0000872825-24-000033.txt : 20240725 0000872825-24-000033.hdr.sgml : 20240725 20240725110402 ACCESSION NUMBER: 0000872825-24-000033 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 21 CONFORMED PERIOD OF REPORT: 20240531 FILED AS OF DATE: 20240725 DATE AS OF CHANGE: 20240725 EFFECTIVENESS DATE: 20240725 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN CENTURY WORLD MUTUAL FUNDS INC CENTRAL INDEX KEY: 0000872825 ORGANIZATION NAME: IRS NUMBER: 431567889 STATE OF INCORPORATION: MD FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-06247 FILM NUMBER: 241140462 BUSINESS ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 BUSINESS PHONE: 816-531-5575 MAIL ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 FORMER COMPANY: FORMER CONFORMED NAME: TWENTIETH CENTURY WORLD INVESTORS INC DATE OF NAME CHANGE: 19920703 0000872825 S000006602 EMERGING MARKETS FUND C000018021 INVESTOR CLASS TWMIX C000018022 A CLASS AEMMX C000018023 I CLASS AMKIX C000018024 C CLASS ACECX C000055528 R CLASS AEMRX C000131622 R6 CLASS AEDMX C000189777 Y CLASS AEYMX C000189779 R5 CLASS AEGMX C000236495 G CLASS ACADX 0000872825 S000006603 FOCUSED GLOBAL GROWTH FUND C000018025 INVESTOR CLASS TWGGX C000018026 A CLASS AGGRX C000018027 I CLASS AGGIX C000018030 C CLASS AGLCX C000018031 R CLASS AGORX C000131623 R6 CLASS AGGDX C000189780 Y CLASS AGYGX C000189781 R5 CLASS AGFGX 0000872825 S000006605 INTERNATIONAL GROWTH FUND C000018035 INVESTOR CLASS TWIEX C000018036 A CLASS TWGAX C000018037 I CLASS TGRIX C000018040 C CLASS AIWCX C000018041 R CLASS ATGRX C000131624 R6 CLASS ATGDX C000189783 Y CLASS ATYGX C000189784 R5 CLASS ATGGX C000236496 G CLASS ACAEX 0000872825 S000006606 INTERNATIONAL OPPORTUNITIES FUND C000018042 INVESTOR CLASS AIOIX C000018043 I CLASS ACIOX C000088079 A CLASS AIVOX C000088080 C CLASS AIOCX C000088081 R CLASS AIORX 0000872825 S000006610 INTERNATIONAL VALUE FUND C000018052 INVESTOR CLASS ACEVX C000018053 I CLASS ACVUX C000018054 A CLASS MEQAX C000018056 C CLASS ACCOX C000018057 R CLASS ACVRX C000131625 R6 CLASS ACVDX C000236497 G CLASS ACAFX 0000872825 S000048405 INTERNATIONAL SMALL-MID CAP FUND C000152811 INVESTOR CLASS ANTSX C000152812 G CLASS ANTMX 0000872825 S000053101 FOCUSED INTERNATIONAL GROWTH FUND C000167113 INVESTOR CLASS AFCNX C000167114 I CLASS AFCSX C000167115 A CLASS AFCLX C000167116 C CLASS AFCHX C000167117 R CLASS AFCWX C000167118 R6 CLASS AFCMX C000212502 G CLASS AFCGX 0000872825 S000053102 EMERGING MARKETS SMALL CAP FUND C000167119 C CLASS AECHX C000167120 R CLASS AECMX C000167121 R6 CLASS AECTX C000167122 INVESTOR CLASS AECVX C000167123 I CLASS AECSX C000167124 A CLASS AECLX 0000872825 S000053103 GLOBAL SMALL CAP FUND C000167125 INVESTOR CLASS AGCVX C000167126 I CLASS AGCSX C000167127 A CLASS AGCLX C000167128 C CLASS AGCHX C000167129 R CLASS AGCWX C000167130 R6 CLASS AGCTX 0000872825 S000063513 NON-U.S. INTRINSIC VALUE FUND C000205778 INVESTOR CLASS ANTUX C000205779 G CLASS ANTGX C000216230 R6 CLASS ANVMX C000216231 I CLASS ANVHX C000216232 A CLASS ANVLX C000216233 R CLASS ANVRX N-CSRS 1 ck0000872825-20240531.htm N-CSRS ck0000872825-20240531
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED
MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number811-06247
AMERICAN CENTURY WORLD MUTUAL FUNDS, INC.
(Exact name of registrant as specified in charter)
4500 MAIN STREET, KANSAS CITY, MISSOURI64111
(Address of principal executive offices)(Zip Code)
JOHN PAK
4500 MAIN STREET, KANSAS CITY, MISSOURI 64111
(Name and address of agent for service)
Registrant’s telephone number, including area code:816-531-5575
Date of fiscal year end:11-30
Date of reporting period:05-31-2024



ITEM 1. REPORTS TO STOCKHOLDERS.

(a)







SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund              ACI logo.jpg

Investor Class (TWMIX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$671.28%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086885)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund              ACI logo.jpg

I Class (AMKIX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$571.08%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086877)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund              ACI logo.jpg

Y Class (AEYMX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Y Class$490.93%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A885)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund              ACI logo.jpg

A Class (AEMMX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$801.53%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086851)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund                  ACI logo.jpg

C Class (ACECX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1192.28%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086679)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund              ACI logo.jpg

R Class (AEMRX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$931.78%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086489)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund                  ACI logo.jpg

R5 Class (AEGMX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R5 Class$571.08%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A802)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund                  ACI logo.jpg

R6 Class (AEDMX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$490.93%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086422)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Fund                   ACI logo.jpg

G Class (ACADX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.



What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$20.03%


Fund Statistics
Net Assets$1,950,750,990
Management Fees (dollars paid during the reporting period)$6,874,889
Portfolio Turnover Rate13 %
Total Number of Portfolio Holdings86


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A729)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Small Cap Fund          ACI logo.jpg

Investor Class (AECVX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.



What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$731.39%


Fund Statistics
Net Assets$20,163,724
Management Fees (dollars paid during the reporting period)$108,290
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings103


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086281)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Small Cap Fund      ACI logo.jpg

I Class (AECSX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$621.19%


Fund Statistics
Net Assets$20,163,724
Management Fees (dollars paid during the reporting period)$108,290
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings103


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086273)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Small Cap Fund          ACI logo.jpg

A Class (AECLX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$861.64%


Fund Statistics
Net Assets$20,163,724
Management Fees (dollars paid during the reporting period)$108,290
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings103


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086265)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Small Cap Fund          ACI logo.jpg

C Class (AECHX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1242.39%


Fund Statistics
Net Assets$20,163,724
Management Fees (dollars paid during the reporting period)$108,290
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings103


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086257)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Small Cap Fund          ACI logo.jpg

R Class (AECMX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$981.89%


Fund Statistics
Net Assets$20,163,724
Management Fees (dollars paid during the reporting period)$108,290
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings103


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086240)



SEMIANNUAL SHAREHOLDER REPORT

Emerging Markets Small Cap Fund          ACI logo.jpg

R6 Class (AECTX)
May 31, 2024

This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$541.04%


Fund Statistics
Net Assets$20,163,724
Management Fees (dollars paid during the reporting period)$108,290
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings103


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086232)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

Investor Class (TWGGX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$581.08%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086844)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

I Class (AGGIX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.



What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$470.88%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086836)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

Y Class (AGYGX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Y Class$390.73%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A844)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

A Class (AGGRX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.



What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$711.33%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086828)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

C Class (AGLCX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1112.08%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086695)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

R Class (AGORX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$841.58%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086620)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

R5 Class (AGFGX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R5 Class$470.88%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A869)



SEMIANNUAL SHAREHOLDER REPORT

Focused Global Growth Fund               ACI logo.jpg

R6 Class (AGGDX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$390.73%


Fund Statistics
Net Assets$622,292,285
Management Fees (dollars paid during the reporting period)$3,048,723
Portfolio Turnover Rate29 %
Total Number of Portfolio Holdings35


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%



For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086414)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

Investor Class (AFCNX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$571.09%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086224)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

I Class (AFCSX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$470.89%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086216)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

A Class (AFCLX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$701.34%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086190)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

C Class (AFCHX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1102.09%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086182)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

R Class (AFCWX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$841.59%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086174)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

R6 Class (AFCMX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$390.74%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086166)



SEMIANNUAL SHAREHOLDER REPORT

Focused International Growth Fund           ACI logo.jpg

G Class (AFCGX)
May 31, 2024

This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$00.00%


Fund Statistics
Net Assets$93,906,487
Management Fees (dollars paid during the reporting period)$241,323
Portfolio Turnover Rate47 %
Total Number of Portfolio Holdings47


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A794)



SEMIANNUAL SHAREHOLDER REPORT

Global Small Cap Fund                    ACI logo.jpg

Investor Class (AGCVX)
May 31, 2024

This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$601.11%


Fund Statistics
Net Assets$82,757,966
Management Fees (dollars paid during the reporting period)$400,566
Portfolio Turnover Rate58 %
Total Number of Portfolio Holdings136

Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A109)



SEMIANNUAL SHAREHOLDER REPORT

Global Small Cap Fund                    ACI logo.jpg

I Class (AGCSX)
May 31, 2024

This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$490.91%


Fund Statistics
Net Assets$82,757,966
Management Fees (dollars paid during the reporting period)$400,566
Portfolio Turnover Rate58 %
Total Number of Portfolio Holdings136


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A208)



SEMIANNUAL SHAREHOLDER REPORT

Global Small Cap Fund                    ACI logo.jpg

A Class (AGCLX)
May 31, 2024

This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$731.36%


Fund Statistics
Net Assets$82,757,966
Management Fees (dollars paid during the reporting period)$400,566
Portfolio Turnover Rate58 %
Total Number of Portfolio Holdings136


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A307)



SEMIANNUAL SHAREHOLDER REPORT

Global Small Cap Fund                    ACI logo.jpg

C Class (AGCHX)
May 31, 2024

This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1132.11%


Fund Statistics
Net Assets$82,757,966
Management Fees (dollars paid during the reporting period)$400,566
Portfolio Turnover Rate58 %
Total Number of Portfolio Holdings136


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A406)



SEMIANNUAL SHAREHOLDER REPORT

Global Small Cap Fund                    ACI logo.jpg

R Class (AGCWX)
May 31, 2024

This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$861.61%


Fund Statistics
Net Assets$82,757,966
Management Fees (dollars paid during the reporting period)$400,566
Portfolio Turnover Rate58 %
Total Number of Portfolio Holdings136


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A505)



SEMIANNUAL SHAREHOLDER REPORT

Global Small Cap Fund                    ACI logo.jpg

R6 Class (AGCTX)
May 31, 2024

This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$410.76%


Fund Statistics
Net Assets$82,757,966
Management Fees (dollars paid during the reporting period)$400,566
Portfolio Turnover Rate58 %
Total Number of Portfolio Holdings136


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A604)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

Investor Class (TWIEX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$661.25%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086109)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

I Class (TGRIX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$551.05%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086208)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

Y Class (ATYGX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Y Class$480.90%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A703)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

A Class (TWGAX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$791.50%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086406)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

C Class (AIWCX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1182.25%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086687)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

R Class (ATGRX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$921.75%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086646)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

R5 Class (ATGGX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R5 Class$551.05%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A810)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

R6 Class (ATGDX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$480.90%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086398)



SEMIANNUAL SHAREHOLDER REPORT

International Growth Fund              ACI logo.jpg

G Class (ACAEX)
May 31, 2024

This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$10.01%


Fund Statistics
Net Assets$2,928,263,267
Management Fees (dollars paid during the reporting period)$7,806,415
Portfolio Turnover Rate32 %
Total Number of Portfolio Holdings93


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A737)



SEMIANNUAL SHAREHOLDER REPORT

International Opportunities Fund              ACI logo.jpg

Investor Class (AIOIX)
May 31, 2024

This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$821.56%


Fund Statistics
Net Assets$442,882,044
Management Fees (dollars paid during the reporting period)$3,335,804
Portfolio Turnover Rate61 %
Total Number of Portfolio Holdings135


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086745)



SEMIANNUAL SHAREHOLDER REPORT

International Opportunities Fund              ACI logo.jpg

I Class (ACIOX)
May 31, 2024

This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$721.36%


Fund Statistics
Net Assets$442,882,044
Management Fees (dollars paid during the reporting period)$3,335,804
Portfolio Turnover Rate61 %
Total Number of Portfolio Holdings135


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086737)



SEMIANNUAL SHAREHOLDER REPORT

International Opportunities Fund              ACI logo.jpg

A Class (AIVOX)
May 31, 2024

This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$951.81%


Fund Statistics
Net Assets$442,882,044
Management Fees (dollars paid during the reporting period)$3,335,804
Portfolio Turnover Rate61 %
Total Number of Portfolio Holdings135


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086455)



SEMIANNUAL SHAREHOLDER REPORT

International Opportunities Fund              ACI logo.jpg

C Class (AIOCX)
May 31, 2024

This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1342.56%


Fund Statistics
Net Assets$442,882,044
Management Fees (dollars paid during the reporting period)$3,335,804
Portfolio Turnover Rate61 %
Total Number of Portfolio Holdings135


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086448)



SEMIANNUAL SHAREHOLDER REPORT

International Opportunities Fund              ACI logo.jpg

R Class (AIORX)
May 31, 2024

This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$1082.06%


Fund Statistics
Net Assets$442,882,044
Management Fees (dollars paid during the reporting period)$3,335,804
Portfolio Turnover Rate61 %
Total Number of Portfolio Holdings135


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086430)



SEMIANNUAL SHAREHOLDER REPORT

International Small-Mid Cap Fund          ACI logo.jpg

Investor Class (ANTSX)
May 31, 2024

This semi-annual shareholder report contains important information about International Small-Mid Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$781.44%


Fund Statistics
Net Assets$564,397,983
Management Fees (dollars paid during the reporting period)$638,567
Portfolio Turnover Rate55 %
Total Number of Portfolio Holdings118


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.1%Japan26.4%
Exchange-Traded Funds0.0%United Kingdom13.0%
Short-Term Investments0.5%Australia9.9%
Other Assets and Liabilities0.4%Canada6.9%
 Spain5.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086323)



SEMIANNUAL SHAREHOLDER REPORT

International Small-Mid Cap Fund              ACI logo.jpg

G Class (ANTMX)
May 31, 2024

This semi-annual shareholder report contains important information about International Small-Mid Cap Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$10.01%


Fund Statistics
Net Assets$564,397,983
Management Fees (dollars paid during the reporting period)$638,567
Portfolio Turnover Rate55 %
Total Number of Portfolio Holdings118


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.1%Japan26.4%
Exchange-Traded Funds0.0%United Kingdom13.0%
Short-Term Investments0.5%Australia9.9%
Other Assets and Liabilities0.4%Canada6.9%
 Spain5.8%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086315)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

Investor Class (ACEVX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$601.11%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086588)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

I Class (ACVUX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$490.91%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%

    
For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086570)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

A Class (MEQAX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$731.36%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086562)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

C Class (ACCOX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1132.11%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086547)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

R Class (ACVRX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$861.61%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086539)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

R6 Class (ACVDX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$410.76%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086380)



SEMIANNUAL SHAREHOLDER REPORT

International Value Fund                  ACI logo.jpg

G Class (ACAFX)
May 31, 2024

This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$10.01%


Fund Statistics
Net Assets$1,555,231,363
Management Fees (dollars paid during the reporting period)$1,326,950
Portfolio Turnover Rate34 %
Total Number of Portfolio Holdings169


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A745)



SEMIANNUAL SHAREHOLDER REPORT

Non-U.S. Intrinsic Value Fund              ACI logo.jpg

Investor Class (ANTUX)
May 31, 2024

This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$631.19%


Fund Statistics
Net Assets$608,015,814
Management Fees (dollars paid during the reporting period)$620,847
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings53


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086158)



SEMIANNUAL SHAREHOLDER REPORT

Non-U.S. Intrinsic Value Fund              ACI logo.jpg

I Class (ANVHX)
May 31, 2024

This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$530.99%


Fund Statistics
Net Assets$608,015,814
Management Fees (dollars paid during the reporting period)$620,847
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings53


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A786)



SEMIANNUAL SHAREHOLDER REPORT

Non-U.S. Intrinsic Value Fund              ACI logo.jpg

A Class (ANVLX)
May 31, 2024

This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$771.44%


Fund Statistics
Net Assets$608,015,814
Management Fees (dollars paid during the reporting period)$620,847
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings53


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A778)



SEMIANNUAL SHAREHOLDER REPORT

Non-U.S. Intrinsic Value Fund              ACI logo.jpg

R Class (ANVRX)
May 31, 2024

This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$901.69%


Fund Statistics
Net Assets$608,015,814
Management Fees (dollars paid during the reporting period)$620,847
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings53


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A760)



SEMIANNUAL SHAREHOLDER REPORT

Non-U.S. Intrinsic Value Fund              ACI logo.jpg

R6 Class (ANVMX)
May 31, 2024

This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$450.84%


Fund Statistics
Net Assets$608,015,814
Management Fees (dollars paid during the reporting period)$620,847
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings53


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-2509A752)



SEMIANNUAL SHAREHOLDER REPORT

Non-U.S. Intrinsic Value Fund              ACI logo.jpg

G Class (ANTGX)
May 31, 2024

This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024. You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.


What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$20.04%


Fund Statistics
Net Assets$608,015,814
Management Fees (dollars paid during the reporting period)$620,847
Portfolio Turnover Rate30 %
Total Number of Portfolio Holdings53


Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%


For additional information about the fund, including its Prospectus, Statement of Additional Information, financial statements, holdings and proxy voting information, scan the QR code or visit americancentury.com/docs.
QR ACI Docs.jpg
American Century Investment Services, Inc., Distributor
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
ACI logo.jpg
(S-25086141)



ITEM 2. CODE OF ETHICS.

Not applicable for semiannual report filings.


ITEM 3. AUDIT COMMITTEE FINANCIAL EXPERT.

Not applicable for semiannual report filings.


ITEM 4. PRINCIPAL ACCOUNTANT FEES AND SERVICES.

Not applicable for semiannual report filings.


ITEM 5. AUDIT COMMITTEE OF LISTED REGISTRANTS.

Not applicable for semiannual report filings.


ITEM 6. INVESTMENTS.

(a) The schedule of investments is included as part of the report to stockholders filed under Item 7 of this Form.

(b) Not applicable.


ITEM 7. FINANCIAL STATEMENTS AND FINANCIAL HIGHLIGHTS FOR OPEN-END MANAGEMENT INVESTMENT COMPANIES.

(a)




    


acihorizblkd50.jpg

Semiannual Financial Statements and Other Information
May 31, 2024
Emerging Markets Fund
Investor Class (TWMIX)
I Class (AMKIX)
Y Class (AEYMX)
A Class (AEMMX)
C Class (ACECX)
R Class (AEMRX)
R5 Class (AEGMX)
R6 Class (AEDMX)
G Class (ACADX)



























Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights





































Schedule of Investments

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 99.5%
  
Brazil — 6.3%
  
Banco BTG Pactual SA
3,089,100 $18,637,317 
Embraer SA, ADR(1)
1,055,068 29,320,340 
Hapvida Participacoes e Investimentos SA(1)
14,785,355 11,150,470 
NU Holdings Ltd., Class A(1)
2,054,071 24,402,363 
PRIO SA
1,071,200 8,474,290 
Sendas Distribuidora SA(1)
3,810,300 8,896,433 
Vale SA, ADR
867,032 10,447,735 
WEG SA
1,674,200 12,042,609 
 123,371,557 
China — 27.0%
  
Aier Eye Hospital Group Co. Ltd., Class A
4,365,890 7,274,993 
Alibaba Group Holding Ltd., ADR
228,767 17,921,607 
BYD Co. Ltd., H Shares
1,123,500 31,524,579 
China Construction Bank Corp., H Shares
62,689,000 44,491,891 
China Railway Group Ltd., H Shares
18,300,000 9,860,406 
China State Construction International Holdings Ltd.
19,346,000 25,614,204 
Contemporary Amperex Technology Co. Ltd., Class A
581,560 15,790,576 
ENN Energy Holdings Ltd.
1,952,800 18,040,000 
H World Group Ltd., ADR
321,717 11,977,524 
Industrial & Commercial Bank of China Ltd., H Shares
33,521,740 18,991,323 
Kweichow Moutai Co. Ltd., A Shares
146,810 33,304,054 
Meituan, Class B(1)
1,444,340 19,680,832 
NetEase, Inc.
1,733,600 30,829,939 
New Oriental Education & Technology Group, Inc., ADR(1)(2)
239,283 19,125,890 
Ping An Insurance Group Co. of China Ltd., H Shares
3,049,500 15,510,563 
Shenzhou International Group Holdings Ltd.
1,805,200 18,182,868 
Sungrow Power Supply Co. Ltd., A Shares
835,799 11,354,407 
Tencent Holdings Ltd.
2,386,300 110,708,954 
Trip.com Group Ltd.(1)
813,400 41,572,099 
Weichai Power Co. Ltd., H Shares
5,346,000 9,603,175 
Yantai Jereh Oilfield Services Group Co. Ltd., A Shares
3,192,929 15,382,526 
 526,742,410 
Hong Kong — 0.9%
  
Sands China Ltd.(1)
6,974,000 16,714,370 
India — 17.7%
  
Apollo Hospitals Enterprise Ltd.
338,488 23,716,545 
Bajaj Auto Ltd.
250,020 27,229,926 
DLF Ltd.
1,123,059 11,000,705 
Godrej Consumer Products Ltd.
1,443,769 22,019,145 
HDFC Bank Ltd.
867,319 15,931,643 
ICICI Bank Ltd., ADR
2,088,358 55,842,693 
Infosys Ltd., ADR(2)
594,469 9,957,356 
InterGlobe Aviation Ltd.(1)
313,690 15,742,404 
MakeMyTrip Ltd.(1)
406,568 30,732,475 
Reliance Industries Ltd.
1,655,942 56,808,553 
Sun Pharmaceutical Industries Ltd.
1,556,580 27,261,067 
Varun Beverages Ltd.
1,398,589 23,930,112 
2


SharesValue
Zomato Ltd.(1)
11,349,919 $24,423,904 
 344,596,528 
Indonesia — 0.6%
Bank Rakyat Indonesia Persero Tbk. PT
45,326,900 12,149,386 
Malaysia — 0.8%
CIMB Group Holdings Bhd.
11,113,709 16,181,480 
Mexico — 2.8%
Cemex SAB de CV, ADR(1)
3,279,686 24,696,035 
Fomento Economico Mexicano SAB de CV, ADR
129,243 14,813,833 
Grupo Financiero Banorte SAB de CV, Class O
1,582,948 15,036,910 
54,546,778 
Peru — 0.9%
Credicorp Ltd.
108,625 17,957,885 
Philippines — 0.5%
Ayala Land, Inc.
20,581,480 9,255,517 
Russia(3) — 0.0%
Novatek PJSC
1,100,400 
Saudi Arabia — 3.8%
Al Rajhi Bank
681,065 13,873,083 
Alinma Bank
1,171,026 9,570,011 
Arabian Contracting Services Co.
249,118 13,474,571 
Elm Co.
87,906 18,770,564 
Saudi Arabian Oil Co.
2,326,709 17,987,250 
73,675,479 
South Africa — 3.2%
Capitec Bank Holdings Ltd.
152,939 17,356,847 
Naspers Ltd., N Shares
160,517 31,819,772 
Shoprite Holdings Ltd.
973,672 12,945,622 
62,122,241 
South Korea — 11.5%
Hyundai Motor Co.
73,950 13,570,106 
KB Financial Group, Inc.
384,075 22,080,583 
NAVER Corp.
74,736 9,252,240 
Samsung Biologics Co. Ltd.(1)
17,800 9,390,311 
Samsung Electro-Mechanics Co. Ltd.
66,173 7,432,422 
Samsung Electronics Co. Ltd.
1,980,890 104,953,100 
SK Hynix, Inc.
416,882 57,441,438 
224,120,200 
Taiwan — 16.7%
Asustek Computer, Inc.
715,000 11,383,055 
Chailease Holding Co. Ltd.
2,090,112 9,843,734 
Delta Electronics, Inc.
1,337,000 13,472,287 
E Ink Holdings, Inc.
1,962,000 13,342,678 
E.Sun Financial Holding Co. Ltd.
14,758,624 13,051,261 
MediaTek, Inc.
555,000 21,253,211 
Nanya Technology Corp.
5,566,000 11,133,683 
Taiwan Semiconductor Manufacturing Co. Ltd.
7,904,713 202,423,347 
Wiwynn Corp.
384,000 29,389,236 
325,292,492 
Thailand — 2.7%
CP ALL PCL
12,607,700 19,635,575 
Minor International PCL
18,402,700 15,774,051 
PTT Exploration & Production PCL
4,138,300 17,390,757 
52,800,383 
3


SharesValue
Turkey — 1.9%
BIM Birlesik Magazalar AS
2,483,101 $36,982,877 
United Arab Emirates — 1.3%
Emaar Properties PJSC
12,637,408 26,357,053 
United States — 0.9%
MercadoLibre, Inc.(1)
10,503 18,123,767 
TOTAL COMMON STOCKS
(Cost $1,434,916,940)
1,940,990,404 
SHORT-TERM INVESTMENTS — 1.3%
Money Market Funds — 0.5%
State Street Institutional U.S. Government Money Market Fund, Premier Class
68,251 68,251 
State Street Navigator Securities Lending Government Money Market Portfolio(4)
10,870,658 10,870,658 
10,938,909 
Repurchase Agreements — 0.8%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $1,052,087), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $1,024,301)
1,023,850 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 2.75%, 4/30/27, valued at $10,354,046), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $10,155,492)
10,151,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 1.00% - 3.625%, 10/31/26 - 2/15/53, valued at $4,184,903), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $4,102,811)
4,101,000 
15,275,850 
TOTAL SHORT-TERM INVESTMENTS
(Cost $26,214,759)
26,214,759 
TOTAL INVESTMENT SECURITIES — 100.8%
(Cost $1,461,131,699)
1,967,205,163 
OTHER ASSETS AND LIABILITIES — (0.8)%
(16,454,173)
TOTAL NET ASSETS — 100.0%
$1,950,750,990 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Information Technology25.7%
Financials17.5%
Consumer Discretionary17.4%
Consumer Staples8.8%
Communication Services8.4%
Industrials6.6%
Energy6.0%
Health Care4.0%
Real Estate2.4%
Materials1.8%
Utilities0.9%
Short-Term Investments1.3%
Other Assets and Liabilities(0.8)%

NOTES TO SCHEDULE OF INVESTMENTS
ADRAmerican Depositary Receipt
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $10,559,708. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(3)Securities may be subject to resale, redemption or transferability restrictions.
(4)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $10,870,658.


See Notes to Financial Statements.
4


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $1,450,261,041) — including $10,559,708 of securities on loan$1,956,334,505 
Investment made with cash collateral received for securities on loan, at value (cost of $10,870,658)10,870,658 
Total investment securities, at value (cost of $1,461,131,699)1,967,205,163 
Foreign currency holdings, at value (cost of $1,058,490)1,058,059 
Receivable for capital shares sold1,633,119 
Dividends and interest receivable1,638,231 
Securities lending receivable7,348 
Other assets200,603 
1,971,742,523 
Liabilities
Payable for collateral received for securities on loan10,870,658 
Payable for capital shares redeemed2,250,338 
Accrued management fees1,087,237 
Distribution and service fees payable16,701 
Accrued foreign taxes6,766,599 
20,991,533 
Net Assets$1,950,750,990 
Net Assets Consist of:
Capital (par value and paid-in surplus)$2,279,342,718 
Distributable earnings (loss)(328,591,728)
$1,950,750,990 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$314,991,91729,733,819$10.59
I Class, $0.01 Par Value$433,520,59439,842,075$10.88
Y Class, $0.01 Par Value$40,977,0633,759,155$10.90
A Class, $0.01 Par Value$36,096,5043,538,114$10.20
C Class, $0.01 Par Value$7,191,246782,540$9.19
R Class, $0.01 Par Value$5,646,869551,071$10.25
R5 Class, $0.01 Par Value$1,244,990114,333$10.89
R6 Class, $0.01 Par Value$325,697,39229,922,968$10.88
G Class, $0.01 Par Value$785,384,41571,613,977$10.97
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $10.82 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
5


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $1,742,945)$17,539,037 
Interest222,215 
Securities lending, net12,502 
17,773,754 
Expenses:
Management fees10,423,306 
Distribution and service fees:
A Class46,965 
C Class40,321 
R Class13,569 
Directors' fees and expenses30,237 
Other expenses233,527 
10,787,925 
Fees waived - G Class(3,548,417)
7,239,508 
Net investment income (loss)10,534,246 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions (net of foreign tax expenses paid (refunded) of $2,457,553)50,336,943 
Foreign currency translation transactions(569,739)
49,767,204 
Change in net unrealized appreciation (depreciation) on:
Investments (includes (increase) decrease in accrued foreign taxes of $(3,470,651))138,320,518 
Translation of assets and liabilities in foreign currencies6,547 
138,327,065 
Net realized and unrealized gain (loss)188,094,269 
Net Increase (Decrease) in Net Assets Resulting from Operations$198,628,515 


See Notes to Financial Statements.
6


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$10,534,246 $38,370,735 
Net realized gain (loss)49,767,204 (275,108,189)
Change in net unrealized appreciation (depreciation)138,327,065 243,204,662 
Net increase (decrease) in net assets resulting from operations198,628,515 6,467,208 
Distributions to Shareholders
From earnings:
Investor Class(4,361,760)(7,908,718)
I Class(7,257,740)(17,845,842)
Y Class(551,472)(843,213)
A Class(430,427)(1,076,143)
C Class(32,481)(214,857)
R Class(44,517)(112,728)
R5 Class(139,050)(237,310)
R6 Class(7,344,369)(15,916,126)
G Class(18,625,613)(20,631,687)
Decrease in net assets from distributions(38,787,429)(64,786,624)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(344,391,150)(542,582,034)
Net increase (decrease) in net assets(184,550,064)(600,901,450)
Net Assets
Beginning of period2,135,301,054 2,736,202,504 
End of period$1,950,750,990 $2,135,301,054 


See Notes to Financial Statements.
7


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. Emerging Markets Fund (the fund) is one fund in a series issued by the corporation. The fund’s investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, Y Class, A Class, C Class, R Class, R5 Class, R6 Class and G Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge. 

