Nasdaq - Delayed Quote USD

American Century Select Fund (TWCIX)

122.65 +0.72 (+0.59%)
At close: 8:01 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return 21.76%
5y Average Return 17.12%
Number of Years Up 39
Number of Years Down 13
Best 1Y Total Return (Oct 24, 2024) 39.90%
Worst 1Y Total Return (Oct 24, 2024) --
Best 3Y Total Return 39.90%
Worst 3Y Total Return 6.02%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
TWCIX
Category
YTD
20.86%
12.38%
1-Month
2.14%
5.09%
3-Month
2.32%
10.28%
1-Year
35.07%
41.70%
3-Year
9.44%
22.56%
5-Year
17.43%
21.98%
10-Year
15.03%
15.99%
Last Bull Market
25.48%
25.99%
Last Bear Market
-20.81%
-17.29%

Annual Total Return (%) History

Year
TWCIX
Category
2024
--
--
2023
39.90%
--
2022
-28.93%
--
2021
25.18%
--
2020
33.97%
35.86%
2019
36.31%
31.90%
2018
-3.63%
-2.09%
2017
28.93%
27.67%

2016
5.48%
3.23%
2015
7.69%
3.60%
2014
10.52%
10.00%
2013
30.21%
33.92%
2012
14.74%
15.34%
2011
1.42%
-2.46%
2010
14.58%
15.53%
2009
34.79%
35.68%
2008
-39.67%
-40.67%
2007
21.67%
13.35%
2006
-1.79%
7.05%
2005
0.86%
6.71%
2004
7.35%
7.81%
2003
24.74%
28.66%
2002
-22.77%
-27.64%
2001
-18.16%
-22.30%
2000
-8.71%
-13.05%
1999
22.23%
38.87%
1998
35.72%
34.55%
1997
32.19%
26.36%
1996
19.22%
19.76%
1995
22.67%
32.65%
1994
-8.04%
-2.45%
1993
14.67%
8.69%
1992
-4.43%
5.92%
1991
31.58%
40.07%
1990
-0.41%
-3.78%
1989
39.51%
27.76%
1988
5.61%
12.55%
1987
5.74%
1.56%
1986
20.57%
14.05%
1985
33.95%
28.64%
1984
-7.85%
-3.94%
1983
30.01%
18.56%
1982
42.38%
32.75%
1981
1.27%
-2.13%
1980
47.76%
40.60%
1979
47.47%
32.37%
1978
37.81%
15.06%
1977
24.96%
2.56%
1976
27.85%
22.23%
1975
56.16%
35.35%
1974
-29.96%
-31.34%
1973
-3.33%
-28.56%
1972
11.85%
19.23%
1971
--
24.89%

Past Quarterly Returns

YearQ1Q2Q3Q4
2024 9.63% 7.75% 2.32% --
2023 15.62% 11.89% -3.23% 11.76%
2022 -7.34% -20.81% -2.10% -1.07%
2021 0.70% 12.12% 1.62% 9.10%
2020 -13.75% 26.28% 10.80% 11.02%
2019 15.74% 4.65% 1.57% 10.80%
2018 1.01% 5.85% 7.69% -16.30%
2017 8.91% 4.34% 6.50% 6.53%
2016 -1.39% 0.07% 5.40% 1.41%
2015 5.46% 1.35% -6.22% 7.44%

2014 -0.64% 4.33% 1.92% 4.61%
2013 6.27% 1.08% 8.64% 11.58%
2012 17.25% -5.67% 7.31% -3.32%
2011 6.48% 1.69% -14.76% 9.88%
2010 4.56% -13.85% 12.99% 12.58%
2009 -4.10% 15.35% 13.64% 7.23%
2008 -12.25% 1.63% -13.46% -21.82%
2007 2.40% 7.71% 5.53% 4.53%
2006 -0.24% -6.94% -1.04% 6.90%
2005 -4.62% 1.40% 0.95% 3.30%
2004 1.83% 1.16% -4.48% 9.10%
2003 -2.39% 15.92% 1.43% 8.68%
2002 -0.70% -12.90% -15.44% 5.59%
2001 -14.64% 3.60% -13.91% 7.49%
2000 5.18% -3.05% -0.73% -9.83%
1999 8.50% 2.47% -4.82% 15.50%
1998 13.76% 5.33% -7.43% 22.36%
1997 1.51% 19.43% 6.66% 2.23%
1996 4.49% 3.22% 4.50% 5.77%
1995 6.56% 8.76% 5.47% 0.35%
1994 -5.12% -3.61% 3.30% -2.66%
1993 6.66% 2.74% 6.20% -1.46%
1992 -7.33% -3.18% 1.74% 4.70%
1991 12.68% -3.28% 8.01% 11.78%
1990 -3.51% 10.96% -13.12% 7.06%
1989 8.08% 10.15% 14.45% 2.39%
1988 2.63% 5.95% -3.47% 0.62%
1987 23.13% 3.33% 8.15% -23.15%
1986 20.02% 8.44% -11.59% 4.79%
1985 8.94% 11.02% -6.59% 18.57%
1984 -12.06% -3.58% 7.04% 1.53%
1983 19.47% 17.01% -2.72% -4.39%
1982 -8.11% 4.20% 14.74% 29.60%
1981 7.90% 2.58% -16.31% 9.32%
1980 -8.58% 16.13% 25.82% 10.62%
1979 7.60% 3.68% 14.67% 15.27%
1978 10.47% 20.03% 18.08% -11.97%
1977 -0.71% 12.30% 4.76% 6.97%
1976 25.18% -3.91% -3.52% 10.17%
1975 24.11% 29.40% -8.07% 5.77%
1974 -9.49% -13.62% -19.64% 11.48%
1973 -9.56% -11.79% 15.32% 5.07%
1972 11.35% -2.87% -4.55% 8.33%
1971 1.50% 3.21% -- --

Rank in Category (By Total Return)

YTD 60
1-Month 58
3-Month 71
1-Year 74
3-Year 38
5-Year 33

Load Adjusted Returns

1-Year 35.07%
3-Year 9.44%
5-Year 17.43%
10-Year 15.03%

Performance & Risk

YTD Return 21.76%
5y Average Return 17.12%
Rank in Category (ytd) 60
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.10
Morningstar Risk Rating

Fund Overview

Category Large Growth
Fund Family American Century Investments
Net Assets 5.77B
YTD Return 20.86%
Yield 0.00%
Morningstar Rating
Inception Date Nov 02, 2023

Fund Summary

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 portfolio managers seek securities of companies whose earnings or revenues are not only growing, but growing at an accelerated pace.

Related Tickers