v3.26.1
Shareholder Report
6 Months Ended
Apr. 30, 2026
USD ($)
Holding
Shareholder Report [Line Items]  
Document Type N-CSRS
Amendment Flag false
Registrant Name AIM Investment Funds (Invesco Investment Funds)
Entity Central Index Key 0000826644
Entity Investment Company Type N-1A
Document Period End Date Apr. 30, 2026
C000071223 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets ex-China Fund
Class Name Class Y
Trading Symbol GTDYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets ex-China Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets ex-China Fund
(Class Y)
$64 1.14%
*
Annualized.
Expenses Paid, Amount $ 64
Expense Ratio, Percent 1.14% [1]
Net Assets $ 1,204,858,072
Holdings Count | Holding 59
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,204,858,072
Total number of portfolio holdings 59
Portfolio turnover rate 11%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
C000120699 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets ex-China Fund
Class Name Class R6
Trading Symbol GTDFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets ex-China Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets ex-China Fund
(Class R6)
$57 1.02%
*
Annualized.
Expenses Paid, Amount $ 57
Expense Ratio, Percent 1.02% [2]
Net Assets $ 1,204,858,072
Holdings Count | Holding 59
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,204,858,072
Total number of portfolio holdings 59
Portfolio turnover rate 11%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
C000029646 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets ex-China Fund
Class Name Class R5
Trading Symbol GTDIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets ex-China Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets ex-China Fund
(Class R5)
$60 1.08%
*
Annualized.
Expenses Paid, Amount $ 60
Expense Ratio, Percent 1.08% [3]
Net Assets $ 1,204,858,072
Holdings Count | Holding 59
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,204,858,072
Total number of portfolio holdings 59
Portfolio turnover rate 11%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
C000000564 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets ex-China Fund
Class Name Class C
Trading Symbol GTDCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets ex-China Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets ex-China Fund
(Class C)
$119 2.14%
*
Annualized.
Expenses Paid, Amount $ 119
Expense Ratio, Percent 2.14% [4]
Net Assets $ 1,204,858,072
Holdings Count | Holding 59
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,204,858,072
Total number of portfolio holdings 59
Portfolio turnover rate 11%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
C000000562 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets ex-China Fund
Class Name Class A
Trading Symbol GTDDX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets ex-China Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets ex-China Fund
(Class A)
$77 1.39%
*
Annualized.
Expenses Paid, Amount $ 77
Expense Ratio, Percent 1.39% [5]
Net Assets $ 1,204,858,072
Holdings Count | Holding 59
Investment Company Portfolio Turnover 11.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,204,858,072
Total number of portfolio holdings 59
Portfolio turnover rate 11%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 17.34%
Samsung Electronics Co. Ltd. 9.18%
MediaTek, Inc. 3.06%
HDFC Bank Ltd., ADR 2.88%
Petroleo Brasileiro S.A., ADR 2.88%
Kasikornbank PCL, Foreign Shares 2.87%
Yageo Corp. 2.77%
Samsung Electro-Mechanics Co. Ltd. 2.65%
Vale S.A. 2.53%
Naspers Ltd. 2.45%
* Excluding money market fund holdings, if any.
C000000565 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Health Care Fund
Class Name Class A
Trading Symbol GGHCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Health Care Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Health Care Fund
(Class A)
$51 1.05%
*
Annualized.
Expenses Paid, Amount $ 51
Expense Ratio, Percent 1.05% [6]
Net Assets $ 1,130,302,568
Holdings Count | Holding 82
Investment Company Portfolio Turnover 31.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,130,302,568
Total number of portfolio holdings 82
Portfolio turnover rate 31%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
Industry allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
C000000567 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Health Care Fund
Class Name Class C
Trading Symbol GTHCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Health Care Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Health Care Fund
(Class C)
$88 1.80%
*
Annualized.
Expenses Paid, Amount $ 88
Expense Ratio, Percent 1.80% [7]
Net Assets $ 1,130,302,568
Holdings Count | Holding 82
Investment Company Portfolio Turnover 31.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,130,302,568
Total number of portfolio holdings 82
Portfolio turnover rate 31%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
Industry allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
C000265799 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Health Care Fund
Class Name Class R
Trading Symbol GTHRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Health Care Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Health Care Fund
(Class R)
$63 1.30%
*
Annualized.
Expenses Paid, Amount $ 63
Expense Ratio, Percent 1.30% [8]
Net Assets $ 1,130,302,568
Holdings Count | Holding 82
Investment Company Portfolio Turnover 31.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,130,302,568
Total number of portfolio holdings 82
Portfolio turnover rate 31%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
Industry allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
C000188882 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Health Care Fund
Class Name Class R6
Trading Symbol GGHSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Health Care Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Health Care Fund
(Class R6)
$34 0.70%
*
Annualized.
Expenses Paid, Amount $ 34
Expense Ratio, Percent 0.70% [9]
Net Assets $ 1,130,302,568
Holdings Count | Holding 82
Investment Company Portfolio Turnover 31.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,130,302,568
Total number of portfolio holdings 82
Portfolio turnover rate 31%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
Industry allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
C000071224 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Health Care Fund
Class Name Class Y
Trading Symbol GGHYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Health Care Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Health Care Fund
(Class Y)
$39 0.80%
*
Annualized.
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.80% [10]
Net Assets $ 1,130,302,568
Holdings Count | Holding 82
Investment Company Portfolio Turnover 31.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,130,302,568
Total number of portfolio holdings 82
Portfolio turnover rate 31%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
Industry allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
C000029647 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Health Care Fund
Class Name Investor Class
Trading Symbol GTHIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Health Care Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Health Care Fund
(Investor Class)
$51 1.05%
*
Annualized.
