American Century International
Objective And StrategyObjective
The Fund invests primarily in fast growing, mid- to large-cap stocks in developed markets outside the U.S. Not constrained by index or country weightings, providing the potential to outperform the fund's benchmark. Strict liquidity guidelines and diversification across sectors, industries and countries enables the management team to control risk.
* This portfolio invests in securities of foreign issuers which involves risks not typically associated with domestic issuers, including currency fluctuations and the possibility of political and economic instability. Emerging markets involve risks in addition to those generally associated with foreign securities, because political and economic structures in many emerging markets may be undergoing significant evolution and rapid development.