Company: VBF
Filing Date: 2025-11-07
Form Type: N-CSRS
Source: 0001193125-25-271159
Chunk: 30

Company: Invesco Bond Fund
Filing Date: 2025-11-07
Form: N-CSRS
Chunk 30
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ers and its affiliates. In this regard, the Board noted that Invesco Advisers receives advisory fees from these affiliated money market funds attributable to the

Fund’s investments. The Board also noted that Invesco Advisers has contractually agreed to waive through varying periods an amount equal to 100% of the net advisory fee Invesco Advisers receives from the affiliated money market funds with respect to the Fund’s investment in the affiliated money market funds of uninvested cash. *Effective as of August 29, 2025, Invesco Asset Management Deutschland GmbH merged into Invesco Management S.A.

| 38 |     | Invesco Bond Fund |

Proxy Results A Joint Annual Meeting (“Meeting”) of Shareholders of Invesco Bond Fund (the “Fund”) was held on August 12, 2025. The Meeting was held for the following purpose: (1). Election of Trustees by Common Shareholders. The results of the voting on the above matter were as follows:

|      |     |                     |     |           |              |     | Votes            |            |
|      |     | Matter              |     | Votes For |              |     | Against/Withheld |            |
| (1). |     | Cynthia Hostetler   |     |           | 9,399,643.75 |     |                  | 149,237.04 |
|      |     | Eli Jones           |     |           | 9,360,492.76 |     |                  | 188,388.03 |
|      |     | Prema Mathai-Davis  |     |           | 9,347,623.44 |     |                  | 201,257.35 |
|      |     | Daniel S. Vandivort |     |           | 9,357,344.81 |     |                  | 191,535.98 |
|      |     | James “Jim” Liddy   |     |           | 9,352,893.82 |     |                  | 195,986.97 |

| 39 |     | Invesco Bond Fund |

Correspondence information Send general correspondence to Computershare Trust Company, N.A., P.O. Box 43078, Providence, RI 02940-3078 Fund holdings and proxy voting information The Fund provides a complete list of its portfolio holdings four times each fiscal year, at the end of each fiscal quarter. For the second and fourth quarters, the