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes. Certain countries impose taxes on realized gains on the sale of securities registered in their country. The fund records the foreign tax expense, if any, on an accrual basis. The foreign tax expense on realized gains and unrealized appreciation reduces the net realized gain (loss) on investment transactions and net unrealized appreciation (depreciation) on investments, respectively.

8


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 days
Between
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$10,870,658 — — — $10,870,658 
Gross amount of recognized liabilities for securities lending transactions$10,870,658 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

9


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC. Various funds issued by American Century Asset Allocation Portfolios, Inc. own, in aggregate, 25% of the shares of the fund. Related parties do not invest in the fund for the purpose of exercising management or control.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class.  The investment advisor agreed to waive the G Class's management fee in its entirety. The investment advisor expects this waiver to remain in effect permanently and cannot terminate it without the approval of the Board of Directors.

The annual management fee for each class is as follows:
Investor ClassI ClassY ClassA ClassC ClassR ClassR5 ClassR6 ClassG Class
1.25%1.05%0.90%1.25%1.25%1.25%1.05%0.90%
0.00%(1)
(1)Annual management fee before waiver was 0.90%.

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses — The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. There were no interfund transactions during the period.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $279,403,654 and $663,546,585, respectively.

10


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized1,000,000,000 1,000,000,000 
Sold3,143,557 $30,976,926 3,656,054 $36,283,668 
Issued in reinvestment of distributions432,357 4,258,569 800,057 7,704,547 
Redeemed(5,061,614)(52,356,152)(9,949,067)(98,170,889)
(1,485,700)(17,120,657)(5,492,956)(54,182,674)
I Class/Shares Authorized1,400,000,000 1,400,000,000 
Sold4,556,751 47,544,167 18,371,410 186,971,811 
Issued in reinvestment of distributions653,946 6,611,393 1,688,115 16,678,573 
Redeemed(15,703,624)(163,615,809)(50,178,089)(504,979,214)
(10,492,927)(109,460,249)(30,118,564)(301,328,830)
Y Class/Shares Authorized40,000,000 40,000,000 
Sold724,929 7,511,510 1,864,558 18,995,855 
Issued in reinvestment of distributions53,344 539,843 82,397 814,907 
Redeemed(305,948)(3,200,144)(2,331,774)(23,804,303)
472,325 4,851,209 (384,819)(3,993,541)
A Class/Shares Authorized100,000,000 100,000,000 
Sold412,268 4,069,973 1,531,564 14,418,387 
Issued in reinvestment of distributions31,114 295,579 62,812 583,523 
Redeemed(1,000,357)(9,793,620)(2,816,817)(26,851,961)
(556,975)(5,428,068)(1,222,441)(11,850,051)
C Class/Shares Authorized45,000,000 45,000,000 
Sold43,957 386,675 72,259 620,177 
Issued in reinvestment of distributions3,353 28,771 22,066 185,358 
Redeemed(320,095)(2,838,314)(557,756)(4,757,802)
(272,785)(2,422,868)(463,431)(3,952,267)
R Class/Shares Authorized25,000,000 25,000,000 
Sold84,602 850,447 185,739 1,770,769 
Issued in reinvestment of distributions4,661 44,517 12,069 112,728 
Redeemed(99,458)(976,748)(262,324)(2,443,366)
(10,195)(81,784)(64,516)(559,869)
R5 Class/Shares Authorized25,000,000 25,000,000 
Sold46,427 481,314 206,002 2,077,788 
Issued in reinvestment of distributions13,723 138,877 23,973 237,095 
Redeemed(863,170)(9,175,783)(352,740)(3,615,826)
(803,020)(8,555,592)(122,765)(1,300,943)
R6 Class/Shares Authorized750,000,000 750,000,000 
Sold5,332,512 55,750,783 15,693,581 158,454,648 
Issued in reinvestment of distributions709,900 7,177,086 1,563,411 15,446,501 
Redeemed(21,821,871)(228,581,194)(38,268,284)(385,099,436)
(15,779,459)(165,653,325)(21,011,292)(211,198,287)
G Class/Shares Authorized750,000,000 750,000,000 
Sold4,767,969 48,768,059 10,079,379 101,110,315 
Issued in reinvestment of distributions1,836,846 18,625,613 2,081,906 20,631,687 
Redeemed(10,096,403)(107,913,488)(7,434,199)(75,957,574)
(3,491,588)(40,519,816)4,727,086 45,784,428 
Net increase (decrease)(32,420,324)$(344,391,150)(54,153,698)$(542,582,034)

11


6. 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.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Brazil$64,170,438 $59,201,119 — 
China49,025,021 477,717,389 — 
India96,532,524 248,064,004 — 
Mexico39,509,868 15,036,910 — 
Peru17,957,885 — — 
United States18,123,767 — — 
Other Countries— 855,651,479 — 
Short-Term Investments10,938,909 15,275,850 — 
$296,258,412 $1,670,946,751 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$1,466,251,049 
Gross tax appreciation of investments$605,603,093 
Gross tax depreciation of investments(104,648,979)
Net tax appreciation (depreciation) of investments$500,954,114 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(671,425,496) and accumulated long-term capital losses of $(188,374,163), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
12


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Distributions
From
Net
Investment
Income
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
Investor Class
2024(3)
$9.800.020.900.92(0.13)$10.599.50%1.28%1.28%0.42%0.42%13%$314,992 
2023$10.040.10(0.13)(0.03)(0.21)$9.80(0.22)%1.27%1.27%1.05%1.05%29%$305,994 
2022$13.670.09(3.61)(3.52)(0.11)$10.04(25.84)%1.26%1.26%0.84%0.84%52%$368,506 
2021$13.620.050.080.13(0.08)$13.670.91%1.25%1.25%0.36%0.36%35%$554,001 
2020$11.250.042.482.52(0.15)$13.6222.79%1.26%1.26%0.33%0.33%30%$582,036 
2019$10.190.170.941.11(0.05)$11.2510.99%1.25%1.25%1.59%1.59%39%$606,668 
I Class
2024(3)
$10.070.030.930.96(0.15)$10.889.65%1.08%1.08%0.62%0.62%13%$433,521 
2023$10.300.13(0.13)(0.23)$10.070.02%1.07%1.07%1.25%1.25%29%$507,013 
2022$14.020.11(3.70)(3.59)(0.13)$10.30(25.69)%1.06%1.06%1.04%1.04%52%$828,883 
2021$13.970.090.070.16(0.11)$14.021.09%1.05%1.05%0.56%0.56%35%$1,661,545 
2020$11.560.062.542.60(0.19)$13.9722.94%1.06%1.06%0.53%0.53%30%$1,534,445 
2019$10.460.200.971.17(0.07)$11.5611.20%1.05%1.05%1.79%1.79%39%$1,325,801 
Y Class
2024(3)
$10.100.040.930.97(0.17)$10.909.69%0.93%0.93%0.77%0.77%13%$40,977 
2023$10.320.13(0.11)0.02(0.24)$10.100.23%0.92%0.92%1.40%1.40%29%$33,189 
2022$14.050.13(3.71)(3.58)(0.15)$10.32(25.60)%0.91%0.91%1.19%1.19%52%$37,909 
2021$14.000.100.080.18(0.13)$14.051.24%0.90%0.90%0.71%0.71%35%$39,377 
2020$11.600.082.542.62(0.22)$14.0023.09%0.91%0.91%0.68%0.68%30%$30,169 
2019$10.490.260.941.20(0.09)$11.6011.43%0.90%0.90%1.94%1.94%39%$14,638 
A Class
2024(3)
$9.430.010.870.88(0.11)$10.209.37%1.53%1.53%0.17%0.17%13%$36,097 
2023$9.670.08(0.12)(0.04)(0.20)$9.43(0.41)%1.52%1.52%0.80%0.80%29%$38,620 
2022$13.170.06(3.48)(3.42)(0.08)$9.67(26.03)%1.51%1.51%0.59%0.59%52%$51,434 
2021$13.130.010.070.08(0.04)$13.170.60%1.50%1.50%0.11%0.11%35%$94,363 
2020$10.840.012.402.41(0.12)$13.1322.50%1.51%1.51%0.08%0.08%30%$88,485 
2019$9.810.140.911.05(0.02)$10.8410.71%1.50%1.50%1.34%1.34%39%$78,704 



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Distributions
From
Net
Investment
Income
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
C Class
2024(3)
$8.46(0.03)0.790.76(0.03)$9.199.03%2.28%2.28%(0.58)%(0.58)%13%$7,191 
2023$8.710.01(0.11)(0.10)(0.15)$8.46(1.18)%2.27%2.27%0.05%0.05%29%$8,932 
2022$11.87(0.02)(3.14)(3.16)$8.71(26.56)%2.26%2.26%(0.16)%(0.16)%52%$13,231 
2021$11.88(0.08)0.07(0.01)$11.87(0.17)%2.25%2.25%(0.64)%(0.64)%35%$25,448 
2020$9.82(0.07)2.172.10(0.04)$11.8821.48%2.26%2.26%(0.67)%(0.67)%30%$27,101 
2019$8.930.050.840.89$9.829.97%2.25%2.25%0.59%0.59%39%$30,004 
R Class
2024(3)
$9.46
(4)
0.870.87(0.08)$10.259.27%1.78%1.78%(0.08)%(0.08)%13%$5,647 
2023$9.710.05(0.12)(0.07)(0.18)$9.46(0.69)%1.77%1.77%0.55%0.55%29%$5,309 
2022$13.220.03(3.49)(3.46)(0.05)$9.71(26.20)%1.76%1.76%0.34%0.34%52%$6,075 
2021$13.17(0.02)0.080.06(0.01)$13.220.41%1.75%1.75%(0.14)%(0.14)%35%$7,687 
2020$10.88(0.02)2.402.38(0.09)$13.1722.11%1.76%1.76%(0.17)%(0.17)%30%$7,466 
2019$9.850.120.911.03$10.8810.46%1.75%1.75%1.09%1.09%39%$6,825 
R5 Class
2024(3)
$10.080.030.930.96(0.15)$10.899.64%1.08%1.08%0.62%0.62%13%$1,245 
2023$10.310.12(0.12)(0.23)$10.080.02%1.07%1.07%1.25%1.25%29%$9,249 
2022$14.040.11(3.71)(3.60)(0.13)$10.31(25.67)%1.06%1.06%1.04%1.04%52%$10,725 
2021$13.980.060.110.17(0.11)$14.041.09%1.05%1.05%0.56%0.56%35%$12,172 
2020$11.570.062.542.60(0.19)$13.9822.92%1.06%1.06%0.53%0.53%30%$3,863 
2019$10.470.200.971.17(0.07)$11.5711.19%1.05%1.05%1.79%1.79%39%$2,444 
R6 Class
2024(3)
$10.080.040.930.97(0.17)$10.889.70%0.93%0.93%0.77%0.77%13%$325,697 
2023$10.310.14(0.13)0.01(0.24)$10.080.13%0.92%0.92%1.40%1.40%29%$460,847 
2022$14.030.13(3.70)(3.57)(0.15)$10.31(25.56)%0.91%0.91%1.19%1.19%52%$687,720 
2021$13.980.110.070.18(0.13)$14.031.24%0.90%0.90%0.71%0.71%35%$851,240 
2020$11.580.082.542.62(0.22)$13.9823.13%0.91%0.91%0.68%0.68%30%$570,868 
2019$10.480.230.961.19(0.09)$11.5811.45%0.90%0.90%1.94%1.94%39%$405,776 
G Class
2024(3)
$10.200.090.931.02(0.25)$10.9710.25%0.03%0.93%1.67%0.77%13%$785,384 
2023$10.400.23(0.13)0.10(0.30)$10.201.04%0.02%0.92%2.30%1.40%29%$766,148 
2022(5)
$12.440.16(2.08)(1.92)(0.12)$10.40(15.56)%0.01%0.91%2.42%1.52%
52%(6)
$731,719 



Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
(5)April 1, 2022 (commencement of sale) through November 30, 2022.
(6)Portfolio turnover is calculated at the fund level. Percentage indicated was calculated for the year ended November 30, 2022.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments. 
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.















































Contact Usamericancentury.com
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Investor Services Representative1-800-345-2021
or 816-531-5575
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This report and the statements it contains are submitted for the general information of our shareholders. The report is not authorized for distribution to prospective investors unless preceded or accompanied by an effective prospectus.
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
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Image5.jpg

Semiannual Financial Statements and Other Information
May 31, 2024
Emerging Markets Small Cap Fund
Investor Class (AECVX)
I Class (AECSX)
A Class (AECLX)
C Class (AECHX)
R Class (AECMX)
R6 Class (AECTX)





















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights




































Schedule of Investments

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 98.9%
Brazil — 7.2%
Cyrela Brazil Realty SA Empreendimentos e Participacoes
45,700 $165,971 
Embraer SA, ADR(1)
8,638 240,050 
Fleury SA
29,100 77,199 
Marcopolo SA, Preference Shares
255,240 313,527 
PRIO SA
11,100 87,812 
Santos Brasil Participacoes SA
107,200 235,596 
Sendas Distribuidora SA(1)
68,300 159,469 
VTEX, Class A(1)
26,097 179,026 
 1,458,650 
Canada — 1.2%
  
ERO Copper Corp.(1)(2)
11,752 250,224 
China — 8.5%
  
Atour Lifestyle Holdings Ltd., ADR(2)
5,445 96,975 
BOC Aviation Ltd.
29,500 219,139 
China Lesso Group Holdings Ltd.(1)
188,000 86,655 
China Overseas Property Holdings Ltd.
265,000 179,879 
Far East Horizon Ltd.
171,000 137,465 
Haitian International Holdings Ltd.
86,000 263,778 
Henan Pinggao Electric Co. Ltd., Class A
96,400 188,673 
Shenzhen Envicool Technology Co. Ltd., Class A
76,440 248,805 
Tongcheng Travel Holdings Ltd.(1)
123,200 282,075 
 1,703,444 
Greece — 1.4%
  
OPAP SA
6,392 101,610 
Piraeus Financial Holdings SA(1)
46,363 182,139 
 283,749 
Hong Kong — 1.3%
  
MGM China Holdings Ltd.
148,400 264,011 
India — 26.6%
  
Alembic Pharmaceuticals Ltd.
20,004 221,372 
CMS Info Systems Ltd.
19,311 102,756 
Crompton Greaves Consumer Electricals Ltd.
68,907 323,906 
Fortis Healthcare Ltd.
69,157 393,295 
Indian Hotels Co. Ltd.
67,833 454,006 
Jyothy Labs Ltd.
52,208 251,390 
KEI Industries Ltd.
7,193 353,954 
MakeMyTrip Ltd.(1)
4,411 333,427 
PB Fintech Ltd.(1)
25,893 401,395 
Persistent Systems Ltd.
2,531 103,458 
Phoenix Mills Ltd.
12,856 477,920 
Poly Medicure Ltd.
13,827 298,739 
Prestige Estates Projects Ltd.
24,735 474,159 
Shriram Finance Ltd.
7,692 217,291 
Supreme Industries Ltd.
3,089 195,783 
Torrent Pharmaceuticals Ltd.
5,695 184,178 
Varun Beverages Ltd.
26,218 448,595 
Wonderla Holidays Ltd.
13,203 133,345 
  5,368,969 
2


SharesValue
Indonesia — 1.5%
Ace Hardware Indonesia Tbk. PT
2,319,400 $117,265 
Ciputra Development Tbk. PT
1,430,200 96,781 
United Tractors Tbk. PT
63,000 85,667 
299,713 
Malaysia — 2.5%
Carlsberg Brewery Malaysia Bhd.
18,800 79,100 
Gamuda Bhd.
321,900 414,791 
493,891 
Mexico — 6.6%
Corp. Inmobiliaria Vesta SAB de CV(2)
73,921 258,102 
GCC SAB de CV
23,492 256,914 
Gentera SAB de CV
213,229 329,398 
Qualitas Controladora SAB de CV(2)
38,150 489,599 
1,334,013 
Philippines — 1.3%
Bloomberry Resorts Corp.(1)
907,300 164,398 
International Container Terminal Services, Inc.
17,560 102,617 
267,015 
Russia(3) — 0.0%
HeadHunter Group PLC, ADR(1)
776 — 
Saudi Arabia — 5.4%
Arabian Contracting Services Co.
3,512 189,961 
Catrion Catering Holding Co.
2,967 88,059 
Leejam Sports Co. JSC
5,105 269,709 
National Medical Care Co.
5,106 252,228 
Riyadh Cables Group Co.
5,493 140,834 
SAL Saudi Logistics Services
2,054 141,079 
1,081,870 
South Africa — 1.6%
Capitec Bank Holdings Ltd.
702 79,669 
Clicks Group Ltd.
15,496 243,222 
322,891 
South Korea — 11.0%
Cosmax, Inc.
3,179 391,687 
Dentium Co. Ltd.
1,436 116,918 
Fila Holdings Corp.
3,341 95,305 
Han Kuk Carbon Co. Ltd.
8,482 66,395 
Hankook Tire & Technology Co. Ltd.
2,647 83,875 
HD HYUNDAI MIPO(1)
1,216 63,757 
Hyundai Autoever Corp.
880 94,328 
IsuPetasys Co. Ltd.
5,420 189,952 
Jeisys Medical, Inc.(1)
13,167 112,697 
LG H&H Co. Ltd.
966 292,213 
LG Innotek Co. Ltd.
428 76,784 
Park Systems Corp.
838 109,308 
Samsung E&A Co. Ltd.(1)
13,099 221,857 
Soulbrain Co. Ltd.
1,252 299,564 
2,214,640 
Taiwan — 16.4%
Accton Technology Corp.
11,000 172,242 
Airtac International Group
2,000 63,282 
Alchip Technologies Ltd.
1,000 89,343 
Asia Vital Components Co. Ltd.
15,000 356,050 
3


SharesValue
ASMedia Technology, Inc.
5,000 $310,419 
ASPEED Technology, Inc.
4,000 452,705 
Bizlink Holding, Inc.
7,067 60,688 
Chailease Holding Co. Ltd.
12,595 59,318 
Chroma ATE, Inc.
17,000 150,924 
Eclat Textile Co. Ltd.
10,000 150,046 
Global Unichip Corp.
7,000 317,103 
King Yuan Electronics Co. Ltd.
104,000 284,798 
Lotes Co. Ltd.
7,000 349,390 
Nien Made Enterprise Co. Ltd.
13,000 141,091 
Pegavision Corp.
8,000 117,050 
Simplo Technology Co. Ltd.
7,000 89,246 
Winbond Electronics Corp.
190,467 147,953 
3,311,648 
Thailand — 3.4%
Bumrungrad Hospital PCL
20,100 132,327 
Minor International PCL
297,600 255,091 
Thai Oil PCL
64,200 90,641 
WHA Corp. PCL
1,415,400 210,235 
688,294 
Turkey — 1.6%
Mavi Giyim Sanayi Ve Ticaret AS, B Shares
77,197 228,802 
Sok Marketler Ticaret AS
55,300 100,762 
329,564 
United Arab Emirates — 1.4%
Burjeel Holdings PLC
225,754 169,191 
Emirates Central Cooling Systems Corp.
253,653 105,654 
274,845 
TOTAL COMMON STOCKS
(Cost $16,000,584)
19,947,431 
EXCHANGE-TRADED FUNDS — 0.8%
Fubon Taiwan Small-Mid Cap Alpha Momentum 50 ETF
(Cost $138,977)
93,000 168,751 
SHORT-TERM INVESTMENTS — 2.1%
Money Market Funds — 1.4%
State Street Institutional U.S. Government Money Market Fund, Premier Class
1,820 1,820 
State Street Navigator Securities Lending Government Money Market Portfolio(4)
271,792 271,792 
273,612 
Repurchase Agreements — 0.7%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $10,052), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $9,786)
9,782 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 0.50%, 4/30/27, valued at $137,732), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $135,060)
135,000 
144,782 
TOTAL SHORT-TERM INVESTMENTS
(Cost $418,394)
418,394 
TOTAL INVESTMENT SECURITIES — 101.8%
(Cost $16,557,955)
20,534,576 
OTHER ASSETS AND LIABILITIES — (1.8)%
(370,852)
TOTAL NET ASSETS — 100.0%
$20,163,724 

4


MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Consumer Discretionary18.2%
Industrials17.6%
Information Technology16.3%
Health Care10.3%
Consumer Staples9.8%
Financials9.4%
Real Estate8.4%
Materials5.3%
Communication Services1.8%
Energy1.3%
Utilities0.5%
Exchange-Traded Funds0.8%
Short-Term Investments2.1%
Other Assets and Liabilities(1.8)%

NOTES TO SCHEDULE OF INVESTMENTS
ADRAmerican Depositary Receipt
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $606,424. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(3)Securities may be subject to resale, redemption or transferability restrictions.
(4)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $636,231, which includes securities collateral of $364,439.


See Notes to Financial Statements.
5


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $16,286,163) — including $606,424 of securities on loan$20,262,784 
Investment made with cash collateral received for securities on loan, at value (cost of $271,792)271,792 
Total investment securities, at value (cost of $16,557,955)20,534,576 
Foreign currency holdings, at value (cost of $5)
Receivable for investments sold212,039 
Receivable for capital shares sold39,222 
Dividends and interest receivable17,415 
Securities lending receivable529 
Other assets516 
20,804,302 
Liabilities
Payable for collateral received for securities on loan271,792 
Payable for investments purchased104,137 
Payable for capital shares redeemed935 
Accrued management fees20,936 
Distribution and service fees payable414 
Accrued foreign taxes242,364 
640,578 
Net Assets$20,163,724 
Net Assets Consist of:
Capital (par value and paid-in surplus)$17,208,316 
Distributable earnings (loss)2,955,408 
$20,163,724 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$3,050,397208,976$14.60
I Class, $0.01 Par Value$13,600,464927,072$14.67
A Class, $0.01 Par Value$405,33927,987$14.48
C Class, $0.01 Par Value$14,7821,060$13.95
R Class, $0.01 Par Value$736,93251,412$14.33
R6 Class, $0.01 Par Value$2,355,810159,999$14.72
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $15.36 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
6


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $13,762)$149,823 
Interest10,836 
Securities lending, net881 
161,540 
Expenses:
Management fees108,290 
Distribution and service fees:
A Class573 
C Class73 
R Class1,724 
Directors' fees and expenses247 
Other expenses75 
110,982 
Net investment income (loss)50,558 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions (net of foreign tax expenses paid (refunded) of $52,485)272,325 
Foreign currency translation transactions(12,836)
259,489 
Change in net unrealized appreciation (depreciation) on:
Investments (includes (increase) decrease in accrued foreign taxes of $(63,565))956,246 
Translation of assets and liabilities in foreign currencies113 
956,359 
Net realized and unrealized gain (loss)1,215,848 
Net Increase (Decrease) in Net Assets Resulting from Operations$1,266,406 


See Notes to Financial Statements.
7


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$50,558 $117,194 
Net realized gain (loss)259,489 (300,120)
Change in net unrealized appreciation (depreciation)956,359 1,750,190 
Net increase (decrease) in net assets resulting from operations1,266,406 1,567,264 
Distributions to Shareholders
From earnings:
Investor Class(23,263)(50,517)
I Class(103,777)(137,593)
A Class(2,472)(4,405)
C Class— (135)
R Class(1,872)(7,964)
R6 Class(24,395)(26,437)
Decrease in net assets from distributions(155,779)(227,051)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)4,653,387 2,422,828 
Net increase (decrease) in net assets5,764,014 3,763,041 
Net Assets
Beginning of period14,399,710 10,636,669 
End of period$20,163,724 $14,399,710 


See Notes to Financial Statements.
8


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)


1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. Emerging Markets Small Cap Fund (the fund) is one fund in a series issued by the corporation. The fund’s investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, A Class, C Class, R Class and R6 Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge.

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes. Certain countries impose taxes on realized gains on the sale of securities registered in their country. The fund records the foreign tax expense, if any, on an accrual basis. The foreign tax expense on realized gains and unrealized appreciation reduces the net realized gain (loss) on investment transactions and net unrealized appreciation (depreciation) on investments, respectively.

9


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 days
Between
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$271,792 — — — $271,792 
Gross amount of recognized liabilities for securities lending transactions$271,792 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

10


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class.

The annual management fee for each class is as follows:
Investor ClassI ClassA ClassC ClassR ClassR6 Class
1.39%1.19%1.39%1.39%1.39%1.04%

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. There were no interfund transactions during the period.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $9,554,178 and $5,319,769, respectively.

11


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized35,000,000 35,000,000 
Sold47,729 $696,834 24,632 $307,215 
Issued in reinvestment of distributions1,569 22,840 4,214 49,679 
Redeemed(23,938)(350,553)(44,108)(556,922)
25,360 369,121 (15,262)(200,028)
I Class/Shares Authorized30,000,000 30,000,000 
Sold375,057 5,506,454 223,069 2,890,187 
Issued in reinvestment of distributions7,098 103,777 11,621 137,593 
Redeemed(88,012)(1,286,061)(115,512)(1,448,980)
294,143 4,324,170 119,178 1,578,800 
A Class/Shares Authorized25,000,000 25,000,000 
Sold1,923 27,554 15,288 190,423 
Issued in reinvestment of distributions171 2,472 376 4,405 
Redeemed(7,717)(111,763)(2,185)(29,298)
(5,623)(81,737)13,479 165,530 
C Class/Shares Authorized25,000,000 25,000,000 
Issued in reinvestment of distributions— — 12 135 
R Class/Shares Authorized20,000,000 20,000,000 
Sold21,364 303,622 22,964 283,693 
Issued in reinvestment of distributions131 1,872 687 7,964 
Redeemed(13,183)(189,317)(24,307)(294,988)
8,312 116,177 (656)(3,331)
R6 Class/Shares Authorized20,000,000 20,000,000 
Sold21,059 312,142 116,870 1,406,437 
Issued in reinvestment of distributions1,663 24,395 2,227 26,437 
Redeemed(28,354)(410,881)(44,300)(551,152)
(5,632)(74,344)74,797 881,722 
Net increase (decrease)316,560 $4,653,387 191,548 $2,422,828 

6. 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.

