American Century Investments is a leading investment manager that has been helping investors achieve their financial goals since 1958. Serving investment professionals, institutions, corporations and individual investors, American Century Investments offers a broad range of products across a variety of investment disciplines. Based in Kansas City, Missouri, the company actively manages assets through mutual funds, subadvisory accounts and institutional separate accounts.
Investment Option
Asset Category
Risk/Reward Potential
Objective/Primary Investments
VP Income & Growth, Class I
Large-Cap Value
1 2 3 4 5
Seeks capital growth by investing in common stocks. Income is a secondary objective.
VP Mid Cap Value, Class I
Mid-Cap Value
1 2 3 4 5
Seeks long-term capital growth, with income as a secondary objective. The fund’s managers will invest at least 80% of its assets in securities of what they believe are undervalued companies, whose market capitalization at the time of purchase is within the capitalization range of the Russell 3000® Index, excluding the largest 100 such companies.
The stocks of small- and mid-size companies carry additional risks because they tend to be less predictable and their share prices more volatile than more established companies. Additionally, small companies have business risk, liquidity risk, and are subject to greater stock price fluctuations.
Risk ranking is provided as impersonal information, and not as investment advice. The UNIFI Investment Products Group is not advising you personally concerning the nature, potential, value, or suitability of any particular investment option. The provision of a risk ranking does not constitute a recommendation that any particular investment option is suitable for any specific person. Risk rankings are prepared from sources believed to be reliable, but are not guaranteed, and may not be accurate. Please consult with your own advisers concerning the advisability of selecting particular investment options within your policy.