Expenses Paid, Amount $ 51
Expense Ratio, Percent 1.05% [11]
Net Assets $ 1,130,302,568
Holdings Count | Holding 82
Investment Company Portfolio Turnover 31.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,130,302,568
Total number of portfolio holdings 82
Portfolio turnover rate 31%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
Industry allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Eli Lilly and Co. 9.66%
Johnson & Johnson 5.85%
AstraZeneca PLC 4.18%
Gilead Sciences, Inc. 3.90%
UnitedHealth Group, Inc. 3.79%
argenx SE, ADR 3.66%
AbbVie, Inc. 3.62%
McKesson Corp. 3.43%
Cencora, Inc. 3.12%
Welltower, Inc. 2.32%
* Excluding money market fund holdings, if any.
C000076840 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Allocation Fund
Class Name Class Y
Trading Symbol ABRYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Allocation Fund
(Class Y)
$58 1.07%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 58
Expense Ratio, Percent 1.07% [12],[13]
Net Assets $ 961,528,132
Holdings Count | Holding 154
Investment Company Portfolio Turnover 62.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $961,528,132
Total number of portfolio holdings 154
Portfolio turnover rate 62%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Equities and Options 37.24% 70.28%
Fixed Income 23.84% 108.48%
Commodities 38.92% 36.13%
Total 100.00% 214.89%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000120702 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Allocation Fund
Class Name Class R6
Trading Symbol ALLFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Allocation Fund
(Class R6)
$52 0.96%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 52
Expense Ratio, Percent 0.96% [14],[15]
Net Assets $ 961,528,132
Holdings Count | Holding 154
Investment Company Portfolio Turnover 62.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $961,528,132
Total number of portfolio holdings 154
Portfolio turnover rate 62%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Equities and Options 37.24% 70.28%
Fixed Income 23.84% 108.48%
Commodities 38.92% 36.13%
Total 100.00% 214.89%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000076841 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Allocation Fund
Class Name Class R5
Trading Symbol ABRIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Allocation Fund
(Class R5)
$55 1.03%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 55
Expense Ratio, Percent 1.03% [16],[17]
Net Assets $ 961,528,132
Holdings Count | Holding 154
Investment Company Portfolio Turnover 62.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $961,528,132
Total number of portfolio holdings 154
Portfolio turnover rate 62%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Equities and Options 37.24% 70.28%
Fixed Income 23.84% 108.48%
Commodities 38.92% 36.13%
Total 100.00% 214.89%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000076839 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Allocation Fund
Class Name Class R
Trading Symbol ABRRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Allocation Fund
(Class R)
$85 1.57%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 85
Expense Ratio, Percent 1.57% [18],[19]
Net Assets $ 961,528,132
Holdings Count | Holding 154
Investment Company Portfolio Turnover 62.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $961,528,132
Total number of portfolio holdings 154
Portfolio turnover rate 62%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Equities and Options 37.24% 70.28%
Fixed Income 23.84% 108.48%
Commodities 38.92% 36.13%
Total 100.00% 214.89%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000076838 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Allocation Fund
Class Name Class C
Trading Symbol ABRCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Allocation Fund
(Class C)
$111 2.07%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 111
Expense Ratio, Percent 2.07% [20],[21]
Net Assets $ 961,528,132
Holdings Count | Holding 154
Investment Company Portfolio Turnover 62.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $961,528,132
Total number of portfolio holdings 154
Portfolio turnover rate 62%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Equities and Options 37.24% 70.28%
Fixed Income 23.84% 108.48%
Commodities 38.92% 36.13%
Total 100.00% 214.89%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000076836 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Allocation Fund
Class Name Class A
Trading Symbol ABRZX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Allocation Fund
(Class A)
$71 1.32%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 71
Expense Ratio, Percent 1.32% [22],[23]
Net Assets $ 961,528,132
Holdings Count | Holding 154
Investment Company Portfolio Turnover 62.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $961,528,132
Total number of portfolio holdings 154
Portfolio turnover rate 62%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Equities and Options 37.24% 70.28%
Fixed Income 23.84% 108.48%
Commodities 38.92% 36.13%
Total 100.00% 214.89%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000092474 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Commodity Strategy Fund
Class Name Class A
Trading Symbol BRCAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Commodity Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Commodity Strategy Fund
(Class A)
$78 1.31%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 78
Expense Ratio, Percent 1.31% [24],[25]
Net Assets $ 1,271,058,174
Holdings Count | Holding 39
Investment Company Portfolio Turnover 46.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,271,058,174
Total number of portfolio holdings 39
Portfolio turnover rate 46%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Agriculture 21.94% 32.55%
Energy 47.30% 32.95%
Industrial Metals 16.43% 20.37%
Precious Metals 14.33% 24.23%
Total 100.00% 100.10%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000092476 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Commodity Strategy Fund
Class Name Class C
Trading Symbol BRCCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Commodity Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Commodity Strategy Fund
(Class C)
$122 2.06%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 122
Expense Ratio, Percent 2.06% [26],[27]
Net Assets $ 1,271,058,174
Holdings Count | Holding 39
Investment Company Portfolio Turnover 46.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,271,058,174
Total number of portfolio holdings 39
Portfolio turnover rate 46%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Agriculture 21.94% 32.55%
Energy 47.30% 32.95%
Industrial Metals 16.43% 20.37%
Precious Metals 14.33% 24.23%
Total 100.00% 100.10%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000092477 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Commodity Strategy Fund
Class Name Class R
Trading Symbol BRCRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Commodity Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Commodity Strategy Fund
(Class R)
$92 1.56%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 92
Expense Ratio, Percent 1.56% [28],[29]
Net Assets $ 1,271,058,174
Holdings Count | Holding 39
Investment Company Portfolio Turnover 46.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,271,058,174
Total number of portfolio holdings 39
