5% | 8.87% |
10 | n/a | Usd/Eur Cfwd2025618 | 8.76% |
11 | FNCL 5.5 4.11 | Federal National Mortgage Association 5.5% | 8.10% |
12 | FNCL 5 4.11 | Federal National Mortgage Association 5% | 7.95% |
13 | n/a | Usd/Brl Cfwd202555 | 7.42% |
14 | n/a | Usd/Inr Cfwd2025618 | 6.27% |
15 | n/a | Jpy/Usd Cfwd2025618 | 6.12% |
16 | n/a | Inr/Usd Cfwd2025618 | 5.81% |
17 | BNTNF 10 01.01.27 NTNF | BRAZIL NOTAS DO TESOURO NACIONAL SERIE F BNTNF 10 01/01/27 UGB | 5.41% |
18 | n/a | Usd/Zar Cfwd2025618 | 4.12% |
19 | n/a | Eur/Usd Cfwd20251118 | 3.47% |
20 | n/a | Usd/Cop Cfwd2025618 | 3.42% |
21 | n/a | Usd/Mxn Cfwd2025618 | 2.92% |
22 | n/a | Eur/Usd Cfwd2025428 | 2.65% |
23 | n/a | Usd/Inr Cfwd202543 | 2.46% |
24 | n/a | Inr/Usd Cfwd202543 | 2.45% |
25 | B 0 05.01.25 | United States Treasury Bills 0% | 2.25% |
26 | n/a | Usd/Jpy Cfwd2025618 | 2.23% |
27 | n/a | Aud/Usd Cfwd2025618 | 2.21% |
28 | BKLN | Invesco Senior Loan ETF | 2.21% |
29 | n/a | Usd/Cad Cfwd2025618 | 2.12% |
30 | JGB 0.5 03.20.60 13 | JAPAN GOVERNMENT FORTY YEAR BOND JGB 0 1/2 03/20/60 GB | 2.12% |
31 | SAGB 9 01.31.40 2040 | REPUBLIC OF SOUTH AFRICA GOVERNMENT BOND SAGB 9 01/31/40 #2040 GB | 1.86% |
32 | TRPXX | Short-Term Investment Trust - Invesco Treasury Portfolio | 1.75% |
33 | n/a | Usd/Aud Cfwd2025613 | 1.73% |
34 | n/a | Krw/Usd Cfwd2025618 | 1.69% |
35 | n/a | Eur/Usd Cfwd2025618 | 1.63% |
36 | n/a | Usd/Eur Cfwd20251118 | 1.55% |
37 | n/a | Usd/Mxn Cfwd202542 | 1.45% |
38 | SAGB 8.25 03.31.32 2032 | REPUBLIC OF SOUTH AFRICA GOVERNMENT BOND SAGB 8 1/4 03/31/32 #2032 GB | 1.40% |
39 | n/a | Mxn/Usd Cfwd202542 | 1.40% |
40 | n/a | Cad/Usd Cfwd2025512 | 1.37% |
41 | n/a | Cny/Usd Cfwd2025422 | 1.27% |
42 | n/a | Usd/Cny Cfwd2025422 | 1.26% |
43 | n/a | Usd/Cny Cfwd202543 | 1.24% |
44 | n/a | Cny/Usd Cfwd202543 | 1.22% |
45 | n/a | Zar/Usd Cfwd202548 | 1.21% |
46 | MFD 2008-1 B1 | Mortgage Funding 2008-1 PLC 7.80145% | 1.17% |
47 | n/a | Fwdp 15y Rtp 1.757000 15-Mar-2039 | 1.14% |
48 | COLTES 7.75 09.18.30 B | COLOMBIAN TES COLTES 7 3/4 09/18/30 GB | 1.06% |
49 | n/a | Usd/Jpy Cfwd2025519 | 1.05% |
50 | YPFD2.BA | YPF SA Class D | 1.03% |
As of Mar 31, 2025