Net Asset Value(s)
September 04 2003 - 7:15AM
UK Regulatory
INVESCO Leveraged High Yield Fund
HEADLINE: Net Asset Values
The unaudited Net Asset Value per share as at the close of business on 3
September 2003 for INVESCO Leveraged High Yield Fund.
NAV per share
INVESCO Leveraged High Yield Fund 21.36p
for and on behalf of
R&H Fund Services (Jersey) Limited
4 September 2003
END