Portfolio turnover rate 46%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Agriculture 21.94% 32.55%
Energy 47.30% 32.95%
Industrial Metals 16.43% 20.37%
Precious Metals 14.33% 24.23%
Total 100.00% 100.10%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000092479 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Commodity Strategy Fund
Class Name Class R5
Trading Symbol BRCNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Commodity Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Commodity Strategy Fund
(Class R5)
$61 1.03%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 61
Expense Ratio, Percent 1.03% [30],[31]
Net Assets $ 1,271,058,174
Holdings Count | Holding 39
Investment Company Portfolio Turnover 46.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,271,058,174
Total number of portfolio holdings 39
Portfolio turnover rate 46%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Agriculture 21.94% 32.55%
Energy 47.30% 32.95%
Industrial Metals 16.43% 20.37%
Precious Metals 14.33% 24.23%
Total 100.00% 100.10%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000120704 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Commodity Strategy Fund
Class Name Class R6
Trading Symbol IBRFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Commodity Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Commodity Strategy Fund
(Class R6)
$59 1.00%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 59
Expense Ratio, Percent 1.00% [32],[33]
Net Assets $ 1,271,058,174
Holdings Count | Holding 39
Investment Company Portfolio Turnover 46.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,271,058,174
Total number of portfolio holdings 39
Portfolio turnover rate 46%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Agriculture 21.94% 32.55%
Energy 47.30% 32.95%
Industrial Metals 16.43% 20.37%
Precious Metals 14.33% 24.23%
Total 100.00% 100.10%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000092478 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Balanced-Risk Commodity Strategy Fund
Class Name Class Y
Trading Symbol BRCYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Balanced-Risk Commodity Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Balanced-Risk Commodity Strategy Fund
(Class Y)
$63 1.06%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 63
Expense Ratio, Percent 1.06% [34],[35]
Net Assets $ 1,271,058,174
Holdings Count | Holding 39
Investment Company Portfolio Turnover 46.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,271,058,174
Total number of portfolio holdings 39
Portfolio turnover rate 46%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Target risk contribution and
notional asset weights
Asset Class Target Risk Contribution* Notional Asset Exposure Weights**
Agriculture 21.94% 32.55%
Energy 47.30% 32.95%
Industrial Metals 16.43% 20.37%
Precious Metals 14.33% 24.23%
Total 100.00% 100.10%
* Reflects the risk that each asset class is expected to contribute to the overall risk of the Fund as measured by standard deviation and estimates of risk based on historical data. Standard deviation measures the annualized fluctuations (volatility) of monthly returns.

** Proprietary models determine the Notional Asset Weights necessary to achieve the Target Risk Contributions. Total Notional Asset Weight greater than 100% is achieved through derivatives and other instruments that create leverage.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
C000107691 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Asset Income Fund
Class Name Class Y
Trading Symbol PIYFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Asset Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Asset Income Fund
(Class Y)
$23 0.45%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 23
Expense Ratio, Percent 0.45% [36],[37]
Net Assets $ 879,157,015
Holdings Count | Holding 453
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $879,157,015
Total number of portfolio holdings 453
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
C000120706 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Asset Income Fund
Class Name Class R6
Trading Symbol PIFFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Asset Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Asset Income Fund
(Class R6)
$18 0.35%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 18
Expense Ratio, Percent 0.35% [38],[39]
Net Assets $ 879,157,015
Holdings Count | Holding 453
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $879,157,015
Total number of portfolio holdings 453
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
C000107692 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Asset Income Fund
Class Name Class R5
Trading Symbol IPNFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Asset Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Asset Income Fund
(Class R5)
$18 0.35%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 18
Expense Ratio, Percent 0.35% [40],[41]
Net Assets $ 879,157,015
Holdings Count | Holding 453
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $879,157,015
Total number of portfolio holdings 453
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
C000107690 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Asset Income Fund
Class Name Class R
Trading Symbol PIRFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Asset Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Asset Income Fund
(Class R)
$48 0.95%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 48
Expense Ratio, Percent 0.95% [42],[43]
Net Assets $ 879,157,015
Holdings Count | Holding 453
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $879,157,015
Total number of portfolio holdings 453
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
C000107689 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Asset Income Fund
Class Name Class C
Trading Symbol PICFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Asset Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Asset Income Fund
(Class C)
$73 1.45%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 73
Expense Ratio, Percent 1.45% [44],[45]
Net Assets $ 879,157,015
Holdings Count | Holding 453
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $879,157,015
Total number of portfolio holdings 453
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
C000107688 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Asset Income Fund
Class Name Class A
Trading Symbol PIAFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Asset Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Asset Income Fund
(Class A)
$34 0.68%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 34
Expense Ratio, Percent 0.68% [46],[47]
Net Assets $ 879,157,015
Holdings Count | Holding 453
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $879,157,015
Total number of portfolio holdings 453
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco S&P 500 Equal Weight Income Advantage ETF 22.68%
Invesco Core Fixed Income ETF 18.75%
Invesco QQQ Income Advantage ETF 12.05%
Invesco High Yield Systematic Bond ETF 10.93%
Invesco MSCI EAFE Income Advantage ETF 9.86%
U.S. Treasury Notes, 3.88%, 09/30/2032 2.44%
U.S. Treasury Bonds, 4.63%, 02/15/2055 1.91%
U.S. Treasury Notes, 4.25%, 08/15/2035 1.88%
U.S. Treasury Notes, 3.63%, 09/30/2030 1.44%
U.S. Treasury Bonds, 4.88%, 08/15/2045 1.35%
* Excluding money market fund holdings, if any.
