2018 Estimated Distributions

Don't let tax time catch you off guard. Review initial distribution estimates for many of our funds.1,2 For your non-retirement accounts, these numbers can help you gauge the income and capital gains that appear on your Form 1099-DIV in late January (mid February for real estate funds). Please keep in mind that amounts are estimates and may vary from the actual distributions.

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Mutual Funds

As of October 31, 20182

Fund Name Ordinary Income Per Share3 Ordinary Income Pay Date Short-Term Capital Gain Per Share Long-Term Capital Gains Per Share Capital Gain Pay Date4
AC Alternatives® Disciplined Long Short Fund 0.0000 12/20/2018 0.0181 1.0148 12/11/2018
AC Alternatives® Emerging Opportunities Total Return Fund 0.4599 12/18/2018 0.0000 0.0000 12/18/2018
AC Alternatives® Equity Market Neutral Fund 0.0101 12/20/2018 0.0000 0.0000 12/11/2018
AC Alternatives® Income Fund 0.0999 12/20/2018 0.0000 0.0000 12/18/2018
AC Alternatives® Market Neutral Value Fund 0.0114 12/20/2018 0.1706 0.3401 12/11/2018
Adaptive Equity Fund 0.1401 12/18/2018 0.4161 1.9562 12/18/2018
Adaptive Small Cap Fund5 0.0324 12/18/2018 0.2127 1.7427 12/18/2018
All Cap Growth Fund 0.0000 12/18/2018 0.0000 3.7288 12/18/2018
Balanced Fund 0.0909 12/20/2018 0.2090 0.8151 12/18/2018
California High-Yield Municipal Fund daily daily 0.0000 0.0000 12/11/2018
California Intermediate-Term Tax-Free Bond Fund daily daily 0.0000 0.0064 12/11/2018
Capital Value Fund 0.1633 12/18/2018 0.0000 0.1553 12/18/2018
Core Equity Plus Fund 0.0000 12/20/2018 0.0000 1.2753 12/11/2018
Core Plus Fund daily daily 0.0000 0.0000 12/11/2018
Disciplined Growth Fund 0.0000 12/20/2018 0.6517 2.6620 12/11/2018
Diversified Bond Fund daily daily 0.0000 0.0000 12/11/2018
Emerging Markets Debt Fund daily daily 0.0000 0.0000 12/18/2018
Emerging Markets Fund 0.0871 12/18/2018 0.0000 0.0000 12/18/2018
Emerging Markets Small Cap Fund 0.0000 12/18/2018 0.0000 0.5877 12/18/2018
Equity Growth Fund 0.1036 12/20/2018 0.7503 2.4743 12/11/2018
Equity Income Fund 0.0700 12/20/2018 0.0565 0.3716 12/11/2018
Focused Dynamic Growth Fund 0.0000 12/18/2018 0.0000 0.0000 12/18/2018
Focused International Growth Fund 0.0746 12/18/2018 0.0000 0.0000 12/18/2018
Ginnie Mae Fund daily daily 0.0000 0.0000 12/11/2018
Global Bond Fund 0.5490 12/20/2018 0.0000 0.0000 12/18/2018
Global Gold Fund 0.0000 12/20/2018 0.0000 0.0000 12/11/2018
Global Growth Fund 0.0394 12/18/2018 0.0000 1.0982 12/18/2018
Global Real Estate Fund 0.2591 12/18/2018 0.0000 0.0886 12/18/2018
Global Small Cap Fund 0.0000 12/18/2018 0.0000 0.3368 12/18/2018
Government Bond Fund daily daily 0.0000 0.0000 12/11/2018
Growth Fund 0.0957 12/18/2018 0.2756 3.6064 12/18/2018
Heritage Fund 0.0000 12/18/2018 0.4660 4.0498 12/18/2018
High Income Fund daily daily 0.0000 0.0000 12/11/2018
High-Yield Fund daily daily 0.0000 0.0000 12/11/2018
High-Yield Municipal Fund daily daily 0.0000 0.0000 12/11/2018
Income & Growth Fund 0.2295 12/20/2018 0.6745 2.8236 12/11/2018
Inflation-Adjusted Bond Fund 0.3994 12/20/2018 0.0000 0.0000 12/11/2018
Intermediate-Term Tax-Free Bond Fund daily daily 0.0000 0.0000 12/11/2018
