ARCMX - American Century Investments One Choice 2030 Portfolio A Class

Nasdaq - Nasdaq Delayed Price. Currency in USD

Overall Portfolio Composition (%)

Cash7.32%
Stocks52.41%
Bonds39.80%
Others0.00%
Preferred0.00%
Convertable0.17%

Sector Weightings (%)

Sector
ARCMX
Basic Materials
2.43%
CONSUMER_CYCLICAL
10.85%
Financial Services
17.96%
Realestate
5.54%
Consumer Defensive
6.93%
Healthcare
14.42%
Utilities
2.97%
Communication Services
6.84%
Energy
4.27%
Industrials
11.39%
Technology
16.39%

Equity Holdings

AverageARCMXCategory Average
Price/Earnings20.5119.32
Price/Book2.742.35
Price/Sales1.91.61
Price/Cashflow13.7912.07
Median Market Cap48,687.0851,232.23
3 Year Earnings Growth17.2315.41

Bond Holdings

AverageARCMXCategory Average
Maturity7.567.19
Duration5.825.64
Credit QualityN/AN/A

Bond Ratings

SectorARCMX
US Government0.00%
AAA53.66%
AA7.35%
A11.35%
BBB13.05%
BB7.11%
B5.28%
Below B1.51%
Others0.69%

Top 10 Holdings (70.05% of Total Assets)

Get Quotes for Top Holdings
NameSymbol% Assets
American Century NT Diversified Bond GACLDX17.93%
American Century NT Large Co Val GACLLX9.48%
American Century Sustainable Equity GAFEGX7.39%
American Century Global Bond GAGBGX6.98%
American Century NT Mid Cap Value GACLMX5.41%
American Century NT Growth GACLTX5.21%
American Century NT International Gr GACLNX4.92%
American Century Inflation-Adjs Bond GAINGX4.54%
American Century NT Intl Val GANTYX4.19%
American Century NT High Income GAHGNX4.00%