C000209537 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets Local Debt Fund
Class Name Class A
Trading Symbol OEMAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets Local Debt Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets Local Debt Fund
(Class A)
$60 1.19%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 60
Expense Ratio, Percent 1.19% [48],[49]
Net Assets $ 105,241,304
Holdings Count | Holding 539
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $105,241,304
Total number of portfolio holdings 539
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
C000209539 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets Local Debt Fund
Class Name Class C
Trading Symbol OEMCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets Local Debt Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets Local Debt Fund
(Class C)
$97 1.94%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 97
Expense Ratio, Percent 1.94% [50],[51]
Net Assets $ 105,241,304
Holdings Count | Holding 539
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $105,241,304
Total number of portfolio holdings 539
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
C000209538 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets Local Debt Fund
Class Name Class R
Trading Symbol OEMNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets Local Debt Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets Local Debt Fund
(Class R)
$72 1.44%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.44% [52],[53]
Net Assets $ 105,241,304
Holdings Count | Holding 539
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $105,241,304
Total number of portfolio holdings 539
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
C000209536 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets Local Debt Fund
Class Name Class R5
Trading Symbol EMLDX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets Local Debt Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets Local Debt Fund
(Class R5)
$44 0.87%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 44
Expense Ratio, Percent 0.87% [54],[55]
Net Assets $ 105,241,304
Holdings Count | Holding 539
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $105,241,304
Total number of portfolio holdings 539
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
C000209535 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets Local Debt Fund
Class Name Class R6
Trading Symbol OEMIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets Local Debt Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets Local Debt Fund
(Class R6)
$43 0.86%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 43
Expense Ratio, Percent 0.86% [56],[57]
Net Assets $ 105,241,304
Holdings Count | Holding 539
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $105,241,304
Total number of portfolio holdings 539
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
C000209540 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Emerging Markets Local Debt Fund
Class Name Class Y
Trading Symbol OEMYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Emerging Markets Local Debt Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Emerging Markets Local Debt Fund
(Class Y)
$47 0.94%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.94% [58],[59]
Net Assets $ 105,241,304
Holdings Count | Holding 539
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $105,241,304
Total number of portfolio holdings 539
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.89%
Mexican Bonos, Series M, 8.00%, 04/15/2032 4.84%
Malaysia Government Bond, Series 219, 3.89%, 08/15/2029 3.66%
Republic of South Africa Government Bond, Series 2044, 8.75%, 01/31/2044 3.50%
Colombian TES, Series B, 7.00%, 03/26/2031 3.32%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 2.70%
Republic of Poland Government Bond, Series 432, 1.75%, 04/25/2032 2.58%
Indonesia Treasury Bond, Series FR96, 7.00%, 02/15/2033 2.21%
Romania Government Bond, 8.00%, 04/29/2030 2.17%
Thailand Government Bond, 3.45%, 06/17/2043 1.96%
* Excluding money market fund holdings, if any.
C000209549 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Allocation Fund
Class Name Class Y
Trading Symbol QGRYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Allocation Fund
(Class Y)
$38 0.74%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 38
Expense Ratio, Percent 0.74% [60],[61]
Net Assets $ 1,039,411,850
Holdings Count | Holding 89
Investment Company Portfolio Turnover 45.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,039,411,850
Total number of portfolio holdings 89
Portfolio turnover rate 45%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
C000209551 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Allocation Fund
Class Name Class R6
Trading Symbol QGRIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Allocation Fund
(Class R6)
$32 0.63%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 32
Expense Ratio, Percent 0.63% [62],[63]
Net Assets $ 1,039,411,850
Holdings Count | Holding 89
Investment Company Portfolio Turnover 45.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,039,411,850
Total number of portfolio holdings 89
Portfolio turnover rate 45%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
C000209550 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Allocation Fund
Class Name Class R5
Trading Symbol GLALX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Allocation Fund
(Class R5)
$32 0.63%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 32
Expense Ratio, Percent 0.63% [64],[65]
Net Assets $ 1,039,411,850
Holdings Count | Holding 89
Investment Company Portfolio Turnover 45.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,039,411,850
Total number of portfolio holdings 89
Portfolio turnover rate 45%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
C000209547 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Allocation Fund
Class Name Class R
Trading Symbol QGRNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Allocation Fund
(Class R)
$64 1.24%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 64
Expense Ratio, Percent 1.24% [66],[67]
Net Assets $ 1,039,411,850
Holdings Count | Holding 89
Investment Company Portfolio Turnover 45.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,039,411,850
Total number of portfolio holdings 89
Portfolio turnover rate 45%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
C000209548 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Allocation Fund
Class Name Class C
Trading Symbol QGRCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Allocation Fund
(Class C)
$89 1.74%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 89
Expense Ratio, Percent 1.74% [68],[69]
Net Assets $ 1,039,411,850
Holdings Count | Holding 89
Investment Company Portfolio Turnover 45.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,039,411,850
Total number of portfolio holdings 89
Portfolio turnover rate 45%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
C000209552 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Allocation Fund
Class Name Class A
Trading Symbol QVGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Allocation Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Allocation Fund
(Class A)
$51 0.99%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 51
Expense Ratio, Percent 0.99% [70],[71]
Net Assets $ 1,039,411,850
Holdings Count | Holding 89
Investment Company Portfolio Turnover 45.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,039,411,850
Total number of portfolio holdings 89
Portfolio turnover rate 45%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Russell 1000® Dynamic Multifactor ETF 20.59%
Invesco International Developed Dynamic Multifactor ETF 18.05%
U.S. Treasury Inflation - Indexed Notes, 1.88%, 01/15/2036 9.81%
Invesco Total Return Bond ETF 7.60%
iShares Core MSCI Emerging Markets ETF 6.98%
Invesco Russell 2000® Dynamic Multifactor ETF 6.81%
Invesco Variable Rate Investment Grade ETF 6.67%
Invesco S&P 500 Revenue ETF 5.39%
Invesco MSCI USA ETF 5.29%
U.S. Treasury Bonds, 4.50%, 05/15/2038 4.27%
* Excluding money market fund holdings, if any.