12


The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks$849,478 $19,097,953 — 
Exchange-Traded Funds— 168,751 — 
Short-Term Investments273,612 144,782 — 
$1,123,090 $19,411,486 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

The fund invests in common stocks of small companies. Because of this, the fund may be subject to greater risk and market fluctuations than a fund investing in larger, more established companies.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$16,562,154 
Gross tax appreciation of investments$4,575,688 
Gross tax depreciation of investments(603,266)
Net tax appreciation (depreciation) of investments$3,972,422 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(908,919), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
13


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment Income
(Loss)(1)
Net
Realized and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset Value,
End of
Period
Total
Return(2)
Operating ExpensesNet
Investment
Income
(Loss)
Portfolio Turnover
Rate
Net Assets,
End of
Period
(in thousands)
Investor Class
2024(3)
$13.530.031.151.18(0.11)(0.11)$14.608.67%1.39%0.43%30%$3,050 
2023$12.210.101.471.57(0.25)(0.25)$13.5313.15%1.40%0.83%48%$2,484 
2022$16.480.15(3.20)(3.05)(0.02)(1.20)(1.22)$12.21(19.90)%1.41%1.21%64%$2,428 
2021$14.230.042.822.86(0.61)(0.61)$16.4820.69%1.39%0.25%52%$3,451 
2020$12.520.041.721.76(0.05)(0.05)$14.2314.07%1.54%0.37%60%$2,984 
2019$11.680.051.201.25(0.41)(0.41)$12.5211.36%1.61%0.43%67%$4,764 
I Class
2024(3)
$13.610.051.151.20(0.14)(0.14)$14.678.76%1.19%0.63%30%$13,600 
2023$12.280.131.471.60(0.27)(0.27)$13.6113.38%1.20%1.03%48%$8,615 
2022$16.570.18(3.22)(3.04)(0.05)(1.20)(1.25)$12.28(19.80)%1.21%1.41%64%$6,309 
2021$14.270.072.842.91(0.61)(0.61)$16.5721.06%1.19%0.45%52%$6,090 
2020$12.560.071.711.78(0.07)(0.07)$14.2714.25%1.34%0.57%60%$3,932 
2019$11.690.071.211.28(0.41)(0.41)$12.5611.52%1.41%0.63%67%$2,386 
A Class
2024(3)
$13.41
(4)
1.151.15(0.08)(0.08)$14.488.54%1.64%0.18%30%$405 
2023$12.100.071.461.53(0.22)(0.22)$13.4112.90%1.65%0.58%48%$451 
2022$16.360.12(3.18)(3.06)(1.20)(1.20)$12.10(20.13)%1.66%0.96%64%$244 
2021$14.17(0.01)2.812.80(0.61)(0.61)$16.3620.41%1.64%0.00%52%$305 
2020$12.470.021.691.71(0.01)(0.01)$14.1713.76%1.79%0.12%60%$206 
2019$11.660.021.201.22(0.41)(0.41)$12.4711.11%1.86%0.18%67%$853 
C Class
2024(3)
$12.90(0.04)1.091.05$13.958.06%2.39%(0.57)%30%$15 
2023$11.64(0.02)1.411.39(0.13)(0.13)$12.9012.09%2.40%(0.17)%48%$14 
2022$15.900.04(3.10)(3.06)(1.20)(1.20)$11.64(20.75)%2.41%0.21%64%$12 
2021$13.88(0.12)2.752.63(0.61)(0.61)$15.9019.58%2.39%(0.75)%52%$10 
2020$12.29(0.07)1.661.59$13.8812.94%2.54%(0.63)%60%$8 
2019$11.58(0.07)1.191.12(0.41)(0.41)$12.2910.20%2.61%(0.57)%67%$684 



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment Income
(Loss)(1)
Net
Realized and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset Value,
End of
Period
Total
Return(2)
Operating ExpensesNet
Investment
Income
(Loss)
Portfolio Turnover
Rate
Net Assets,
End of
Period
(in thousands)
R Class
2024(3)
$13.25(0.01)1.131.12(0.04)(0.04)$14.338.44%1.89%(0.07)%30%$737 
2023$11.960.041.441.48(0.19)(0.19)$13.2512.59%1.90%0.33%48%$571 
2022$16.230.09(3.16)(3.07)(1.20)(1.20)$11.96(20.37)%1.91%0.71%64%$523 
2021$14.09(0.04)2.792.75(0.61)(0.61)$16.2320.16%1.89%(0.25)%52%$521 
2020$12.42(0.01)1.681.67$14.0913.54%2.04%(0.13)%60%$268 
2019$11.64(0.01)1.201.19(0.41)(0.41)$12.4210.68%2.11%(0.07)%67%$336 
R6 Class
2024(3)
$13.670.051.161.21(0.16)(0.16)$14.728.89%1.04%0.78%30%$2,356 
2023$12.330.151.481.63(0.29)(0.29)$13.6713.58%1.05%1.18%48%$2,265 
2022$16.640.20(3.24)(3.04)(0.07)(1.20)(1.27)$12.33(19.66)%1.06%1.56%64%$1,120 
2021$14.310.102.842.94(0.61)(0.61)$16.6421.15%1.04%0.60%52%$18 
2020$12.590.101.711.81(0.09)(0.09)$14.3114.47%1.19%0.72%60%$15 
2019$11.700.091.211.30(0.41)(0.41)$12.5911.68%1.26%0.78%67%$144 

Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































Contact Usamericancentury.com
Automated Information Line1-800-345-8765
Investor Services Representative1-800-345-2021
or 816-531-5575
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This report and the statements it contains are submitted for the general information of our shareholders. The report is not authorized for distribution to prospective investors unless preceded or accompanied by an effective prospectus.
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
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Image9.jpg

Semiannual Financial Statements and Other Information
May 31, 2024
Focused Global Growth Fund
Investor Class (TWGGX)
I Class (AGGIX)
Y Class (AGYGX)
A Class (AGGRX)
C Class (AGLCX)
R Class (AGORX)
R5 Class (AGFGX)
R6 Class (AGGDX)

















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights







































Schedule of Investments 

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 98.7%
  
Canada — 2.7%
  
Canadian Pacific Kansas City Ltd.
212,970 $16,901,299 
Denmark — 3.6%
  
Novo Nordisk AS, Class B
165,530 22,427,341 
France — 2.7%
  
AXA SA
465,660 16,813,317 
India — 2.7%
  
HDFC Bank Ltd.
914,110 16,791,139 
Indonesia — 2.4%
  
Bank Central Asia Tbk. PT
26,270,400 14,947,131 
Ireland — 2.8%
  
ICON PLC(1)
53,340 17,325,899 
Japan — 2.8%
  
Keyence Corp.
38,500 17,354,314 
Netherlands — 3.3%
  
ASML Holding NV
21,130 20,216,551 
Spain — 2.5%
  
Cellnex Telecom SA
433,730 15,844,172 
United Kingdom — 6.1%
  
AstraZeneca PLC
134,030 20,834,835 
London Stock Exchange Group PLC
146,330 17,152,292 
  37,987,127 
United States — 67.1%
  
Amazon.com, Inc.(1)
172,600 30,453,544 
Arthur J Gallagher & Co.
66,790 16,919,911 
Booz Allen Hamilton Holding Corp.
110,610 16,835,948 
CoStar Group, Inc.(1)
179,300 14,015,881 
Danaher Corp.
71,940 18,474,192 
Entegris, Inc.
126,490 15,982,011 
Ferguson PLC
77,970 16,041,548 
Howmet Aerospace, Inc.
241,210 20,418,426 
Mastercard, Inc., Class A
42,877 19,169,020 
Meta Platforms, Inc., Class A
54,010 25,213,488 
Microsoft Corp.
102,230 42,438,740 
NVIDIA Corp.
40,920 44,861,824 
NXP Semiconductors NV
72,470 19,719,087 
Progressive Corp.
84,300 17,802,474 
Prologis, Inc.
136,070 15,034,374 
S&P Global, Inc.
38,370 16,403,559 
SBA Communications Corp.
72,660 14,290,769 
TransDigm Group, Inc.
13,620 18,294,793 
Williams Cos., Inc.
416,090 17,271,896 
Xylem, Inc.
125,430 17,688,139 
 417,329,624 
TOTAL COMMON STOCKS
(Cost $490,633,731)
 613,937,914 
SHORT-TERM INVESTMENTS — 2.2%
  
Money Market Funds — 0.0%
  
State Street Institutional U.S. Government Money Market Fund, Premier Class
61,870 61,870 
2


SharesValue
Repurchase Agreements — 2.2%
  
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $958,313), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $933,004)
 $932,593 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 0.50% - 2.75%, 4/30/27, valued at $9,431,016), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $9,250,091)
 9,246,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 1.125% - 3.875%, 9/30/25 - 2/15/32, valued at $3,812,413), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $3,737,650)
 3,736,000 
 13,914,593 
TOTAL SHORT-TERM INVESTMENTS
(Cost $13,976,463)
 13,976,463 
TOTAL INVESTMENT SECURITIES — 100.9%
(Cost $504,610,194)
 627,914,377 
OTHER ASSETS AND LIABILITIES — (0.9)%
 (5,622,092)
TOTAL NET ASSETS — 100.0%
 $622,292,285 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Information Technology25.8%
Financials21.8%
Industrials17.1%
Health Care12.7%
Real Estate7.0%
Communication Services6.6%
Consumer Discretionary4.9%
Energy2.8%
Short-Term Investments2.2%
Other Assets and Liabilities(0.9)%

NOTES TO SCHEDULE OF INVESTMENTS
(1)Non-income producing.


See Notes to Financial Statements.
3


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $504,610,194)$627,914,377 
Receivable for investments sold9,958,359 
Receivable for capital shares sold68,358 
Dividends and interest receivable840,857 
Other assets1,052 
638,783,003 
Liabilities
Payable for investments purchased15,400,434 
Payable for capital shares redeemed184,449 
Accrued management fees523,561 
Distribution and service fees payable10,205 
Accrued foreign taxes372,069 
16,490,718 
Net Assets$622,292,285 
Net Assets Consist of:
Capital (par value and paid-in surplus)$476,993,139 
Distributable earnings (loss)145,299,146 
$622,292,285 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$420,662,17335,909,986$11.71
I Class, $0.01 Par Value$72,222,2785,932,719$12.17
Y Class, $0.01 Par Value$349,93928,395$12.32
A Class, $0.01 Par Value$27,425,0582,498,979$10.97
C Class, $0.01 Par Value$2,098,378275,856$7.61
R Class, $0.01 Par Value$6,230,593595,191$10.47
R5 Class, $0.01 Par Value$10,970901$12.18
R6 Class, $0.01 Par Value$93,292,8967,585,070$12.30
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $11.64 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
4


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $267,632)$3,429,952 
Interest62,363 
3,492,315 
Expenses:
Management fees3,048,723 
Distribution and service fees:
A Class33,129 
C Class10,809 
R Class14,805 
Directors' fees and expenses8,806 
Other expenses14,226 
3,130,498 
Net investment income (loss)361,817 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions27,744,038 
Foreign currency translation transactions(32,851)
27,711,187 
Change in net unrealized appreciation (depreciation) on:
Investments (includes (increase) decrease in accrued foreign taxes of $3,082)48,846,706 
Translation of assets and liabilities in foreign currencies(8,136)
48,838,570 
Net realized and unrealized gain (loss)76,549,757 
Net Increase (Decrease) in Net Assets Resulting from Operations$76,911,574 


See Notes to Financial Statements.
5


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$361,817 $3,252,179 
Net realized gain (loss)27,711,187 20,963,058 
Change in net unrealized appreciation (depreciation)48,838,570 24,541,115 
Net increase (decrease) in net assets resulting from operations76,911,574 48,756,352 
Distributions to Shareholders
From earnings:
Investor Class(14,740,592)(41,136,845)
I Class(2,922,662)(8,447,283)
Y Class(12,763)(34,387)
A Class(939,440)(2,818,294)
C Class(106,841)(404,907)
R Class(204,720)(677,257)
R5 Class(372)(932)
R6 Class(3,508,992)(8,363,717)
Decrease in net assets from distributions(22,436,382)(61,883,622)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(22,266,550)17,634,212 
Net increase (decrease) in net assets32,208,642 4,506,942 
Net Assets
Beginning of period590,083,643 585,576,701 
End of period$622,292,285 $590,083,643 


See Notes to Financial Statements.
6


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. Focused Global Growth Fund (the fund) is one fund in a series issued by the corporation. The fund's investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, Y Class, A Class, C Class, R Class, R5 Class and R6 Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge.

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes. Certain countries impose taxes on realized gains on the sale of securities registered in their country. The fund records the foreign tax expense, if any, on an accrual basis. The foreign tax expense on realized gains and unrealized appreciation reduces the net realized gain (loss) on investment transactions and net unrealized appreciation (depreciation) on investments, respectively.

7


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund's assets, which do not vary by class. The rate of the fee is determined by applying a fee rate calculation formula. This formula takes into account the fund's assets as well as certain assets, if any, of other clients of the investment advisor outside the American Century Investments family of funds (such as subadvised funds and separate accounts), as well as exchange-traded funds managed by the investment advisor, that use very similar investment teams and strategies (strategy assets).

8


The management fee schedule range and the effective annual management fee for each class for the period ended May 31, 2024 are as follows:
Management Fee
Schedule Range
Effective Annual
Management Fee
Investor Class1.050% to 1.300%1.07%
I Class0.850% to 1.100%0.87%
Y Class0.700% to 0.950%0.72%
A Class1.050% to 1.300%1.07%
C Class1.050% to 1.300%1.07%
R Class1.050% to 1.300%1.07%
R5 Class0.850% to 1.100%0.87%
R6 Class0.700% to 0.950%0.72%

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses — The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. There were no interfund transactions during the period.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $175,225,458 and $218,837,153, respectively.

9


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized450,000,000 450,000,000 
Sold710,586 $7,966,504 1,330,890 $13,536,718 
Issued in reinvestment of distributions1,331,834 14,130,756 4,185,379 39,468,121 
Redeemed(2,561,675)(28,501,229)(4,095,358)(41,949,103)
(519,255)(6,403,969)1,420,911 11,055,736 
I Class/Shares Authorized100,000,000 100,000,000 
Sold233,413 2,676,552 1,039,876 11,007,895 
Issued in reinvestment of distributions265,137 2,921,805 863,486 8,444,893 
Redeemed(1,485,841)(17,274,081)(2,119,457)(22,483,236)
(987,291)(11,675,724)(216,095)(3,030,448)
Y Class/Shares Authorized20,000,000 20,000,000 
Sold126 1,477 8,554 91,496 
Issued in reinvestment of distributions1,145 12,763 3,477 34,387 
Redeemed(2,375)(27,488)(10,963)(122,314)
(1,104)(13,248)1,068 3,569 
A Class/Shares Authorized40,000,000 40,000,000 
Sold166,212 1,735,456 514,710 4,928,940 
Issued in reinvestment of distributions92,542 920,792 312,247 2,769,627 
Redeemed(294,052)(3,068,792)(779,154)(7,579,406)
(35,298)(412,544)47,803 119,161 
C Class/Shares Authorized25,000,000 25,000,000 
Sold11,977 89,182 15,900 110,764 
Issued in reinvestment of distributions15,433 106,798 63,840 401,551 
Redeemed(59,679)(432,955)(135,365)(917,748)
(32,269)(236,975)(55,625)(405,433)
R Class/Shares Authorized25,000,000 25,000,000 
Sold44,975 451,823 87,214 805,743 
Issued in reinvestment of distributions21,549 204,720 79,865 677,257 
Redeemed(46,187)(457,936)(192,108)(1,753,944)
20,337 198,607 (25,029)(270,944)
R5 Class/Shares Authorized20,000,000 20,000,000 
Issued in reinvestment of distributions34 372 95 932 
R6 Class/Shares Authorized75,000,000 75,000,000 
Sold688,268 8,057,793 1,862,989 19,904,062 
Issued in reinvestment of distributions285,757 3,177,617 763,180 7,532,585 
Redeemed(1,262,876)(14,958,479)(1,630,838)(17,275,008)
(288,851)(3,723,069)995,331 10,161,639 
Net increase (decrease)(1,843,697)$(22,266,550)2,168,459 $17,634,212 

6. 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.

10


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.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Denmark— $22,427,341 — 
France— 16,813,317 — 
India— 16,791,139 — 
Indonesia— 14,947,131 — 
Japan— 17,354,314 — 
Netherlands— 20,216,551 — 
Spain— 15,844,172 — 
United Kingdom— 37,987,127 — 
Other Countries$451,556,822 — — 
Short-Term Investments61,870 13,914,593 — 
$451,618,692 $176,295,685 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.


8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$505,224,227 
Gross tax appreciation of investments$136,217,433 
Gross tax depreciation of investments(13,527,283)
Net tax appreciation (depreciation) of investments$122,690,150 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.
11


Financial Highlights
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset Value, Beginning
of Period
Net
Investment Income
(Loss)(1)
Net
Realized and Unrealized
Gain (Loss)
Total From Investment Operations
Net
Investment Income
Net
Realized
Gains
Total Distributions
Net Asset Value,
End of Period
Total
Return(2)
Operating Expenses
Net
Investment Income
(Loss)
Portfolio
Turnover
Rate
Net Assets,
End of Period (in thousands)
Investor Class
2024(3)
$10.73
(4)
1.391.39(0.05)(0.36)(0.41)$11.7113.32%1.08%0.06%29%$420,662 
2023$11.100.050.770.82(0.06)(1.13)(1.19)$10.738.84%1.09%0.50%79%$390,767 
2022$15.000.06(2.16)(2.10)(0.03)(1.77)(1.80)$11.10(16.07)%1.10%0.54%45%$388,619 
2021$14.560.041.841.88(1.44)(1.44)$15.0014.18%1.07%0.26%40%$495,712 
2020$13.54(0.02)3.163.14
(4)
(2.12)(2.12)$14.5627.02%1.07%(0.14)%73%$462,781 
2019$12.320.012.332.34(0.01)(1.11)(1.12)$13.5421.82%1.07%0.07%68%$450,413 
I Class
2024(3)
$11.140.011.451.46(0.07)(0.36)(0.43)$12.1713.50%0.88%0.26%29%$72,222 
2023$11.480.070.800.87(0.08)(1.13)(1.21)$11.149.03%0.89%0.70%79%$77,104 
2022$15.460.09(2.24)(2.15)(0.06)(1.77)(1.83)$11.48(15.93)%0.90%0.74%45%$81,949 
2021$14.930.071.901.97(1.44)(1.44)$15.4614.45%0.87%0.46%40%$103,394 
2020$13.84
(4)
3.243.24(0.03)(2.12)(2.15)$14.9327.21%0.87%0.06%73%$94,888 
2019$12.570.032.392.42(0.04)(1.11)(1.15)$13.8422.04%0.87%0.27%68%$28,238 
Y Class
2024(3)
$11.280.021.471.49(0.09)(0.36)(0.45)$12.3213.58%0.73%0.41%29%$350 
2023$11.610.090.810.90(0.10)(1.13)(1.23)$11.289.18%0.74%0.85%79%$333 
2022$15.620.11(2.27)(2.16)(0.08)(1.77)(1.85)$11.61(15.82)%0.75%0.89%45%$330 
2021$15.050.081.932.01(1.44)(1.44)$15.6214.62%0.72%0.61%40%$311 
2020$13.930.033.263.29(0.05)(2.12)(2.17)$15.0527.48%0.72%0.21%73%$167 
2019$12.650.012.432.44(0.05)(1.11)(1.16)$13.9322.18%0.72%0.42%68%$299 
A Class
2024(3)
$10.06(0.01)1.301.29(0.02)(0.36)(0.38)$10.9713.21%1.33%(0.19)%29%$27,425 
2023$10.480.020.720.74(0.03)(1.13)(1.16)$10.068.56%1.34%0.25%79%$25,494 
2022$14.270.03(2.05)(2.02)(1.77)(1.77)$10.48(16.32)%1.35%0.29%45%$26,064 
2021$13.94
(4)
1.771.77(1.44)(1.44)$14.2713.99%1.32%0.01%40%$34,059 
2020$13.08(0.05)3.032.98(2.12)(2.12)$13.9426.66%1.32%(0.39)%73%$30,537 
2019$11.96(0.02)2.252.23(1.11)(1.11)$13.0821.48%1.32%(0.18)%68%$26,932 



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset Value, Beginning
of Period
Net
Investment Income
(Loss)(1)
Net
Realized and Unrealized
Gain (Loss)
Total From Investment Operations
Net
Investment Income
Net
Realized
Gains
Total Distributions
Net Asset Value,
End of Period
Total
Return(2)
Operating Expenses
Net
Investment Income
(Loss)
Portfolio
Turnover
Rate
Net Assets,
End of Period (in thousands)
C Class
2024(3)
$7.09(0.03)0.910.88(0.36)(0.36)$7.6112.87%2.08%(0.94)%29%$2,098 
2023$7.76(0.03)0.490.46(1.13)(1.13)$7.097.72%2.09%(0.50)%79%$2,184 
2022$11.08(0.04)(1.51)(1.55)(1.77)(1.77)$7.76(16.87)%2.10%(0.46)%45%$2,822 
2021$11.23(0.08)1.371.29(1.44)(1.44)$11.0812.99%2.07%(0.74)%40%$5,426 
2020$11.00(0.11)2.462.35(2.12)(2.12)$11.2325.84%2.07%(1.14)%73%$5,302 
2019$10.32(0.09)1.881.79(1.11)(1.11)$11.0020.53%2.07%(0.93)%68%$4,960 
R Class
2024(3)
$9.60(0.02)1.251.23(0.36)(0.36)$10.4713.16%1.58%(0.44)%29%$6,231 
2023$10.06
(4)
0.680.68(0.01)(1.13)(1.14)$9.608.20%1.59%0.00%79%$5,520 
2022$13.79
(4)
(1.96)(1.96)(1.77)(1.77)$10.06(16.48)%1.60%0.04%45%$6,033 
2021$13.55(0.03)1.711.68(1.44)(1.44)$13.7913.71%1.57%(0.24)%40%$8,411 
2020$12.80(0.07)2.942.87(2.12)(2.12)$13.5526.34%1.57%(0.64)%73%$8,931 
2019$11.75(0.05)2.212.16(1.11)(1.11)$12.8021.24%1.57%(0.43)%68%$7,448 
R5 Class
2024(3)
$11.150.021.441.46(0.07)(0.36)(0.43)$12.1813.49%0.88%0.26%29%$11 
2023$11.490.070.800.87(0.08)(1.13)(1.21)$11.159.03%0.89%0.70%79%$10 
2022$15.460.09(2.23)(2.14)(0.06)(1.77)(1.83)$11.49(15.86)%0.90%0.74%45%$9 
2021$14.930.071.901.97(1.44)(1.44)$15.4614.45%0.87%0.46%40%$11 
2020$13.840.013.233.24(0.03)(2.12)(2.15)$14.9327.21%0.87%0.06%73%$9 
2019$12.570.032.392.42(0.04)(1.11)(1.15)$13.8422.04%0.87%0.27%68%$7 
R6 Class
2024(3)
$11.260.021.471.49(0.09)(0.36)(0.45)$12.3013.61%0.73%0.41%29%$93,293 
2023$11.590.090.810.90(0.10)(1.13)(1.23)$11.269.20%0.74%0.85%79%$88,671 
2022$15.590.11(2.26)(2.15)(0.08)(1.77)(1.85)$11.59(15.79)%0.75%0.89%45%$79,749 
2021$15.030.091.912.00(1.44)(1.44)$15.5914.57%0.72%0.61%40%$98,318 
2020$13.920.033.253.28(0.05)(2.12)(2.17)$15.0327.44%0.72%0.21%73%$90,433 
2019$12.630.052.402.45(0.05)(1.11)(1.16)$13.9222.30%0.72%0.42%68%$65,850 



Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































Contact Usamericancentury.com
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Investor Services Representative1-800-345-2021
or 816-531-5575
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This report and the statements it contains are submitted for the general information of our shareholders. The report is not authorized for distribution to prospective investors unless preceded or accompanied by an effective prospectus.
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Semiannual Financial Statements and Other Information
May 31, 2024
Focused International Growth Fund
Investor Class (AFCNX)
I Class (AFCSX)
A Class (AFCLX)
C Class (AFCHX)
R Class (AFCWX)
R6 Class (AFCMX)
G Class (AFCGX)
















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 




































Schedule of Investments

MAY 31, 2024 (UNAUDITED)
 SharesValue
COMMON STOCKS — 99.2%
  
Australia — 5.8%
  
CSL Ltd.
8,720 $1,632,282 
James Hardie Industries PLC(1)
30,540 952,015 
NEXTDC Ltd.(1)
236,782 2,826,414 
  5,410,711 
Brazil — 1.9%
  
NU Holdings Ltd., Class A(1)
153,200 1,820,016 
Canada — 2.1%
  
Canadian Pacific Kansas City Ltd.(2)
24,660 1,962,921 
China — 3.9%
  
H World Group Ltd., ADR
36,290 1,351,076 
Tencent Holdings Ltd.
49,100 2,277,924 
  3,629,000 
Denmark — 5.6%
  
Novo Nordisk AS, Class B
39,074 5,294,061 
France — 11.0%
  
Air Liquide SA
13,631 2,683,587 
Edenred SE
38,150 1,780,136 
LVMH Moet Hennessy Louis Vuitton SE
3,243 2,593,567 
Schneider Electric SE
13,226 3,299,624 
  10,356,914 
Germany — 4.8%
  
Infineon Technologies AG
34,055 1,377,812 
SAP SE
16,880 3,078,209 
  4,456,021 
India — 1.8%
  
MakeMyTrip Ltd.(1)
22,160 1,675,074 
Indonesia — 2.2%
  
Bank Central Asia Tbk. PT
3,665,800 2,085,739 
Ireland — 3.1%
  
ICON PLC(1)
9,030 2,933,125 
Italy — 3.8%
  
Davide Campari-Milano NV
180,550 1,808,701 
Ferrari NV
4,290 1,767,832 
  3,576,533 
Japan — 14.2%
  
Keyence Corp.
6,200 2,794,721 
NEC Corp.
24,900 1,853,500 
NTT Data Group Corp.
120,400 1,851,478 
Pan Pacific International Holdings Corp.
76,600 1,981,415 
Shin-Etsu Chemical Co. Ltd.
45,900 1,713,381 
Terumo Corp.
127,600 2,173,535 
Tokio Marine Holdings, Inc.
28,900 1,001,249 
  13,369,279 
Netherlands — 11.4%
  
Adyen NV(1)
1,290 1,672,850 
ASML Holding NV
4,580 4,382,007 
DSM-Firmenich AG
22,680 2,625,279 
Universal Music Group NV(2)
64,890 2,022,210 
10,702,346 
2


 SharesValue
Switzerland — 6.6%
Galderma Group AG(1)
19,566 $1,588,741 
Lonza Group AG
3,210 1,742,551 
Nestle SA
7,716 817,134 
On Holding AG, Class A(1)(2)
48,400 2,058,936 
6,207,362 
Taiwan — 5.8%
Taiwan Semiconductor Manufacturing Co. Ltd.
213,000 5,454,489 
United Kingdom — 15.2%
Barclays PLC
772,260 2,181,099 
CRH PLC
21,170 1,730,859 
Haleon PLC
415,207 1,725,350 
London Stock Exchange Group PLC
23,006 2,696,683 
Melrose Industries PLC
204,483 1,618,099 
RELX PLC
65,860 2,889,073 
Unilever PLC
25,900 1,418,364 
14,259,527 
TOTAL COMMON STOCKS
(Cost $78,329,818)
93,193,118 
SHORT-TERM INVESTMENTS — 1.3%
Money Market Funds — 0.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class
5,470 5,470 
State Street Navigator Securities Lending Government Money Market Portfolio(3)
106,358 106,358 
111,828 
Repurchase Agreements — 1.2%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $78,499), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $76,426)
76,392 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 2.75%, 4/30/27, valued at $772,188), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $757,335)
757,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 2.75% - 4.50%, 7/31/25 - 11/15/33, valued at $312,353), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $306,135)
306,000 
1,139,392 
TOTAL SHORT-TERM INVESTMENTS
(Cost $1,251,220)
1,251,220 
TOTAL INVESTMENT SECURITIES — 100.5%
(Cost $79,581,038)
94,444,338 
OTHER ASSETS AND LIABILITIES — (0.5)%
(537,851)
TOTAL NET ASSETS — 100.0%
$93,906,487 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Information Technology25.1%
Health Care16.4%
Financials14.1%
Consumer Discretionary12.2%
Industrials10.4%
Materials10.3%
Consumer Staples6.1%
Communication Services4.6%
Short-Term Investments1.3%
Other Assets and Liabilities(0.5)%

3


NOTES TO SCHEDULE OF INVESTMENTS
ADRAmerican Depositary Receipt
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $2,085,672. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $2,170,879, which includes securities collateral of $2,064,521.


See Notes to Financial Statements.
4


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $79,474,680) — including $2,085,672 of securities on loan$94,337,980 
Investment made with cash collateral received for securities on loan, at value (cost of $106,358)106,358 
Total investment securities, at value (cost of $79,581,038)94,444,338 
Foreign currency holdings, at value (cost of $21,367)21,358 
Receivable for investments sold455,027 
Receivable for capital shares sold278,111 
Dividends and interest receivable196,267 
Securities lending receivable702 
95,395,803 
Liabilities
Payable for collateral received for securities on loan106,358 
Payable for investments purchased816,337 
Payable for capital shares redeemed525,447 
Accrued management fees40,663 
Distribution and service fees payable511 
1,489,316 
Net Assets$93,906,487 
Net Assets Consist of:
Capital (par value and paid-in surplus)$93,050,061 
Distributable earnings (loss)856,426 
$93,906,487 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$13,751,238825,339$16.66
I Class, $0.01 Par Value$28,566,7131,699,900$16.80
A Class, $0.01 Par Value$675,46941,009$16.47
C Class, $0.01 Par Value$47,9223,064$15.64
R Class, $0.01 Par Value$721,68144,395$16.26
R6 Class, $0.01 Par Value$8,284,679490,276$16.90
G Class, $0.01 Par Value$41,858,7852,425,857$17.26
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $17.47 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
5


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $79,732)$709,984 
Interest33,283 
Securities lending, net3,710 
746,977 
Expenses:
Management fees390,924 
Distribution and service fees:
A Class811 
C Class204 
R Class1,941 
Directors' fees and expenses1,325 
Other expenses429 
395,634 
Fees waived - G Class(149,601)
246,033 
Net investment income (loss)500,944 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions727,501 
Foreign currency translation transactions7,718 
735,219 
Change in net unrealized appreciation (depreciation) on:
Investments8,182,237 
Translation of assets and liabilities in foreign currencies(320)
8,181,917 
Net realized and unrealized gain (loss)8,917,136 
Net Increase (Decrease) in Net Assets Resulting from Operations$9,418,080 


See Notes to Financial Statements.
6


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$500,944 $807,933 
Net realized gain (loss)735,219 (7,069,953)
Change in net unrealized appreciation (depreciation)8,181,917 6,996,183 
Net increase (decrease) in net assets resulting from operations9,418,080 734,163 
Distributions to Shareholders
From earnings:
Investor Class(49,886)(53,821)
I Class(156,977)(171,794)
A Class(662)(156)
R6 Class(56,368)(40,405)
G Class(528,074)(383,934)
Decrease in net assets from distributions(791,967)(650,110)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(1,714,596)4,147,257 
Net increase (decrease) in net assets6,911,517 4,231,310 
Net Assets
Beginning of period86,994,970 82,763,660 
End of period$93,906,487 $86,994,970 


See Notes to Financial Statements.
7


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. Focused International Growth Fund (the fund) is one fund in a series issued by the corporation. The fund's investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, A Class, C Class, R Class, R6 Class and G Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge. 

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes.

8


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 days
Between
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$106,358 — — — $106,358 
Gross amount of recognized liabilities for securities lending transactions$106,358 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

9


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC. Various funds issued by American Century Asset Allocation Portfolios, Inc. own, in aggregate, 13% of the shares of the fund.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class.  The investment advisor agreed to waive the G Class's management fee in its entirety. The investment advisor expects this waiver to remain in effect permanently and cannot terminate it without the approval of the Board of Directors.

The annual management fee for each class is as follows:
Investor ClassI ClassA ClassC ClassR ClassR6 ClassG Class
1.09%0.89%1.09%1.09%1.09%0.74%
0.00%(1)
(1)Annual management fee before waiver was 0.74%.

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. There were no interfund transactions during the period.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $42,593,146 and $44,583,485, respectively.

