Schedule of Investments

May 31, 2024

(Unaudited)

 

      Interest
Rate
      Maturity 
Date
      Principal 
Amount
(000)
     Value  

Municipal Obligations–156.65%(a)

           

New York–154.25%

           

Albany Capital Resource Corp. (College of Siant Rose (The)); Series 2021, Ref. RB (Acquired 10/28/2021; Cost $635,790)(b)(c)

     4.00%        07/01/2051      $    605      $     316,617  

 

 

Albany Capital Resource Corp. (KIPP Capital Region Public Charter Schools); Series 2024, RB

     5.00%        06/01/2064        150        150,156  

 

 

Allegany County Capital Resource Corp. (Houghton College); Series 2022 A, Ref. RB

     5.00%        12/01/2042        325        304,999  

 

 

Amherst Development Corp. (Daemen College); Series 2018, Ref. RB

     5.00%        10/01/2048        980        890,391  

 

 

Brookhaven Local Development Corp. (Jefferson’s Ferry);

           

Series 2016, Ref. RB

     5.25%        11/01/2036        1,010        1,031,017  

 

 

Series 2020 B, RB

     4.00%        11/01/2055        350        285,322  

 

 

Brooklyn Arena Local Development Corp. (Barclays Center); Series 2009, RB(d)

     0.00%        07/15/2034        8,315        5,455,205  

 

 

Buffalo & Erie County Industrial Land Development Corp. (Orchard Park); Series 2015, Ref. RB

     5.00%        11/15/2037        2,465        2,476,214  

 

 

Buffalo & Erie County Industrial Land Development Corp. (Tapestry Charter School);

           

Series 2017 A, RB

     5.00%        08/01/2037        500        499,489  

 

 

Series 2017 A, RB

     5.00%        08/01/2047        1,500        1,419,115  

 

 

Build NYC Resource Corp. (Children’s Aid Society (The));

           

Series 2019, RB

     4.00%        07/01/2044        45        42,184  

 

 

Series 2019, RB

     4.00%        07/01/2049        1,300        1,195,020  

 

 

Build NYC Resource Corp. (Grand Concourse Academy Charter School); Series 2022 A, RB

     5.00%        07/01/2056        100        98,260  

 

 

Build NYC Resource Corp. (KIPP NYC Public School) (Social Bonds); Series 2023, RB

     5.25%        07/01/2062        1,000        1,017,027  

 

 

Build NYC Resource Corp. (Pratt Paper, Inc.); Series 2014, Ref. RB(e)(f)

     5.00%        01/01/2035        2,700        2,712,878  

 

 

Build NYC Resource Corp. (The Children’s Aid Society); Series 2015, RB

     5.00%        07/01/2045        2,840        2,844,842  

 

 

Build NYC Resource Corp. (Whin Music Community Charter School); Series 2022, RB(e)

     6.50%        07/01/2057        1,355        1,351,248  

 

 

Dutchess County Local Development Corp. (Marist College); Series 2022, RB

     4.00%        07/01/2049        600        550,354  

 

 

Dutchess County Local Development Corp. (Nuvance Health); Series 2019 B, Ref. RB

     4.00%        07/01/2049        2,375        2,029,826  

 

 

Dutchess County Local Development Corp. (Social Bonds); Series 2023, RB (CEP - FNMA)

     5.00%        10/01/2040        420        429,065  

 

 

Erie Tobacco Asset Securitization Corp.; Series 2005 A, RB

     5.00%        06/01/2045        3,225        2,995,338  

 

 

Genesee County Funding Corp. (The) (Rochester Regional Health Obligated Group); Series 2022 A, Ref. RB

     5.25%        12/01/2052        725        739,132  

 

 

Hudson Yards Infrastructure Corp.; Series 2017 A, Ref. RB (INS - AGM)(g)

     4.00%        02/15/2047        1,425        1,354,686  

 

 

Jefferson Civic Facility Development Corp. (Samaritan Medical Center); Series 2017 A, Ref. RB

     4.00%        11/01/2047        1,245        869,140  

 

 

