American Century Investments®
Quarterly Portfolio Holdings
One Choice® Blend+ In Retirement Portfolio
April 30, 2026



One Choice Blend+ In Retirement Portfolio - Schedule of Investments
APRIL 30, 2026 (UNAUDITED) 
Shares
Value ($)
UNDERLYING FUNDS(1) — 100.0%
 
 
Domestic Fixed Income Funds — 45.2%
 
 
Avantis Core Fixed Income Fund G Class
2,439,321 20,490,296 
High Income Fund G Class
336,107 2,924,127 
Inflation-Adjusted Bond Fund G Class
316,010 3,390,788 
Short Duration Fund G Class
493,204 4,833,394 
Short Duration Inflation Protection Bond Fund G Class
497,991 5,328,505 
 
36,967,110 
Domestic Equity Funds — 27.9%
 
 
Avantis U.S. Equity Fund G Class
233,729 5,375,764 
Avantis U.S. Small Cap Value Fund G Class
36,709 751,059 
Focused Large Cap Value Fund G Class
692,093 7,633,787 
Growth Fund G Class
106,751 6,567,318 
Heritage Fund G Class
13,974 370,582 
Mid Cap Value Fund G Class
86,510 1,372,911 
Small Cap Growth Fund G Class
28,116 741,144 
 
22,812,565 
International Equity Funds — 12.7%
 
 
Avantis International Equity Fund G Class
311,637 5,263,551 
Focused International Growth Fund G Class
101,021 1,994,148 
Global Real Estate Fund G Class
56,553 840,384 
International Value Fund G Class
189,595 2,307,374 
 
10,405,457 
International Fixed Income Funds — 11.3%
 
 
Emerging Markets Debt Fund G Class
103,796 979,831 
Global Bond Fund G Class
944,017 8,231,830 
 
9,211,661 
Money Market Funds — 2.9%
 
 
U.S. Government Money Market Fund G Class
2,411,591 2,411,591 
TOTAL INVESTMENT SECURITIES — 100.0%
(Cost $77,813,096)
 
81,808,384 
OTHER ASSETS AND LIABILITIES — 0.0%
 
 
TOTAL NET ASSETS — 100.0%
 
$81,808,384 

NOTES TO SCHEDULE OF INVESTMENTS
(1)Investments are funds within the American Century Investments family of funds and are considered affiliated funds.



SUPPLEMENTARY NOTES TO SCHEDULE OF INVESTMENTS

1.Underlying Funds

The fund invests in varying combinations of other mutual funds and exchange-traded funds advised by American Century Investments (the underlying funds). The fund’s asset allocation is intended to diversify investments among stocks, bonds, and short-term investments. The portfolio holdings of each underlying fund are available at americancentury.com, avantisinvestors.com or upon request at 1-800-345-2021.

2.Investment Valuations

The fund determines the fair value of its investments and computes its net asset value (NAV) per share at the close of regular trading (usually 4 p.m. Eastern time) on the New York Stock Exchange (NYSE) on each day the NYSE is open. The value of investments of the fund is determined by American Century Investment Management, Inc. (ACIM) (the investment advisor), as the valuation designee, pursuant to its valuation policies and procedures. The Board of Directors oversees the valuation designee and reviews its valuation policies and procedures at least annually.

Open-end management investment companies are valued at the reported NAV per share. Exchange-traded funds are listed or traded on a domestic securities exchange and are valued at the last reported sales price or at the official closing price as provided by the exchange.

3.Fair Value Measurements

The fund's investments valuation process is based on several considerations and may use multiple inputs to determine the fair value of the investments held by the fund. In conformity with accounting principles generally accepted in the United States of America, the inputs used to determine a valuation are classified into three broad levels.

Level 1 valuation inputs consist of unadjusted quoted prices in an active market for identical investments.

Level 2 valuation inputs consist of direct or indirect observable market data (including quoted prices for comparable investments, evaluations of subsequent market events, interest rates, prepayment speeds, credit risk, etc.). These inputs also consist of quoted prices for identical investments initially expressed in local currencies that are adjusted through translation into U.S. dollars. 

Level 3 valuation inputs consist of unobservable data (including a fund’s own assumptions).

The level classification is based on the lowest level input that is significant to the fair valuation measurement. The valuation inputs are not necessarily an indication of the risks associated with investing in these securities or other financial instruments.

As of period end, the fund's investment securities were classified as Level 1. The Schedule of Investments provides additional information on the fund's portfolio holdings.




4. Affiliated Fund Transactions

A summary of transactions for each underlying fund for the period ended April 30, 2026 follows (amounts in thousands):
Fund/Underlying Fund(1)
Beginning
Value
Purchase
Cost
Sales
Cost
Change in Net
Unrealized
Appreciation
(Depreciation)
Ending
Value
Ending
Shares
Net
Realized
Gain
(Loss)
Distributions
Received(2)
Avantis Core Fixed Income Fund
$14,853 $8,841 $3,141 $(63)$20,490 2,439 $$565 
High Income Fund
2,032 1,145 238 (15)2,924 336 — 128 
Inflation-Adjusted Bond Fund
2,690 1,304 644 41 3,391 316 60 
Short Duration Fund
3,379 1,914 442 (18)4,833 493 (1)143 
Short Duration Inflation Protection Bond Fund
3,370 2,383 461 37 5,329 498 (5)122 
Avantis U.S. Equity Fund
4,245 1,995 1,458 593 5,375 234 94 109 
Avantis U.S. Small Cap Value Fund
428 308 98 113 751 37 36 
Focused Large Cap Value Fund
4,595 3,937 1,006 108 7,634 692 (10)632 
Growth Fund
4,083 4,046 1,392 (170)6,567 107 (72)670 
Heritage Fund
229 196 (49)371 14 — 40 
Mid Cap Value Fund
827 672 110 (16)1,373 87 (2)129 
Small Cap Growth Fund
431 329 54 35 741 28 33 
Avantis International Equity Fund
2,172 3,290 791 593 5,264 312 10 131 
Focused International Growth Fund
1,172 922 133 33 1,994 101 15 
Global Real Estate Fund
499 322 55 74 840 57 24 
International Value Fund
1,383 978 322 268 2,307 190 150 
Emerging Markets Debt Fund
674 361 70 15 980 104 41 
Global Bond Fund
6,756 3,537 1,976 (85)8,232 944 278 
U.S. Government Money Market Fund
— 2,527 115 — 2,412 2,412 — 33 
$53,818 $39,007 $12,511 $1,494 $81,808 9,401 $29 $3,339 
(1)Underlying fund investments represent G Class.
(2)Distributions received includes distributions from net investment income and from capital gains, if any.
This schedule of investments provides information about the fund’s portfolio holdings as of the date on the schedule. It is unaudited, and American Century Investments assumes no obligation to update or supplement the schedule to reflect subsequent changes. More information is available in the fund’s most recent annual or semiannual financial statements.