10


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized50,000,000 50,000,000 
Sold83,406 $1,350,033 222,961 $3,473,694 
Issued in reinvestment of distributions3,154 49,305 3,584 52,535 
Redeemed(162,563)(2,612,296)(320,179)(4,895,744)
(76,003)(1,212,958)(93,634)(1,369,515)
I Class/Shares Authorized25,000,000 25,000,000 
Sold554,874 8,911,069 483,105 7,399,760 
Issued in reinvestment of distributions9,967 156,977 11,631 171,794 
Redeemed(633,679)(10,116,814)(938,362)(14,162,798)
(68,838)(1,048,768)(443,626)(6,591,244)
A Class/Shares Authorized20,000,000 20,000,000 
Sold8,035 123,517 38,047 515,691 
Issued in reinvestment of distributions43 662 11 156 
Redeemed(6,390)(101,693)(5,292)(79,076)
1,688 22,486 32,766 436,771 
C Class/Shares Authorized20,000,000 20,000,000 
Sold554 8,647 257 3,735 
Redeemed— — (1,131)(16,767)
554 8,647 (874)(13,032)
R Class/Shares Authorized20,000,000 20,000,000 
Sold9,916 155,680 27,534 414,806 
Redeemed(17,415)(275,416)(50,538)(699,364)
(7,499)(119,736)(23,004)(284,558)
R6 Class/Shares Authorized20,000,000 20,000,000 
Sold55,807 906,036 249,710 3,967,587 
Issued in reinvestment of distributions3,561 56,368 2,723 40,405 
Redeemed(76,224)(1,273,653)(131,645)(2,074,557)
(16,856)(311,249)120,788 1,933,435 
G Class/Shares Authorized30,000,000 30,000,000 
Sold349,024 5,717,304 896,696 14,020,911 
Issued in reinvestment of distributions32,779 528,074 25,426 383,934 
Redeemed(312,456)(5,298,396)(273,394)(4,369,445)
69,347 946,982 648,728 10,035,400 
Net increase (decrease)(97,607)$(1,714,596)241,144 $4,147,257 

6. 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.

11


The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Brazil$1,820,016 — — 
China1,351,076 $2,277,924 — 
India1,675,074 — — 
Ireland2,933,125 — — 
Switzerland2,058,936 4,148,426 — 
United Kingdom1,730,859 12,528,668 — 
Other Countries— 62,669,014 — 
Short-Term Investments111,828 1,139,392 — 
$11,680,914 $82,763,424 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$79,836,675 
Gross tax appreciation of investments$17,357,622 
Gross tax depreciation of investments(2,749,959)
Net tax appreciation (depreciation) of investments$14,607,663 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(10,595,950) and accumulated long-term capital losses of $(4,195,898), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
12


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in thousands)
Investor Class
2024(3)
$15.140.041.541.58(0.06)(0.06)$16.6610.43%1.09%1.09%0.52%0.52%47%$13,751
2023$15.100.080.020.10(0.06)(0.06)$15.140.65%1.09%1.09%0.47%0.47%61%$13,645
2022$20.040.12(4.56)(4.44)(0.50)(0.50)$15.10(22.71)%1.10%1.10%0.59%0.59%51%$15,028
2021$18.20(0.03)1.871.84$20.0410.11%1.10%1.10%(0.12)%(0.12)%71%$22,250
2020$14.34(0.01)4.334.32(0.46)(0.46)$18.2031.15%1.18%1.18%(0.09)%(0.09)%92%$9,749
2019$11.920.022.462.48(0.06)(0.06)$14.3420.96%1.24%1.24%0.13%0.13%96%$6,677
I Class
2024(3)
$15.280.061.551.61(0.09)(0.09)$16.8010.48%0.89%0.89%0.72%0.72%47%$28,567
2023$15.250.110.010.12(0.09)(0.09)$15.280.91%0.89%0.89%0.67%0.67%61%$27,034
2022$20.190.11(4.55)(4.44)(0.50)(0.50)$15.25(22.59)%0.90%0.90%0.79%0.79%51%$33,731
2021$18.300.011.881.89$20.1910.33%0.90%0.90%0.08%0.08%71%$19,111
2020$14.390.014.364.37(0.46)(0.46)$18.3031.39%0.98%0.98%0.11%0.11%92%$5,585
2019$11.960.022.492.51(0.08)(0.08)$14.3921.21%1.04%1.04%0.33%0.33%96%$2,605
A Class
2024(3)
$14.950.021.521.54(0.02)(0.02)$16.4710.29%1.34%1.34%0.27%0.27%47%$675
2023$14.91(0.01)0.070.06(0.02)(0.02)$14.950.41%1.34%1.34%0.22%0.22%61%$588
2022$19.850.07(4.51)(4.44)(0.50)(0.50)$14.91(22.94)%1.35%1.35%0.34%0.34%51%$98
2021$18.07(0.07)1.851.78$19.859.85%1.35%1.35%(0.37)%(0.37)%71%$99
2020$14.28(0.04)4.294.25(0.46)(0.46)$18.0730.78%1.43%1.43%(0.34)%(0.34)%92%$85
2019$11.87
(4)
2.442.44(0.03)(0.03)$14.2820.66%1.49%1.49%(0.12)%(0.12)%96%$822
C Class
2024(3)
$14.23(0.03)1.441.41$15.649.91%2.09%2.09%(0.48)%(0.48)%47%$48
2023$14.29(0.08)0.02(0.06)$14.23(0.35)%2.09%2.09%(0.53)%(0.53)%61%$36
2022$19.17(0.04)(4.34)(4.38)(0.50)(0.50)$14.29(23.54)%2.10%2.10%(0.41)%(0.41)%51%$48
2021$17.59(0.22)1.801.58$19.179.04%2.10%2.10%(1.12)%(1.12)%71%$58
2020$14.01(0.14)4.184.04(0.46)(0.46)$17.5929.84%2.18%2.18%(1.09)%(1.09)%92%$49
2019$11.70(0.09)2.402.31$14.0119.85%2.24%2.24%(0.87)%(0.87)%96%$787



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in thousands)
R Class
2024(3)
$14.75
(4)
1.511.51$16.2610.09%1.59%1.59%0.02%0.02%47%$722
2023$14.74
(4)
0.010.01$14.750.20%1.59%1.59%(0.03)%(0.03)%61%$766
2022$19.670.03(4.46)(4.43)(0.50)(0.50)$14.74(23.15)%1.60%1.60%0.09%0.09%51%$1,104
2021$17.95(0.12)1.841.72$19.679.58%1.60%1.60%(0.62)%(0.62)%71%$1,148
2020$14.22(0.08)4.274.19(0.46)(0.46)$17.9530.47%1.68%1.68%(0.59)%(0.59)%92%$683
2019$11.82(0.04)2.442.40
(4)
(4)
$14.2220.36%1.74%1.74%(0.37)%(0.37)%96%$468
R6 Class
2024(3)
$15.380.071.561.63(0.11)(0.11)$16.9010.65%0.74%0.74%0.87%0.87%47%$8,285
2023$15.340.130.020.15(0.11)(0.11)$15.380.99%0.74%0.74%0.82%0.82%61%$7,799
2022$20.300.05(4.49)(4.44)(0.02)(0.50)(0.52)$15.34(22.44)%0.75%0.75%0.94%0.94%51%$5,927
2021$18.370.021.911.93$20.3010.51%0.75%0.75%0.23%0.23%71%$674
2020$14.420.054.364.41(0.46)(0.46)$18.3731.61%0.83%0.83%0.26%0.26%92%$190
2019$11.990.082.452.53(0.10)(0.10)$14.4221.34%0.89%0.89%0.48%0.48%96%$182
G Class
2024(3)
$15.760.131.601.73(0.23)(0.23)$17.2611.05%0.00%0.74%1.61%0.87%47%$41,859
2023$15.710.240.030.27(0.22)(0.22)$15.761.81%0.00%0.74%1.56%0.82%61%$37,128
2022$20.740.27(4.67)(4.40)(0.13)(0.50)(0.63)$15.71(21.92)%0.01%0.75%1.68%0.94%51%$26,828
2021$18.650.211.892.10(0.01)(0.01)$20.7411.28%0.01%0.75%0.97%0.23%71%$16,684
2020$14.510.174.434.60(0.46)(0.46)$18.6532.75%0.00%0.83%1.09%0.26%92%$4,356
2019(5)
$12.940.121.451.57$14.5112.13%0.01%0.89%1.29%0.41%
96%(6)
$1,163



Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
(5)April 1, 2019 (commencement of sale) through November 30, 2019.
(6)Portfolio turnover is calculated at the fund level. Percentage indicated was calculated for the year ended November 30, 2019.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































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Image17.jpg

Semiannual Financial Statements and Other Information
May 31, 2024
Global Small Cap Fund
Investor Class (AGCVX)
I Class (AGCSX)
A Class (AGCLX)
C Class (AGCHX)
R Class (AGCWX)
R6 Class (AGCTX)



















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 



































Schedule of Investments

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 98.2%
Australia — 1.8%
Bellevue Gold Ltd.(1)
547,160 $715,159 
CAR Group Ltd.
33,366 779,114 
 1,494,273 
Belgium — 0.5%
  
D'ieteren Group
1,720 375,598 
Brazil — 0.9%
  
Direcional Engenharia SA
87,700 410,366 
VTEX, Class A(1)
49,740 341,216 
  751,582 
Canada — 7.3%
  
AtkinsRealis Group, Inc.
10,138 396,758 
Boardwalk Real Estate Investment Trust
13,919 718,647 
Capstone Copper Corp.(1)
183,744 1,294,209 
Celestica, Inc.(1)
12,396 693,184 
Docebo, Inc.(1)
9,189 316,065 
Element Fleet Management Corp.
43,874 779,653 
FirstService Corp.
3,753 550,992 
goeasy Ltd.
4,920 658,936 
Stantec, Inc.
7,288 588,195 
  5,996,639 
China — 0.9%
  
Tongcheng Travel Holdings Ltd.(1)
313,600 718,009 
France — 3.1%
  
Gaztransport Et Technigaz SA(2)
3,052 445,240 
SPIE SA
29,147 1,205,716 
Technip Energies NV
22,507 544,521 
VusionGroup(1)(2)
2,512 401,181 
  2,596,658 
Germany — 2.7%
  
CTS Eventim AG & Co. KGaA
5,849 507,411 
KION Group AG
11,105 525,360 
Redcare Pharmacy NV(1)
6,522 817,479 
RENK Group AG(1)
14,193 411,521 
  2,261,771 
Greece — 0.7%
  
Jumbo SA
19,320 553,988 
Hong Kong — 0.8%
  
Samsonite International SA(1)
218,700 695,091 
India — 3.6%
  
Kalyan Jewellers India Ltd.
111,399 519,770 
KEI Industries Ltd.
14,501 713,567 
Lemon Tree Hotels Ltd.(1)
337,931 553,158 
Max Financial Services Ltd.(1)
50,109 551,835 
Max Healthcare Institute Ltd.
73,550 663,617 
  3,001,947 
Israel — 2.0%
  
CyberArk Software Ltd.(1)
3,275 750,794 
Nova Ltd.(1)
4,162 868,401 
  1,619,195 
2


SharesValue
Italy — 1.5%
  
BPER Banca SpA
227,566 $1,224,698 
Japan — 7.8%
  
Asics Corp.
20,900 1,161,026 
CyberAgent, Inc.
103,200 622,076 
Invincible Investment Corp.
1,743 757,700 
Mebuki Financial Group, Inc.
274,100 1,101,523 
Money Forward, Inc.(1)
16,300 538,870 
Nippon Gas Co. Ltd.
35,900 547,936 
Ryohin Keikaku Co. Ltd.
36,800 604,558 
Santen Pharmaceutical Co. Ltd.
60,000 622,984 
Yamazaki Baking Co. Ltd.
23,900 525,543 
  6,482,216 
Mexico — 0.6%
  
Corp. Inmobiliaria Vesta SAB de CV(2)
131,242 458,243 
Netherlands — 2.8%
  
Aalberts NV(2)
12,560 600,970 
Arcadis NV(2)
12,962 850,571 
Fugro NV(2)
33,469 898,015 
  2,349,556 
Norway — 1.1%
  
Subsea 7 SA
48,623 902,882 
South Korea — 0.5%
  
KIWOOM Securities Co. Ltd.
4,070 394,742 
Spain — 0.8%
  
Sacyr SA
174,031 656,087 
Sweden — 1.2%
  
Thule Group AB
16,985 512,735 
Trelleborg AB, B Shares
11,912 466,112 
  978,847 
Taiwan — 2.3%
  
Airtac International Group
23,000 727,748 
Gold Circuit Electronics Ltd.(1)
81,000 500,672 
Phison Electronics Corp.
9,000 166,062 
Wiwynn Corp.
7,000 535,741 
  1,930,223 
United Kingdom — 4.5%
  
ConvaTec Group PLC
161,389 514,526 
Howden Joinery Group PLC
64,603 753,453 
Intermediate Capital Group PLC
43,922 1,308,633 
Rotork PLC
101,206 439,268 
Tritax Big Box REIT PLC
349,891 707,953 
  3,723,833 
United States — 50.8%
  
AAR Corp.(1)
10,592 751,926 
ADMA Biologics, Inc.(1)
123,905 1,183,293 
Alphatec Holdings, Inc.(1)
41,491 402,878 
Arhaus, Inc.
38,782 729,489 
ATI, Inc.(1)
15,903 975,490 
AZEK Co., Inc.(1)
16,399 786,496 
Bancorp, Inc.(1)
12,582 422,629 
BellRing Brands, Inc.(1)
10,234 595,312 
Bowhead Specialty Holdings, Inc.(1)
18,218 488,242 
Bridgebio Pharma, Inc.(1)
6,827 191,224 
3


SharesValue
Carpenter Technology Corp.
7,527 $834,518 
Clean Harbors, Inc.(1)
3,886 841,669 
Cohen & Steers, Inc.
2,972 208,902 
Commerce Bancshares, Inc.
7,661 426,258 
Construction Partners, Inc., Class A(1)
9,139 531,981 
Credo Technology Group Holding Ltd.(1)
28,322 738,355 
Donnelley Financial Solutions, Inc.(1)
13,054 795,772 
Duolingo, Inc.(1)
2,477 474,098 
Element Solutions, Inc.
21,564 518,183 
elf Beauty, Inc.(1)
2,516 470,266 
Evercore, Inc., Class A
4,735 960,921 
Evolent Health, Inc., Class A(1)
5,376 113,917 
Expro Group Holdings NV(1)
31,347 688,067 
FormFactor, Inc.(1)
10,534 576,420 
Freshpet, Inc.(1)
5,598 734,290 
FTAI Aviation Ltd.
7,246 610,983 
FTI Consulting, Inc.(1)
3,077 660,940 
Graphic Packaging Holding Co.
20,507 580,758 
Grocery Outlet Holding Corp.(1)
15,136 332,841 
Guidewire Software, Inc.(1)
6,544 745,492 
GXO Logistics, Inc.(1)
13,180 662,031 
Hamilton Lane, Inc., Class A
5,277 662,211 
Hayward Holdings, Inc.(1)
30,741 445,437 
Huron Consulting Group, Inc.(1)
6,326 558,649 
Inter Parfums, Inc.
4,485 537,213 
JFrog Ltd.(1)
12,208 392,731 
Kinsale Capital Group, Inc.
438 168,026 
Knight-Swift Transportation Holdings, Inc.
10,067 485,733 
Korn Ferry
6,737 444,238 
Kosmos Energy Ltd.(1)
125,993 768,557 
Levi Strauss & Co., Class A
18,148 435,733 
Louisiana-Pacific Corp.
6,460 592,253 
MACOM Technology Solutions Holdings, Inc.(1)
6,232 630,304 
Mirion Technologies, Inc.(1)
39,043 424,007 
Modine Manufacturing Co.(1)
11,822 1,193,076 
Natera, Inc.(1)
8,817 939,275 
NeoGenomics, Inc.(1)
24,905 341,448 
Newmark Group, Inc., Class A
60,443 629,212 
Ollie's Bargain Outlet Holdings, Inc.(1)
8,078 665,870 
Onto Innovation, Inc.(1)
5,249 1,137,458 
Progyny, Inc.(1)
18,100 487,795 
Q2 Holdings, Inc.(1)
13,182 801,729 
R1 RCM, Inc.(1)
37,371 480,591 
RadNet, Inc.(1)
15,907 932,786 
Rambus, Inc.(1)
7,245 400,359 
RLI Corp.
3,667 535,309 
Ryman Hospitality Properties, Inc.
7,925 832,680 
Shift4 Payments, Inc., Class A(1)(2)
10,853 730,190 
Skyline Champion Corp.(1)
6,232 433,810 
Summit Materials, Inc., Class A(1)
22,966 887,406 
Tenable Holdings, Inc.(1)
13,541 571,295 
Terreno Realty Corp.
4,710 266,492 
Toll Brothers, Inc.
8,124 988,203 
Transocean Ltd.(1)
117,484 728,401 
4


SharesValue
Triumph Financial, Inc.(1)
5,387 $400,254 
Twist Bioscience Corp.(1)
5,280 221,232 
Uranium Energy Corp.(1)
60,065 428,864 
Wayfair, Inc., Class A(1)
7,990 475,325 
Wingstop, Inc.
1,089 401,460 
Wintrust Financial Corp.
5,869 578,742 
  42,067,995 
TOTAL COMMON STOCKS
(Cost $62,653,571)
 81,234,073 
EXCHANGE-TRADED FUNDS — 1.5%
  
Schwab International Small-Cap Equity ETF
17,271 632,291 
Schwab U.S. Small-Cap ETF
12,778 615,133 
TOTAL EXCHANGE-TRADED FUNDS
(Cost $1,215,040)
 1,247,424 
SHORT-TERM INVESTMENTS — 1.7%
  
Money Market Funds — 1.2%
  
State Street Institutional U.S. Government Money Market Fund, Premier Class
3,106 3,106 
State Street Navigator Securities Lending Government Money Market Portfolio(3)
1,033,186 1,033,186 
 1,036,292 
Repurchase Agreements — 0.5%
  
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $27,926), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $27,188)
 27,176 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 2.75%, 4/30/27, valued at $384,589), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $377,167)
 377,000 
  404,176 
TOTAL SHORT-TERM INVESTMENTS
(Cost $1,440,468)
 1,440,468 
TOTAL INVESTMENT SECURITIES — 101.4%
(Cost $65,309,079)
 83,921,965 
OTHER ASSETS AND LIABILITIES — (1.4)%
 (1,163,999)
TOTAL NET ASSETS — 100.0%
 $82,757,966 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Industrials20.3%
Consumer Discretionary14.4%
Financials14.0%
Information Technology13.5%
Health Care8.6%
Materials7.7%
Real Estate6.0%
Energy5.4%
Consumer Staples4.9%
Communication Services2.7%
Utilities0.7%
Exchange-Traded Funds1.5%
Short-Term Investments1.7%
Other Assets and Liabilities(1.4)%

5


NOTES TO SCHEDULE OF INVESTMENTS
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $3,542,751. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $3,659,874, which includes securities collateral of $2,626,688.


See Notes to Financial Statements.
6


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $64,275,893) — including $3,542,751 of securities on loan$82,888,779 
Investment made with cash collateral received for securities on loan, at value (cost of $1,033,186)1,033,186 
Total investment securities, at value (cost of $65,309,079)83,921,965 
Foreign currency holdings, at value (cost of $33)33 
Receivable for investments sold355,862 
Receivable for capital shares sold34,408 
Dividends and interest receivable78,460 
Securities lending receivable2,028 
Other assets1,412 
84,394,168 
Liabilities
Payable for collateral received for securities on loan1,033,186 
Payable for investments purchased461,418 
Payable for capital shares redeemed30,001 
Accrued management fees67,015 
Distribution and service fees payable1,704 
Accrued foreign taxes42,878 
1,636,202 
Net Assets$82,757,966 
Net Assets Consist of:
Capital (par value and paid-in surplus)$80,370,847 
Distributable earnings (loss)2,387,119 
$82,757,966 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$36,250,1292,016,127$17.98
I Class, $0.01 Par Value$18,942,6861,038,662$18.24
A Class, $0.01 Par Value$4,351,319246,328$17.66
C Class, $0.01 Par Value$160,7649,787$16.43
R Class, $0.01 Par Value$1,555,40690,025$17.28
R6 Class, $0.01 Par Value$21,497,6621,166,544$18.43
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $18.74 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
7


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $51,036)$491,504 
Interest12,138 
Securities lending, net10,697 
514,339 
Expenses:
Management fees400,566 
Distribution and service fees:
A Class5,217 
C Class1,391 
R Class3,539 
Directors' fees and expenses1,199 
Other expenses2,390 
414,302 
Net investment income (loss)100,037 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions4,104,267 
Foreign currency translation transactions(21,112)
4,083,155 
Change in net unrealized appreciation (depreciation) on:
Investments (includes (increase) decrease in accrued foreign taxes of $(42,878))7,208,618 
Translation of assets and liabilities in foreign currencies(1,541)
7,207,077 
Net realized and unrealized gain (loss)11,290,232 
Net Increase (Decrease) in Net Assets Resulting from Operations$11,390,269 


See Notes to Financial Statements.
8


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$100,037 $108,183 
Net realized gain (loss)4,083,155 (6,115,232)
Change in net unrealized appreciation (depreciation)7,207,077 4,443,113 
Net increase (decrease) in net assets resulting from operations11,390,269 (1,563,936)
Distributions to Shareholders
From earnings:
Investor Class(179,269)(92,695)
I Class(155,028)(98,318)
A Class(11,127)— 
R6 Class(185,410)(88,224)
Decrease in net assets from distributions(530,834)(279,237)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(6,205,348)(1,610,437)
Net increase (decrease) in net assets4,654,087 (3,453,610)
Net Assets
Beginning of period78,103,879 81,557,489 
End of period$82,757,966 $78,103,879 


See Notes to Financial Statements.
9


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. Global Small Cap Fund (the fund) is one fund in a series issued by the corporation. The fund’s investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, A Class, C Class, R Class and R6 Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge.

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes. Certain countries impose taxes on realized gains on the sale of securities registered in their country. The fund records the foreign tax expense, if any, on an accrual basis. The foreign tax expense on realized gains and unrealized appreciation reduces the net realized gain (loss) on investment transactions and net unrealized appreciation (depreciation) on investments, respectively.

10


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 daysBetween
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$1,033,186 — — — $1,033,186 
Gross amount of recognized liabilities for securities lending transactions$1,033,186 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

11


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class.

The annual management fee for each class is as follows:
Investor ClassI ClassA ClassC ClassR ClassR6 Class
1.10%0.90%1.10%1.10%1.10%0.75%
Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. There were no interfund transactions during the period.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $47,988,899 and $54,501,439, respectively.

12


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized40,000,000 40,000,000 
Sold140,854 $2,432,863 453,528 $7,259,926 
Issued in reinvestment of distributions10,007 176,821 5,811 91,465 
Redeemed(335,713)(5,701,940)(686,681)(10,844,446)
(184,852)(3,092,256)(227,342)(3,493,055)
I Class/Shares Authorized25,000,000 25,000,000 
Sold188,477 3,277,095 286,831 4,658,833 
Issued in reinvestment of distributions8,651 155,028 6,164 98,318 
Redeemed(383,799)(6,899,169)(630,237)(9,983,116)
(186,671)(3,467,046)(337,242)(5,225,965)
A Class/Shares Authorized20,000,000 20,000,000 
Sold24,087 402,219 340,447 5,173,279 
Issued in reinvestment of distributions641 11,127 — — 
Redeemed(23,021)(388,781)(119,735)(1,941,925)
1,707 24,565 220,712 3,231,354 
C Class/Shares Authorized20,000,000 20,000,000 
Sold388 6,111 12,380 179,782 
Redeemed(18,241)(287,772)(11,051)(157,882)
(17,853)(281,661)1,329 21,900 
R Class/Shares Authorized20,000,000 20,000,000 
Sold16,536 273,517 34,731 535,463 
Redeemed(7,737)(127,817)(68,861)(1,005,678)
8,799 145,700 (34,130)(470,215)
R6 Class/Shares Authorized20,000,000 20,000,000 
Sold158,998 2,677,785 590,570 9,415,393 
Issued in reinvestment of distributions10,244 185,410 5,476 88,224 
Redeemed(134,771)(2,397,845)(313,436)(5,178,073)
34,471 465,350 282,610 4,325,544 
Net increase (decrease)(344,399)$(6,205,348)(94,063)$(1,610,437)

6. 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.

13


The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Australia— $1,494,273 — 
Belgium— 375,598 — 
Brazil$341,216 410,366 — 
Canada693,184 5,303,455 — 
China— 718,009 — 
France— 2,596,658 — 
Germany— 2,261,771 — 
Greece— 553,988 — 
Hong Kong— 695,091 — 
India— 3,001,947 — 
Italy— 1,224,698 — 
Japan— 6,482,216 — 
Mexico— 458,243 — 
Netherlands— 2,349,556 — 
Norway— 902,882 — 
South Korea— 394,742 — 
Spain— 656,087 — 
Sweden— 978,847 — 
Taiwan— 1,930,223 — 
United Kingdom— 3,723,833 — 
Other Countries43,687,190 — — 
Exchange-Traded Funds1,247,424 — — 
Short-Term Investments1,036,292 404,176 — 
$47,005,306 $36,916,659 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

The fund invests in common stocks of small companies. Because of this, the fund may be subject to greater risk and market fluctuations than a fund investing in larger, more established companies.

The fund's investment process may result in high portfolio turnover, which could mean high transaction costs, affecting both performance and capital gains tax liabilities to investors.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

14


As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$66,110,023 
Gross tax appreciation of investments$19,151,634 
Gross tax depreciation of investments(1,339,692)
Net tax appreciation (depreciation) of investments$17,811,942 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(18,324,960), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
15


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Net
Investment
Income
(Loss)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
Investor Class
2024(3)
$15.780.012.282.29(0.09)(0.09)$17.9814.52%1.11%0.12%58%$36,250 
2023$16.170.01(0.36)(0.35)(0.04)(0.04)$15.78(2.18)%1.11%0.03%130%$34,727 
2022$24.940.03(5.23)(5.20)(0.04)(3.53)(3.57)$16.17(24.11)%1.11%0.17%115%$39,261 
2021$21.11(0.10)5.295.19(1.36)(1.36)$24.9425.57%1.11%(0.40)%136%$41,838 
2020$15.81(0.11)6.196.08(0.78)(0.78)$21.1140.28%1.39%(0.63)%204%$21,562 
2019$13.66(0.06)2.442.38(0.23)(0.23)$15.8117.93%1.51%(0.39)%161%$15,005 
I Class
2024(3)
$16.020.032.312.34(0.12)(0.12)$18.2414.65%0.91%0.32%58%$18,943 
2023$16.410.04(0.36)(0.32)(0.07)(0.07)$16.02(1.96)%0.91%0.23%130%$19,628 
2022$25.270.06(5.30)(5.24)(0.09)(3.53)(3.62)$16.41(23.98)%0.91%0.37%115%$25,641 
2021$21.33(0.04)5.345.30(1.36)(1.36)$25.2725.84%0.91%(0.20)%136%$11,067 
2020$15.94(0.08)6.256.17(0.78)(0.78)$21.3340.62%1.19%(0.43)%204%$587 
2019$13.74(0.02)2.452.43(0.23)(0.23)$15.9418.12%1.31%(0.19)%161%$557 
A Class
2024(3)
$15.48(0.01)2.242.23(0.05)(0.05)$17.6614.38%1.36%(0.13)%58%$4,351 
2023$15.87(0.04)(0.35)(0.39)$15.48(2.46)%1.36%(0.22)%130%$3,787 
2022$24.55(0.01)(5.14)(5.15)(3.53)(3.53)$15.87(24.28)%1.36%(0.08)%115%$379 
2021$20.85(0.16)5.225.06(1.36)(1.36)$24.5525.25%1.36%(0.65)%136%$317 
2020$15.66(0.15)6.125.97(0.78)(0.78)$20.8539.95%1.64%(0.88)%204%$63 
2019$13.57(0.08)2.402.32(0.23)(0.23)$15.6617.60%1.76%(0.64)%161%$671 
C Class
2024(3)
$14.41(0.08)2.102.02$16.4313.95%2.11%(0.88)%58%$161 
2023$14.88(0.14)(0.33)(0.47)$14.41(3.16)%2.11%(0.97)%130%$398 
2022$23.41(0.13)(4.87)(5.00)(3.53)(3.53)$14.88(24.91)%2.11%(0.83)%115%$392 
2021$20.08(0.33)5.024.69(1.36)(1.36)$23.4124.32%2.11%(1.40)%136%$178 
2020$15.22(0.26)5.905.64(0.78)(0.78)$20.0838.88%2.39%(1.63)%204%$45 
2019$13.29(0.18)2.342.16(0.23)(0.23)$15.2216.75%2.51%(1.39)%161%$595 



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Net
Investment
Income
(Loss)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
R Class
2024(3)
$15.12(0.03)2.192.16$17.2814.29%1.61%(0.38)%58%$1,555 
2023$15.54(0.07)(0.35)(0.42)$15.12(2.70)%1.61%(0.47)%130%$1,228 
2022$24.17(0.06)(5.04)(5.10)(3.53)(3.53)$15.54(24.49)%1.61%(0.33)%115%$1,792 
2021$20.59(0.21)5.154.94(1.36)(1.36)$24.1724.97%1.61%(0.90)%136%$1,937 
2020$15.52(0.18)6.035.85(0.78)(0.78)$20.5939.52%1.89%(1.13)%204%$839 
2019$13.48(0.12)2.392.27(0.23)(0.23)$15.5217.34%2.01%(0.89)%161%$523 
R6 Class
2024(3)
$16.200.042.342.38(0.15)(0.15)$18.4314.71%0.76%0.47%58%$21,498 
2023$16.590.06(0.36)(0.30)(0.09)(0.09)$16.20(1.80)%0.76%0.38%130%$18,335 
2022$25.510.09(5.35)(5.26)(0.13)(3.53)(3.66)$16.59(23.87)%0.76%0.52%115%$14,092 
2021$21.49(0.01)5.395.38(1.36)(1.36)$25.5126.03%0.76%(0.05)%136%$15,878 
2020$16.03(0.03)6.276.24(0.78)(0.78)$21.4940.75%1.04%(0.28)%204%$24,743 
2019$13.79
(4)
2.472.47(0.23)(0.23)$16.0318.34%1.16%(0.04)%161%$207 
Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































