Invesco Emerging Markets Innovators Equity Fund A-Acc Shares 31 August 2021

This marketing communication is for investors in Switzerland only. Investors should read the legal documents prior to investing. Summary of fund objective Indexed performance 26 August 2019 - 31 August 2021 * The Fund is actively managed. The Fund aims to achieve long term capital Fund Benchmark growth. The Fund seeks to achieve its 150 objective by investing a minimum of 80% 140 of the NAV of the Fund in equity and 130 equity-related securities of innovative companies that are economically tied to a 120 developing market country. For the full 110 objectives and investment policy please 100 consult the current prospectus. 90 Key facts 80 70 60 07/19 02/20 08/20 02/21 08/21 Each period starts at the end of the indicated month. The first indicated month may not represent a full month and may start only on the launch/restructuring date indicated in the headline. Justin Leverenz Cumulative performance* New York in % YTD 1 month 1 year 3 years Since inception Managed fund since Fund -3.18 0.29 11.37 - 36.57 August 2019 Benchmark 12.44 3.49 31.53 - 43.45 Share class launch 26 August 2019 Calendar year performance* Original fund launch in % 2016 2017 2018 2019 2020 26 August 2019 Fund - - - - 22.39 Legal status Luxembourg SICAV with UCITS status Benchmark - - - - 10.49 Share class currency Standardised rolling 12 month performance* USD 31.08.16 31.08.17 31.08.18 31.08.19 31.08.20 Share class type in % 31.08.17 31.08.18 31.08.19 31.08.20 31.08.21 Accumulation Fund - - - 19.51 11.37 Fund size USD 10.90 mn Benchmark - - - 5.70 31.53 Reference Benchmark Past performance is not a guide to future returns. MSCI Emerging Markets Mid Cap Index-NR As at 2 August 2021, the rankings are now displayed on the Z-Acc share class, which is now the primary share class of this fund. Bloomberg code IEMIEAA LX ISIN code LU2014292853 Settlement date Trade Date + 3 Days Valor-Number 49345902 Morningstar Rating TM A

*Source: © 2021 Morningstar. Indexed performance: Performance of an investment of 100 in share class currency. Gross income re-invested to 31 August 2021 unless otherwise stated. The figures do not reflect the entry charge payable by individual investors. All performance data on this fact sheet is in the currency of the share class. The performance shown does not take account of the commissions and costs incurred on the issue and redemption of units. Reference Benchmark Source: RIMES. There is currently a discretionary cap on the ongoing charge of 2.20% in place. This discretionary cap may positively impact the performance of the Share Class. -1/3- Invesco Emerging Markets Innovators Equity Fund A-Acc Shares 31 August 2021

Issuers and active weights* (total holdings: 76)

Top 10 issuers % Top 10 overweight + Top 10 underweight - Yandex NV 4.7 Yandex NV 4.7 Evergreen Marine Corp Taiwan Ltd 1.0 Yum China Holdings Inc 4.6 Yum China Holdings Inc 4.6 Chailease Holding Co Ltd 1.0 Silergy Corp 3.9 Samsung Biologics Co Ltd 3.5 Cemex SAB de CV 1.0 Samsung Biologics Co Ltd 3.5 Huazhu Group Ltd 3.3 Ltd 0.8 Huazhu Group Ltd 3.3 Silergy Corp 3.0 Realtek Semiconductor Corp 0.7 Ltd 3.0 Voltas Ltd 3.0 Sasol Ltd 0.7 Wuxi Biologics Cayman Inc 2.9 Wuxi Biologics Cayman Inc 2.9 Notre Dame Intermedica 0.6 Pagseguro Digital Ltd 2.7 Pagseguro Digital Ltd 2.7 Participacoes SA Ace Hardware Indonesia Tbk PT 2.4 Ace Hardware Indonesia Tbk PT 2.4 Yang Ming Marine Transport Corp 0.6 Sunny Optical Technology Group Co 2.4 Sunny Optical Technology Group Co 2.4 Ltd 0.6 Ltd Ltd Polymetal International PLC 0.6 Geographical weightings of the fund in %* Geographical weightings* Sector weightings*

g China Bench Bench in % in % g Fund mark Fund mark g Russia g Brazil China 32.4 18.3 Consumer Discretionary 23.5 12.0 g Mexico India 10.6 11.2 Health Care 14.0 7.7 g Indonesia Russia 10.4 4.3 Industrials 11.6 14.6 g Poland g Philippines Brazil 8.5 7.2 Financials 11.2 15.6 Others g Mexico 8.3 3.7 Consumer Staples 10.3 8.7 g Cash Indonesia 6.5 1.6 Information Technology 10.1 12.5