Long Island (City of), NY Power Authority; Series 2017, RB

     5.00%        09/01/2047        1,000        1,022,283  

 

 

Long Island (City of), NY Power Authority (Green Bonds);

           

Series 2023 E, RB

     5.00%        09/01/2048        500        538,577  

 

 

Series 2023 E, RB

     5.00%        09/01/2053        1,000        1,073,135  

 

 

Metropolitan Transportation Authority; Series 2017 D, Ref. RB

     4.00%        11/15/2042        2,950        2,789,582  

 

 

Metropolitan Transportation Authority (Green Bonds);

           

Series 2017 A-1, RB

     5.25%        11/15/2057        3,975        4,097,896  

 

 

Series 2017 B-1, RB

     5.25%        11/15/2057        2,065        2,127,089  

 

 

Series 2017 C-2, Ref. RB(d)

     0.00%        11/15/2040        8,250        3,857,519  

 

 

Monroe County Industrial Development Corp. (Rochester Regional Health); Series 2020, Ref. RB

     4.00%        12/01/2046        300        261,769  

 

 

Monroe County Industrial Development Corp. (St. Ann’s Community); Series 2019, Ref. RB

     5.00%        01/01/2050        850        661,385  

 

 

Monroe County Industrial Development Corp. (St. John Fisher College); Series 2014 A, RB

     5.50%        06/01/2034        1,000        1,001,179  

 

 

MTA Hudson Rail Yards Trust Obligations;

           

Series 2016 A, RB

     5.00%        11/15/2051        3,110        3,078,813  

 

 

Series 2016 A, RB

     5.00%        11/15/2056        8,000        7,860,256  

 

 

Nassau (County of), NY; Series 2024 A, GO Bonds

     4.00%        04/01/2054        250        233,093  

 

 

Nassau (County of), NY Industrial Development Agency (Amsterdam at Harborside);

           

Series 2021, RB (Acquired 12/14/2007-02/28/2018; Cost $1,420,984)(b)(c)

     5.00%        01/01/2058        1,219        365,151  

 

 

Series 2021, Ref. RB (Acquired 09/07/2021; Cost $600,000)(b)(c)(e)

     9.00%        01/01/2041        600        600,000  

 

 

Nassau County Local Economic Assistance Corp. (Catholic Health Services of Long Island Obligated Group); Series 2014, RB

     5.00%        07/01/2033        1,000        1,000,238  

 

 

Nassau County Tobacco Settlement Corp.; Series 2006 A-3, RB

     5.00%        06/01/2035        1,250        1,149,316  

 

 

 

See accompanying notes which are an integral part of this schedule.

       Invesco Trust for Investment Grade New York Municipals


      Interest
Rate
      Maturity 
Date
      Principal 
Amount
(000)
     Value  

New York–(continued)

           

New York & New Jersey (States of) Port Authority;

           

Series 2014-186, Ref. RB(f)

     5.00%        10/15/2044      $  2,000      $   2,002,102  

 

 

Series 2024, Ref. RB

     5.00%        07/15/2054        500        536,909  

 

 

Two Hundred Thirty-First Series 2022, Ref. RB(f)

     5.50%        08/01/2047        8,000        8,628,558  

 

 

Two Hundred Twenty Third Series 2021, Ref. RB(f)

     4.00%        07/15/2051        360        325,803  

 

 

Two Hundred Twenty Third Series 2021, Ref. RB(f)

     5.00%        07/15/2056        490        500,246  

 

 

Two Hundredth Series 2017, Ref. RB

     5.25%        10/15/2057        6,880        7,104,633  

 

 

New York (City of), NY;

           

Series 2018 E-1, GO Bonds

     5.25%        03/01/2035        1,000        1,059,037  

 

 

Series 2020 D-1, GO Bonds

     4.00%        03/01/2050        12,100        11,483,255  

 

 

Series 2021 A-1, GO Bonds

     4.00%        08/01/2050        500        474,293  

 

 

Series 2024 C, GO Bonds

     5.25%        03/01/2053        1,500        1,631,786  

 

 