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Semiannual Financial Statements and Other Information
May 31, 2024
International Growth Fund
Investor Class (TWIEX)
I Class (TGRIX)
Y Class (ATYGX)
A Class (TWGAX)
C Class (AIWCX)
R Class (ATGRX)
R5 Class (ATGGX)
R6 Class (ATGDX)
G Class (ACAEX)

















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 





































Schedule of Investments 

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 99.3%
  
Australia — 3.1%
  
CSL Ltd.
200,340 $37,501,306 
James Hardie Industries PLC(1)
518,770 16,171,479 
NEXTDC Ltd.(1)
3,229,578 38,550,749 
 92,223,534 
Brazil — 0.7%
  
NU Holdings Ltd., Class A(1)
1,631,650 19,384,002 
Canada — 3.0%
  
Canadian Pacific Kansas City Ltd.
414,790 33,017,035 
Capstone Copper Corp.(1)
2,600,540 18,317,021 
Intact Financial Corp.
123,580 20,676,608 
Shopify, Inc., Class A(1)
275,690 16,315,459 
 88,326,123 
China — 0.5%
  
H World Group Ltd., ADR
423,500 15,766,905 
Denmark — 5.9%
  
Novo Nordisk AS, Class B
1,278,686 173,246,706 
France — 16.5%
  
Air Liquide SA
358,762 70,630,839 
Airbus SE
311,810 53,039,377 
Arkema SA
191,453 19,619,325 
Capgemini SE
27,130 5,496,591 
Dassault Systemes SE
251,390 10,216,968 
Edenred SE
780,607 36,424,285 
Hermes International SCA
11,940 28,341,011 
L'Oreal SA
97,010 47,884,147 
LVMH Moet Hennessy Louis Vuitton SE
86,681 69,322,541 
Pernod Ricard SA
67,880 10,165,224 
Publicis Groupe SA
187,150 21,021,582 
Safran SA
93,550 21,909,895 
Sartorius Stedim Biotech
85,360 17,004,149 
Schneider Electric SE
284,227 70,908,983 
 481,984,917 
Germany — 6.1%
  
adidas AG
89,660 22,708,215 
Infineon Technologies AG
1,060,491 42,905,816 
SAP SE
381,600 69,587,939 
Symrise AG
365,940 43,711,741 
 178,913,711 
Hong Kong — 2.0%
  
AIA Group Ltd.
2,883,400 22,395,933 
Techtronic Industries Co. Ltd.
2,873,000 35,342,935 
 57,738,868 
India — 0.4%
  
MakeMyTrip Ltd.(1)
172,310 13,024,913 
Indonesia — 0.6%
  
Bank Central Asia Tbk. PT
31,809,600 18,098,782 
Ireland — 2.9%
  
Bank of Ireland Group PLC
2,075,030 23,848,423 
ICON PLC(1)
140,850 45,750,897 
Kerry Group PLC, A Shares
166,540 14,109,646 
83,708,966 
2


SharesValue
Italy — 4.0%
Davide Campari-Milano NV
2,628,810 $26,334,711 
Ferrari NV
104,830 43,198,555 
Prysmian SpA
465,660 30,626,331 
Saipem SpA(1)
6,885,570 17,195,961 
117,355,558 
Japan — 16.9%
Denso Corp.
1,059,500 17,217,448 
Disco Corp.
56,900 22,382,120 
Fast Retailing Co. Ltd.
104,500 26,838,449 
Hoya Corp.
255,700 31,127,129 
Keyence Corp.
126,300 56,931,165 
Kobe Bussan Co. Ltd.(2)
551,000 12,187,366 
Mitsubishi Electric Corp.
1,369,300 23,794,792 
Mitsubishi Heavy Industries Ltd.
3,858,500 33,753,209 
Murata Manufacturing Co. Ltd.
785,200 14,852,380 
NEC Corp.
354,800 26,410,522 
NTT Data Group Corp.
733,400 11,278,020 
Obic Co. Ltd.
98,800 12,826,635 
Pan Pacific International Holdings Corp.
1,188,100 30,732,629 
Recruit Holdings Co. Ltd.
490,000 24,736,127 
Shin-Etsu Chemical Co. Ltd.
774,300 28,903,498 
Sumitomo Mitsui Financial Group, Inc.
688,600 45,068,240 
Terumo Corp.
2,064,800 35,171,756 
Tokio Marine Holdings, Inc.
447,900 15,517,621 
Tokyo Electron Ltd.
114,200 24,251,351 
493,980,457 
Netherlands — 8.4%
Adyen NV(1)
16,460 21,345,050 
ASML Holding NV
135,980 130,101,594 
DSM-Firmenich AG
339,729 39,324,669 
Heineken NV
267,410 26,831,403 
Universal Music Group NV(2)
920,700 28,692,379 
246,295,095 
Spain — 0.8%
Iberdrola SA
1,816,662 23,977,687 
Sweden — 0.7%
Hexagon AB, B Shares
1,759,390 19,379,500 
Switzerland — 7.2%
Cie Financiere Richemont SA, Class A
241,370 38,840,485 
Galderma Group AG(1)
208,595 16,937,725 
Lonza Group AG
44,510 24,162,282 
Nestle SA
250,298 26,506,873 
On Holding AG, Class A(1)(2)
948,680 40,356,847 
Partners Group Holding AG
11,390 15,328,970 
Sika AG
100,129 30,524,132 
Zurich Insurance Group AG
35,380 18,620,724 
211,278,038 
Taiwan — 1.2%
Taiwan Semiconductor Manufacturing Co. Ltd.
1,370,000 35,082,866 
3


SharesValue
United Kingdom — 18.4%
AstraZeneca PLC
579,630 $90,102,928 
BAE Systems PLC
1,555,280 27,693,342 
Barclays PLC
16,776,150 47,380,987 
BP PLC
5,375,950 33,629,173 
Compass Group PLC
1,041,110 29,230,414 
CRH PLC
491,860 40,214,474 
Haleon PLC
8,683,291 36,082,525 
London Stock Exchange Group PLC
525,805 61,633,027 
Melrose Industries PLC
1,883,026 14,900,618 
Persimmon PLC
717,660 13,407,501 
RELX PLC
1,264,070 55,450,803 
Segro PLC
3,105,331 36,466,908 
Unilever PLC
765,950 41,945,777 
Whitbread PLC
267,666 10,150,402 
538,288,879 
TOTAL COMMON STOCKS
(Cost $2,128,787,886)
2,908,055,507 
SHORT-TERM INVESTMENTS — 1.7%
Money Market Funds — 1.1%
State Street Institutional U.S. Government Money Market Fund, Premier Class
73,480 73,480 
State Street Navigator Securities Lending Government Money Market Portfolio(3)
31,713,833 31,713,833 
31,787,313 
Repurchase Agreements — 0.6%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $1,140,780), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $1,110,652)
1,110,163 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 2.75%, 4/30/27, valued at $11,227,257), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $11,011,871)
11,007,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 0.50% - 4.875%, 6/30/27 - 10/31/30, valued at $4,537,967), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $4,448,964)
4,447,000 
16,564,163 
TOTAL SHORT-TERM INVESTMENTS
(Cost $48,351,476)
48,351,476 
TOTAL INVESTMENT SECURITIES — 101.0%
(Cost $2,177,139,362)
2,956,406,983 
OTHER ASSETS AND LIABILITIES — (1.0)%
(28,143,716)
TOTAL NET ASSETS — 100.0%
$2,928,263,267 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Information Technology18.3%
Health Care16.1%
Industrials14.5%
Consumer Discretionary13.6%
Financials12.5%
Materials10.5%
Consumer Staples8.3%
Energy1.7%
Communication Services1.7%
Real Estate1.3%
Utilities0.8%
Short-Term Investments1.7%
Other Assets and Liabilities(1.0)%

4


NOTES TO SCHEDULE OF INVESTMENTS
ADRAmerican Depositary Receipt
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $32,589,077. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $33,409,411, which includes securities collateral of $1,695,578.


See Notes to Financial Statements.
5


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $2,145,425,529) — including $32,589,077 of securities on loan$2,924,693,150 
Investment made with cash collateral received for securities on loan, at value (cost of $31,713,833)31,713,833 
Total investment securities, at value (cost of $2,177,139,362)2,956,406,983 
Foreign currency holdings, at value (cost of $202,064)202,918 
Receivable for investments sold24,841,942 
Receivable for capital shares sold294,132 
Dividends and interest receivable13,371,796 
Securities lending receivable10,768 
Other assets67,421 
2,995,195,960 
Liabilities
Payable for collateral received for securities on loan31,713,833 
Payable for investments purchased26,482,886 
Payable for capital shares redeemed4,002,115 
Accrued management fees1,324,869 
Distribution and service fees payable17,422 
Accrued IRS compliance fees3,373,730 
Accrued other expenses17,838 
66,932,693 
Net Assets$2,928,263,267 
Net Assets Consist of:
Capital (par value and paid-in surplus)$2,346,274,854 
Distributable earnings (loss)581,988,413 
$2,928,263,267 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$890,497,81369,766,457$12.76
I Class, $0.01 Par Value$298,999,33323,611,335$12.66
Y Class, $0.01 Par Value$56,572,9694,460,177$12.68
A Class, $0.01 Par Value$65,498,4465,107,745$12.82
C Class, $0.01 Par Value$383,60532,226$11.90
R Class, $0.01 Par Value$7,808,537605,437$12.90
R5 Class, $0.01 Par Value$8,073637$12.67
R6 Class, $0.01 Par Value$28,078,9442,216,154$12.67
G Class, $0.01 Par Value$1,580,415,547123,285,851$12.82
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $13.60 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
6


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $2,919,680)$28,242,031 
Interest822,589 
Securities lending, net67,442 
29,132,062 
Expenses:
Management fees14,617,380 
Distribution and service fees:
A Class84,145 
C Class2,064 
R Class18,633 
Directors' fees and expenses41,234 
Other expenses128,560 
14,892,016 
Fees waived - G Class(6,810,965)
8,081,051 
Net investment income (loss)21,051,011 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions (net of foreign tax expenses paid (refunded) of $574,855)33,406,525 
Foreign currency translation transactions101,308 
33,507,833 
Change in net unrealized appreciation (depreciation) on:
Investments (includes (increase) decrease in accrued foreign taxes of $660,448)258,089,891 
Translation of assets and liabilities in foreign currencies(161,738)
257,928,153 
Net realized and unrealized gain (loss)291,435,986 
Net Increase (Decrease) in Net Assets Resulting from Operations$312,486,997 


See Notes to Financial Statements.
7


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$21,051,011 $31,340,690 
Net realized gain (loss)33,507,833 (99,172,745)
Change in net unrealized appreciation (depreciation)257,928,153 188,671,789 
Net increase (decrease) in net assets resulting from operations312,486,997 120,839,734 
Distributions to Shareholders
From earnings:
Investor Class(4,397,930)— 
I Class(2,048,613)— 
Y Class(466,755)— 
A Class(161,260)— 
R5 Class(55)— 
R6 Class(199,461)— 
G Class(26,731,358)— 
Decrease in net assets from distributions(34,005,432)— 
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(115,296,084)(22,208,949)
Net increase (decrease) in net assets163,185,481 98,630,785 
Net Assets
Beginning of period2,765,077,786 2,666,447,001 
End of period$2,928,263,267 $2,765,077,786 


See Notes to Financial Statements.
8


Notes to Financial Statements  

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. International Growth Fund (the fund) is one fund in a series issued by the corporation. The fund's investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, Y Class, A Class, C Class, R Class, R5 Class, R6 Class and G Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge. 

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes. Certain countries impose taxes on realized gains on the sale of securities registered in their country. The fund records the foreign tax expense, if any, on an accrual basis. The foreign tax expense on realized gains and unrealized appreciation reduces the net realized gain (loss) on investment transactions and net unrealized appreciation (depreciation) on investments, respectively.

9


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 days
Between
30 & 90 days
>90 days
Total
Securities Lending Transactions(1)
Common Stocks$31,713,833 — — — $31,713,833 
Gross amount of recognized liabilities for securities lending transactions$31,713,833 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

10


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC. Various funds issued by American Century Asset Allocation Portfolios, Inc. own, in aggregate, 33% of the shares of the fund. Related parties do not invest in the fund for the purpose of exercising management or control.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund's assets, which do not vary by class. The rate of the fee is determined by applying a fee rate calculation formula. This formula takes into account the fund's assets as well as certain assets, if any, of other clients of the investment advisor outside the American Century Investments family of funds (such as subadvised funds and separate accounts), as well as exchange-traded funds managed by the investment advisor, that use very similar investment teams and strategies (strategy assets). The investment advisor agreed to waive the G Class's management fee in its entirety. The investment advisor expects this waiver to remain in effect permanently and cannot terminate it without the approval of the Board of Directors.

The management fee schedule range and the effective annual management fee for each class for the period ended May 31, 2024 are as follows:
Management Fee
Schedule Range
Effective Annual
Management Fee
Investor Class1.050% to 1.500%1.24%
I Class0.850% to 1.300%1.04%
Y Class0.700% to 1.150%0.89%
A Class1.050% to 1.500%1.24%
C Class1.050% to 1.500%1.24%
R Class1.050% to 1.500%1.24%
R5 Class0.850% to 1.300%1.04%
R6 Class0.700% to 1.150%0.89%
G Class0.700% to 1.150%
0.00%(1)
(1)Effective annual management fee before waiver was 0.89%.

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. During the period, the interfund sales were $342,101 and there were no interfund purchases. The effect of interfund transactions on the Statement of Operations was $(81,291) in net realized gain (loss) on investment transactions.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $909,989,984 and $1,043,677,208, respectively.

11


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized1,250,000,000 1,250,000,000 
Sold504,036 $6,124,199 5,034,273 $57,254,810 
Issued in reinvestment of distributions330,949 4,232,837 — — 
Redeemed(5,523,581)(67,994,060)(10,453,580)(121,780,199)
(4,688,596)(57,637,024)(5,419,307)(64,525,389)
I Class/Shares Authorized300,000,000 300,000,000 
Sold749,652 9,080,397 1,981,790 22,596,027 
Issued in reinvestment of distributions160,661 2,038,788 — — 
Redeemed(1,000,515)(12,266,758)(2,854,292)(32,440,009)
(90,202)(1,147,573)(872,502)(9,843,982)
Y Class/Shares Authorized40,000,000 40,000,000 
Sold460,637 5,642,314 903,775 10,364,996 
Issued in reinvestment of distributions36,752 466,755 — — 
Redeemed(348,878)(4,272,283)(1,209,253)(14,166,235)
148,511 1,836,786 (305,478)(3,801,239)
A Class/Shares Authorized80,000,000 80,000,000 
Sold142,958 1,749,023 422,314 4,870,116 
Issued in reinvestment of distributions12,422 159,746 — — 
Redeemed(656,369)(8,151,262)(799,056)(9,293,280)
(500,989)(6,242,493)(376,742)(4,423,164)
C Class/Shares Authorized20,000,000 20,000,000 
Sold729 8,392 1,057 11,435 
Redeemed(5,297)(61,832)(35,891)(391,329)
(4,568)(53,440)(34,834)(379,894)
R Class/Shares Authorized25,000,000 25,000,000 
Sold59,648 738,836 179,185 2,093,889 
Redeemed(54,515)(680,250)(155,230)(1,749,459)
5,133 58,586 23,955 344,430 
R5 Class/Shares Authorized20,000,000 20,000,000 
Issued in reinvestment of distributions55 — — 
R6 Class/Shares Authorized45,000,000 45,000,000 
Sold588,615 7,304,100 864,536 9,867,063 
Issued in reinvestment of distributions15,560 197,451 — — 
Redeemed(366,003)(4,495,293)(1,356,933)(15,642,883)
238,172 3,006,258 (492,397)(5,775,820)
G Class/Shares Authorized1,500,000,000 1,500,000,000 
Sold7,101,016 86,685,563 23,293,156 268,627,206 
Issued in reinvestment of distributions2,085,129 26,731,358 — — 
Redeemed(13,705,669)(168,534,160)(17,441,413)(202,431,097)
(4,519,524)(55,117,239)5,851,743 66,196,109 
Net increase (decrease)(9,412,059)$(115,296,084)(1,625,562)$(22,208,949)

12


6. 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.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Brazil$19,384,002 — — 
China15,766,905 — — 
India13,024,913 — — 
Ireland45,750,897 $37,958,069 — 
Switzerland40,356,847 170,921,191 — 
United Kingdom40,214,474 498,074,405 — 
Other Countries— 2,026,603,804 — 
Short-Term Investments31,787,313 16,564,163 — 
$206,285,351 $2,750,121,632 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

13


As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$2,186,900,599 
Gross tax appreciation of investments$820,168,297 
Gross tax depreciation of investments(50,661,913)
Net tax appreciation (depreciation) of investments$769,506,384 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(220,449,315) and accumulated long-term capital losses of $(20,783,845), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.

14


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Tax
Return
of
Capital
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
Investor Class
2024(3)
$11.540.051.231.28(0.06)(0.06)$12.7611.10%1.25%1.25%0.79%0.79%32%$890,498
2023$11.130.060.350.41$11.543.68%1.26%1.26%0.48%0.48%54%$859,014
2022$16.240.14(3.17)(3.03)(0.38)(1.67)(0.03)(2.08)$11.13(20.99)%1.36%1.36%1.09%1.09%38%$888,748
2021$15.320.091.511.60
(4)
(0.68)(0.68)$16.2410.83%1.21%1.21%0.56%0.56%51%$1,163,803
2020$12.350.013.013.02(0.01)(0.04)(0.05)$15.3224.57%1.18%1.18%0.06%0.06%51%$1,243,217
2019$11.830.051.661.71(0.12)(1.07)(1.19)$12.3516.82%1.18%1.18%0.43%0.43%68%$1,162,998
I Class
2024(3)
$11.460.061.231.29(0.09)(0.09)$12.6611.23%1.05%1.05%0.99%0.99%32%$298,999
2023$11.030.080.350.43$11.463.90%1.06%1.06%0.68%0.68%54%$271,586
2022$16.130.16(3.14)(2.98)(0.42)(1.67)(0.03)(2.12)$11.03(20.86)%1.16%1.16%1.29%1.29%38%$271,018
2021$15.220.141.481.62(0.03)(0.68)(0.71)$16.1311.07%1.01%1.01%0.76%0.76%51%$265,248
2020$12.270.033.003.03(0.04)(0.04)(0.08)$15.2224.82%0.98%0.98%0.26%0.26%51%$82,222
2019$11.760.071.661.73(0.15)(1.07)(1.22)$12.2717.09%0.98%0.98%0.63%0.63%68%$74,688
Y Class
2024(3)
$11.490.071.231.30(0.11)(0.11)$12.6811.28%0.90%0.90%1.14%1.14%32%$56,573
2023$11.040.100.350.45$11.494.08%0.91%0.91%0.83%0.83%54%$49,523
2022$16.150.16(3.12)(2.96)(0.45)(1.67)(0.03)(2.15)$11.04(20.73)%1.01%1.01%1.44%1.44%38%$50,967
2021$15.240.161.491.65(0.06)(0.68)(0.74)$16.1511.23%0.86%0.86%0.91%0.91%51%$47,542
2020$12.290.052.993.04(0.05)(0.04)(0.09)$15.2424.97%0.83%0.83%0.41%0.41%51%$29,299
2019$11.780.081.661.74(0.16)(1.07)(1.23)$12.2917.27%0.83%0.83%0.78%0.78%68%$18,691
A Class
2024(3)
$11.580.031.241.27(0.03)(0.03)$12.8210.96%1.50%1.50%0.54%0.54%32%$65,498
2023$11.190.030.360.39$11.583.49%1.51%1.51%0.23%0.23%54%$64,930
2022$16.310.11(3.19)(3.08)(0.34)(1.67)(0.03)(2.04)$11.19(21.24)%1.61%1.61%0.84%0.84%38%$66,993
2021$15.420.051.521.57(0.68)(0.68)$16.3110.53%1.46%1.46%0.31%0.31%51%$87,967
2020$12.45(0.02)3.033.01(0.04)(0.04)$15.4224.27%1.43%1.43%(0.19)%(0.19)%51%$81,088
2019$11.910.021.691.71(0.10)(1.07)(1.17)$12.4516.56%1.43%1.43%0.18%0.18%68%$67,857



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Tax
Return
of
Capital
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
C Class
2024(3)
$10.76(0.01)1.151.14$11.9010.59%2.25%2.25%(0.21)%(0.21)%32%$384
2023$10.48(0.05)0.330.28$10.762.67%2.26%2.26%(0.52)%(0.52)%54%$396
2022$15.410.03(3.02)(2.99)(0.24)(1.67)(0.03)(1.94)$10.48(21.81)%2.36%2.36%0.09%0.09%38%$751
2021$14.71(0.08)1.461.38(0.68)(0.68)$15.419.72%2.21%2.21%(0.44)%(0.44)%51%$1,462
2020$11.97(0.11)2.892.78(0.04)(0.04)$14.7123.32%2.18%2.18%(0.94)%(0.94)%51%$1,855
2019$11.49(0.06)1.621.56(0.01)(1.07)(1.08)$11.9715.66%2.18%2.18%(0.57)%(0.57)%68%$2,694
R Class
2024(3)
$11.630.021.251.27$12.9010.92%1.75%1.75%0.29%0.29%32%$7,809
2023$11.27
(4)
0.360.36$11.633.19%1.76%1.76%(0.02)%(0.02)%54%$6,982
2022$16.400.07(3.21)(3.14)(0.29)(1.67)(0.03)(1.99)$11.27(21.45)%1.86%1.86%0.59%0.59%38%$6,498
2021$15.540.011.531.54(0.68)(0.68)$16.4010.25%1.71%1.71%0.06%0.06%51%$7,589
2020$12.58(0.06)3.063.00(0.04)(0.04)$15.5424.04%1.68%1.68%(0.44)%(0.44)%51%$6,701
2019$12.02(0.01)1.711.70(0.07)(1.07)(1.14)$12.5816.17%1.68%1.68%(0.07)%(0.07)%68%$6,069
R5 Class
2024(3)
$11.470.061.231.29(0.09)(0.09)$12.6711.22%1.05%1.05%0.99%0.99%32%$8
2023$11.040.080.350.43$11.473.99%1.06%1.06%0.68%0.68%54%$7
2022$16.140.16(3.14)(2.98)(0.42)(1.67)(0.03)(2.12)$11.04(20.92)%1.16%1.16%1.29%1.29%38%$7
2021$15.230.111.511.62(0.03)(0.68)(0.71)$16.1411.06%1.01%1.01%0.76%0.76%51%$9
2020$12.280.033.003.03(0.04)(0.04)(0.08)$15.2324.80%0.98%0.98%0.26%0.26%51%$11
2019$11.770.071.661.73(0.15)(1.07)(1.22)$12.2817.09%0.98%0.98%0.63%0.63%68%$6
R6 Class
2024(3)
$11.470.071.241.31(0.11)(0.11)$12.6711.39%0.90%0.90%1.14%1.14%32%$28,079
2023$11.030.090.350.44$11.473.99%0.91%0.91%0.83%0.83%54%$22,695
2022$16.140.18(3.14)(2.96)(0.45)(1.67)(0.03)(2.15)$11.03(20.75)%1.01%1.01%1.44%1.44%38%$27,243
2021$15.230.141.511.65(0.06)(0.68)(0.74)$16.1411.23%0.86%0.86%0.91%0.91%51%$31,350
2020$12.280.052.993.04(0.05)(0.04)(0.09)$15.2324.99%0.83%0.83%0.41%0.41%51%$55,137
2019$11.770.091.651.74(0.16)(1.07)(1.23)$12.2817.28%0.83%0.83%0.78%0.78%68%$37,088
G Class
2024(3)
$11.660.131.251.38(0.22)(0.22)$12.8211.84%0.01%0.90%2.03%1.14%32%$1,580,416
2023$11.100.200.360.56$11.665.05%0.02%0.91%1.72%0.83%54%$1,489,943
2022(5)
$12.810.15(1.54)(1.39)(0.29)(0.03)(0.32)$11.10(11.03)%0.07%0.95%2.20%1.32%
38%(6)
$1,354,224



Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
(5)April 1, 2022 (commencement of sale) through November 30, 2022.
(6)Portfolio turnover is calculated at the fund level. Percentage indicated was calculated for the year ended November 30, 2022.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































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Image25.jpg

Semiannual Financial Statements and Other Information
May 31, 2024
International Opportunities Fund
Investor Class (AIOIX)
I Class (ACIOX)
A Class (AIVOX)
C Class (AIOCX)
R Class (AIORX)




















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 








































Schedule of Investments 

MAY 31, 2024 (UNAUDITED)
 SharesValue
COMMON STOCKS — 100.2%
  
Australia — 7.0%
  
CAR Group Ltd.
235,113 $5,490,016 
Lovisa Holdings Ltd.
133,275 3,035,550 
Megaport Ltd.(1)
297,834 2,718,818 
NEXTDC Ltd.(1)
584,961 6,982,548 
Paladin Energy Ltd.(1)
417,425 4,462,494 
Pro Medicus Ltd.(2)
40,408 3,251,262 
Seven Group Holdings Ltd.
193,278 5,066,081 
  31,006,769 
Brazil — 1.6%
  
Direcional Engenharia SA
514,200 2,406,044 
Embraer SA, ADR(1)
166,781 4,634,844 
  7,040,888 
Canada — 9.0%
  
Alamos Gold, Inc., Class A
341,496 5,710,183 
Aritzia, Inc.(1)
81,819 2,044,049 
AtkinsRealis Group, Inc.
141,127 5,523,103 
Capstone Copper Corp.(1)
663,444 4,672,998 
Cargojet, Inc.(2)
26,289 2,141,774 
Celestica, Inc.(1)
81,336 4,548,309 
Descartes Systems Group, Inc.(1)
46,877 4,328,801 
ERO Copper Corp.(1)(2)
156,931 3,341,383 
FirstService Corp.
7,798 1,147,242 
Lundin Gold, Inc.
286,096 4,225,476 
Stantec, Inc.
27,582 2,226,068 
  39,909,386 
China — 2.8%
  
Bosideng International Holdings Ltd.
3,414,000 1,975,412 
Kanzhun Ltd., ADR
222,850 4,735,563 
Tongcheng Travel Holdings Ltd.(1)
1,632,800 3,738,408 
Yihai International Holding Ltd.(2)
1,157,000 2,151,921 
  12,601,304 
Denmark — 2.9%
  
Ambu AS, Class B(1)
170,898 3,281,141 
NKT AS(1)
41,050 3,564,506 
Royal Unibrew AS(1)
49,114 4,036,739 
Zealand Pharma AS(1)
23,304 2,186,224 
  13,068,610 
France — 4.1%
  
Elis SA
319,369 8,119,719 
Gaztransport Et Technigaz SA
15,107 2,203,882 
SPIE SA
27,277 1,122,906 
Verallia SA
81,646 3,380,459 
VusionGroup(1)(2)
20,466 3,268,536 
  18,095,502 
Germany — 4.0%
  
Bilfinger SE
42,183 2,312,892 
CTS Eventim AG & Co. KGaA
35,159 3,050,106 
Gerresheimer AG
6,109 699,793 
2


 SharesValue
KION Group AG
86,870 $4,109,681 
Redcare Pharmacy NV(1)
36,021 4,514,936 
Scout24 SE
42,237 3,177,212 
17,864,620 
Greece — 1.7%
National Bank of Greece SA(1)
851,348 7,397,391 
Hong Kong — 1.3%
Samsonite International SA(1)
1,092,600 3,472,597 
Xinyi Glass Holdings Ltd.(2)
1,793,000 2,221,757 
5,694,354 
India — 8.3%
Honasa Consumer Ltd.(1)
426,250 2,255,552 
Kalyan Jewellers India Ltd.
829,718 3,871,335 
KEI Industries Ltd.
96,601 4,753,553 
Lemon Tree Hotels Ltd.(1)
1,756,210 2,874,736 
Max Financial Services Ltd.(1)
454,630 5,006,697 
Max Healthcare Institute Ltd.
732,490 6,609,010 
Phoenix Mills Ltd.
81,676 3,036,294 
Prestige Estates Projects Ltd.
192,184 3,684,084 
Rainbow Children's Medicare Ltd.
152,604 2,379,193 
Varun Beverages Ltd.
131,751 2,254,284 
36,724,738 
Indonesia — 0.5%
Ace Hardware Indonesia Tbk. PT
46,007,600 2,326,063 
Ireland — 1.0%
Glanbia PLC
222,993 4,582,960 
Israel — 3.5%
Camtek Ltd.
53,294 5,457,838 
CyberArk Software Ltd.(1)
19,211 4,404,122 
Nova Ltd.(1)
26,306 5,488,747 
15,350,707 
Italy — 0.6%
De' Longhi SpA
76,529 2,693,381 
Japan — 16.5%
Amvis Holdings, Inc.
130,400 1,649,976 
Asics Corp.
99,900 5,549,594 
Coca-Cola Bottlers Japan Holdings, Inc.
189,500 2,208,481 
CyberAgent, Inc.
721,900 4,351,517 
FP Partner, Inc.(2)
108,600 2,888,663 
GMO Payment Gateway, Inc.
29,700 1,282,456 
Horiba Ltd.
27,500 2,174,057 
Hoshizaki Corp.
95,200 3,418,727 
Kyoritsu Maintenance Co. Ltd.
98,200 1,936,445 
MISUMI Group, Inc.
124,800 2,149,570 
Money Forward, Inc.(1)
92,100 3,044,780 
Nihon M&A Center Holdings, Inc.
250,600 1,161,938 
Nissan Chemical Corp.
36,000 1,000,937 
Rakuten Bank Ltd.(1)
164,400 3,008,633 
Ryohin Keikaku Co. Ltd.
218,800 3,594,488 
Sanrio Co. Ltd.
274,800 4,245,031 
Santen Pharmaceutical Co. Ltd.
332,900 3,456,521 
Socionext, Inc.
94,500 2,776,075 
Taiheiyo Cement Corp.
173,300 4,327,714 
Tokyo Ohka Kogyo Co. Ltd.
125,800 3,298,804 
3


