Asset Allocation Portfolios

One Choice Portfolios® are signature target-date and target-risk asset allocation fund-of-funds from American Century Investments. Created to help investors take a more active role in planning their financial futures, these professionally managed, automatically diversified investment solutions in a single portfolio are a smart choice for long-term financial goals.

One ChoiceSM Target Date Portfolios
from American Century Investments®

Our diversified target-date funds automatically adjust as their target goal date approaches. Choose which of the 10 target-date funds most closely aligns with when you plan to start using your money. A One Choice Target Date Portfolio's target date is the approximate year when investors plan to retire or start withdrawing their money. The principal value of the investment is not guaranteed at any time, including at the target date.

Each One Choice Target Date Portfolio seeks the highest total return consistent with its asset mix. Over time, the asset mix and weightings are adjusted to be more conservative. In general, as the target year approaches, the portfolio's allocation becomes more conservative by decreasing the allocation to stocks and increasing the allocation to bonds and money market instruments.

Key Benefits
  • Instant, broad diversification
  • Professionally and actively managed
  • Automatically adjusts to grow more conservative

Explore One ChoiceSM Target Date Portfolio options.

Move the slider to view target-date fund details based on goal date.