American Century Investments One Choice Portfolio: Very Aggressive Investor Class (AOVIX) is a diversified investment vehicle targeting aggressive growth through a mix of equities and alternative assets. The fund primarily invests in U.S. and international equity markets, focusing on sectors with high growth potential, such as technology and healthcare.
The fund generates revenue primarily through management fees based on the total assets under management. Its aggressive investment strategy allows it to capture higher returns, appealing to risk-tolerant investors. The fund's performance is driven by its ability to identify high-growth opportunities and manage risk effectively.
Fluctuations in equity market performance, particularly in high-growth sectors like technology
Changes in investor sentiment towards aggressive growth strategies
Regulatory changes impacting asset management fees and structures
Regulatory changes that could impact fund management practices and fee structures
Market volatility that could lead to significant capital outflows during downturns
Increased competition from low-cost index funds and ETFs that may attract risk-averse investors
Potential for underperformance relative to peers, leading to loss of investor confidence
Limited financial leverage, as the fund primarily relies on management fees for revenue
Potential liquidity risks during periods of high market volatility
high - The fund's performance is closely tied to the economic cycle, as aggressive growth strategies tend to perform better during periods of economic expansion.
Rising interest rates can negatively impact equity valuations, which may lead to reduced demand for aggressive growth funds as investors seek safer assets.
minimal - The fund does not rely heavily on credit markets for its operations.
growth - The fund appeals to investors seeking high returns and willing to accept higher volatility.
high - The fund's focus on aggressive growth strategies results in higher historical volatility.