Subseries 2019 D-1, GO Bonds

     5.00%        12/01/2037        2,000        2,107,173  

 

 

Subseries 2022 D-1, RB(h)

     5.25%        05/01/2043        1,700        1,855,976  

 

 

New York (City of), NY Industrial Development Agency (Yankee Stadium);

           

Series 2020, Ref. RB

     4.00%        03/01/2045        500        455,207  

 

 

Series 2020, Ref. RB (INS - AGM)(g)

     4.00%        03/01/2045        4,240        4,018,309  

 

 

New York (City of), NY Municipal Water Finance Authority;

           

Series 2017 DD, RB

     5.25%        06/15/2047        3,600        3,694,818  

 

 

Series 2020 AA-2, RB

     4.00%        06/15/2043        3,500        3,448,445  

 

 

Series 2020, Ref. RB

     5.00%        06/15/2050        500        524,387  

 

 

Series 2021 CC-1, RB

     4.00%        06/15/2051        9,000        8,546,375  

 

 

New York (City of), NY Transitional Finance Authority;

           

Series 2018 C-3, RB

     4.00%        05/01/2045        2,565        2,463,459  

 

 

Series 2018 S-3, RB

     5.00%        07/15/2043        2,115        2,170,431  

 

 

Series 2018 S-3, RB

     5.25%        07/15/2045        690        723,039  

 

 

Series 2019 C, RB(h)

     4.00%        11/01/2042        8,000        7,827,254  

 

 

Series 2019, RB

     4.00%        11/01/2042        5,675        5,552,452  

 

 

Series 2020 C-1, RB

     4.00%        05/01/2045        2,565        2,487,603  

 

 

Series 2020, RB

     4.00%        05/01/2046        2,000        1,928,249  

 

 

Series 2021 B-1, RB

     4.00%        08/01/2042        1,000        983,854  

 

 

Series 2023 A, RB

     4.00%        05/01/2045        2,000        1,939,651  

 

 

Series 2024, RB

     4.13%        05/01/2052        1,000        953,672  

 

 

Series 2024, RB

     5.00%        05/01/2052        1,000        1,066,290  

 

 

Subseries 2016 F-3, RB

     3.25%        02/01/2041        1,535        1,333,773  

 

 

New York (State of) Dormitory Authority;

           

Series 2009 C, RB (INS - AGC)(g)

     5.00%        10/01/2024        35        35,029  

 

 

Series 2011, RB

     5.00%        10/01/2025        20        20,021  

 

 

Series 2013 A, RB

     5.00%        05/01/2028        680        680,329  

 

 

Series 2014 C, RB(i)(j)

     5.00%        06/14/2024        6,000        6,002,013  

 

 

Series 2015 A, Ref. RB(h)

     5.00%        07/01/2048        10,000        10,075,190  

 

 

Series 2018, RB

     5.00%        07/01/2048        855        875,823  

 

 

Series 2020 A, Ref. RB

     4.00%        03/15/2048        3,000        2,843,599  

 

 

Series 2020 D, Ref. RB

     4.00%        02/15/2047        300        284,248  

 

 

Series 2022, RB(h)

     4.00%        03/15/2049        6,500        6,137,865  

 

 

New York (State of) Dormitory Authority (Catholic Health System Obligated Group); Series 2019 A, Ref. RB

     4.00%        07/01/2045        1,750        1,259,592  

 

 

New York (State of) Dormitory Authority (City of New York);

           

Series 2005 A, RB (INS - AMBAC)(g)

     5.50%        05/15/2027        700        739,895  

 

 

Series 2005 A, RB (INS - AMBAC)(g)

     5.50%        05/15/2030        1,750        1,951,932  

 

 

Series 2005 A, RB (INS - AMBAC)(g)

     5.50%        05/15/2031        445        504,094  

 

 

New York (State of) Dormitory Authority (Columbia University); Series 2018 A, RB

     5.00%        10/01/2048        1,000        1,142,919  

 

 

New York (State of) Dormitory Authority (Fashion Institute of Technology Student Housing Corp.); Series 2007, RB (INS - NATL)(g)

     5.25%        07/01/2028        2,065        2,083,942  

 

