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Nasdaq - Delayed Quote USD

American Century One Choice 2060 Inv (ARGVX)

14.62
-0.16
(-1.08%)
As of 8:09:09 AM EDT. Market Open.

Performance Overview

Morningstar Return Rating --
YTD Return -4.27%
5y Average Return 10.15%
Number of Years Up 7
Number of Years Down 2
Best 1Y Total Return (Apr 15, 2025) 24.88%
Worst 1Y Total Return (Apr 15, 2025) --
Best 3Y Total Return 24.88%
Worst 3Y Total Return 2.37%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
ARGVX
Category
YTD
-1.10%
6.10%
1-Month
-3.29%
0.90%
3-Month
-1.10%
6.10%
1-Year
4.23%
14.41%
3-Year
4.36%
4.94%
5-Year
12.00%
9.53%
10-Year
0.00%
0.00%
Last Bull Market
13.05%
5.12%
Last Bear Market
-13.85%
0.00%

Annual Total Return (%) History

Year
ARGVX
Category
2025
--
--
2024
12.45%
--
2023
16.05%
--
2022
-17.80%
--
2021
14.38%
--
2020
18.10%
15.52%
2019
24.88%
25.15%
2018
-8.13%
-8.52%

2017
19.31%
21.27%
2016
7.71%
7.81%
2015
--
-1.17%

Past Quarterly Returns

YearQ1Q2Q3Q4
2025 -1.10% -- -- --
2024 6.70% 0.53% 6.51% -1.58%
2023 6.12% 3.95% -4.38% 10.02%
2022 -6.65% -13.85% -5.97% 8.70%
2021 4.04% 5.92% -0.66% 4.49%
2020 -18.68% 18.98% 7.74% 13.30%
2019 11.71% 3.68% 0.85% 6.92%
2018 0.08% 1.09% 3.32% -12.12%
2017 5.75% 3.20% 4.60% 4.51%
2016 0.49% 1.65% 4.77% 0.65%

2015 3.85% -- -- --

Rank in Category (By Total Return)

YTD 67
1-Month 35
3-Month 67
1-Year 90
3-Year 99
5-Year 99

Load Adjusted Returns

1-Year 4.23%
3-Year 4.36%
5-Year 12.00%
10-Year --

Performance & Risk

YTD Return -4.27%
5y Average Return 10.15%
Rank in Category (ytd) 67
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.16
Morningstar Risk Rating

Fund Overview

Category Target-Date 2060+
Fund Family American Century Investments
Net Assets 485.15M
YTD Return -1.10%
Yield 2.09%
Morningstar Rating
Inception Date Sep 30, 2015

Fund Summary

The fund is a "fund of funds," meaning that it seeks to achieve its objective by investing in other American Century mutual funds (the underlying funds) that represent a variety of asset classes and investment styles. The underlying stock funds draw on growth, value and quantitative investment techniques and diversify investments among small, medium and large U.S. and foreign companies. The underlying bond funds invest in fixed-income securities that vary by issuer type (corporate and government), credit quality and geographic exposure (domestic and international).

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