 SharesValue
Toyo Suisan Kaisha Ltd.
62,800 $4,527,555 
Toyo Tire Corp.
242,900 4,352,984 
U-Next Holdings Co. Ltd.
81,500 2,410,041 
Visional, Inc.(1)
23,900 1,144,272 
WealthNavi, Inc.(1)(2)
118,900 886,792 
Yokogawa Electric Corp.
87,600 2,256,302 
73,102,353 
Mexico — 2.6%
BBB Foods, Inc., Class A(1)
114,744 3,125,627 
Corp. Inmobiliaria Vesta SAB de CV, ADR
93,436 3,255,310 
Vista Energy SAB de CV, ADR(1)
110,345 5,346,215 
11,727,152 
Netherlands — 2.8%
Aalberts NV
59,626 2,852,981 
BE Semiconductor Industries NV
14,611 2,173,646 
Fugro NV
83,526 2,241,106 
InPost SA(1)
275,405 4,963,865 
12,231,598 
Norway — 1.4%
Bakkafrost P
54,477 3,001,509 
Seadrill Ltd.(1)
58,990 3,059,811 
6,061,320 
South Africa — 1.1%
Aspen Pharmacare Holdings Ltd.(2)
380,870 4,727,314 
South Korea — 3.4%
Dentium Co. Ltd.
12,537 1,020,750 
Douzone Bizon Co. Ltd.
51,482 2,293,600 
Eugene Technology Co. Ltd.
108,709 4,006,340 
Kumho Petrochemical Co. Ltd.
25,139 2,685,752 
LG H&H Co. Ltd.
10,314 3,119,960 
Soop Co. Ltd.
27,272 2,194,974 
15,321,376 
Spain — 2.0%
Fluidra SA
102,007 2,488,972 
Indra Sistemas SA
271,936 6,285,961 
8,774,933 
Sweden — 3.3%
Beijer Ref AB(2)
212,100 3,472,029 
Hemnet Group AB
106,899 2,947,597 
Saab AB, Class B
238,464 5,788,171 
Trelleborg AB, B Shares
58,217 2,278,008 
14,485,805 
Switzerland — 1.7%
Siegfried Holding AG(1)
2,857 2,859,854 
Swissquote Group Holding SA
13,182 4,051,293 
Tecan Group AG
1,342 477,689 
7,388,836 
Taiwan — 7.6%
Airtac International Group(2)
123,000 3,891,866 
ASPEED Technology, Inc.
39,000 4,413,870 
Elan Microelectronics Corp.(2)
445,000 2,247,821 
Gold Circuit Electronics Ltd.(1)(2)
788,000 4,870,737 
Lotes Co. Ltd.
85,000 4,242,597 
Nien Made Enterprise Co. Ltd.
202,000 2,192,335 
4


 SharesValue
Phison Electronics Corp.(2)
224,000 $4,133,104 
Silergy Corp.(2)
174,000 2,548,123 
Tong Yang Industry Co. Ltd.
660,000 2,299,119 
Wiwynn Corp.(2)
38,000 2,908,310 
33,747,882 
United Kingdom — 8.3%
ConvaTec Group PLC
1,069,659 3,410,195 
Diploma PLC
104,134 5,458,660 
Greggs PLC
62,078 2,334,589 
Intermediate Capital Group PLC
207,939 6,195,433 
Marks & Spencer Group PLC
988,570 3,824,508 
Melrose Industries PLC
540,106 4,273,926 
Persimmon PLC
127,867 2,388,843 
Softcat PLC
167,282 3,554,057 
Weir Group PLC
186,840 5,105,992 
36,546,203 
United States — 1.2%
JFrog Ltd.(1)
65,950 2,121,612 
TechnipFMC PLC
123,591 3,236,848 
5,358,460 
TOTAL COMMON STOCKS
(Cost $360,275,961)
443,829,905 
EXCHANGE-TRADED FUNDS — 0.0%
Schwab International Small-Cap Equity ETF
(Cost $49,514)
1,803 66,008 
SHORT-TERM INVESTMENTS — 1.4%
Money Market Funds — 1.2%
State Street Navigator Securities Lending Government Money Market Portfolio(3)
5,368,690 5,368,690 
Repurchase Agreements — 0.2%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $66,281), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $64,530)
64,502 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 2.75%, 4/30/27, valued at $651,851), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $639,283)
639,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 1.75% - 2.625%, 1/31/26 - 12/31/26, valued at $263,297), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $258,114)
258,000 
961,502 
TOTAL SHORT-TERM INVESTMENTS
(Cost $6,330,192)
6,330,192 
TOTAL INVESTMENT SECURITIES — 101.6%
(Cost $366,655,667)
450,226,105 
OTHER ASSETS AND LIABILITIES — (1.6)%
(7,344,061)
TOTAL NET ASSETS — 100.0%
$442,882,044 

5


MARKET SECTOR DIVERSIFICATION
(as a % of net assets)  
Industrials21.5%
Information Technology21.1%
Consumer Discretionary13.0%
Consumer Staples8.9%
Health Care8.1%
Materials7.4%
Financials7.2%
Communication Services6.4%
Energy4.1%
Real Estate2.5%
Exchange-Traded Funds0.0%
Short-Term Investments1.4%
Other Assets and Liabilities(1.6)%

NOTES TO SCHEDULE OF INVESTMENTS
ADRAmerican Depositary Receipt
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $23,240,084. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $24,316,187, which includes securities collateral of $18,947,497.


See Notes to Financial Statements.
6


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $361,286,977) — including $23,240,084 of securities on loan$444,857,415 
Investment made with cash collateral received for securities on loan, at value (cost of $5,368,690)5,368,690 
Total investment securities, at value (cost of $366,655,667)450,226,105 
Foreign currency holdings, at value (cost of $49,487)49,528 
Receivable for investments sold3,967,801 
Receivable for capital shares sold103,633 
Dividends and interest receivable923,907 
Securities lending receivable10,394 
Other assets116,211 
455,397,579 
Liabilities
Disbursements in excess of demand deposit cash131,071 
Payable for collateral received for securities on loan5,368,690 
Payable for investments purchased4,550,362 
Payable for capital shares redeemed134,847 
Accrued management fees569,522 
Distribution and service fees payable1,685 
Accrued foreign taxes1,513,127 
Accrued IRS compliance fees240,189 
Accrued other expenses6,042 
12,515,535 
Net Assets$442,882,044 
Net Assets Consist of:
Capital (par value and paid-in surplus)$478,433,814 
Distributable earnings (loss)(35,551,770)
$442,882,044 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$347,517,22737,064,689$9.38
I Class, $0.01 Par Value$89,063,1139,351,025$9.52
A Class, $0.01 Par Value$5,054,818546,604$9.25
C Class, $0.01 Par Value$177,54520,893$8.50
R Class, $0.01 Par Value$1,069,341118,136$9.05
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $9.81 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
7


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $325,821)$2,748,104 
Securities lending, net89,846 
Interest34,755 
2,872,705 
Expenses:
Management fees3,335,804 
Distribution and service fees:
A Class6,402 
C Class983 
R Class2,739 
Directors' fees and expenses6,360 
Other expenses21,329 
3,373,617 
Net investment income (loss)(500,912)
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions (net of foreign tax expenses paid (refunded) of $912,848)12,318,706 
Foreign currency translation transactions(166,819)
12,151,887 
Change in net unrealized appreciation (depreciation) on:
Investments (includes (increase) decrease in accrued foreign taxes of $100,038)32,618,275 
Translation of assets and liabilities in foreign currencies(24,757)
32,593,518 
Net realized and unrealized gain (loss)44,745,405 
Net Increase (Decrease) in Net Assets Resulting from Operations$44,244,493 


See Notes to Financial Statements.
8


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$(500,912)$257,057 
Net realized gain (loss)12,151,887 (44,478,751)
Change in net unrealized appreciation (depreciation)32,593,518 36,832,093 
Net increase (decrease) in net assets resulting from operations44,244,493 (7,389,601)
Distributions to Shareholders
From earnings:
Investor Class(749,060)(883,194)
I Class(354,084)(395,627)
Decrease in net assets from distributions(1,103,144)(1,278,821)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(23,071,718)(45,954,756)
Net increase (decrease) in net assets20,069,631 (54,623,178)
Net Assets
Beginning of period422,812,413 477,435,591 
End of period$442,882,044 $422,812,413 


See Notes to Financial Statements.
9


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. International Opportunities Fund (the fund) is one fund in a series issued by the corporation. The fund's investment objective is to seek capital growth.

The fund offers the Investor Class, I Class, A Class, C Class and R Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge. 

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes. Certain countries impose taxes on realized gains on the sale of securities registered in their country. The fund records the foreign tax expense, if any, on an accrual basis. The foreign tax expense on realized gains and unrealized appreciation reduces the net realized gain (loss) on investment transactions and net unrealized appreciation (depreciation) on investments, respectively.

10


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 daysBetween
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$5,368,690 — — — $5,368,690 
Gross amount of recognized liabilities for securities lending transactions$5,368,690 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

11


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund's assets, which do not vary by class. The rate of the fee is determined by applying a fee rate calculation formula. This formula takes into account the fund's assets as well as certain assets, if any, of other clients of the investment advisor outside the American Century Investments family of funds (such as subadvised funds and separate accounts), as well as exchange-traded funds managed by the investment advisor, that use very similar investment teams and strategies (strategy assets).

The management fee schedule range and the effective annual management fee for each class for the period ended May 31, 2024 are as follows:
Management Fee
Schedule Range
Effective Annual
Management Fee
Investor Class1.200% to 1.550%1.55%
I Class1.000% to 1.350%1.35%
A Class1.200% to 1.550%1.55%
C Class1.200% to 1.550%1.55%
R Class1.200% to 1.550%1.55%

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. During the period, the interfund purchases were $112,918 and there were no interfund sales.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $266,502,186 and $286,910,963, respectively.
12


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized670,000,000 670,000,000 
Sold436,813 $3,958,142 1,013,081 $8,768,619 
Issued in reinvestment of distributions75,554 706,427 97,008 833,302 
Redeemed(3,487,889)(31,662,195)(5,278,674)(45,813,227)
(2,975,522)(26,997,626)(4,168,585)(36,211,306)
I Class/Shares Authorized120,000,000 120,000,000 
Sold1,209,736 11,141,219 2,128,189 18,499,251 
Issued in reinvestment of distributions37,272 354,084 45,265 394,713 
Redeemed(769,660)(7,034,639)(3,221,450)(27,924,308)
477,348 4,460,664 (1,047,996)(9,030,344)
A Class/Shares Authorized35,000,000 35,000,000 
Sold27,691 248,070 90,793 731,925 
Redeemed(67,135)(600,576)(98,863)(828,741)
(39,444)(352,506)(8,070)(96,816)
C Class/Shares Authorized25,000,000 25,000,000 
Sold108 912 1,909 15,094 
Redeemed(6,904)(56,420)(7,441)(59,422)
(6,796)(55,508)(5,532)(44,328)
R Class/Shares Authorized25,000,000 25,000,000 
Sold22,654 201,685 38,883 330,925 
Redeemed(37,333)(328,427)(112,767)(902,887)
(14,679)(126,742)(73,884)(571,962)
Net increase (decrease)(2,559,093)$(23,071,718)(5,304,067)$(45,954,756)

6. 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.

13


The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Brazil$4,634,844 $2,406,044 — 
Canada5,695,551 34,213,835 — 
China4,735,563 7,865,741 — 
Israel15,350,707 — — 
Mexico11,727,152 — — 
Norway3,059,811 3,001,509 — 
United States5,358,460 — — 
Other Countries— 345,780,688 — 
Exchange-Traded Funds66,008 — — 
Short-Term Investments5,368,690 961,502 — 
$55,996,786 $394,229,319 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

The fund invests in common stocks of small companies. Because of this, the fund may be subject to greater risk and market fluctuations than a fund investing in larger, more established companies.

The fund's investment process may result in high portfolio turnover, which could mean high transaction costs, affecting both performance and capital gains tax liabilities to investors.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$368,752,472 
Gross tax appreciation of investments$91,332,570 
Gross tax depreciation of investments(9,858,937)
Net tax appreciation (depreciation) of investments$81,473,633 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(114,708,532) and accumulated long-term capital losses of $(8,833,666), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
14


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Net
Investment
Income
(Loss)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in thousands)
Investor Class
2024(3)
$8.49(0.01)0.920.91(0.02)(0.02)$9.3810.60%1.56%(0.26)%61%$347,517
2023$8.66
(4)
(0.15)(0.15)(0.02)(0.02)$8.49(1.73)%1.53%0.03%110%$339,990
2022$13.790.01(3.00)(2.99)(0.05)(2.09)(2.14)$8.66(25.53)%1.48%0.15%108%$382,973
2021$12.95(0.04)1.311.27(0.43)(0.43)$13.7910.01%1.37%(0.30)%127%$576,312
2020$10.17(0.01)2.892.88(0.10)(0.10)$12.9528.52%1.40%(0.12)%131%$565,150
2019$9.330.011.131.14(0.05)(0.25)(0.30)$10.1712.88%1.46%0.23%124%$499,296
I Class
2024(3)
$8.63
(4)
0.930.93(0.04)(0.04)$9.5210.76%1.36%(0.06)%61%$89,063
2023$8.810.02(0.16)(0.14)(0.04)(0.04)$8.63(1.62)%1.33%0.23%110%$76,614
2022$13.980.04(3.05)(3.01)(0.07)(2.09)(2.16)$8.81(25.29)%1.28%0.35%108%$87,392
2021$13.10(0.01)1.321.31(0.43)(0.43)$13.9810.12%1.17%(0.10)%127%$141,573
2020$10.290.012.922.93(0.12)(0.12)$13.1028.84%1.20%0.08%131%$94,818
2019$9.440.031.141.17(0.07)(0.25)(0.32)$10.2913.06%1.26%0.43%124%$78,575
A Class
2024(3)
$8.37(0.02)0.900.88$9.2510.51%1.81%(0.51)%61%$5,055
2023$8.54(0.02)(0.15)(0.17)$8.37(1.99)%1.78%(0.22)%110%$4,905
2022$13.62(0.01)(2.97)(2.98)(0.01)(2.09)(2.10)$8.54(25.68)%1.73%(0.10)%108%$5,073
2021$12.83(0.08)1.301.22(0.43)(0.43)$13.629.70%1.62%(0.55)%127%$8,220
2020$10.07(0.04)2.872.83(0.07)(0.07)$12.8328.28%1.65%(0.37)%131%$7,214
2019$9.24(0.02)1.131.11(0.03)(0.25)(0.28)$10.0712.60%1.71%(0.02)%124%$6,067
C Class
2024(3)
$7.72(0.05)0.830.78$8.5010.10%2.56%(1.26)%61%$178
2023$7.93(0.08)(0.13)(0.21)$7.72(2.65)%2.53%(0.97)%110%$214
2022$12.87(0.09)(2.76)(2.85)(2.09)(2.09)$7.93(26.27)%2.48%(0.85)%108%$264
2021$12.23(0.17)1.241.07(0.43)(0.43)$12.878.93%2.37%(1.30)%127%$667
2020$9.61(0.11)2.732.62$12.2327.26%2.40%(1.12)%131%$981
2019$8.86(0.07)1.071.00(0.25)(0.25)$9.6111.77%2.46%(0.77)%124%$1,044



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Net
Investment
Income
(Loss)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in thousands)
R Class
2024(3)
$8.20(0.03)0.880.85$9.0510.37%2.06%(0.76)%61%$1,069
2023$8.39(0.04)(0.15)(0.19)$8.20(2.26)%2.03%(0.47)%110%$1,089
2022$13.43(0.03)(2.92)(2.95)(2.09)(2.09)$8.39(25.85)%1.98%(0.35)%108%$1,734
2021$12.69(0.11)1.281.17(0.43)(0.43)$13.439.41%1.87%(0.80)%127%$1,954
2020$9.96(0.07)2.842.77(0.04)(0.04)$12.6927.96%1.90%(0.62)%131%$1,398
2019$9.14(0.04)1.121.08(0.01)(0.25)(0.26)$9.9612.33%1.96%(0.27)%124%$1,962

Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)Per-share amount was less than $0.005.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.
















































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Image41.jpg
Semiannual Financial Statements and Other Information
May 31, 2024
International Small-Mid Cap Fund
Investor Class (ANTSX)
G Class (ANTMX)







































Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 


































Schedule of Investments 

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 99.1%
  
Australia — 9.9%
  
Breville Group Ltd.(1)
175,841 $3,137,741 
CAR Group Ltd.
245,544 5,733,586 
Charter Hall Retail REIT
1,892,236 4,136,932 
Lovisa Holdings Ltd.
132,373 3,015,005 
Megaport Ltd.(2)
147,294 1,344,593 
NEXTDC Ltd.(2)
716,450 8,552,103 
Paladin Energy Ltd.(2)
513,939 5,494,280 
Pro Medicus Ltd.(1)
50,646 4,075,021 
Reliance Worldwide Corp. Ltd.
1,829,275 5,928,547 
Sandfire Resources Ltd.(2)
1,023,754 6,325,438 
Seven Group Holdings Ltd.(1)
242,560 6,357,829 
Ventia Services Group Pty. Ltd.
833,049 2,000,363 
 56,101,438 
Belgium — 1.6%
  
Aedifica SA
49,321 3,207,758 
D'ieteren Group
13,223 2,887,518 
Warehouses De Pauw CVA
99,746 2,923,505 
 9,018,781 
Canada — 6.9%
  
Alamos Gold, Inc., Class A
366,162 6,122,625 
AtkinsRealis Group, Inc.
162,314 6,352,272 
Capstone Copper Corp.(2)
913,648 6,435,321 
Cargojet, Inc.
33,048 2,692,432 
Celestica, Inc.(2)
118,787 6,640,288 
Descartes Systems Group, Inc.(2)
60,061 5,546,262 
FirstService Corp.
16,968 2,496,332 
Stella-Jones, Inc.
46,504 2,776,012 
 39,061,544 
Denmark — 2.1%
  
ALK-Abello AS(2)
311,311 6,953,107 
Royal Unibrew AS(2)
61,825 5,081,472 
 12,034,579 
Finland — 1.7%
  
Huhtamaki OYJ
70,135 2,829,252 
Konecranes OYJ
118,052 6,793,743 
 9,622,995 
France — 5.5%
  
Elis SA
452,695 11,509,433 
Gaztransport Et Technigaz SA(1)
20,978 3,060,372 
SPIE SA
215,018 8,894,590 
Verallia SA
111,867 4,631,725 
Virbac SACA
7,111 2,775,068 
 30,871,188 
Germany — 4.2%
  
CTS Eventim AG & Co. KGaA
38,674 3,355,038 
Gerresheimer AG
7,967 912,630 
KION Group AG
85,863 4,062,041 
Redcare Pharmacy NV(2)
44,216 5,542,112 
2


SharesValue
Scout24 SE
63,082 $4,745,244 
Stroeer SE & Co. KGaA
69,787 4,978,691 
23,595,756 
Ireland — 1.3%
Glanbia PLC
351,431 7,222,622 
Israel — 2.6%
Camtek Ltd.
36,444 3,732,230 
CyberArk Software Ltd.(2)
18,672 4,280,556 
Nova Ltd.(2)
31,949 6,666,159 
14,678,945 
Italy — 1.5%
BPER Banca SpA
1,615,007 8,691,525 
Japan — 26.4%
Amvis Holdings, Inc.
166,200 2,102,960 
Asics Corp.
117,200 6,510,635 
BIPROGY, Inc.
65,500 1,734,906 
Coca-Cola Bottlers Japan Holdings, Inc.
242,500 2,826,156 
CyberAgent, Inc.
973,100 5,865,717 
Daiei Kankyo Co. Ltd.
319,700 5,075,016 
Fukuoka Financial Group, Inc.
278,400 8,145,401 
Hoshizaki Corp.
120,900 4,341,640 
Integral Corp.(2)
121,500 3,069,013 
Invincible Investment Corp.
18,984 8,252,544 
Kinden Corp.
310,900 6,622,871 
Kyoritsu Maintenance Co. Ltd.
120,500 2,376,187 
Mebuki Financial Group, Inc.
1,861,400 7,480,389 
Money Forward, Inc.(2)
89,500 2,958,825 
Morinaga & Co. Ltd.
187,400 2,997,301 
Nifco, Inc.
127,100 3,042,103 
Nippon Gas Co. Ltd.
293,400 4,478,121 
Nissan Chemical Corp.
44,600 1,240,050 
Organo Corp.
103,900 5,852,500 
Ryohin Keikaku Co. Ltd.
340,700 5,597,085 
Sanrio Co. Ltd.
331,200 5,116,282 
Santen Pharmaceutical Co. Ltd.
577,600 5,997,256 
Socionext, Inc.
115,500 3,392,981 
Taiheiyo Cement Corp.
266,000 6,642,654 
Tokyo Ohka Kogyo Co. Ltd.
142,000 3,723,611 
Tokyo Tatemono Co. Ltd.
389,200 6,303,242 
Toyo Suisan Kaisha Ltd.
82,500 5,947,823 
Toyo Tire Corp.
405,500 7,266,920 
U-Next Holdings Co. Ltd.
214,600 6,345,947 
Yamazaki Baking Co. Ltd.
206,800 4,547,374 
Yokogawa Electric Corp.
111,000 2,859,013 
148,712,523 
Netherlands — 4.2%
Aalberts NV(1)
117,057 5,600,935 
Allfunds Group PLC
611,090 3,673,146 
Fugro NV(1)
323,861 8,689,592 
InPost SA(2)
329,467 5,938,271 
23,901,944 
Norway — 1.8%
Seadrill Ltd.(2)
71,465 3,706,890 
Subsea 7 SA
356,722 6,623,985 
10,330,875 
3


SharesValue
Spain — 5.8%
Bankinter SA(1)
1,008,255 $8,906,145 
Fluidra SA
123,545 3,014,500 
Indra Sistemas SA(1)
382,496 8,841,620 
Melia Hotels International SA(2)
672,069 5,803,162 
Sacyr SA
1,577,444 5,946,878 
32,512,305 
Sweden — 5.7%
AAK AB
173,530 4,873,286 
AddTech AB, B Shares
124,318 2,945,604 
Beijer Ref AB(1)
265,578 4,347,451 
Hemnet Group AB
121,338 3,345,733 
Munters Group AB
194,423 4,256,166 
Saab AB, Class B
228,060 5,535,637 
Thule Group AB
119,588 3,610,068 
Trelleborg AB, B Shares
79,283 3,102,312 
32,016,257 
Switzerland — 4.2%
Flughafen Zurich AG
27,516 5,866,776 
PSP Swiss Property AG
41,329 5,199,633 
Swissquote Group Holding SA
18,173 5,585,203 
Tecan Group AG
1,610 573,085 
Ypsomed Holding AG
14,433 6,151,809 
23,376,506 
United Kingdom — 13.0%
4imprint Group PLC
41,356 3,498,055 
Bellway PLC
167,125 5,754,686 
Bytes Technology Group PLC
555,998 3,981,765 
ConvaTec Group PLC
1,364,691 4,350,790 
Diploma PLC
141,330 7,408,458 
Greggs PLC
81,934 3,081,321 
Howden Joinery Group PLC
438,429 5,113,314 
Intermediate Capital Group PLC
312,026 9,296,650 
Man Group PLC
1,648,813 5,572,979 
Marks & Spencer Group PLC
1,756,399 6,795,030 
Melrose Industries PLC
540,340 4,275,778 
Tritax Big Box REIT PLC
1,479,091 2,992,724 
UNITE Group PLC
353,514 4,216,650 
Weir Group PLC
261,453 7,145,028 
73,483,228 
United States — 0.7%
TechnipFMC PLC
148,586 3,891,467 
TOTAL COMMON STOCKS
(Cost $447,357,507)
559,124,478 
EXCHANGE-TRADED FUNDS — 0.0%
iShares MSCI EAFE Small-Cap ETF
(Cost $222,959)
4,071 262,702 
SHORT-TERM INVESTMENTS — 0.5%
Money Market Funds — 0.1%
State Street Navigator Securities Lending Government Money Market Portfolio(3)
206,048 206,048 
Repurchase Agreements — 0.4%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $164,097), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $159,763)159,693 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 2.75%, 4/30/27, valued at $1,615,800), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $1,584,701)1,584,000 
4


SharesValue
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 1.25% - 2.75%, 6/30/28 - 8/15/32, valued at $652,131), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $639,282)$639,000 
2,382,693 
TOTAL SHORT-TERM INVESTMENTS
(Cost $2,588,741)
2,588,741 
TOTAL INVESTMENT SECURITIES — 99.6%
(Cost $450,169,207)
561,975,921 
OTHER ASSETS AND LIABILITIES — 0.4%2,422,062 
TOTAL NET ASSETS — 100.0%$564,397,983 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Industrials27.6%
Information Technology10.7%
Financials10.7%
Consumer Discretionary10.2%
Consumer Staples8.1%
Materials7.2%
Real Estate7.1%
Communication Services6.7%
Health Care6.0%
Energy4.0%
Utilities0.8%
Exchange-Traded Funds0.0%
Short-Term Investments0.5%
Other Assets and Liabilities0.4%

NOTES TO SCHEDULE OF INVESTMENTS
CVACertificaten Van Aandelen
(1)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $18,774,013. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(2)Non-income producing.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $19,547,313, which includes securities collateral of $19,341,265.


See Notes to Financial Statements.
5


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $449,963,159) — including $18,774,013 of securities on loan$561,769,873 
Investment made with cash collateral received for securities on loan, at value (cost of $206,048)206,048 
Total investment securities, at value (cost of $450,169,207)561,975,921 
Foreign currency holdings, at value (cost of $69,380)69,440 
Receivable for investments sold5,558,424 
Dividends and interest receivable2,033,647 
Securities lending receivable11,437 
569,648,869 
Liabilities
Disbursements in excess of demand deposit cash130,432 
Payable for collateral received for securities on loan206,048 
Payable for investments purchased1,375,089 
Payable for capital shares redeemed3,426,203 
Accrued management fees113,114 
5,250,886 
Net Assets$564,397,983 
Net Assets Consist of:
Capital (par value and paid-in surplus)$552,517,087 
Distributable earnings (loss)11,880,896 
$564,397,983 

Net AssetsShares OutstandingNet Asset Value Per Share
Investor Class, $0.01 Par Value$95,371,3619,418,294$10.13
G Class, $0.01 Par Value$469,026,62245,037,958$10.41


See Notes to Financial Statements.
6


Statement of Operations
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $689,241)$6,015,430 
Interest98,689 
Securities lending, net27,335 
6,141,454 
Expenses:
Management fees3,058,039 
Directors' fees and expenses7,735 
Other expenses14,688 
3,080,462 
Fees waived - G Class(2,419,472)
660,990 
Net investment income (loss)5,480,464 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions18,587,359 
Foreign currency translation transactions92,988 
18,680,347 
Change in net unrealized appreciation (depreciation) on:
Investments59,513,954 
Translation of assets and liabilities in foreign currencies(52,733)
59,461,221 
Net realized and unrealized gain (loss)78,141,568 
Net Increase (Decrease) in Net Assets Resulting from Operations$83,622,032 


See Notes to Financial Statements.
7


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$5,480,464 $8,095,161 
Net realized gain (loss)18,680,347 (45,354,758)
Change in net unrealized appreciation (depreciation)59,461,221 22,871,731 
Net increase (decrease) in net assets resulting from operations83,622,032 (14,387,866)
Distributions to Shareholders
From earnings:
Investor Class(954,897)— 
G Class(9,336,855)(2,818,350)
Decrease in net assets from distributions(10,291,752)(2,818,350)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(22,944,598)62,229,419 
Net increase (decrease) in net assets50,385,682 45,023,203 
Net Assets
Beginning of period514,012,301 468,989,098 
End of period$564,397,983 $514,012,301 


See Notes to Financial Statements.
8


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. International Small-Mid Cap Fund (the fund) is one fund in a series issued by the corporation. The fund’s investment objective is to seek capital growth. The fund offers the Investor Class and G Class.

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes.

Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

9


Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 days
Between
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$206,048 — — — $206,048 
Gross amount of recognized liabilities for securities lending transactions$206,048 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc., and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC. Various funds issued by American Century Asset Allocation Portfolios, Inc. own, in aggregate, 52% of the shares of the fund. Related parties do not invest in the fund for the purpose of exercising management or control.

10


Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), and extraordinary expenses. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class. The investment advisor agreed to waive the G Class's management fee in its entirety. The investment advisor expects this waiver to remain in effect permanently and cannot terminate it without the approval of the Board of Directors.

The annual management fee for each class is as follows:
Annual Management Fee
Investor Class1.43%
G Class
0.00%(1)
(1)Annual management fee before waiver was 1.08%.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. During the period, the interfund purchases were $141,006 and there were no interfund sales.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $293,500,371 and $322,268,175, respectively.

