Net Asset Value(s)
February 20 2003 - 6:53AM
UK Regulatory
INVESCO Leveraged High Yield Fund
HEADLINE: Net Asset Values
The unaudited Net Asset Value (cum income) per share as at the close of
business on
19 February 2003 for INVESCO Leveraged High Yield Fund.
NAV per share as
at 19.02.03
INVESCO Leveraged High Yield Fund 13.55p
for and on behalf of
R&H Fund Services (Jersey) Limited
20 February 2003
END