International Bond Fund 0.2534 12/20/2018 0.0324 0.0126 12/18/2018
International Core Equity Fund 0.1651 12/18/2018 0.0000 0.0000 12/18/2018
International Discovery Fund 0.0000 12/18/2018 0.0000 1.1338 12/18/2018
International Growth Fund 0.0995 12/18/2018 0.0000 1.0737 12/18/2018
International Opportunities Fund 0.0114 12/18/2018 0.0000 0.3041 12/18/2018
International Value Fund 0.3542 12/18/2018 0.0000 0.0000 12/18/2018
Large Company Value Fund 0.0466 12/20/2018 0.0000 0.3755 12/11/2018
Mid Cap Value Fund 0.0580 12/20/2018 0.0815 1.5418 12/11/2018
Mult-Asset Income Fund 0.0472 12/27/2018 0.0000 0.0247 12/27/2018
Multi-Asset Real Return Fund 0.0411 12/20/2018 0.0000 0.0000 12/11/2018
One Choice® 2020 Portfolio 0.3378 12/27/2018 0.0022 0.4796 12/27/2018
One Choice® 2025 Portfolio 0.3945 12/27/2018 0.0112 0.5253 12/27/2018
One Choice® 2030 Portfolio 0.3534 12/27/2018 0.0142 0.4847 12/27/2018
One Choice® 2035 Portfolio 0.4125 12/27/2018 0.0176 0.6260 12/27/2018
One Choice® 2040 Portfolio 0.3598 12/27/2018 0.0136 0.6362 12/27/2018
One Choice® 2045 Portfolio 0.4195 12/27/2018 0.0104 0.8621 12/27/2018
One Choice® 2050 Portfolio 0.3407 12/27/2018 0.0157 0.6508 12/27/2018
One Choice® 2055 Portfolio 0.3563 12/27/2018 0.0098 0.5751 12/27/2018
One Choice® 2060 Portfolio 0.3118 12/27/2018 0.0039 0.3007 12/27/2018
One Choice® In Retirement Portfolio 0.2478 12/27/2018 0.0000 0.4228 12/27/2018
One Choice® Portfolio: Aggressive 0.4045 12/27/2018 0.0359 0.6580 12/27/2018
One Choice® Portfolio: Conservative 0.2465 12/27/2018 0.0145 0.3174 12/27/2018
One Choice® Portfolio: Moderate 0.2692 12/27/2018 0.0219 0.5462 12/27/2018
One Choice® Portfolio: Very Aggressive 0.3443 12/27/2018 0.0397 0.8803 12/27/2018
One Choice® Portfolio: Very Conservative 0.2135 12/27/2018 0.0109 0.1624 12/27/2018
Real Estate Fund 0.2319 12/20/2018 0.0000 1.0349 12/18/2018
Select Fund 0.0800 12/18/2018 0.0000 5.4988 12/18/2018
Short Duration Fund daily daily 0.0000 0.0000 12/11/2018
Short Duration Inflation Protection Bond Fund 0.2070 12/20/2018 0.0000 0.0000 12/11/2018
Short Duration Strategic Income Fund daily daily 0.0000 0.0000 12/11/2018
Short-Term Government Fund daily daily 0.0000 0.0000 12/11/2018
Small Cap Growth Fund 0.0000 12/18/2018 0.4500 1.8503 12/18/2018
Small Cap Value Fund 0.0444 12/20/2018 0.3484 0.7408 12/11/2018
Small Company Fund 0.0147 12/20/2018 0.1931 1.4657 12/11/2018
Strategic Allocation: Aggressive Fund 0.0869 12/18/2018 0.0591 0.6848 12/18/2018
Strategic Allocation: Conservative Fund 0.0261 12/20/2018 0.0235 0.2599 12/18/2018
Strategic Allocation: Moderate Fund 0.0279 12/20/2018 0.0418 0.4988 12/18/2018
Strategic Income Fund daily daily 0.0000 0.0000 12/11/2018
Sustainable Equity Fund 0.2211 12/18/2018 0.0598 1.8354 12/18/2018
Ultra® Fund 0.0000 12/18/2018 0.0000 3.3188 12/18/2018
Utilities Fund 0.1603 12/20/2018 0.0147 0.3550 12/11/2018
Value Fund 0.0383 12/20/2018 0.0179 0.6339 12/11/2018
Zero Coupon 2020 Fund 4.2190 12/07/2018 0.0000 0.0000 12/07/2018
Zero Coupon 2025 Fund 3.5295 12/07/2018 0.0000 1.7124 12/07/2018


Note: Money market funds declare dividends daily and distribute income monthly. These funds are expected to make only regular monthly income distributions on December 31, 2018, and are not listed above.