C000209558 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Strategy Fund
Class Name Class A
Trading Symbol QVOPX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Strategy Fund
(Class A)
$58 1.15%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 58
Expense Ratio, Percent 1.15% [72],[73]
Net Assets $ 247,506,266
Holdings Count | Holding 217
Investment Company Portfolio Turnover 12.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $247,506,266
Total number of portfolio holdings 217
Portfolio turnover rate 12%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
C000209557 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Strategy Fund
Class Name Class C
Trading Symbol QOPCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Strategy Fund
(Class C)
$96 1.90%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 96
Expense Ratio, Percent 1.90% [74],[75]
Net Assets $ 247,506,266
Holdings Count | Holding 217
Investment Company Portfolio Turnover 12.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $247,506,266
Total number of portfolio holdings 217
Portfolio turnover rate 12%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
C000209556 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Strategy Fund
Class Name Class R
Trading Symbol QOPNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Strategy Fund
(Class R)
$71 1.40%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 71
Expense Ratio, Percent 1.40% [76],[77]
Net Assets $ 247,506,266
Holdings Count | Holding 217
Investment Company Portfolio Turnover 12.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $247,506,266
Total number of portfolio holdings 217
Portfolio turnover rate 12%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
C000209554 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Strategy Fund
Class Name Class R5
Trading Symbol FDATX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Strategy Fund
(Class R5)
$38 0.75%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 38
Expense Ratio, Percent 0.75% [78],[79]
Net Assets $ 247,506,266
Holdings Count | Holding 217
Investment Company Portfolio Turnover 12.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $247,506,266
Total number of portfolio holdings 217
Portfolio turnover rate 12%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
C000209553 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Strategy Fund
Class Name Class R6
Trading Symbol QOPIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Strategy Fund
(Class R6)
$38 0.75%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 38
Expense Ratio, Percent 0.75% [80],[81]
Net Assets $ 247,506,266
Holdings Count | Holding 217
Investment Company Portfolio Turnover 12.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $247,506,266
Total number of portfolio holdings 217
Portfolio turnover rate 12%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
C000209555 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Multi-Strategy Fund
Class Name Class Y
Trading Symbol QOPYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Multi-Strategy Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Multi-Strategy Fund
(Class Y)
$46 0.90%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 46
Expense Ratio, Percent 0.90% [82],[83]
Net Assets $ 247,506,266
Holdings Count | Holding 217
Investment Company Portfolio Turnover 12.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $247,506,266
Total number of portfolio holdings 217
Portfolio turnover rate 12%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Invesco Managed Futures Strategy ETF 45.61%
Apple, Inc. 1.51%
NVIDIA Corp. 1.38%
Alphabet, Inc., Class A 1.33%
Microsoft Corp. 1.21%
Broadcom, Inc. 0.65%
Amazon.com, Inc. 0.60%
Altria Group, Inc. 0.60%
Analog Devices, Inc. 0.58%
Johnson & Johnson 0.54%
* Excluding money market fund holdings, if any.
C000209591 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Core Bond Fund
Class Name Class Y
Trading Symbol OPBYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Core Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Core Bond Fund
(Class Y)
$22 0.45%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 22
Expense Ratio, Percent 0.45% [84],[85]
Net Assets $ 2,837,460,446
Holdings Count | Holding 1,980
Investment Company Portfolio Turnover 305.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $2,837,460,446
Total number of portfolio holdings 1,980
Portfolio turnover rate 305%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
C000209589 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Core Bond Fund
Class Name Class R6
Trading Symbol OPBIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Core Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Core Bond Fund
(Class R6)
$18 0.36%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 18
Expense Ratio, Percent 0.36% [86],[87]
Net Assets $ 2,837,460,446
Holdings Count | Holding 1,980
Investment Company Portfolio Turnover 305.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $2,837,460,446
Total number of portfolio holdings 1,980
Portfolio turnover rate 305%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
C000209590 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Core Bond Fund
Class Name Class R5
Trading Symbol TRTMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Core Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Core Bond Fund
(Class R5)
$18 0.37%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 18
Expense Ratio, Percent 0.37% [88],[89]
Net Assets $ 2,837,460,446
Holdings Count | Holding 1,980
Investment Company Portfolio Turnover 305.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $2,837,460,446
Total number of portfolio holdings 1,980
Portfolio turnover rate 305%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
C000209592 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Core Bond Fund
Class Name Class R
Trading Symbol OPBNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Core Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Core Bond Fund
(Class R)
$47 0.95%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.95% [90],[91]
Net Assets $ 2,837,460,446
Holdings Count | Holding 1,980
Investment Company Portfolio Turnover 305.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $2,837,460,446
Total number of portfolio holdings 1,980
Portfolio turnover rate 305%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
C000209593 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Core Bond Fund
Class Name Class C
Trading Symbol OPBCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Core Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Core Bond Fund
(Class C)
$72 1.45%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.45% [92],[93]
Net Assets $ 2,837,460,446
Holdings Count | Holding 1,980
Investment Company Portfolio Turnover 305.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $2,837,460,446
Total number of portfolio holdings 1,980
Portfolio turnover rate 305%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
C000209594 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Core Bond Fund
Class Name Class A
Trading Symbol OPIGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Core Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Core Bond Fund
(Class A)
$35 0.70%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 35
Expense Ratio, Percent 0.70% [94],[95]
Net Assets $ 2,837,460,446
Holdings Count | Holding 1,980
Investment Company Portfolio Turnover 305.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $2,837,460,446
Total number of portfolio holdings 1,980
Portfolio turnover rate 305%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Uniform Mortgage-Backed Securities, TBA, 5.00%, 05/01/2056 3.97%
U.S. Treasury Notes, 3.88%, 03/31/2028 3.39%
U.S. Treasury Bonds, 4.63%, 11/15/2055 3.28%
Uniform Mortgage-Backed Securities, TBA, 2.00%, 05/01/2056 2.96%
U.S. Treasury Notes, 4.13%, 02/15/2036 2.53%
Uniform Mortgage-Backed Securities, TBA, 3.00%, 05/01/2056 2.53%
Uniform Mortgage-Backed Securities, TBA, 2.50%, 05/01/2056 2.21%
Uniform Mortgage-Backed Securities, TBA, 3.50%, 05/01/2056 1.61%
Government National Mortgage Association, TBA, 2.50%, 05/01/2056 1.54%
U.S. Treasury Notes, 3.88%, 04/15/2029 1.49%
* Excluding money market fund holdings, if any.
