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American Century MCV 12/31/25
                                   FUND INFORMATION        PEER GROUP ANALYSIS - Mid-Cap Value                                     RISK VS. RETURN (5 YEARS*)
                                Fund      American Century Investments  25.0                                                         20.0
                                Family:
                                Fund Inception:   01/13/2005
                                Portfolio  Rawlins,N/Toney,K/Woglom,B   20.0
                                Manager:                                                                                             15.0
                                Total             6,131 Million
                                Assets:
                                                                        15.0
                                Turnover            50.00 %
                                                                                                                                     10.0
                                                                        10.0                                                        Return (%)
                                                                      Return
                               Firm and Management:                     5.0                                                           5.0
                               American Century Investments® is a
                               global investment management firm
                               headquartered in Kansas City,            0.0                                                           0.0
                               Missouri. The firm has been managing
                               money for over 60 years. Founder
                               James E. Stowers Jr.’s vision of         -5.0
                               providing successful investment results                                                               -5.0
                               for clients and philanthropic                                                                            8.0  12.0  16.0  20.0  24.0
                               contributions to medical research is still  -10.0                                                              Risk (Standard Deviation %)
                               within the culture today. President &          Last   Year    1       3      5       7      10
                               CEO, Jonathan Thomas, has served              Quarter  To Date  Year  Years  Years  Years  Years                       Return  Standard
                               American Century Investments® since  ¢ £  American Century MCV  0.05 (85)  8.64 (58)  8.64 (58)  7.58 (91)  8.49 (80)  10.09 (75)  8.77 (65)  Deviation
                               2007.                       ˜   Russell Midcap Value Index  1.42 (63)  11.05 (40)  11.05 (40)  12.27 (33)  9.83 (57)  11.41 (46)  9.78 (40)  ¢ £  American Century MCV  8.49  14.40
                                                                                                                                     ˜   Russell Midcap Value Index  9.83  16.91
                               Investment Strategy:         Median           2.02   9.92    9.92  11.23   10.08   11.18  9.29        ¾  Median        10.08  16.61
                               This strategy seeks to find companies
                               with good returns on capital with
                               relatively low levels of debt, that are
                               cheap based on at least two of five  CALENDAR YEAR RETURNS AND PERCENTILE RANKINGS
                               valuation measures, including P/E,               2024         2023        2022         2021        2020        2019        2018
                               P/FCF, and dividend yield.  They
                               resemble a more relative value  American Century MCV  8.23 (81)  5.90 (94)  -1.67 (12)  22.75 (87)  1.43 (60)  28.55 (36)  -13.25 (48)
                               manager and are not looking for  Russell MCV Idx  13.07 (34)  12.71 (43)  -12.03 (85)  28.34 (55)  4.96 (35)  27.06 (47)  -12.29 (37)
                               turnarounds, but rather companies that  Mid-Cap Value Median  11.33  12.12  -7.89    28.64        2.81       26.69        -13.46
                               have strong competitive positions and a
                               healthy balance sheet.  They have a
                               strict sell discipline at their price target,  ROLLING 3 YEAR RETURN AND PERCENTILE RANKINGS
                               which can result in higher turnover.
                                                                                 3            3           3           3            3           3           3
                                                                                Years        Years       Years       Years        Years       Years       Years
                               Innovest Assessment:                             Ending      Ending       Ending      Ending      Ending       Ending      Ending
                               The fund’s value investment strategy            Dec-2025     Dec-2024    Dec-2023    Dec-2022     Dec-2021    Dec-2020    Dec-2019
                               tends to outperform during slightly  American Century MCV  7.58 (91)  4.07 (69)  8.53 (75)  6.98 (44)  16.97 (74)  4.19 (49)  7.48 (60)
                               rising, stable, or declining markets. This  Russell MCV Idx  12.27 (33)  3.88 (72)  8.36 (76)  5.82 (63)  19.62 (36)  5.37 (33)  8.10 (44)
                               strategy’s value mandate may lag
                               during more growth-oriented markets,  Mid-Cap Value Median  11.23  4.93  9.97        6.49         18.34       4.10         7.89
                               where investors look for quantity not
                               quality.

                                  *If less than 5 years, data is since inception of fund share class.

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