 

New York (State of) Dormitory Authority (Fordham University); Series 2014, RB(i)(j)

     5.00%        07/01/2024        1,000        1,000,774  

 

 

New York (State of) Dormitory Authority (Icahn School of Medicine at Mount Sinai); Series 2015, Ref. RB

     5.00%        07/01/2045        2,835        2,838,949  

 

 

New York (State of) Dormitory Authority (Montefiore Obligated Group);
Series 2018 A, Ref. RB

     5.00%        08/01/2030        2,000        2,027,466  

 

 

New York (State of) Dormitory Authority (New School (The)); Series 2022 A, Ref. RB

     4.00%        07/01/2052        575        511,647  

 

 

 

See accompanying notes which are an integral part of this schedule.

       Invesco Trust for Investment Grade New York Municipals


      Interest
Rate
      Maturity 
Date
      Principal 
Amount
(000)
     Value  

New York–(continued)

           

New York (State of) Dormitory Authority (New York University);

           

Series 2001-1, RB (INS - BHAC)(g)

     5.50%        07/01/2031      $  1,115      $   1,222,587  

 

 

Series 2001-1, RB (INS - AMBAC)(g)

     5.50%        07/01/2031        2,500        2,740,077  

 

 

New York (State of) Dormitory Authority (Orange Regional Medical Center);

           

Series 2015, Ref. RB(e)

     5.00%        12/01/2045        1,075        967,574  

 

 

Series 2017, Ref. RB(e)

     5.00%        12/01/2036        900        796,604  

 

 

Series 2017, Ref. RB(e)

     5.00%        12/01/2037        1,500        1,307,800  

 

 

New York (State of) Dormitory Authority (Pace University);

           

Series 2013 A, RB

     5.00%        05/01/2025        1,120        1,120,244  

 

 

Series 2013 A, RB

     5.00%        05/01/2029        1,270        1,270,613  

 

 

New York (State of) Dormitory Authority (Rochester Institute of Technology);

           

Series 2019 A, RB

     4.00%        07/01/2044        1,985        1,909,688  

 

 

Series 2019 A, RB

     5.00%        07/01/2049        1,410        1,452,810  

 

 

New York (State of) Dormitory Authority (Wagner College); Series 2022, Ref. RB

     5.00%        07/01/2057        2,280        2,149,811  

 

 

New York (State of) Dormitory Authority (Yeshiva University); Series 2022 A, Ref. RB

     5.00%        07/15/2050        1,000        979,939  

 

 

New York (State of) Housing Finance Agency; Series 2023 E-1, RB

     4.95%        11/01/2058        1,415        1,432,432  

 

 

New York (State of) Mortgage Agency (Social Bonds);

           

Series 2023 252, RB

     4.45%        10/01/2043        75        74,791  

 

 

Series 2023 252, RB

     4.55%        10/01/2048        125        123,584  

 

 

Series 2023 252, RB

     4.65%        10/01/2053        150        148,421  

 

 

New York (State of) Power Authority (Green Bonds); Series 2020 A, Ref. RB

     4.00%        11/15/2060        3,300        3,049,752  

 

 

New York (State of) Power Authority (Green Transmission) (Green Bonds);

           

Series 2022, RB (INS - AGM)(g)

     4.00%        11/15/2061        5,000        4,642,560  

 

 

Series 2023, RB (INS - AGM)(g)

     5.13%        11/15/2063        1,380        1,486,439  

 

 

New York (State of) Thruway Authority;

           

Series 2019 B, RB

     4.00%        01/01/2050        2,000        1,865,053  

 

 

Series 2020 N, RB

     5.00%        01/01/2040        2,000        2,136,651  

 

 

New York (State of) Utility Debt Securitization Authority (Green Bonds);

           

Series 2022, Ref. RB

     5.00%        12/15/2049        550        592,488  

 

 

Series 2022, Ref. RB

     5.00%        09/15/2052        250        268,370  

 

 

New York City Housing Development Corp. (Sustainable Development Bonds); Series 2023, RB

     4.80%        02/01/2053        1,620        1,630,507  

 