Sector weightings of the fund in %* Poland 3.9 2.0 Communication Services 7.5 5.5 Philippines 3.6 1.4 Materials 5.3 13.4 Consumer Discretionary g Others 14.0 50.4 Others 4.6 10.0 g Health Care g Industrials Cash 1.9 0.0 Cash 1.9 0.0 g Financials g Consumer Staples g Information Technology Financial characteristics* g Communication Services g Materials Average weighted market capitalisation USD 16.86 bn g Others Median market capitalisation USD 9.91 bn g Cash

NAV and fees Current NAV USD 13.71 12 month price high USD 15.47 (16/02/2021) 12 month price low USD 11.58 (24/09/2020) Minimum investment 1 USD 1,500 Entry charge Up to 5.00% Annual management fee 1.75% Ongoing charges 2 2.20%

Source: *Invesco. Portfolio weightings and allocations are subject to change. The weightings for each breakdown are rounded to the nearest tenth or hundredth of a percent; therefore, the aggregate weights for each breakdown may not equal 100%. The top 10 overweight and underweight positions represent the largest weighting differences between the fund and the benchmark. -2/3- Invesco Emerging Markets Innovators Equity Fund A-Acc Shares 31 August 2021

Risk Warnings

The value of investments and any income will fluctuate (this may partly be the result of exchange rate fluctuations) and investors may not get back the full amount invested. As a large portion of the fund is invested in less developed countries, you should be prepared to accept significantly large fluctuations in the value of the fund. The fund may invest in certain securities listed in China which can involve significant regulatory constraints that may affect the liquidity and/or the investment performance of the fund. Investments in small and medium sized companies involve greater risks than those customarily associated with larger companies. The risks described herein are the fund specific material risks. For more information please consult the current fund and share class specific Key Investor Information Document (KIID) and for a complete set of risks the current prospectus.

Important Information

1The minimum investment amounts are: USD 1,500 / EUR 1,000 / GBP 1,000 / CHF 1,500 / SEK 10,000. Please contact us or refer to the most up to date Prospectus for details of minimum investment amounts in other currencies. 2The ongoing charges figure is based on expenses for the year ending February 2021. This figure may vary from year to year. It excludes portfolio transaction costs except in the case of an entry or exit charge paid by the Fund when buying or selling shares/units in another fund.

Past performance is not an indication of future performance, provides no guarantee for the future and is not constant over time. Investors must be aware that their investment may be subject to the risk of adverse foreign exchange rate movements. Where individuals or the business have expressed opinions, they are based on current market conditions, they may differ from those of other investment professionals and are subject to change without notice and are not to be construed as investment advice. This marketing communication is not an invitation to subscribe for shares in the fund and is by way of information only, it should not be considered financial advice. As with all investments, there are associated risks. This document is by way of information only. This document is marketing material and is not intended as a recommendation to invest in any particular asset class, security or strategy. Regulatory requirements that require impartiality of investment/investment strategy recommendations are therefore not applicable nor are any prohibitions to trade before publication. The information provided is for illustrative purposes only, it should not be relied upon as recommendations to buy or sell securities. Additional expenses and taxes may be incurred by investors which are not billed through the fund management firm. This document is by way of information only and does not form part of any prospectus. This document is issued in Switzerland by Invesco Asset Management (Schweiz) AG, Talacker 34, CH-8001 Zurich, who acts as representative for the funds distributed in Switzerland. Paying agent for the funds distributed in Switzerland: BNP PARIBAS SECURITIES SERVICES, Paris, succursale de Zurich, Selnaustrasse 16, CH-8002 Zurich. The fund is domiciled in Luxembourg. Ongoing charges and any other fees, commissions, charges and expenses, as well as taxes, payable through the fund, are disclosed in the fund’s Key Investor Information Document. Other costs, including taxes, related to transactions in connection with the fund may arise directly for the client. Any reference to a ranking, a rating or an award provides no guarantee for future performance results and is not constant over time. Opinions expressed are those of the author or Invesco and can change without notice. No part of this material may be copied, photocopied or duplicated in any form by any means or redistributed without Invesco’s prior written consent. For more information on our funds and the relevant risks, please refer to the share class-specific Key Investor Information Documents (available in local language), the Annual or Interim Reports, the Prospectus, and constituent documents, available from www.invesco.eu. A summary of investor rights is available in English from www.invescomanagementcompany.lu. The management company may terminate marketing arrangements. © 2021 Morningstar. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

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