American Century Investments Select Fund Investor Class

 (MUTF:TWCIX)   Watch this mutual fund  
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Performance

Trailing returns

1 day   +1.26%
   
1 week   +5.32%
   
4 week
   
-0.72%  
3 month   +0.46%
   
YTD   +5.37%
   
1 year   +13.32%
   
3 years*   +16.21%
   
5 years*   +13.67%
   
*annualized
Best 3 month return+24.59%  
Worst 3 month return-32.65%  

Morningstar statistics

Morningstar category: Large Growth
  Return Risk Rating
3 years Average Average
5 years Average Average
10 years Below Average Average
Overall Average Average
Morningstar style  Learn more
      Large
      Mid
      Small
Value Blend Growth  

Key statistics

Total assets2.32B 
Front load-  
Deferred load-  
Expense ratio1.00%  
Management fee-  
Fund familyAmerican Century Investments 

Asset allocation

Cash0.36%  
Stocks99.64%  
Bonds0.00%  
Other0.00%  

Purchase information

Initial$2,500  
Additional$50  
AIP Initial$2,500  
AIP Additional$50  
59.54+0.30(0.51%)
Oct 24, 4:00PM EDT Overall Morningstar RatingTM

Description

The investment seeks long-term capital growth. The fund normally invests in stocks of companies that the adviser believes will increase in value over time. The portfolio managers make their investment decisions based primarily on their analysis of individual companies, rather than on broad economic forecasts. The portfolio managers use a variety of analytical research tools and techniques to identify the stocks of larger-sized companies that meet their investment criteria. Under normal market conditions, the fund's portfolio will primarily consist of securities of companies whose earnings or revenues are not only growing, but growing at an accelerating pace.
Fund filings (PDF) »
Asset managers:
Michael Li (Started: Jul 31, 2003)
Christopher Krantz (Started: Aug 5, 2013)
Keith Lee (Started: Oct 31, 2001)
Advisor Company:
American Century Inv Mgt, Inc.
Fund family reports on Morningstar »
American Century Investments, P.O. Box 419200, Kansas City, MO 64141, USA

Risk

  1 year 3 years 5 years 10 years  
Alpha* -3.14 -5.35 -1.96 -1.01
Beta* 1.09 1.15 1.07 1.02
Mean annual return 1.42 1.61 1.22 0.67
R-squared* 89.35 89.76 91.84 88.71
Standard deviation 10.24 12.84 14.77 15.86
Sharpe ratio 1.66 1.50 0.99 0.41
* Against standard index

Top 10 holdings

Security Net Assets  
Apple Inc (AAPL) 7.71%  
Gilead Sciences Inc (GILD) 3.38%  
Home Depot Inc (HD) 2.56%  
Monsanto Co (MON) 2.44%  
Walt Disney Co (DIS) 2.43%  
MasterCard Inc Class A (MA) 2.41%  
Schlumberger NV (SLB) 2.38%  
UnitedHealth Group Inc (UNH) 2.36%  
Biogen Idec Inc (BIIB) 2.32%  
Qualcomm Inc (QCOM) 2.30%