 

New York Convention Center Development Corp. (Hotel Unit Fee Secured);

           

Series 2015, Ref. RB

     5.00%        11/15/2040        1,965        1,987,782  

 

 

Series 2016 B, RB(d)

     0.00%        11/15/2044        1,730        598,091  

 

 

Series 2016, RB(d)

     0.00%        11/15/2056        5,000        851,386  

 

 

New York Counties Tobacco Trust IV; Series 2010 A, RB(e)

     6.25%        06/01/2041        870        869,965  

 

 

New York Counties Tobacco Trust V;

           

Series 2005 S-1, RB(d)

     0.00%        06/01/2038        8,430        3,587,007  

 

 

Series 2005 S-2, RB(d)

     0.00%        06/01/2050        14,850        2,207,830  

 

 

New York Liberty Development Corp. (3 World Trade Center);

           

Series 2014, Class 1, Ref. RB(e)

     5.00%        11/15/2044        4,895        4,903,817  

 

 

Series 2014, Class 3, Ref. RB(e)

     7.25%        11/15/2044        1,085        1,092,617  

 

 

New York Liberty Development Corp. (Bank of America Tower at One Bryant Park); Series 2019, Ref. RB

     2.80%        09/15/2069        2,785        2,477,075  

 

 

New York Liberty Development Corp. (Goldman Sachs Headquarters); Series 2007, RB

     5.50%        10/01/2037        2,845        3,301,347  

 

 

New York Liberty Development Corp. (Green Bonds);

           

Series 2021 A, Ref. RB

     2.75%        11/15/2041        925        690,381  

 

 

Series 2021 A, Ref. RB

     2.88%        11/15/2046        3,325        2,353,079  

 

 

New York State Environmental Facilities Corp. (New York City Municipal Water Finance Authority Projects - 2nd Resolution Bonds); Series 2017 E, RB

     5.00%        06/15/2042        575        591,332  

 

 

New York State Urban Development Corp.; Series 2020 C, Ref. RB

     5.00%        03/15/2050        1,410        1,473,223  

 

 

New York State Urban Development Corp. (Bidding Group 3);

           

Series 2021, Ref. RB

     4.00%        03/15/2044        615        598,923  

 

 

Series 2021, Ref. RB

     4.00%        03/15/2046        1,320        1,266,466  

 

 

Series 2021, Ref. RB(h)

     4.00%        03/15/2046        9,000        8,635,006  

 

 

New York State Urban Development Corp. (Bidding Group 4); Series 2020 E, Ref. RB

     4.00%        03/15/2046        2,500        2,394,483  

 

 

New York Transportation Development Corp. (American Airlines, Inc. John F. Kennedy International Airport); Series 2023, RB(f)

     5.38%        06/30/2060        1,500        1,555,659  

 

 

New York Transportation Development Corp. (American Airlines, Inc.);

           

Series 2016, Ref. RB(f)

     5.00%        08/01/2026        1,485        1,485,477  

 

 

Series 2016, Ref. RB(f)

     5.00%        08/01/2031        800        800,082  

 

 

 

See accompanying notes which are an integral part of this schedule.

       Invesco Trust for Investment Grade New York Municipals


      Interest
Rate
      Maturity 
Date
      Principal 
Amount
(000)
     Value  

New York–(continued)

           

New York Transportation Development Corp. (Delta Air Lines, Inc. LaGuardia Airport Terminals C&D Redevelopment);

           

Series 2018, RB(f)

     5.00%        01/01/2034      $    805      $     830,398  

 

 

Series 2018, RB(f)

     5.00%        01/01/2036        5,455        5,611,724  

 

 

New York Transportation Development Corp. (LaGuardia Airport Terminal B Redevelopment); Series 2016 A, RB(f)(h)(k)

     5.00%        07/01/2046        7,000        6,967,163  

 

 

New York Transportation Development Corp. (Terminal 4 JFK International Airport);

           

Series 2020 A, Ref. RB(f)

     5.00%        12/01/2031        200        210,832  

 

 

Series 2022, RB(f)