C000209615 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Developing Markets Fund
Class Name Class A
Trading Symbol ODMAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Developing Markets Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Developing Markets Fund
(Class A)
$72 1.36%
*
Annualized.
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.36% [96]
Net Assets $ 8,754,587,537
Holdings Count | Holding 77
Investment Company Portfolio Turnover 10.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $8,754,587,537
Total number of portfolio holdings 77
Portfolio turnover rate 10%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
C000209617 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Developing Markets Fund
Class Name Class C
Trading Symbol ODVCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Developing Markets Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Developing Markets Fund
(Class C)
$111 2.11%
*
Annualized.
Expenses Paid, Amount $ 111
Expense Ratio, Percent 2.11% [97]
Net Assets $ 8,754,587,537
Holdings Count | Holding 77
Investment Company Portfolio Turnover 10.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $8,754,587,537
Total number of portfolio holdings 77
Portfolio turnover rate 10%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
C000209616 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Developing Markets Fund
Class Name Class R
Trading Symbol ODVNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Developing Markets Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Developing Markets Fund
(Class R)
$85 1.61%
*
Annualized.
Expenses Paid, Amount $ 85
Expense Ratio, Percent 1.61% [98]
Net Assets $ 8,754,587,537
Holdings Count | Holding 77
Investment Company Portfolio Turnover 10.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $8,754,587,537
Total number of portfolio holdings 77
Portfolio turnover rate 10%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
C000209614 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Developing Markets Fund
Class Name Class R5
Trading Symbol DVMFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Developing Markets Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Developing Markets Fund
(Class R5)
$53 1.00%
*
Annualized.
Expenses Paid, Amount $ 53
Expense Ratio, Percent 1.00% [99]
Net Assets $ 8,754,587,537
Holdings Count | Holding 77
Investment Company Portfolio Turnover 10.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $8,754,587,537
Total number of portfolio holdings 77
Portfolio turnover rate 10%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
C000209613 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Developing Markets Fund
Class Name Class R6
Trading Symbol ODVIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Developing Markets Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Developing Markets Fund
(Class R6)
$49 0.93%
*
Annualized.
Expenses Paid, Amount $ 49
Expense Ratio, Percent 0.93% [100]
Net Assets $ 8,754,587,537
Holdings Count | Holding 77
Investment Company Portfolio Turnover 10.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $8,754,587,537
Total number of portfolio holdings 77
Portfolio turnover rate 10%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
C000209618 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Developing Markets Fund
Class Name Class Y
Trading Symbol ODVYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Developing Markets Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Developing Markets Fund
(Class Y)
$59 1.11%
*
Annualized.
Expenses Paid, Amount $ 59
Expense Ratio, Percent 1.11% [101]
Net Assets $ 8,754,587,537
Holdings Count | Holding 77
Investment Company Portfolio Turnover 10.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $8,754,587,537
Total number of portfolio holdings 77
Portfolio turnover rate 10%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Taiwan Semiconductor Manufacturing Co. Ltd. 13.73%
Samsung Electronics Co. Ltd. 8.57%
Tencent Holdings Ltd. 4.97%
Petroleo Brasileiro S.A., ADR 3.74%
HDFC Bank Ltd. 3.27%
AIA Group Ltd. 2.61%
Vale S.A., ADR 2.32%
MediaTek, Inc. 2.25%
Kasikornbank PCL, Foreign Shares 2.17%
Inner Mongolia Yili Industrial Group Co. Ltd., A Shares 2.07%
* Excluding money market fund holdings, if any.
C000209630 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Strategic Income Fund
Class Name Class Y
Trading Symbol OSIYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Strategic Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Strategic Income Fund
(Class Y)
$39 0.78%
*
Annualized.
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.78% [102]
Net Assets $ 1,685,251,948
Holdings Count | Holding 1,112
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,685,251,948
Total number of portfolio holdings 1,112
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
C000209625 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Strategic Income Fund
Class Name Class R6
Trading Symbol OSIIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Strategic Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Strategic Income Fund
(Class R6)
$34 0.68%
*
Annualized.
Expenses Paid, Amount $ 34
Expense Ratio, Percent 0.68% [103]
Net Assets $ 1,685,251,948
Holdings Count | Holding 1,112
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,685,251,948
Total number of portfolio holdings 1,112
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
C000209626 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Strategic Income Fund
Class Name Class R5
Trading Symbol GLSSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Strategic Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Strategic Income Fund
(Class R5)
$34 0.68%
*
Annualized.
Expenses Paid, Amount $ 34
Expense Ratio, Percent 0.68% [104]
Net Assets $ 1,685,251,948
Holdings Count | Holding 1,112
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,685,251,948
Total number of portfolio holdings 1,112
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
C000209628 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Strategic Income Fund
Class Name Class R
Trading Symbol OSINX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Strategic Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Strategic Income Fund
(Class R)
$63 1.28%
*
Annualized.
Expenses Paid, Amount $ 63
Expense Ratio, Percent 1.28% [105]
Net Assets $ 1,685,251,948
Holdings Count | Holding 1,112
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,685,251,948
Total number of portfolio holdings 1,112
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
C000209629 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Strategic Income Fund
Class Name Class C
Trading Symbol OSICX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Strategic Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Strategic Income Fund
(Class C)
$88 1.78%
*
Annualized.
