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Invest in Accelerating, Sustainable Growth. Emerging Markets Fund is a fundamentally driven stock fund that seeks to outperform its benchmark through investments in emerging markets.
Seeks capital growth.
Our distinctive growth philosophy centers on identifying companies experiencing early accelerating, fundamental improvement. Focusing on acceleration directs us to a different opportunity set than many competitors and gives us the potential for differentiated returns across market cycles.
Emerging markets remain highly fragmented with wide dispersion of returns among countries, sectors and individual securities. We recognize the macroeconomic environment’s impact on companies, but incorporate it within our bottom-up, individual stock analysis. We believe that focusing on company fundamentals rather than country headlines helps build a high conviction portfolio.
Our global and non-U.S. equity investment professionals apply the same philosophy and process and work in a single location where they meet and exchange information, contributing to a global picture of growth. The Emerging Markets team meets daily to systematically gather information and make timely investment decisions. Our tight-knit and tenured team efficiently brings ideas into and out of the portfolio.
International investing involves special risk considerations, including economic and political conditions, inflation rates and currency fluctuations. Investing in emerging markets may accentuate these risks. There is no guarantee that the investment objectives will be met. Dividends and yields represent past performance and there is no guarantee that they will continue to be paid.
Long-term capital growth by investing primarily in emerging market companies of all sizes.
Pursues high growth through investments in companies in emerging markets exhibiting sustainable accelerating earnings growth.
Senior Vice President, Senior Portfolio Manager
Vice President, Portfolio Manager
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Data reflects past performance for Investor Class shares, assumes reinvestment of dividends and capital gains and is no guarantee of future results. Current performance may be higher or lower than data shown. Investment return and principal value fluctuates. Redemption value may be more or less than original cost. Obtain performance data current to the most recent quarter end. For additional share class information, consult the prospectus.
Returns or yields for the fund would have been lower if a portion of the management fee had not been waived. Review the annual or semiannual report for the most current information.
International investing involves special risks, such as political instability and currency fluctuations. Investing in emerging markets may accentuate these risks.
Net expense ratio is the total annual operating expense ratio for the fund, net of any fee waivers or expense reimbursements. Gross expense ratio is the total annual operating expense ratio for the fund, gross of any fee waivers or expense reimbursements. Expense ratios are as of the funds' most current prospectus. This is the actual ratio that investors paid during the fund's most recent fiscal year.
W2 If your account falls below the minimum balance, you will be notified and given 90 days to meet the minimum. If the deadline is not met, American Century Investments may redeem the shares in the account and send the proceeds to the address of record.
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