     5.00%        12/01/2041        2,000        2,075,825  

 

 

Niagara Area Development Corp. (Catholic Health System, Inc.); Series 2022, RB

     5.00%        07/01/2052        450        368,326  

 

 

Niagara Area Development Corp. (Covanta); Series 2018 A, Ref. RB(e)(f)

     4.75%        11/01/2042        1,820        1,661,163  

 

 

Niagara Frontier Transportation Authority (Buffalo Niagara International Airport); Series 2014 A, Ref. RB(f)

     5.00%        04/01/2028        1,000        999,589  

 

 

Niagara Tobacco Asset Securitization Corp.; Series 2014, Ref. RB

     5.25%        05/15/2040        1,725        1,709,128  

 

 

Oneida County Local Development Corp. (Mohawk Valley Health System); Series 2019, Ref. RB (INS - AGM)(g)

     4.00%        12/01/2049        2,000        1,753,940  

 

 

Onondaga (County of), NY Trust for Cultural Resources (Syracuse University); Series 2019, Ref. RB

     4.00%        12/01/2049        4,260        4,055,144  

 

 

Rockland Tobacco Asset Securitization Corp.;

           

Series 2001, RB

     5.75%        08/15/2043        1,375        1,393,694  

 

 

Series 2005 A, RB(d)(e)

     0.00%        08/15/2045        8,065        2,363,130  

 

 

Series 2005 C, RB(d)(e)

     0.00%        08/15/2060        96,000        6,395,232  

 

 

Suffolk County Economic Development Corp. (Catholic Health Services); Series 2014 C, RB

     5.00%        07/01/2032        1,085        1,085,475  

 

 

Suffolk Regional Off-Track Betting Co.;

           

Series 2024, RB

     5.75%        12/01/2044        500        517,020  

 

 

Series 2024, RB

     6.00%        12/01/2053        500        517,526  

 

 

Suffolk Tobacco Asset Securitization Corp.; Series 2021, Ref. RB

     4.00%        06/01/2050        915        895,049  

 

 

Tompkins County Development Corp. (Tompkins Cortland Community College Foundation, Inc.);

           

Series 2013 A, RB(b)

     5.00%        07/01/2027        1,000        300,000  

 

 

Series 2013 A, RB(b)

     5.00%        07/01/2032        750        225,000  

 

 

Series 2013 A, RB(b)

     5.00%        07/01/2038        2,000        600,000  

 

 

Triborough Bridge & Tunnel Authority;

           

Series 2013 A, Ref. RB(d)

     0.00%        11/15/2032        2,000        1,398,895  

 

 

Subseries 2021 B-1, Ref. RB

     4.00%        05/15/2056        1,000        931,607  

 

 

Triborough Bridge & Tunnel Authority (Green Bonds); Series 2022 D-2, RB

     5.25%        05/15/2047        5,545        6,014,861  

 

 

Triborough Bridge & Tunnel Authority (MTA Brdiges & Tunnels) (Green Bonds); Subseries 2022 D-2, RB

     5.50%        05/15/2052        350        384,272  

 

 

Triborough Bridge & Tunnel Authority (MTA Bridges & Tunnels);

           

Series 2020 A, RB

     5.00%        11/15/2054        3,120        3,254,194  

 

 

Series 2022, RB(h)

     5.25%        05/15/2062        8,000        8,550,687  

 

 

Triborough Bridge & Tunnel Authority( MTA Brdiges & Tunnels); Series 2023 A, RB(h)

     4.25%        05/15/2058        10,000        9,650,246  

 

 

TSASC, Inc.;

           

Series 2016 B, Ref. RB

     5.00%        06/01/2045        2,070        1,780,530  

 

 

Series 2017 A, Ref. RB

     5.00%        06/01/2036        2,885        2,964,490  

 

 

Westchester (County of), NY Industrial Development Agency (Million Air Two LLC General Aviation Facilities); Series 2017 A, RB(e)(f)

     7.00%        06/01/2046        1,030        888,701  

 

 

Westchester County Local Development Corp.; Series 2014 A, RB

     5.50%        05/01/2042        100        100,013  

 