Expenses Paid, Amount $ 88
Expense Ratio, Percent 1.78% [106]
Net Assets $ 1,685,251,948
Holdings Count | Holding 1,112
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,685,251,948
Total number of portfolio holdings 1,112
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
C000209627 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Global Strategic Income Fund
Class Name Class A
Trading Symbol OPSIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Global Strategic Income Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Global Strategic Income Fund
(Class A)
$51 1.02%
*
Annualized.
Expenses Paid, Amount $ 51
Expense Ratio, Percent 1.02% [107]
Net Assets $ 1,685,251,948
Holdings Count | Holding 1,112
Investment Company Portfolio Turnover 32.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,685,251,948
Total number of portfolio holdings 1,112
Portfolio turnover rate 32%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
Security type allocation
(% of total investments)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 5.67%
Mexican Bonos, Series M, 8.50%, 02/28/2030 4.21%
U.S. Treasury Bonds, 5.50%, 08/15/2028 2.80%
U.S. Treasury Bills, 4.11%, 05/14/2026 2.58%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.25%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 1.22%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 1.12%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.10%
Mortgage Funding PLC, Series 2008-1, Class B2, 7.07%, 03/13/2046 1.09%
Federal Home Loan Mortgage Corp., 4.50%, 10/01/2052 1.09%
* Excluding money market fund holdings, if any.
C000209633 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco International Bond Fund
Class Name Class A
Trading Symbol OIBAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco International Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco International Bond Fund
(Class A)
$51 1.03%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 51
Expense Ratio, Percent 1.03% [108],[109]
Net Assets $ 1,586,574,610
Holdings Count | Holding 561
Investment Company Portfolio Turnover 33.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,586,574,610
Total number of portfolio holdings 561
Portfolio turnover rate 33%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
C000209635 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco International Bond Fund
Class Name Class C
Trading Symbol OIBCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco International Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco International Bond Fund
(Class C)
$88 1.78%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 88
Expense Ratio, Percent 1.78% [110],[111]
Net Assets $ 1,586,574,610
Holdings Count | Holding 561
Investment Company Portfolio Turnover 33.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,586,574,610
Total number of portfolio holdings 561
Portfolio turnover rate 33%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
C000209634 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco International Bond Fund
Class Name Class R
Trading Symbol OIBNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco International Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco International Bond Fund
(Class R)
$64 1.29%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 64
Expense Ratio, Percent 1.29% [112],[113]
Net Assets $ 1,586,574,610
Holdings Count | Holding 561
Investment Company Portfolio Turnover 33.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,586,574,610
Total number of portfolio holdings 561
Portfolio turnover rate 33%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
C000209632 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco International Bond Fund
Class Name Class R5
Trading Symbol INBQX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco International Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco International Bond Fund
(Class R5)
$37 0.75%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 37
Expense Ratio, Percent 0.75% [114],[115]
Net Assets $ 1,586,574,610
Holdings Count | Holding 561
Investment Company Portfolio Turnover 33.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,586,574,610
Total number of portfolio holdings 561
Portfolio turnover rate 33%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
C000209631 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco International Bond Fund
Class Name Class R6
Trading Symbol OIBIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco International Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco International Bond Fund
(Class R6)
$34 0.68%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 34
Expense Ratio, Percent 0.68% [116],[117]
Net Assets $ 1,586,574,610
Holdings Count | Holding 561
Investment Company Portfolio Turnover 33.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,586,574,610
Total number of portfolio holdings 561
Portfolio turnover rate 33%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
C000209636 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco International Bond Fund
Class Name Class Y
Trading Symbol OIBYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco International Bond Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco International Bond Fund
(Class Y)
$39 0.79%
*
Annualized.
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.79% [118],[119]
Net Assets $ 1,586,574,610
Holdings Count | Holding 561
Investment Company Portfolio Turnover 33.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $1,586,574,610
Total number of portfolio holdings 561
Portfolio turnover rate 33%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
Security type allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Mexican Bonos, Series M, 8.50%, 02/28/2030 9.43%
Brazil Notas do Tesouro Nacional, Class NTNF, 10.00%, 01/01/2031 8.44%
Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/2055 3.59%
Republic of South Africa Government Bond, Series 2048, 8.75%, 02/28/2048 3.29%
U.S. Treasury Bills, 3.62%, 06/18/2026 3.14%
U.S. Treasury Bills, 4.11%, 05/14/2026 3.12%
South Australian Government Financing Authority, 4.50%, 05/23/2031 2.38%
Spain Government Bond, 2.80%, 05/31/2026 1.92%
Mexican Udibonos, Series S, 4.00%, 08/30/2029 1.89%
Republic of South Africa Government Bond, Series 2040, 9.00%, 01/31/2040 1.67%
* Excluding money market fund holdings, if any.
C000209642 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Discovery Mid Cap Growth Fund
Class Name Class Y
Trading Symbol OEGYX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Discovery Mid Cap Growth Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Discovery Mid Cap Growth Fund
(Class Y)
$42 0.79%
*
Annualized.
Expenses Paid, Amount $ 42
Expense Ratio, Percent 0.79% [120]
Net Assets $ 6,714,324,009
Holdings Count | Holding 78
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $6,714,324,009
Total number of portfolio holdings 78
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
C000209637 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Discovery Mid Cap Growth Fund
Class Name Class R6
Trading Symbol OEGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Discovery Mid Cap Growth Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Discovery Mid Cap Growth Fund
(Class R6)
$35 0.67%
*
Annualized.
