Asset Allocation Portfolios

One Choice® Target Risk Portfolios
from American Century Investments®

Our five static target-risk funds offer you instant diversification. These portfolios are built using multiple underlying mutual funds to help balance risk and return. Each target-risk fund seeks the highest total return consistent with its asset mix. Choose your investment based upon your risk tolerance.

Key Benefits
  • Instant, broad diversification
  • Professionally and actively managed
  • Adjusted regularly to maintain target risk level
  • No-load means less fees and more money toward your investment

Explore One Choice Target Risk Portfolio options.

Move the slider to see how our target-risk funds change based on risk tolerance.

  • See All
  • Very Conservative
  • Conservative
  • Moderate
  • Aggressive
  • Very Aggressive

The performance of the portfolios is dependent on the performance of their underlying American Century Investments' funds, and will assume the risks associated with these funds. The risks will vary according to each portfolio's asset allocation, and the risk level assigned to each portfolio is intended to reflect the relative short-term price volatility among the funds in each.

Investment return and principal value of security investments will fluctuate. The value at the time of redemption may be more or less than the original cost. Past performance is no guarantee of future results.

Diversification does not ensure a profit or protect against loss in a declining market.

Ready to Invest?


Richard Weiss

Chief Investment Officer
Multi-Asset Strategies

CIO Insights

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