 

Westchester County Local Development Corp. (Betheal Methodist);

           

Series 2020 A, Ref. RB

     5.00%        07/01/2040        150        126,430  

 

 

Series 2020 A, Ref. RB

     5.13%        07/01/2055        520        406,262  

 

 

Westchester County Local Development Corp. (Kendal on Hudson); Series 2022, Ref. RB

     4.25%        01/01/2045        420        388,957  

 

 

Westchester County Local Development Corp. (Purchase Senior Learning Community Inc); Series 2021, Ref. RB(e)

     5.00%        07/01/2046        350        335,976  

 

 

Westchester County Local Development Corp. (Purchase Senior Learning Community Inc.); Series 2021, Ref. RB(e)

     4.50%        07/01/2056        600        510,024  

 

 

Westchester County Local Development Corp. (Westchester Medical Center Obligated Group); Series 2023, RB (INS - AGM)(g)

     5.75%        11/01/2053        1,250        1,401,964  

 

 

Westchester Tobacco Asset Securitization Corp.;

           

Series 2016 C, Ref. RB

     5.00%        06/01/2045        575        546,260  

 

 

Series 2016 C, Ref. RB

     5.13%        06/01/2051        2,705        2,563,191  

 

 

Western Regional Off-Track Betting Corp.; Series 2021, Ref. RB(e)

     4.13%        12/01/2041        275        215,582  

 

 
              351,655,495  

 

 

 

See accompanying notes which are an integral part of this schedule.

       Invesco Trust for Investment Grade New York Municipals


      Interest
Rate
             Maturity 
Date
             Principal 
Amount
(000)
     Value  

Puerto Rico–2.09%

               

Children’s Trust Fund;

               

Series 2002, RB

     5.50%          05/15/2039        $    605      $     608,127  

 

 

Series 2002, RB

     5.63%          05/15/2043          145        146,718  

 

 

Series 2005 A, RB(d)

     0.00%          05/15/2050          3,000        545,241  

 

 

Puerto Rico (Commonwealth of) Electric Power Authority; Series 2007 VV, Ref. RB (INS - NATL)(g)

     5.25%          07/01/2030          500        492,327  

 

 

Puerto Rico Sales Tax Financing Corp.;

               

Series 2018 A-1, RB(d)

     0.00%          07/01/2029          565        467,162  

 

 

Series 2018 A-1, RB(d)

     0.00%          07/01/2031          650        495,318  

 

 

Series 2018 A-1, RB

     5.00%          07/01/2058          2,000        2,000,649  

 

 
                  4,755,542  

 

 

Virgin Islands–0.31%

               

Virgin Islands (Government of) Port Authority; Series 2014 B, Ref. RB

     5.00%          09/01/2044          785        706,962  

 

 

TOTAL INVESTMENTS IN SECURITIES(l) –156.65% (Cost $365,415,443)

                  357,117,999  

 

 

FLOATING RATE NOTE OBLIGATIONS–(18.40)%

               

Notes with interest and fee rates ranging from 3.91% to 3.93% at 05/31/2024 and contractual maturities of collateral ranging from 11/01/2042 to 05/15/2062(m)

                  (41,950,000

 

 

VARIABLE RATE MUNI TERM PREFERRED SHARES–(39.62)%

                  (90,327,752

 

 

OTHER ASSETS LESS LIABILITIES–1.37%

                  3,129,855  

 

 

NET ASSETS APPLICABLE TO COMMON SHARES–100.00%

                $ 227,970,102  

 

 

Investment Abbreviations:

 

AGC    – Assured Guaranty Corp.
AGM    – Assured Guaranty Municipal Corp.
AMBAC    – American Municipal Bond Assurance Corp.
BHAC    – Berkshire Hathaway Assurance Corp.
CEP    – Credit Enhancement Provider
FNMA    – Federal National Mortgage Association
GO    – General Obligation
INS    – Insurer
NATL    – National Public Finance Guarantee Corp.
RB    – Revenue Bonds
Ref.    – Refunding

Notes to Schedule of Investments:

 

(a) 

Calculated as a percentage of net assets. Amounts in excess of 100% are due to the Trust’s use of leverage.

