American Century One Choice target-date series offers a contrarian approach to retirement investing. A distinctly flat glide path aims to mitigate sharp drawdowns for most of the investment journey but courts above-average risk for retirees. Investors in this series can occasionally see lower total returns on their way to meeting their retirement goals, and higher volatility during retirement.
American Century One Choice 2025 Inv ARWIX
- NAV / 1-Day Return 14.70 / −0.07 %
- Total Assets 1.6 Bil
-
Adj. Expense Ratio
- Expense Ratio 0.770%
- Distribution Fee Level High
- Share Class Type No Load
- Category Target-Date 2025
- Investment Style Large Blend
- Credit Quality / Interest Rate Sensitivity Medium/Moderate
- Status Open
- TTM Yield 1.98%
- Turnover 15%
USD | NAV as of Oct 02, 2024 | 1-Day Return as of Oct 02, 2024, 10:16 PM GMT+0
Morningstar’s Analysis ARWIX
Will ARWIX outperform in future?
Get our overall rating based on a fundamental assessment of the pillars below.
People Pillar
Parent Pillar
- Current Portfolio Date
- Equity Holdings —
- Bond Holdings —
- Other Holdings —
- % Assets in Top 10 Holdings 84.9
Top 10 Holdings
|
% Portfolio Weight
|
Market Value USD
|
Sector
|
---|---|---|---|
American Century Diversified Bond G | 18.61 | 299.0 Mil | — |
American Century Global Bond G | 13.49 | 216.7 Mil | — |
American Century Sustainable Equity G | 10.40 | 167.1 Mil | — |
American Century Focused Lg Cap Val G | 8.80 | 141.5 Mil | — |
American Century Short Duration G | 7.44 | 119.5 Mil | — |
American Century Short Dur Infl ProBd G | 6.93 | 111.4 Mil | — |
American Century Growth G | 5.47 | 87.8 Mil | — |
American Century International Value G | 5.35 | 86.0 Mil | — |
American Century International Gr G | 4.87 | 78.2 Mil | — |
American Century High Income G | 3.58 | 57.6 Mil | — |