Company: VMO
Filing Date: 2025-09-19
Form Type: 40-17G
Source: 0001193125-25-209004
Chunk: 11

Company: Invesco Municipal Opportunity Trust
Filing Date: 2025-09-19
Form: 40-17G
Chunk 11
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 | any nominee in whose name is registered any Security included in the systems for the central handling of 
 securities established and maintained by any Depository, and                                             |

| (c) | any recognized service company which provides clerks or other personnel to any Depository or Exchange on a 
 contract basis,                                                                                            |

while such officer, partner or employee is performing services for any Depository in the operation of systems for the central handling of securities, and

| (9) | in the case of an Insured which is an “employee benefit plan” (as defined in Section 3 of the                                                                                                        
 Employee Retirement Income Security Act of 1974 (“ERISA”)) for officers, directors or employees of another Insured (“In-House Plan”), any “fiduciary” or other “plan                                 
 official” (within the meaning of Section 412 of ERISA) of such In-House Plan, provided that such fiduciary or other plan official is a director, partner, officer, trustee or employee of an Insured 
 (other than an In-House Plan).                                                                                                                                                                       |

Each employer of temporary personnel and each entity referred to in subsections (6) and (7) and their respective partners, officers and employees shall collectively be deemed to be one person for all the purposes of this Bond. Brokers, agents, independent contractors, or representatives of the same general character shall not be considered Employees, except as provided in subsections (3), (6), and (7).

| P. | “Exchange” means any national securities exchange registered under the Securities Exchange 
 Act of 1934.                                                                               |

| Q. | “Forgery” means the physical signing on a document of the name of another person with the                                                                                                                                                    
 intent to deceive. A Forgery may be by means of mechanically reproduced facsimile signatures as well as handwritten signatures. Forgery does not include the signing of an individual’s own name, regardless of such individual’s authority, 
 capacity or purpose.                                                                                                                                                                                                                         |

| R. | “Items of Deposit” means one or more checks or drafts. |

| S. | “Investment Company” or “Fund” means an investment company registered 
 under the Investment Company Act of 1940.                             |

| T. | “Limit of Liability” means, with respect to any Insuring Agreement, the limit of liability                                                                                                               
 of the Underwriter for any Single Loss covered by such Insuring Agreement as set forth under the heading “Limit of Liability” in Item 3 of