5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized120,000,000 120,000,000 
Sold113,436 $1,012,985 851,862 $7,722,842 
Issued in reinvestment of distributions105,165 954,897 — — 
Redeemed(124,684)(1,143,044)(77,887)(720,167)
93,917 824,838 773,975 7,002,675 
G Class/Shares Authorized500,000,000 500,000,000 
Sold1,300,015 12,375,191 8,197,516 75,190,723 
Issued in reinvestment of distributions1,006,127 9,336,855 303,048 2,818,350 
Redeemed(4,706,102)(45,481,482)(2,416,150)(22,782,329)
(2,399,960)(23,769,436)6,084,414 55,226,744 
Net increase (decrease)(2,306,043)$(22,944,598)6,858,389 $62,229,419 

11


6. 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.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
Canada$2,496,332 $36,565,212 — 
Israel14,678,945 — — 
Norway3,706,890 6,623,985 — 
United States3,891,467 — — 
Other Countries— 491,161,647 — 
Exchange-Traded Funds262,702 — — 
Short-Term Investments206,048 2,382,693 — 
$25,242,384 $536,733,537 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

The majority of the fund is owned by a relatively small number of shareholders. To the extent that a large shareholder (including a fund of funds) invests in the fund, the fund may experience relatively large redemptions as such shareholder reallocates its assets. In the event of a large shareholder redemption, the ongoing operations of the fund may be at risk.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing a significant portion of assets in one country or region may accentuate these risks.

The fund invests in common stocks of small companies. Because of this, the fund may be subject to greater risk and market fluctuations than a fund investing in larger, more established companies.

The fund's investment process may result in high portfolio turnover, which could mean high transaction costs, affecting both performance and capital gains tax liabilities to investors.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

12


As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$451,638,722 
Gross tax appreciation of investments$115,441,574 
Gross tax depreciation of investments(5,104,375)
Net tax appreciation (depreciation) of investments$110,337,199 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(116,592,662), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
13


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net
Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income (Loss)
(before expense waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in thousands)
Investor Class
2024(3)
$8.820.041.371.41(0.10)(0.10)$10.1316.14%1.44%1.44%0.85%0.85%55%$95,371 
2023$9.210.04(0.43)(0.39)$8.82(4.23)%1.43%1.46%0.45%0.42%123%$82,247 
2022$15.010.02(3.12)(3.10)(0.10)(2.60)(2.70)$9.21(24.94)%1.44%1.48%0.20%0.16%107%$78,762 
2021$13.16(0.06)2.342.28(0.43)(0.43)$15.0117.70%1.44%1.48%(0.39)%(0.43)%113%$105,938 
2020$10.61(0.03)2.762.73(0.18)(0.18)$13.1626.24%1.47%1.48%(0.25)%(0.26)%131%$97,901 
2019$10.560.011.141.15(0.04)(1.06)(1.10)$10.6113.13%1.48%1.48%0.14%0.14%133%$93,941 
G Class
2024(3)
$9.100.111.401.51(0.20)(0.20)$10.4116.90%0.01%1.09%2.28%1.20%55%$469,027 
2023$9.440.18(0.45)(0.27)(0.07)(0.07)$9.10(2.92)%0.00%1.11%1.88%0.77%123%$431,766 
2022$15.340.17(3.16)(2.99)(0.31)(2.60)(2.91)$9.44(23.82)%0.01%1.13%1.63%0.51%107%$390,227 
2021$13.360.162.352.51(0.10)(0.43)(0.53)$15.3419.45%0.01%1.13%1.04%(0.08)%113%$430,778 
2020$10.770.132.802.93(0.34)(0.34)$13.3628.03%0.01%1.13%1.21%0.09%131%$397,066 
2019$10.720.161.131.29(0.18)(1.06)(1.24)$10.7714.77%0.01%1.13%1.61%0.49%133%$239,174 

Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































Contact Usamericancentury.com
Automated Information Line1-800-345-8765
Investor Services Representative1-800-345-2021
or 816-531-5575
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This report and the statements it contains are submitted for the general information of our shareholders. The report is not authorized for distribution to prospective investors unless preceded or accompanied by an effective prospectus.
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
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Image29.jpg

Semiannual Financial Statements and Other Information
May 31, 2024
International Value Fund
Investor Class (ACEVX)
I Class (ACVUX)
A Class (MEQAX)
C Class (ACCOX)
R Class (ACVRX)
R6 Class (ACVDX)
G Class (ACAFX)



















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 
































Schedule of Investments

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 98.9%
  
Australia — 5.2%
  
Ampol Ltd.
116,113 $2,692,506 
ANZ Group Holdings Ltd.
685,370 12,935,606 
BHP Group Ltd.
857,845 25,531,470 
BlueScope Steel Ltd.
182,665 2,577,748 
Dexus430,103 1,951,346 
Fortescue Ltd.
835,549 13,807,578 
GPT Group
797,902 2,238,361 
Origin Energy Ltd.
387,109 2,634,436 
Rio Tinto Ltd.
30,295 2,605,808 
Scentre Group
2,349,011 4,956,669 
Sonic Healthcare Ltd.
150,605 2,451,410 
Vicinity Ltd.
3,884,153 5,077,283 
Westpac Banking Corp.
60,976 1,058,877 
 80,519,098 
Austria — 1.8%
  
Erste Group Bank AG
353,054 17,349,138 
Verbund AG
131,210 10,773,250 
 28,122,388 
Belgium — 1.4%
  
Ageas SA
161,277 8,045,739 
UCB SA
92,684 13,000,838 
 21,046,577 
Canada — 2.6%
  
Great-West Lifeco, Inc.(1)
114,764 3,442,204 
iA Financial Corp., Inc.
29,362 1,911,724 
Manulife Financial Corp.
318,601 8,275,047 
Nutrien Ltd.
118,851 6,964,767 
Power Corp. of Canada
420,948 12,221,220 
RioCan Real Estate Investment Trust
75,924 963,151 
Suncor Energy, Inc.
172,803 7,049,303 
 40,827,416 
Denmark — 0.1%
  
AP Moller - Maersk AS, B Shares
771 1,401,817 
Svitzer AS(2)
1,542 60,453 
 1,462,270 
Finland — 1.1%
  
Nokia OYJ
2,210,259 8,645,200 
UPM-Kymmene OYJ
236,381 9,036,159 
 17,681,359 
France — 11.9%
  
ArcelorMittal SA
41,894 1,105,271 
AXA SA
55,123 1,990,294 
BNP Paribas SA
148,830 10,986,127 
Cie de Saint-Gobain SA
315,824 27,884,501 
Credit Agricole SA(1)
655,741 10,669,483 
Eiffage SA
45,988 5,088,113 
Engie SA
1,078,090 18,264,572 
Gecina SA
44,969 4,853,834 
2


SharesValue
L'Oreal SA
15,759 $7,778,644 
Publicis Groupe SA
128,899 14,478,551 
Sanofi SA
284,185 27,822,265 
Societe Generale SA(1)
390,544 11,697,898 
Sodexo SA
50,169 4,672,644 
STMicroelectronics NV
96,575 4,078,225 
TotalEnergies SE
212,041 15,535,066 
Unibail-Rodamco-Westfield40,347 3,554,966 
Veolia Environnement SA
276,697 9,262,941 
Vinci SA
41,581 5,188,978 
184,912,373 
Germany — 7.3%
Allianz SE
78,674 23,030,844 
BASF SE
370,738 19,621,905 
Bayerische Motoren Werke AG
26,862 2,739,989 
Commerzbank AG
432,187 7,338,267 
E.ON SE
1,504,959 20,154,592 
Evonik Industries AG
119,614 2,634,918 
Fresenius SE & Co. KGaA(2)
88,161 2,812,890 
Heidelberg Materials AG
23,257 2,439,040 
Henkel AG & Co. KGaA, Preference Shares
45,221 4,093,875 
RWE AG
168,103 6,388,613 
Siemens AG
113,555 21,886,709 
113,141,642 
Hong Kong — 2.5%
BOC Hong Kong Holdings Ltd.
1,596,000 5,016,860 
CK Asset Holdings Ltd.
1,583,000 6,270,001 
CK Hutchison Holdings Ltd.
2,323,500 11,345,845 
CK Infrastructure Holdings Ltd.
231,000 1,336,111 
Link REIT
435,100 1,834,561 
Power Assets Holdings Ltd.
858,500 4,766,682 
Sun Hung Kai Properties Ltd.
598,000 5,778,180 
WH Group Ltd.
3,733,500 2,544,215 
38,892,455 
Ireland — 0.5%
Bank of Ireland Group PLC
683,123 7,851,167 
Italy — 6.4%
Assicurazioni Generali SpA
950,360 24,460,919 
Enel SpA
1,431,212 10,391,608 
Intesa Sanpaolo SpA
8,323,451 32,788,003 
Mediobanca Banca di Credito Finanziario SpA
268,967 4,257,109 
Stellantis NV
985,187 21,827,831 
UniCredit SpA
157,789 6,281,992 
100,007,462 
Japan — 24.0%
Asahi Group Holdings Ltd.
199,000 7,300,601 
Astellas Pharma, Inc.
318,200 3,123,953 
Brother Industries Ltd.
99,400 1,913,103 
Canon, Inc.(1)
445,900 12,976,635 
Dai-ichi Life Holdings, Inc.
168,500 4,533,655 
Daiwa House Industry Co. Ltd.
136,100 3,621,164 
Dentsu Group, Inc.
61,400 1,625,364 
Hitachi Ltd.
35,000 3,604,569 
Honda Motor Co. Ltd.
2,244,000 25,410,402 
3


SharesValue
Inpex Corp.
655,300 $10,111,120 
ITOCHU Corp.(1)
548,000 25,869,216 
Japan Post Bank Co. Ltd.
499,100 4,943,996 
Japan Post Holdings Co. Ltd.
814,000 7,860,378 
JFE Holdings, Inc.
393,800 5,961,934 
Kawasaki Kisen Kaisha Ltd.
97,200 1,444,617 
KDDI Corp.
32,800 903,796 
Marubeni Corp.
812,400 15,911,290 
Mitsubishi Chemical Group Corp.
1,018,400 5,393,620 
Mitsubishi Corp.
1,464,000 30,899,760 
Mitsubishi Electric Corp.
565,900 9,833,837 
Mitsubishi UFJ Financial Group, Inc.
1,010,700 10,735,321 
Mitsui & Co. Ltd.
546,300 27,814,424 
Mitsui OSK Lines Ltd.(1)
180,000 5,933,229 
Mizuho Financial Group, Inc.
524,000 10,733,793 
MS&AD Insurance Group Holdings, Inc.
1,454,400 30,251,390 
Nintendo Co. Ltd.
16,700 908,154 
Nippon Yusen KK(1)
158,700 5,031,603 
Obayashi Corp.
134,900 1,570,434 
Otsuka Holdings Co. Ltd.
110,800 4,574,427 
Renesas Electronics Corp.
788,200 14,523,857 
Sekisui Chemical Co. Ltd.
158,300 2,272,030 
SoftBank Group Corp.
101,800 5,890,909 
Sompo Holdings, Inc.
111,000 2,349,285 
Sumitomo Corp.
388,800 10,117,544 
Sumitomo Mitsui Financial Group, Inc.
310,900 20,348,120 
Takeda Pharmaceutical Co. Ltd.
144,000 3,833,995 
Tokyo Gas Co. Ltd.
87,300 1,960,880 
Toyota Motor Corp.
1,120,800 24,414,033 
Toyota Tsusho Corp.
118,100 7,212,243 
373,718,681 
Netherlands — 3.9%
ABN AMRO Bank NV, CVA
289,689 4,955,426 
ASR Nederland NV(1)
104,681 5,066,391 
ING Groep NV
836,066 14,936,615 
Koninklijke Ahold Delhaize NV
620,123 19,231,886 
Koninklijke Philips NV(2)
292,762 7,996,751 
NN Group NV(1)
117,678 5,490,748 
Randstad NV
57,474 3,037,605 
60,715,422 
Norway — 1.3%
DNB Bank ASA
82,874 1,622,806 
Equinor ASA
246,025 7,141,547 
Norsk Hydro ASA
739,922 5,010,485 
Telenor ASA
120,539 1,404,392 
Yara International ASA
140,667 4,374,102 
19,553,332 
Singapore — 0.2%
Mapletree Pan Asia Commercial Trust(1)
984,200 892,813 
Wilmar International Ltd.
732,000 1,678,749 
2,571,562 
Spain — 4.6%
Banco Bilbao Vizcaya Argentaria SA
2,794,599 30,325,185 
Banco Santander SA
2,590,215 13,660,136 
4


SharesValue
Enagas SA(1)
151,968 $2,337,069 
Endesa SA
187,865 3,741,682 
Iberdrola SA
170,696 2,252,976 
Repsol SA
638,655 10,425,846 
Telefonica SA
2,049,391 9,577,422 
72,320,316 
Sweden — 1.5%
H & M Hennes & Mauritz AB, B Shares(1)
443,073 7,834,508 
Securitas AB, B Shares(1)
197,243 2,029,881 
SKF AB, B Shares
107,883 2,370,216 
Svenska Handelsbanken AB, A Shares
404,827 3,809,671 
Volvo AB, B Shares
299,030 8,048,359 
24,092,635 
Switzerland — 4.2%
Avolta AG(2)
7,799 316,671 
Novartis AG
467,633 48,399,055 
Roche Holding AG
37,517 9,578,719 
Sandoz Group AG
27,752 981,698 
Swiss Re AG
42,667 5,441,240 
64,717,383 
United Kingdom — 18.4%
3i Group PLC
262,179 9,660,494 
Barclays PLC
8,212,548 23,194,751 
Barratt Developments PLC
575,642 3,732,723 
BP PLC
5,913,068 36,989,106 
CRH PLC
54,242 4,280,586 
Glencore PLC
2,548,110 15,705,774 
GSK PLC
550,272 12,347,008 
HSBC Holdings PLC
3,002,792 26,763,527 
J Sainsbury PLC
1,014,529 3,596,955 
Kingfisher PLC
1,891,632 6,403,950 
Land Securities Group PLC
217,719 1,827,661 
Legal & General Group PLC
3,230,623 10,361,088 
Lloyds Banking Group PLC
10,245,664 7,313,976 
NatWest Group PLC
5,882,077 23,794,749 
Rio Tinto PLC
251,568 17,709,728 
Schroders PLC
109,623 552,999 
Shell PLC
989,318 35,709,184 
Standard Chartered PLC
857,180 8,538,023 
Taylor Wimpey PLC
886,195 1,677,753 
Tesco PLC
4,342,562 17,274,269 
Vodafone Group PLC
13,076,725 12,642,570 
WPP PLC
537,493 5,625,978 
285,702,852 
TOTAL COMMON STOCKS
(Cost $1,209,879,821)
1,537,856,390 
SHORT-TERM INVESTMENTS — 4.1%
Money Market Funds — 3.8%
State Street Institutional U.S. Government Money Market Fund, Premier Class
24,540 24,540 
State Street Navigator Securities Lending Government Money Market Portfolio(3)
58,651,806 58,651,806 
58,676,346 
Repurchase Agreements — 0.3%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $367,317), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $357,617)
357,459 
5


SharesValue
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 0.50%, 4/30/27, valued at $3,614,007), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $3,544,568)
$3,543,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 1.875% - 4.125%, 11/15/25 - 11/15/32, valued at $1,461,366), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $1,432,632)
1,432,000 
5,332,459 
TOTAL SHORT-TERM INVESTMENTS
(Cost $64,008,805)
64,008,805 
TOTAL INVESTMENT SECURITIES — 103.0%
(Cost $1,273,888,626)
1,601,865,195 
OTHER ASSETS AND LIABILITIES — (3.0)%
(46,633,832)
TOTAL NET ASSETS — 100.0%
$1,555,231,363 

MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Financials32.1%
Industrials15.0%
Materials9.3%
Health Care8.8%
Energy8.1%
Consumer Discretionary6.5%
Utilities6.1%
Consumer Staples4.1%
Communication Services3.4%
Real Estate2.8%
Information Technology2.7%
Short-Term Investments4.1%
Other Assets and Liabilities(3.0)%

NOTES TO SCHEDULE OF INVESTMENTS
CVACertificaten Van Aandelen
(1)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $64,667,840. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(2)Non-income producing.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $68,193,943, which includes securities collateral of $9,542,137.


See Notes to Financial Statements.
6


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $1,215,236,820) — including $64,667,840 of securities on loan$1,543,213,389 
Investment made with cash collateral received for securities on loan, at value (cost of $58,651,806)58,651,806 
Total investment securities, at value (cost of $1,273,888,626)1,601,865,195 
Foreign currency holdings, at value (cost of $634,482)635,686 
Receivable for capital shares sold98,047 
Dividends and interest receivable16,417,154 
Securities lending receivable75,073 
1,619,091,155 
Liabilities
Payable for collateral received for securities on loan58,651,806 
Payable for capital shares redeemed4,973,111 
Accrued management fees233,010 
Distribution and service fees payable1,865 
63,859,792 
Net Assets$1,555,231,363 
Net Assets Consist of:
Capital (par value and paid-in surplus)$1,391,074,243 
Distributable earnings (loss)164,157,120 
$1,555,231,363 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$189,752,38420,891,369$9.08
I Class, $0.01 Par Value$61,614,9746,800,678$9.06
A Class, $0.01 Par Value$6,909,324755,330$9.15
C Class, $0.01 Par Value$226,36724,836$9.11
R Class, $0.01 Par Value$571,72562,793$9.10
R6 Class, $0.01 Par Value$761,76884,123$9.06
G Class, $0.01 Par Value$1,295,394,821142,361,049$9.10
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $9.71 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class and C Class.


See Notes to Financial Statements.
7


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $4,882,909)$41,595,907 
Interest332,443 
Securities lending, net199,075 
42,127,425 
Expenses:
Management fees5,995,102 
Distribution and service fees:
A Class8,277 
C Class1,271 
R Class1,223 
Directors' fees and expenses21,600 
Other expenses38,745 
6,066,218 
Fees waived - G Class(4,668,152)
1,398,066 
Net investment income (loss)40,729,359 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions7,177,777 
Foreign currency translation transactions(98,905)
7,078,872 
Change in net unrealized appreciation (depreciation) on:
Investments164,845,401 
Translation of assets and liabilities in foreign currencies(198,957)
164,646,444 
Net realized and unrealized gain (loss)171,725,316 
Net Increase (Decrease) in Net Assets Resulting from Operations$212,454,675 


See Notes to Financial Statements.
8


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$40,729,359 $68,343,907 
Net realized gain (loss)7,078,872 19,861,194 
Change in net unrealized appreciation (depreciation)164,646,444 109,123,985 
Net increase (decrease) in net assets resulting from operations212,454,675 197,329,086 
Distributions to Shareholders
From earnings:
Investor Class(8,156,532)(5,178,587)
I Class(2,664,629)(1,348,681)
A Class(272,135)(126,749)
C Class(10,921)(6,798)
R Class(17,081)(11,230)
R6 Class(37,427)(21,073)
G Class(66,665,893)(37,229,430)
Decrease in net assets from distributions(77,824,618)(43,922,548)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)(24,565,615)(31,753,133)
Net increase (decrease) in net assets110,064,442 121,653,405 
Net Assets
Beginning of period1,445,166,921 1,323,513,516 
End of period$1,555,231,363 $1,445,166,921 


See Notes to Financial Statements.
9


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. International Value Fund (the fund) is one fund in a series issued by the corporation. The fund’s investment objective is to seek long-term capital growth.

The fund offers the Investor Class, I Class, A Class, C Class, R Class, R6 Class and G Class. The A Class may incur an initial sales charge. The A Class and C Class may be subject to a contingent deferred sales charge. 

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes.

10


Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums. Securities lending income is net of fees and rebates earned by the lending agent for its services.

Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act.

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

Securities Lending — Securities are lent to qualified financial institutions and brokers. State Street Bank & Trust Co. serves as securities lending agent to the fund pursuant to a Securities Lending Agreement. The lending of securities exposes the fund to risks such as: the borrowers may fail to return the loaned securities, the borrowers may not be able to provide additional collateral, the fund may experience delays in recovery of the loaned securities or delays in access to collateral, or the fund may experience losses related to the investment collateral. To minimize certain risks, loan counterparties pledge collateral in the form of cash and/or securities. The lending agent has agreed to indemnify the fund in the case of default of any securities borrowed. Cash collateral received is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, a money market mutual fund registered under the 1940 Act. The loans may also be secured by U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. By lending securities, the fund seeks to increase its net investment income through the receipt of interest and fees. Such income is reflected separately within the Statement of Operations. The value of loaned securities and related collateral outstanding at period end, if any, are shown on a gross basis within the Schedule of Investments and Statement of Assets and Liabilities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged, and the remaining contractual maturity of those transactions as of May 31, 2024.
Remaining Contractual Maturity of Agreements
Overnight and
Continuous
<30 days
Between
30 & 90 days
>90 daysTotal
Securities Lending Transactions(1)
Common Stocks$58,651,806 — — — $58,651,806 
Gross amount of recognized liabilities for securities lending transactions$58,651,806 
(1)Amount represents the payable for cash collateral received for securities on loan. This will generally be in the Overnight and Continuous column as the securities are typically callable on demand.

11


3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC. Various funds issued by American Century Asset Allocation Portfolios, Inc. own, in aggregate, 49% of the shares of the fund. Related parties do not invest in the fund for the purpose of exercising management or control.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class.  The investment advisor agreed to waive the G Class's management fee in its entirety. The investment advisor expects this waiver to remain in effect permanently and cannot terminate it without the approval of the Board of Directors.

The annual management fee for each class is as follows:
Investor ClassI ClassA ClassC ClassR ClassR6 ClassG Class
1.10%0.90%1.10%1.10%1.10%0.75%
0.00%(1)
(1)Annual management fee before waiver was 0.75%.

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class, C Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the C Class will pay ACIS an annual distribution and service fee of 1.00%, of which 0.25% is paid for individual shareholder services and 0.75% is paid for distribution services. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. During the period, the interfund purchases and sales were $4,652,149 and $448,093, respectively. The effect of interfund transactions on the Statement of Operations was $(18,704) in net realized gain (loss) on investment transactions.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $505,274,037 and $564,169,539, respectively.

12


5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized500,000,000 500,000,000 
Sold184,184 $1,578,282 894,111 $6,952,626 
Issued in reinvestment of distributions991,651 8,141,458 709,366 5,171,278 
Redeemed(2,775,267)(24,013,334)(7,105,614)(57,002,444)
(1,599,432)(14,293,594)(5,502,137)(44,878,540)
I Class/Shares Authorized100,000,000 100,000,000 
Sold658,503 5,548,447 1,427,983 11,224,745 
Issued in reinvestment of distributions325,749 2,664,629 185,361 1,347,573 
Redeemed(885,989)(7,369,791)(1,833,240)(14,350,344)
98,263 843,285 (219,896)(1,778,026)
A Class/Shares Authorized25,000,000 25,000,000 
Sold24,323 205,501 97,914 757,861 
Issued in reinvestment of distributions32,645 270,299 17,125 125,866 
Redeemed(63,247)(548,203)(86,860)(685,997)
(6,279)(72,403)28,179 197,730 
C Class/Shares Authorized25,000,000 25,000,000 
Sold— — 1,826 14,651 
Issued in reinvestment of distributions1,321 10,921 925 6,798 
Redeemed(16,146)(134,479)(13,697)(102,669)
(14,825)(123,558)(10,946)(81,220)
R Class/Shares Authorized25,000,000 25,000,000 
Sold19,194 161,377 34,064 266,406 
Issued in reinvestment of distributions2,062 17,011 1,528 11,197 
Redeemed(8,170)(69,297)(89,153)(680,082)
13,086 109,091 (53,561)(402,479)
R6 Class/Shares Authorized30,000,000 30,000,000 
Sold4,751 39,920 14,846 114,980 
Issued in reinvestment of distributions4,581 37,427 2,903 21,073 
Redeemed(36,043)(304,452)(10,660)(81,333)
(26,711)(227,105)7,089 54,720 
G Class/Shares Authorized1,750,000,000 1,750,000,000 
Sold9,230,125 75,998,629 24,815,675 190,331,839 
Issued in reinvestment of distributions8,149,865 66,665,893 5,120,967 37,229,430 
Redeemed(17,840,493)(153,465,853)(27,331,085)(212,426,587)
(460,503)(10,801,331)2,605,557 15,134,682 
Net increase (decrease)(1,996,401)$(24,565,615)(3,145,715)$(31,753,133)

6. 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).

13


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.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks— $1,537,856,390 — 
Short-Term Investments$58,676,346 5,332,459 — 
$58,676,346 $1,543,188,849 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

The majority of the fund is owned by a relatively small number of shareholders. To the extent that a large shareholder (including a fund of funds) invests in the fund, the fund may experience relatively large redemptions as such shareholder reallocates its assets. In the event of a large shareholder redemption, the ongoing operations of the fund may be at risk.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

The fund invests in common stocks of small companies. Because of this, the fund may be subject to greater risk and market fluctuations than a fund investing in larger, more established companies.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$1,277,516,412 
Gross tax appreciation of investments$348,963,348 
Gross tax depreciation of investments(24,614,565)
Net tax appreciation (depreciation) of investments$324,348,783 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.

As of November 30, 2023, the fund had accumulated short-term capital losses of $(177,309,602) and accumulated long-term capital losses of $(18,479,922), which represent net capital loss carryovers that may be used to offset future realized capital gains for federal income tax purposes. The capital loss carryovers may be carried forward for an unlimited period. Future capital loss carryover utilization in any given year may be subject to Internal Revenue Code limitations.
14


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Distributions
From
Net
Investment
Income
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
Investor Class
2024(3)
$8.300.190.971.16(0.38)$9.0814.47%1.11%1.11%4.52%4.52%34%$189,752 
2023$7.490.320.681.00(0.19)$8.3013.64%1.11%1.11%3.96%3.96%77%$186,766 
2022$8.370.35(0.84)(0.49)(0.39)$7.49(6.24)%1.14%1.14%4.89%4.89%151%$209,685 
2021$7.820.230.500.73(0.18)$8.379.30%1.10%1.10%2.57%2.57%124%$14,827 
2020$7.570.150.330.48(0.23)$7.826.69%1.21%1.22%2.16%2.15%91%$12,633 
2019$7.610.230.020.25(0.29)$7.573.41%1.34%1.34%3.13%3.13%87%$9,136 
I Class
2024(3)
$8.290.200.971.17(0.40)$9.0614.60%0.91%0.91%4.72%4.72%34%$61,615 
2023$7.480.330.681.01(0.20)$8.2913.82%0.91%0.91%4.16%4.16%77%$55,583 
2022$8.360.33(0.80)(0.47)(0.41)$7.48(6.04)%0.94%0.94%5.09%5.09%151%$51,756 
2021$7.810.240.510.75(0.20)$8.369.54%0.90%0.90%2.77%2.77%124%$46,842 
2020$7.570.160.330.49(0.25)$7.816.93%1.01%1.02%2.36%2.35%91%$29,898 
2019$7.620.250.010.26(0.31)$7.573.53%1.14%1.14%3.33%3.33%87%$18,981 
A Class
2024(3)
$8.350.180.981.16(0.36)$9.1514.34%1.36%1.36%4.27%4.27%34%$6,909 
2023$7.540.300.680.98(0.17)$8.3513.35%1.36%1.36%3.71%3.71%77%$6,359 
2022$8.420.30(0.81)(0.51)(0.37)$7.54(6.46)%1.39%1.39%4.64%4.64%151%$5,527 
2021$7.860.200.520.72(0.16)$8.429.10%1.35%1.35%2.32%2.32%124%$6,407 
2020$7.600.130.330.46(0.20)$7.866.32%1.46%1.47%1.91%1.90%91%$6,176 
2019$7.640.220.010.23(0.27)$7.603.08%1.59%1.59%2.88%2.88%87%$6,532 
C Class
2024(3)
$8.290.121.001.12(0.30)$9.1113.82%2.11%2.11%3.52%3.52%34%$226 
2023$7.500.230.690.92(0.13)$8.2912.55%2.11%2.11%2.96%2.96%77%$329 
2022$8.370.23(0.80)(0.57)(0.30)$7.50(7.13)%2.14%2.14%3.89%3.89%151%$379 
2021$7.820.120.520.64(0.09)$8.378.19%2.10%2.10%1.57%1.57%124%$734 
2020$7.510.070.340.41(0.10)$7.825.65%2.21%2.22%1.16%1.15%91%$926 
2019$7.540.160.010.17(0.20)$7.512.29%2.34%2.34%2.13%2.13%87%$1,400 



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Distributions
From
Net
Investment
Income
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net
Investment
Income
(Loss)
(before
expense
waiver)
Portfolio
Turnover
Rate
Net
Assets,
End of
Period
(in
thousands)
R Class
2024(3)
$8.300.180.961.14(0.34)$9.1014.13%1.61%1.61%4.02%4.02%34%$572 
2023$7.500.280.680.96(0.16)$8.3013.09%1.61%1.61%3.46%3.46%77%$413 
2022$8.380.27(0.81)(0.54)(0.34)$7.50(6.74)%1.64%1.64%4.39%4.39%151%$775 
2021$7.830.180.510.69(0.14)$8.388.73%1.60%1.60%2.07%2.07%124%$893 
2020$7.550.120.330.45(0.17)$7.836.16%1.71%1.72%1.66%1.65%91%$848 
2019$7.580.190.020.21(0.24)$7.552.91%1.84%1.84%2.63%2.63%87%$575 
R6 Class
2024(3)
$8.300.190.981.17(0.41)$9.0614.64%0.76%0.76%4.87%4.87%34%$762 
2023$7.480.350.671.02(0.20)$8.3014.08%0.76%0.76%4.31%4.31%77%$919 
2022$8.360.34(0.80)(0.46)(0.42)$7.48(5.89)%0.79%0.79%5.24%5.24%151%$776 
2021$7.810.270.490.76(0.21)$8.369.71%0.75%0.75%2.92%2.92%124%$786 
2020$7.580.180.320.50(0.27)$7.817.08%0.86%0.87%2.51%2.50%91%$1,027 
2019$7.630.260.010.27(0.32)$7.583.72%0.99%0.99%3.48%3.48%87%$6,513 
G Class
2024(3)
$8.370.240.961.20(0.47)$9.1015.03%0.01%0.76%5.62%4.87%34%$1,295,395 
2023$7.520.400.691.09(0.24)$8.3715.02%0.01%0.76%5.06%4.31%77%$1,194,798 
2022(4)
$8.180.28(0.83)(0.55)(0.11)$7.52(6.80)%0.03%0.78%6.05%5.30%
151%(5)
$1,054,615 
Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)April 1, 2022 (commencement of sale) through November 30, 2022.
(5)Portfolio turnover is calculated at the fund level. Percentage indicated was calculated for the year ended November 30, 2022.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.

















