Regulations regarding distributions can be complex, and there are several methods for managing your tax liability. Please consult a tax advisor about your particular circumstances. You also may obtain helpful information by calling the Internal Revenue Service at 1-800-829-1040 or visiting https://www.irs.gov .

Exchange Traded Funds 2018 Estimated Distributions

As of 10/31/20182

Fund Name Ordinary Income Per Share3 Ordinary Income Pay Date Short-Term Capital Gain Per Share Long-Term Capital Gains Per Share Capital Gain Pay Date4
American Century® Diversified Corporate Bond ETF6 0.1472 12/28/2018 0.0000 0.0000 12/28/2018
American Century® Diversified Municipal Bond ETF6 0.2053 12/28/2018 0.0000 0.0000 12/28/2018
American Century® Quality Diversified International ETF7 0.2033 12/28/2018 0.0000 0.0000 12/28/2018
American Century® STOXX® U.S. Quality Growth ETF7, 8, 9 0.0370 12/28/2018 0.0000 0.0000 12/28/2018
American Century® STOXX® U.S. Quality Value ETF7, 8, 9 0.1958 12/28/2018 0.0000 0.0000 12/28/2018

ETF shares may be bought or sold throughout the day at their market price, not their Net Asset Value (NAV), on the exchange on which they are listed. Shares of ETFs are tradable on secondary markets and may trade either at a premium or a discount to their NAV on the secondary market.

ETFs trade like stocks, fluctuate in market value and may trade at prices above or below the ETF's net asset value. Brokerage commissions and ETF expenses will reduce returns.

Exchange Traded Funds (ETFs): Foreside Fund Services, LLC - Distributor, not affiliated with American Century Investments Services, Inc.

1 Dividend income estimates for income funds that declare distributions daily are not generally listed, although they may pay distributions. In addition, some stock funds in the chart may show no estimated distributions at this time. However, please keep in mind that this may change.

2 The estimates provided are as of October 31, 2018. Keep in mind that market conditions, portfolio changes and/or changes in outstanding fund shares could affect these estimates substantially. In addition, there is a possibility that funds not listed above could be eligible to pay a capital gains distribution. This information is not final and is subject to change until the ex-dividend date.

3 The estimates in this chart do not reflect calculations for Qualified Dividends. However, those calculations, if applicable, will appear on Form 1099-DIV sent in late January 2019.

4 Per-share distributions are paid to investors who are shareholders of record with American Century Investments the business day before the payable date.

5

On May 7, 2018, the Adaptive All Cap Fund's name changed to Adaptive Small Cap Fund.

6

This fund is an actively managed Exchange Traded Fund (ETF) that does not seek to replicate the performance of a specified index. To determine whether to buy or sell a security, the portfolio managers consider, among other things, various fund requirements and standards, along with economic conditions, alternative investments, interest rates and various credit metrics. If the portfolio manager considerations are inaccurate or misapplied, the fund's performance may suffer.

7

This fund is not actively managed and the portfolio managers do not attempt to take defensive positions under any market conditions, including declining markets. The portfolio managers also do not generally add or remove a security from the fund until such security is similarly added or removed from the underlying index. Therefore, the fund may hold an underperforming security or not hold an outperforming security until the underlying index reacts. This may result in underperformance compared to the market generally. In addition, there is no assurance that the underlying index will be determined, composed or calculated accurately. While the index provider provides descriptions of what the underlying index is designed to achieve, the index provider does not guarantee the quality, accuracy or completeness of data in respect of its indices, and does not guarantee that the underlying index will be in line with the described index methodology. Gains, losses or costs to the fund caused by errors in the underlying index may therefore be borne by the fund and its shareholders.

8

STOXX® is a registered trademark of STOXX Ltd.

9

The STOXX® Index is the intellectual property (including registered trademarks) of STOXX Limited, Zurich, Switzerland ("STOXX"), Deutsche Börse Group or their licensors, which is used under license. The fund is neither sponsored nor promoted, distributed or in any other manner supported by STOXX, Deutsche Börse Group or their licensors, research partners or data providers and STOXX, Deutsche Börse Group and their licensors, research partners or data providers do not give any warranty, and exclude any liability (whether in negligence or otherwise) with respect thereto generally or specifically in relation to any errors, omissions or interruptions in the STOXX® Index or its data.

You should consider the fund's investment objectives, risks, and charges and expenses carefully before you invest. The fund's prospectus or summary prospectus, which can be obtained by calling 1.800.345.2021, contains this and other information about the fund, and should be read carefully before investing. Download Prospectus: Mutual Fund or Exchange Traded Fund (ETF). Investments are subject to market risk.