(b) 

Defaulted security. Currently, the issuer is in default with respect to principal and/or interest payments. The aggregate value of these securities at May 31, 2024 was $2,406,768, which represented less than 1% of the Trust’s Net Assets.

(c) 

Restricted security. The aggregate value of these securities at May 31, 2024 was $1,281,768, which represented less than 1% of the Trust’s Net Assets.

(d) 

Zero coupon bond issued at a discount.

(e) 

Security purchased or received in a transaction exempt from registration under the Securities Act of 1933, as amended (the “1933 Act”). The security may be resold pursuant to an exemption from registration under the 1933 Act, typically to qualified institutional buyers. The aggregate value of these securities at May 31, 2024 was $26,972,311, which represented 11.83% of the Trust’s Net Assets.

(f) 

Security subject to the alternative minimum tax.

(g) 

Principal and/or interest payments are secured by the bond insurance company listed.

(h) 

Underlying security related to TOB Trusts entered into by the Trust.

(i) 

Advance refunded; secured by an escrow fund of U.S. Government obligations or other highly rated collateral.

(j) 

Security has an irrevocable call by the issuer or mandatory put by the holder. Maturity date reflects such call or put.

(k) 

Security is subject to a reimbursement agreement which may require the Trust to pay amounts to a counterparty in the event of a significant decline in the market value of the security underlying the TOB Trusts. In case of a shortfall, the maximum potential amount of payments the Trust could ultimately be required to make under the agreement is $4,670,000. However, such shortfall payment would be reduced by the proceeds from the sale of the security underlying the TOB Trusts.

(l) 

Entities may either issue, guarantee, back or otherwise enhance the credit quality of a security. The entities are not primarily responsible for the issuer’s obligations but may be called upon to satisfy the issuer’s obligations. No concentration of any single entity was greater than 5% each.

(m) 

Floating rate note obligations related to securities held. The interest and fee rates shown reflect the rates in effect at May 31, 2024. At May 31, 2024, the Trust’s investments with a value of $59,699,387 are held by TOB Trusts and serve as collateral for the $41,950,000 in the floating rate note obligations outstanding at that date.

The valuation policy and a listing of other significant accounting policies are available in the most recent shareholder report.

 

See accompanying notes which are an integral part of this schedule.

       Invesco Trust for Investment Grade New York Municipals


Notes to Quarterly Schedule of Portfolio Holdings

May 31, 2024

(Unaudited)

NOTE 1–Additional Valuation Information

Generally Accepted Accounting Principles (“GAAP”) defines fair value as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date, under current market conditions. GAAP establishes a hierarchy that prioritizes the inputs to valuation methods, giving the highest priority to readily available unadjusted quoted prices in an active market for identical assets (Level 1) and the lowest priority to significant unobservable inputs (Level 3), generally when market prices are not readily available. Based on the valuation inputs, the securities or other investments are tiered into one of three levels. Changes in valuation methods may result in transfers in or out of an investment’s assigned level:

Level 1     Prices are determined using quoted prices in an active market for identical assets.
Level 2     Prices are determined using other significant observable inputs. Observable inputs are inputs that other market participants may use in pricing a security. These may include quoted prices for similar securities, interest rates, prepayment speeds, credit risk, yield curves, loss severities, default rates, discount rates, volatilities and others.
Level 3     Prices are determined using significant unobservable inputs. In situations where quoted prices or observable inputs are unavailable (for example, when there is little or no market activity for an investment at the end of the period), unobservable inputs may be used. Unobservable inputs reflect Invesco Advisers, Inc.’s assumptions about the factors market participants would use in determining fair value of the securities or instruments and would be based on the best available information.

 As of May 31, 2024, all of the securities in this Trust were valued based on Level 2 inputs (see the Schedule of Investments for security categories). The level assigned to the securities valuations may not be an indication of the risk or liquidity associated with investing in those securities. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value received upon actual sale of those investments.

 

       Invesco Trust for Investment Grade New York Municipals


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