Expenses Paid, Amount $ 35
Expense Ratio, Percent 0.67% [121]
Net Assets $ 6,714,324,009
Holdings Count | Holding 78
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $6,714,324,009
Total number of portfolio holdings 78
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
C000209638 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Discovery Mid Cap Growth Fund
Class Name Class R5
Trading Symbol DMCFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Discovery Mid Cap Growth Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Discovery Mid Cap Growth Fund
(Class R5)
$39 0.74%
*
Annualized.
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.74% [122]
Net Assets $ 6,714,324,009
Holdings Count | Holding 78
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $6,714,324,009
Total number of portfolio holdings 78
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
C000209640 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Discovery Mid Cap Growth Fund
Class Name Class R
Trading Symbol OEGNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Discovery Mid Cap Growth Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Discovery Mid Cap Growth Fund
(Class R)
$68 1.29%
*
Annualized.
Expenses Paid, Amount $ 68
Expense Ratio, Percent 1.29% [123]
Net Assets $ 6,714,324,009
Holdings Count | Holding 78
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $6,714,324,009
Total number of portfolio holdings 78
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
C000209641 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Discovery Mid Cap Growth Fund
Class Name Class C
Trading Symbol OEGCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Discovery Mid Cap Growth Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Discovery Mid Cap Growth Fund
(Class C)
$94 1.78%
*
Annualized.
Expenses Paid, Amount $ 94
Expense Ratio, Percent 1.78% [124]
Net Assets $ 6,714,324,009
Holdings Count | Holding 78
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $6,714,324,009
Total number of portfolio holdings 78
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
C000209639 [Member]  
Shareholder Report [Line Items]  
Fund Name Invesco Discovery Mid Cap Growth Fund
Class Name Class A
Trading Symbol OEGAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Invesco Discovery Mid Cap Growth Fund (the “Fund”) for the period November 1, 2025 to April 30, 2026.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the Fund at invesco.com/reports. You can also request this information by contacting us at (800) 959-4246.
Additional Information Phone Number (800) 959-4246
Additional Information Website invesco.com/reports
Expenses [Text Block]
What Were The Fund Costs For The Last Six Months ?
(Based on a hypothetical $10,000 investment)
Fund (Class) Costs of a $10,000 investment Costs paid as a percentage
of a $10,000 investment*
Invesco Discovery Mid Cap Growth Fund
(Class A)
$55 1.04%
*
Annualized.
Expenses Paid, Amount $ 55
Expense Ratio, Percent 1.04% [125]
Net Assets $ 6,714,324,009
Holdings Count | Holding 78
Investment Company Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
What Are Key Statistics About The Fund?
(as of April 30, 2026)
Fund net assets $6,714,324,009
Total number of portfolio holdings 78
Portfolio turnover rate 49%
Holdings [Text Block]
What Comprised The Fund's Holdings?
(as of April 30, 2026)
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
Sector allocation
(% of net assets)
Graphical Representation - Allocation 1 Chart
Largest Holdings [Text Block]
Top ten holdings*
(% of net assets)
Comfort Systems USA, Inc. 3.60%
Quanta Services, Inc. 3.58%
Monolithic Power Systems, Inc. 3.49%
Hilton Worldwide Holdings, Inc. 3.05%
Flex Ltd. 2.74%
MasTec, Inc. 2.54%
Vertiv Holdings Co., Class A 2.37%
Lattice Semiconductor Corp. 2.36%
Lumentum Holdings, Inc. 2.07%
MACOM Technology Solutions Holdings, Inc. 2.05%
* Excluding money market fund holdings, if any.
[1]
Annualized.
[2]
Annualized.
[3]
Annualized.
[4]
Annualized.
[5] Annualized.
[6]
Annualized.
[7]
Annualized.
[8]
Annualized.
[9]
Annualized.
[10]
Annualized.
[11] Annualized.
[12]
Annualized.
[13]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[14]
Annualized.
[15]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[16]
Annualized.
[17]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[18]
Annualized.
[19]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[20]
Annualized.
[21]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[22]
Annualized.
[23]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[24]
Annualized.
[25]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[26]
Annualized.
[27]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[28]
Annualized.
[29]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[30]
Annualized.
[31]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[32]
Annualized.
[33]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[34]
Annualized.
[35]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[36]
Annualized.
[37]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[38]
Annualized.
[39]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[40]
Annualized.
[41]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[42]
Annualized.
[43]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[44]
Annualized.
[45]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[46]
Annualized.
[47]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[48]
Annualized.
[49]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[50]
Annualized.
[51]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[52]
Annualized.
[53]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[54]
Annualized.
[55]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[56]
Annualized.
[57]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[58]
Annualized.
[59]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[60]
Annualized.
[61]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[62]
Annualized.
[63]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[64]
Annualized.
[65]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[66]
Annualized.
[67]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[68]
Annualized.
[69]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[70]
Annualized.
[71]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[72]
Annualized.
[73]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[74]
Annualized.
[75]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[76] Annualized.
[77] Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[78] Annualized.
[79] Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[80] Annualized.
[81] Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[82] Annualized.
[83] Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[84]
Annualized.
[85]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[86]
Annualized.
[87]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[88]
Annualized.
[89]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[90]
Annualized.
[91]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[92]
Annualized.
[93]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[94]
Annualized.
[95]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[96] Annualized.
[97] Annualized.
[98] Annualized.
[99]
Annualized.
[100]
Annualized.
[101]
Annualized.
[102]
Annualized.
[103]
Annualized.
[104]
Annualized.
[105]
Annualized.
[106]
Annualized.
[107]
Annualized.
[108]
Annualized.
[109]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[110]
Annualized.
[111]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[112]
Annualized.
[113]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[114]
Annualized.
[115]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[116]
Annualized.
[117]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[118]
Annualized.
[119]
Reflects fee waivers and/or expense reimbursements, without which expenses would have been higher.
[120]
Annualized.
[121]
Annualized.
[122]
Annualized.
[123]
Annualized.
[124]
Annualized.
[125]
Annualized.