Nasdaq - Delayed Quote USD

American Century International Value I (ACVUX)

8.51 +0.12 (+1.43%)
As of 8:06 AM EDT. Market Open.

Performance Overview

Morningstar Return Rating --
YTD Return 2.53%
5y Average Return 5.88%
Number of Years Up 11
Number of Years Down 6
Best 1Y Total Return (Apr 22, 2024) 30.23%
Worst 1Y Total Return (Apr 22, 2024) --
Best 3Y Total Return 30.23%
Worst 3Y Total Return -2.89%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
ACVUX
Category
YTD
4.22%
11.56%
1-Month
5.10%
-2.20%
3-Month
4.22%
4.11%
1-Year
17.19%
35.63%
3-Year
4.47%
5.74%
5-Year
6.76%
8.25%
10-Year
3.06%
4.29%
Last Bull Market
37.16%
13.65%
Last Bear Market
-11.97%
-23.43%

Annual Total Return (%) History

Year
ACVUX
Category
2024
--
--
2023
20.05%
--
2022
-11.29%
--
2021
8.93%
--
2020
9.30%
0.88%
2019
12.73%
17.80%
2018
-17.04%
-15.44%
2017
21.67%
22.08%

2016
1.83%
3.34%
2015
-6.97%
-3.10%
2014
-3.33%
-6.32%
2013
22.10%
20.81%
2012
18.81%
16.21%
2011
-8.82%
-12.77%
2010
3.97%
7.48%
2009
30.23%
30.33%
2008
-43.21%
-42.41%
2007
17.36%
9.01%
2006
--
25.98%

Past Quarterly Returns

YearQ1Q2Q3Q4
2024 4.22% -- -- --
2023 6.76% 4.52% -1.11% 8.80%
2022 -4.58% -11.97% -11.77% 19.71%
2021 6.04% 2.91% -2.27% 2.13%
2020 -22.78% 15.21% 2.52% 19.83%
2019 7.39% 1.60% -3.68% 7.26%
2018 -1.02% -3.58% -0.24% -12.86%
2017 7.20% 5.51% 5.70% 1.77%
2016 -4.28% -2.65% 6.46% 2.65%
2015 3.36% -1.29% -12.23% 3.89%

2014 1.90% 5.07% -5.46% -4.50%
2013 3.43% -0.13% 12.09% 5.45%
2012 10.00% -6.04% 8.52% 5.92%
2011 6.36% 2.08% -20.46% 5.59%
2010 -1.67% -14.18% 17.86% 4.53%
2009 -14.56% 24.64% 21.25% 0.86%
2008 -11.48% -2.86% -16.06% -21.32%
2007 4.30% 8.81% 3.73% -0.31%
2006 4.13% 12.09% -- --

Rank in Category (By Total Return)

YTD 53
1-Month 11
3-Month 53
1-Year 26
3-Year 58
5-Year 44

Load Adjusted Returns

1-Year 17.19%
3-Year 4.47%
5-Year 6.76%
10-Year 3.06%

Performance & Risk

YTD Return 2.53%
5y Average Return 5.88%
Rank in Category (ytd) 53
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.00
Morningstar Risk Rating

Fund Overview

Category Foreign Large Value
Fund Family American Century Investments
Net Assets 1.57B
YTD Return 4.22%
Yield 4.60%
Morningstar Rating
Inception Date Apr 03, 2006

Fund Summary

In selecting stocks for the fund, the portfolio managers will normally invest at least 65% of net assets in securities of issuers from a minimum of three countries outside the United States. The portfolio managers generally look for securities from issuers that have characteristics similar to those of the companies that comprise the MSCI EAFE® Value Index. Characteristics the portfolio managers may consider include industry sector and geographic location, among others. The portfolio managers will normally invest at least 80% of the value of the fund’s net assets in equity securities.

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