American Century Strategic Allocation Conservative Investor Class

American Century Strategic Allocation Conservative Investor Class

TWSCX
American Century Strategic Allocation Conservative Investor ClassUS flagNASDAQ
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Business
American Century Strategic Allocation: Conservative Investor Class (TWSCX) is a mutual fund offered by American Century Investments that seeks regular income by diversifying assets among equity securities, bonds, and money market instruments, typically allocating approximately 45% to equities, 45% to bonds, and 10% to cash equivalents; it emphasizes fixed-income and cash holdings within the global moderately conservative allocation category. The fund invests in a mix of U.S. and non-U.S. stocks and bonds, including top holdings such as American Century U.S. Quality Value ETF, U.S. Treasury securities, and other American Century ETFs like Diversified Corporate Bond ETF and Multisector Income ETF; it provides exposure to large-cap blend equities, mid-quality credits, moderate interest-rate sensitivity, and sectors across U.S. bonds (around 36%), U.S. stocks (33%), non-U.S. bonds (14%), and non-U.S. stocks (10%). American Century Investments, headquartered in Kansas City, Missouri, and founded in 1958, manages the fund with a team including portfolio managers Scott Wilson (since 2006), Richard Weiss (since 2010), Radu Gabudean (since 2013), Vidya Rajappa (since 2018), and Brian Garbe (since 2020); the firm operates globally with offices in New York, London, Hong Kong, and Sydney, serving individual investors, financial advisors, institutions, and corporations through various share classes with minimum investments starting at $2,500 for non-retirement accounts. In November 2025, American Century's Avantis Investors formed a strategic alliance with CIBC Asset Management Inc. to launch eight new Avantis CIBC ETFs in Canada, expanding ETF offerings and market presence; earlier in 2025, Avantis achieved a significant growth milestone, reinforcing rapid expansion amid fee waivers extended through November 2026 on underlying funds to reduce the net expense ratio to 0.83%. The fund remains available primarily to U.S. investors with daily pricing, total net assets of approximately $282 million, and a focus on risk-adjusted returns in its Morningstar-rated category.