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Semiannual Financial Statements and Other Information
May 31, 2024
Non-U.S. Intrinsic Value Fund
Investor Class (ANTUX)
I Class (ANVHX)
A Class (ANVLX)
R Class (ANVRX)
R6 Class (ANVMX)
G Class (ANTGX)



















Table of Contents 
Schedule of Investments
Statement of Assets and Liabilities
Statement of Operations
Statement of Changes in Net Assets
Notes to Financial Statements
Financial Highlights
 
































Schedule of Investments

MAY 31, 2024 (UNAUDITED)
SharesValue
COMMON STOCKS — 98.7%
Belgium — 2.1%
  
UCB SA
91,930 $12,895,075 
Brazil — 1.7%
  
Ambev SA
4,645,300 10,297,528 
Canada — 2.3%
  
ERO Copper Corp.(1)
199,487 4,247,487 
Linamar Corp.
182,666 9,516,940 
 13,764,427 
China — 6.3%
  
Alibaba Group Holding Ltd.
1,055,400 10,305,490 
Autohome, Inc., ADR
259,129 7,359,264 
Baidu, Inc., Class A(1)
343,900 4,167,379 
JD.com, Inc., Class A
252,664 3,745,372 
Tencent Holdings Ltd.
278,200 12,906,689 
 38,484,194 
France — 16.8%
  
Arkema SA
69,232 7,094,614 
BNP Paribas SA
91,149 6,728,311 
Eiffage SA
161,266 17,842,474 
Rexel SA
456,335 13,867,957 
Sanofi SA
248,721 24,350,270 
Teleperformance SE
190,715 21,816,251 
Verallia SA
253,038 10,476,747 
 102,176,624 
Germany — 6.9%
  
Bayerische Motoren Werke AG
140,960 14,378,260 
Continental AG
182,312 12,425,386 
Mercedes-Benz Group AG
211,585 15,356,260 
 42,159,906 
Ireland — 3.0%
  
Smurfit Kappa Group PLC
379,584 18,513,443 
Japan — 4.0%
  
SUMCO Corp.
1,598,300 24,027,762 
Mexico — 0.4%
  
Bolsa Mexicana de Valores SAB de CV
1,458,432 2,650,991 
Netherlands — 7.8%
  
ING Groep NV
909,853 16,254,846 
NN Group NV
422,906 19,732,409 
Signify NV
407,341 11,130,557 
  47,117,812 
Russia(2) — 0.0%
  
GMK Norilskiy Nickel PAO
7,693,300 85 
South Korea — 9.8%
  
BGF retail Co. Ltd.
51,090 4,305,256 
Hana Financial Group, Inc.
97,991 4,375,846 
Hyundai Mobis Co. Ltd.
64,393 10,039,827 
KT&G Corp.
256,816 15,501,855 
LG Corp.
125,054 7,358,132 
LG Uplus Corp.
807,531 5,639,480 
2


SharesValue
Samsung Electronics Co. Ltd.
232,076 $12,296,036 
 59,516,432 
Sweden — 1.2%
  
Volvo Car AB, Class B(1)
2,218,595 7,471,785 
Switzerland — 7.2%
  
Adecco Group AG
531,696 20,178,293 
Roche Holding AG
92,831 23,701,310 
 43,879,603 
United Kingdom — 28.7%
  
AstraZeneca PLC, ADR
238,033 18,571,335 
Barclays PLC
6,337,021 17,897,689 
Barratt Developments PLC
1,121,872 7,274,725 
British American Tobacco PLC
779,515 24,106,370 
GSK PLC
1,358,137 30,473,891 
Hikma Pharmaceuticals PLC
247,661 6,123,065 
IMI PLC
161,605 3,862,594 
Kingfisher PLC
4,629,454 15,672,599 
Nomad Foods Ltd.
255,079 4,479,187 
Reckitt Benckiser Group PLC
314,644 18,008,127 
Taylor Wimpey PLC
6,487,037 12,281,324 
WPP PLC
1,497,637 15,675,874 
 174,426,780 
United States — 0.5%
  
CNH Industrial NV
265,644 2,805,201 
TOTAL COMMON STOCKS
(Cost $556,711,068)
 600,187,648 
SHORT-TERM INVESTMENTS — 0.6%
  
Money Market Funds — 0.1%
  
State Street Institutional U.S. Government Money Market Fund, Premier Class
332,377 332,377 
Repurchase Agreements — 0.5%
  
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 3.00%, 5/15/45 - 2/15/49, valued at $218,273), in a joint trading account at 5.29%, dated 5/31/24, due 6/3/24 (Delivery value $212,508)
 212,414 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 0.50%, 4/30/27, valued at $2,148,189), at 5.31%, dated 5/31/24, due 6/3/24 (Delivery value $2,106,932)
 2,106,000 
TD Securities (USA) LLC, (collateralized by various U.S. Treasury obligations, 0.375% - 4.00%, 1/31/26 - 2/15/53, valued at $867,430), at 5.30%, dated 5/31/24, due 6/3/24 (Delivery value $850,375)
 850,000 
 3,168,414 
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,500,791)
 3,500,791 
TOTAL INVESTMENT SECURITIES — 99.3%
(Cost $560,211,859)
 603,688,439 
OTHER ASSETS AND LIABILITIES — 0.7%
 4,327,375 
TOTAL NET ASSETS — 100.0%
 $608,015,814 

3


MARKET SECTOR DIVERSIFICATION
(as a % of net assets)
Consumer Discretionary19.5%
Health Care19.1%
Industrials16.3%
Consumer Staples12.6%
Financials11.1%
Communication Services7.5%
Materials6.6%
Information Technology6.0%
Short-Term Investments0.6%
Other Assets and Liabilities0.7%

NOTES TO SCHEDULE OF INVESTMENTS
ADRAmerican Depositary Receipt
(1)Non-income producing.
(2)Securities may be subject to resale, redemption or transferability restrictions.


See Notes to Financial Statements.
4


Statement of Assets and Liabilities 
MAY 31, 2024 (UNAUDITED)
Assets
Investment securities, at value (cost of $560,211,859)$603,688,439 
Foreign currency holdings, at value (cost of $1,509,760)123,794 
Receivable for capital shares sold70,110 
Dividends and interest receivable5,384,290 
609,266,633 
Liabilities
Payable for capital shares redeemed1,052,108 
Accrued management fees106,972 
Distribution and service fees payable76 
Accrued foreign withholding tax reclaim expenses91,663 
1,250,819 
Net Assets$608,015,814 
Net Assets Consist of:
Capital (par value and paid-in surplus)$546,816,405 
Distributable earnings (loss)61,199,409 
$608,015,814 

Net AssetsShares OutstandingNet Asset Value Per Share*
Investor Class, $0.01 Par Value$92,861,2039,420,240$9.86
I Class, $0.01 Par Value$20,753,7062,105,145$9.86
A Class, $0.01 Par Value$156,55215,907$9.84
R Class, $0.01 Par Value$104,12410,598$9.82
R6 Class, $0.01 Par Value$6,250621$10.06
G Class, $0.01 Par Value$494,133,97949,694,115$9.94
*Maximum offering price per share was equal to the net asset value per share for all share classes, except A Class, for which the maximum offering price per share was $10.44 (net asset value divided by 0.9425). A contingent deferred sales charge may be imposed on redemptions of A Class.


See Notes to Financial Statements.
5


Statement of Operations 
FOR THE SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED)
Investment Income (Loss)
Income:
Dividends (net of foreign taxes withheld of $2,141,479)$18,729,963 
Interest233,676 
18,963,639 
Expenses:
Management fees2,526,977 
Distribution and service fees:
A Class180 
R Class248 
Directors' fees and expenses8,484 
Foreign withholding tax reclaim expenses97,260 
Other expenses1,450 
2,634,599 
Fees waived - G Class(1,906,130)
728,469 
Net investment income (loss)18,235,170 
Realized and Unrealized Gain (Loss)
Net realized gain (loss) on:
Investment transactions14,841,290 
Foreign currency translation transactions(139,256)
14,702,034 
Change in net unrealized appreciation (depreciation) on:
Investments44,717,854 
Translation of assets and liabilities in foreign currencies(55,297)
44,662,557 
Net realized and unrealized gain (loss)59,364,591 
Net Increase (Decrease) in Net Assets Resulting from Operations$77,599,761 


See Notes to Financial Statements.
6


Statement of Changes in Net Assets 
SIX MONTHS ENDED MAY 31, 2024 (UNAUDITED) AND YEAR ENDED NOVEMBER 30, 2023
Increase (Decrease) in Net AssetsMay 31, 2024November 30, 2023
Operations
Net investment income (loss)$18,235,170 $21,503,899 
Net realized gain (loss)14,702,034 48,457,400 
Change in net unrealized appreciation (depreciation)44,662,557 18,898,022 
Net increase (decrease) in net assets resulting from operations77,599,761 88,859,321 
Distributions to Shareholders
From earnings:
Investor Class(12,641,256)(4,999,905)
I Class(56,925)(65,407)
A Class(14,422)(593)
R Class(11,877)(3,141)
R6 Class(663)(228)
G Class(57,386,258)(24,116,165)
Decrease in net assets from distributions(70,111,401)(29,185,439)
Capital Share Transactions
Net increase (decrease) in net assets from capital share transactions (Note 5)16,528,507 (81,376,559)
Net increase (decrease) in net assets24,016,867 (21,702,677)
Net Assets
Beginning of period583,998,947 605,701,624 
End of period$608,015,814 $583,998,947 


See Notes to Financial Statements.
7


Notes to Financial Statements 

MAY 31, 2024 (UNAUDITED)

1. Organization

American Century World Mutual Funds, Inc. (the corporation) is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company and is organized as a Maryland corporation. Non-U.S. Intrinsic Value Fund (the fund) is one fund in a series issued by the corporation. The fund’s investment objective is to seek capital appreciation.

The fund offers the Investor Class, I Class, A Class, R Class, R6 Class and G Class. The A Class may incur an initial sales charge and may be subject to a contingent deferred sales charge.

2. Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the fund in preparation of its financial statements. The fund is an investment company and follows accounting and reporting guidance in accordance with accounting principles generally accepted in the United States of America. This may require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from these estimates. Management evaluated the impact of events or transactions occurring through the date the financial statements were issued that would merit recognition or disclosure.

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.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Open-end management investment companies are valued at the reported NAV per share. Repurchase agreements are valued at cost, which approximates fair value.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The valuation designee also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that it deems appropriate. The valuation designee may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

Foreign Currency Translations — All assets and liabilities, including investment securities and other financial instruments, initially expressed in foreign currencies are translated into U.S. dollars each day at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service. The fund may enter into spot foreign currency exchange contracts to facilitate transactions denominated in a foreign currency. Purchases and sales of investment securities, dividend and interest income, spot foreign currency exchange contracts, and expenses are translated at the rates of exchange prevailing on the respective dates of such transactions. Net realized and unrealized foreign currency exchange gains or losses related to investment securities are a component of net realized gain (loss) on investment transactions and change in net unrealized appreciation (depreciation) on investments, respectively.

Security Transactions — Security transactions are accounted for as of the trade date. Net realized gains and losses are determined on the identified cost basis, which is also used for federal income tax purposes.

Investment Income — Dividend income less foreign taxes withheld, if any, is recorded as of the ex-dividend date. Distributions received on securities that represent a return of capital or long-term capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The fund may estimate the components of distributions received that may be considered nontaxable distributions or long-term capital gain distributions for income tax purposes. Interest income is recorded on the accrual basis and includes accretion of discounts and amortization of premiums.
8


Repurchase Agreements — The fund may enter into repurchase agreements with institutions that ACIM has determined are creditworthy pursuant to criteria adopted by the Board of Directors. The fund requires that the collateral, represented by securities, received in a repurchase transaction be transferred to the custodian in a manner sufficient to enable the fund to obtain those securities in the event of a default under the repurchase agreement. ACIM monitors, on a daily basis, the securities transferred to ensure the value, including accrued interest, of the securities under each repurchase agreement is equal to or greater than amounts owed to the fund under each repurchase agreement.

Joint Trading Account — Pursuant to an Exemptive Order issued by the Securities and Exchange Commission, the fund, along with certain other funds in the American Century Investments family of funds, may transfer uninvested cash balances into a joint trading account. These balances are invested in one or more repurchase agreements that are collateralized by U.S. Treasury or Agency obligations.

Income Tax Status — It is the fund's policy to distribute substantially all net investment income and net realized gains to shareholders and to otherwise qualify as a regulated investment company under provisions of the Internal Revenue Code. Accordingly, no provision has been made for income taxes. The fund files U.S. federal, state, local and non-U.S. tax returns as applicable. The fund's tax returns are subject to examination by the relevant taxing authority until expiration of the applicable statute of limitations, which is generally three years from the date of filing but can be longer in certain jurisdictions. At this time, management believes there are no uncertain tax positions which, based on their technical merit, would not be sustained upon examination and for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

Multiple Class — All shares of the fund represent an equal pro rata interest in the net assets of the class to which such shares belong, and have identical voting, dividend, liquidation and other rights and the same terms and conditions, except for class specific expenses and exclusive rights to vote on matters affecting only individual classes. Income, non-class specific expenses, and realized and unrealized capital gains and losses of the fund are allocated to each class of shares based on their relative net assets.

Distributions to Shareholders — Distributions from net investment income and net realized gains, if any, are generally declared and paid annually. The fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code, in all events in a manner consistent with provisions of the 1940 Act. The fund may elect to treat a portion of its payment to a redeeming shareholder, which represents the pro rata share of undistributed net investment income and net realized gains, as a distribution for federal income tax purposes (tax equalization).

Indemnifications — Under the corporation’s organizational documents, its officers and directors are indemnified against certain liabilities arising out of the performance of their duties to the fund. In addition, in the normal course of business, the fund enters into contracts that provide general indemnifications. The maximum exposure under these arrangements is unknown as this would involve future claims that may be made against a fund. The risk of material loss from such claims is considered by management to be remote.

3. Fees and Transactions with Related Parties

Certain officers and directors of the corporation are also officers and/or directors of American Century Companies, Inc. (ACC). The corporation's investment advisor, ACIM, the corporation's distributor, American Century Investment Services, Inc. (ACIS), and the corporation's transfer agent, American Century Services, LLC, are wholly owned, directly or indirectly, by ACC. Various funds issued by American Century Asset Allocation Portfolios, Inc. own, in aggregate, 48% of the shares of the fund. Related parties do not invest in the fund for the purpose of exercising management or control.

Management Fees — The corporation has entered into a management agreement with ACIM, under which ACIM provides the fund with investment advisory and management services in exchange for a single, unified management fee (the fee) per class. The agreement provides that ACIM will pay all expenses of managing and operating the fund, except brokerage expenses, taxes, interest, fees and expenses of the independent directors (including legal counsel fees), extraordinary expenses, and expenses incurred in connection with the provision of shareholder services and distribution services under a plan adopted pursuant to Rule 12b-1 under the 1940 Act. The fee is computed and accrued daily based on each class's daily net assets and paid monthly in arrears. The difference in the fee among the classes is a result of their separate arrangements for non-Rule 12b-1 shareholder services. It is not the result of any difference in advisory or custodial fees or other expenses related to the management of the fund’s assets, which do not vary by class.  The investment advisor agreed to waive the G Class's management fee in its entirety. The investment advisor expects this waiver to remain in effect permanently and cannot terminate it without the approval of the Board of Directors.

The annual management fee for each class is as follows:
Investor ClassI ClassA ClassR ClassR6 ClassG Class
1.15%0.95%1.15%1.15%0.80%
0.00%(1)
(1)Annual management fee before waiver was 0.80%.

Distribution and Service Fees — The Board of Directors has adopted a separate Master Distribution and Individual Shareholder Services Plan for each of the A Class and R Class (collectively the plans), pursuant to Rule 12b-1 of the 1940 Act. The plans provide that the A Class will pay ACIS an annual distribution and service fee of 0.25%. The plans provide that the R Class will pay ACIS an annual distribution and service fee of 0.50%. The fees are computed and accrued daily based on each class’s daily net assets and paid monthly in arrears. The fees are used to pay financial intermediaries for distribution and individual shareholder services. Fees incurred under the plans during the period ended May 31, 2024 are detailed in the Statement of Operations.

Directors' Fees and Expenses The Board of Directors is responsible for overseeing the investment advisor’s management and operations of the fund. The directors receive detailed information about the fund and its investment advisor regularly throughout the year, and meet at least quarterly with management of the investment advisor to review reports about fund operations. The fund's officers do not receive compensation from the fund.

9


Foreign Withholding Tax Reclaim Expenses — The fund may file withholding tax reclaims in certain jurisdictions to recover a portion of amounts previously withheld. The fund may incur expenses in association with recovery of such taxes. The impact of foreign withholding tax reclaim expenses to the annualized ratio of operating expenses to average net assets was 0.03% for the period ended May 31, 2024.

Other Expenses — A fund’s other expenses may include interest charges, clearing exchange fees, proxy solicitation expenses, fees associated with the recovery of foreign tax reclaims and other miscellaneous expenses.

Interfund Transactions — The fund may enter into security transactions with other American Century Investments funds and other client accounts of the investment advisor, in accordance with the 1940 Act rules and procedures adopted by the Board of Directors. The rules and procedures require, among other things, that these transactions be effected at the independent current market price of the security. During the period, the interfund purchases and sales were $448,093 and $317,405, respectively. The effect of interfund transactions on the Statement of Operations was $16,303 in net realized gain (loss) on investment transactions.

4. Investment Transactions

Purchases and sales of investment securities, excluding short-term investments, for the period ended May 31, 2024 were $173,110,609 and $200,838,658, respectively.

5. Capital Share Transactions

Transactions in shares of the fund were as follows:
Six months ended
May 31, 2024
Year ended
November 30, 2023
SharesAmountSharesAmount
Investor Class/Shares Authorized150,000,000 150,000,000 
Sold97,978 $910,083 1,401,342 $13,564,751 
Issued in reinvestment of distributions1,383,983 12,635,761 585,447 4,999,719 
Redeemed(3,697,572)(34,189,910)(5,940,162)(54,813,895)
(2,215,611)(20,644,066)(3,953,373)(36,249,425)
I Class/Shares Authorized40,000,000 40,000,000 
Sold2,338,526 21,126,657 301,057 2,879,298 
Issued in reinvestment of distributions4,875 44,464 1,418 12,093 
Redeemed(285,576)(2,635,855)(410,073)(3,954,832)
2,057,825 18,535,266 (107,598)(1,063,441)
A Class/Shares Authorized35,000,000 35,000,000 
Sold2,242 20,467 12,750 117,156 
Issued in reinvestment of distributions1,581 14,422 70 593 
Redeemed(2,165)(21,035)(122)(1,203)
1,658 13,854 12,698 116,546 
R Class/Shares Authorized35,000,000 35,000,000 
Sold5,262 49,091 26,800 253,974 
Issued in reinvestment of distributions1,302 11,877 368 3,141 
Redeemed(6,235)(56,437)(25,497)(235,798)
329 4,531 1,671 21,317 
R6 Class/Shares Authorized35,000,000 35,000,000 
Issued in reinvestment of distributions71 663 26 228 
G Class/Shares Authorized600,000,000 600,000,000 
Sold2,902,284 26,455,169 3,863,635 36,695,588 
Issued in reinvestment of distributions6,264,875 57,386,258 2,817,309 24,116,165 
Redeemed(6,665,622)(65,223,168)(11,289,069)(105,013,537)
2,501,537 18,618,259 (4,608,125)(44,201,784)
Net increase (decrease)2,345,809 $16,528,507 (8,654,701)$(81,376,559)

10


6. 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.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Common Stocks
China$7,359,264 $31,124,930 — 
United Kingdom23,050,522 151,376,258 — 
United States2,805,201 — — 
Other Countries— 384,471,473 — 
Short-Term Investments332,377 3,168,414 — 
$33,547,364 $570,141,075 — 

7. Risk Factors

The value of the fund’s shares will go up and down, sometimes rapidly or unpredictably, based on the performance of the securities owned by the fund and other factors generally affecting the securities market. Market risks, including political, regulatory, economic and social developments, can affect the value of the fund’s investments. Natural disasters, public health emergencies, war, terrorism and other unforeseeable events may lead to increased market volatility and may have adverse long-term effects on world economies and markets generally.

There are certain risks involved in investing in foreign securities. These risks include those resulting from political events (such as civil unrest, national elections and imposition of exchange controls), social and economic events (such as labor strikes and rising inflation), and natural disasters. Securities of foreign issuers may be less liquid and more volatile. Investing in emerging markets or a significant portion of assets in one country or region may accentuate these risks.

The majority of the fund is owned by a relatively small number of shareholders. To the extent that a large shareholder (including a fund of funds) invests in the fund, the fund may experience relatively large redemptions as such shareholder reallocates its assets. In the event of a large shareholder redemption, the ongoing operations of the fund may be at risk.

8. Federal Tax Information

The book-basis character of distributions made during the year from net investment income or net realized gains may differ from their ultimate characterization for federal income tax purposes. These differences reflect the differing character of certain income items and net realized gains and losses for financial statement and tax purposes, and may result in reclassification among certain capital accounts on the financial statements.

As of period end, the components of investments for federal income tax purposes were as follows:
Federal tax cost of investments$573,356,057 
Gross tax appreciation of investments$84,566,587 
Gross tax depreciation of investments(54,234,205)
Net tax appreciation (depreciation) of investments$30,332,382 

The difference between book-basis and tax-basis unrealized appreciation (depreciation) is attributable primarily to the tax deferral of losses on wash sales.
11


Financial Highlights 
For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net Investment Income (Loss) (before expense waiver)Portfolio
Turnover
Rate
Net Assets,
End of
Period
(in
thousands)
Investor Class
2024(3)
$9.810.230.991.22(0.28)(0.89)(1.17)$9.8613.38%1.19%1.19%5.28%5.28%30%$92,861 
2023$8.880.281.051.33(0.34)(0.06)(0.40)$9.8115.84%1.19%1.19%2.84%2.84%62%$114,111 
2022$9.760.32(0.76)(0.44)(0.16)(0.28)(0.44)$8.88(5.03)%1.16%1.16%3.59%3.59%67%$138,382 
2021$8.980.180.720.90(0.12)(0.12)$9.7610.15%1.25%1.25%1.76%1.76%54%$152,993 
2020$10.610.13(1.31)(1.18)(0.32)(0.13)(0.45)$8.98(11.75)%1.31%1.31%1.60%1.60%68%$107,655 
2019(4)
$10.000.310.340.65(0.04)(0.04)$10.616.59%1.31%1.31%3.04%3.04%85%$101,934 
I Class
2024(3)
$9.820.370.861.23(0.30)(0.89)(1.19)$9.8613.50%0.99%0.99%5.48%5.48%30%$20,754 
2023$8.890.380.971.35(0.36)(0.06)(0.42)$9.8215.93%0.99%0.99%3.04%3.04%62%$464 
2022$9.780.33(0.76)(0.43)(0.18)(0.28)(0.46)$8.89(4.81)%0.96%0.96%3.79%3.79%67%$1,377 
2021$8.990.190.740.93(0.14)(0.14)$9.7810.47%1.05%1.05%1.96%1.96%54%$194 
2020(5)
$10.450.15(1.16)(1.01)(0.32)(0.13)(0.45)$8.99(10.29)%1.11%1.11%1.80%1.80%
68%(6)
$4 
A Class
2024(3)
$9.780.240.971.21(0.26)(0.89)(1.15)$9.8413.23%1.44%1.44%5.03%5.03%30%$157 
2023$8.850.161.151.31(0.32)(0.06)(0.38)$9.7815.46%1.44%1.44%2.59%2.59%62%$139 
2022$9.730.29(0.76)(0.47)(0.13)(0.28)(0.41)$8.85(5.28)%1.41%1.41%3.34%3.34%67%$14 
2021$8.960.160.710.87(0.10)(0.10)$9.739.89%1.50%1.50%1.51%1.51%54%$13 
2020(5)
$10.450.11(1.15)(1.04)(0.32)(0.13)(0.45)$8.96(10.62)%1.56%1.56%1.35%1.35%
68%(6)
$4 
R Class
2024(3)
$9.750.210.981.19(0.23)(0.89)(1.12)$9.8213.06%1.69%1.69%4.78%4.78%30%$104 
2023$8.830.251.031.28(0.30)(0.06)(0.36)$9.7515.09%1.69%1.69%2.34%2.34%62%$100 
2022$9.710.26(0.75)(0.49)(0.11)(0.28)(0.39)$8.83(5.43)%1.66%1.66%3.09%3.09%67%$76 
2021$8.930.150.710.86(0.08)(0.08)$9.719.65%1.75%1.75%1.26%1.26%54%$31 
2020(5)
$10.450.09(1.16)(1.07)(0.32)(0.13)(0.45)$8.93(10.93)%1.81%1.81%1.10%1.10%
68%(6)
$6 
R6 Class
2024(3)
$10.000.271.001.27(0.32)(0.89)(1.21)$10.0613.63%0.84%0.84%5.63%5.63%30%$6 
2023$9.040.321.071.39(0.37)(0.06)(0.43)$10.0016.17%0.84%0.84%3.19%3.19%62%$6 
2022$9.940.35(0.78)(0.43)(0.19)(0.28)(0.47)$9.04(4.70)%0.81%0.81%3.94%3.94%67%$5 
2021$9.140.220.730.95(0.15)(0.15)$9.9410.57%0.90%0.90%2.11%2.11%54%$5 
2020(5)
$10.600.16(1.16)(1.00)(0.33)(0.13)(0.46)$9.14(10.12)%0.96%0.96%1.95%1.95%
68%(6)
$4 



For a Share Outstanding Throughout the Years Ended November 30 (except as noted)
Per-Share DataRatios and Supplemental Data
Income From Investment Operations*:Distributions From:
Ratio to Average Net Assets of:
Net Asset
Value,
Beginning
of Period
Net
Investment
Income
(Loss)(1)
Net
Realized
and
Unrealized
Gain (Loss)
Total From
Investment
Operations
Net
Investment
Income
Net
Realized
Gains
Total
Distributions
Net Asset
Value,
End
of Period
Total
Return(2)
Operating
Expenses
Operating
Expenses
(before
expense
waiver)
Net
Investment
Income
(Loss)
Net Investment Income (Loss) (before expense waiver)Portfolio
Turnover
Rate
Net Assets,
End of
Period
(in
thousands)
G Class
2024(3)
$9.940.300.991.29(0.40)(0.89)(1.29)$9.9414.04%0.04%0.84%6.43%5.63%30%$494,134 
2023$8.990.381.071.45(0.44)(0.06)(0.50)$9.9417.10%0.04%0.84%3.99%3.19%62%$469,178 
2022$9.900.42(0.77)(0.35)(0.28)(0.28)(0.56)$8.99(3.94)%0.01%0.81%4.74%3.94%67%$465,848 
2021$9.110.310.721.03(0.24)(0.24)$9.9011.56%0.00%0.90%3.01%2.11%54%$497,745 
2020$10.760.24(1.29)(1.05)(0.47)(0.13)(0.60)$9.11(10.58)%0.01%0.96%2.90%1.95%68%$463,081 
2019(4)
$10.000.430.370.80(0.04)(0.04)$10.768.00%0.01%0.96%4.34%3.39%85%$264,529 
Notes to Financial Highlights
(1)Computed using average shares outstanding throughout the period.
(2)Total returns are calculated based on the net asset value of the last business day and do not reflect applicable sales charges, if any. Total returns for periods less than one year are not annualized.
(3)Six months ended May 31, 2024 (unaudited).
(4)December 6, 2018 (fund inception) through November 30, 2019.
(5)December 3, 2019 (commencement of sale) through November 30, 2020.
(6)Portfolio turnover is calculated at the fund level. Percentage indicated was calculated for the year ended November 30, 2020.
*The amount shown for a share outstanding throughout the period may not correlate with the Statement(s) of Operations or precisely reflect the class expense differentials due to the timing of transactions in shares of a fund in relation to income earned and/or fluctuations in the fair value of a fund's investments.  
†Ratios for periods less than one year are annualized. Zero balances may reflect amounts less than 0.005%.


See Notes to Financial Statements.



































































Contact Usamericancentury.com
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This report and the statements it contains are submitted for the general information of our shareholders. The report is not authorized for distribution to prospective investors unless preceded or accompanied by an effective prospectus.
©2024 American Century Proprietary Holdings, Inc. All rights reserved.
CL-SAN-95206 2407



(b) The information required by Item 13 of Form N-1A is included as part of the financial statements filed under Item 7(a) of this Form.


ITEM 8. CHANGES IN AND DISAGREEMENTS WITH ACCOUNTANTS FOR OPEN-END MANAGEMENT INVESTMENT COMPANIES.

None.


ITEM 9. PROXY DISCLOSURES FOR OPEN-END MANAGEMENT INVESTMENT COMPANIES.

None.


ITEM 10. REMUNERATION PAID TO DIRECTORS, OFFICERS, AND OTHERS OF OPEN-END MANAGEMENT INVESTMENT COMPANIES.

The remuneration paid to directors, officers and others is included as part of the report to stockholders filed under Item 7 of this Form.


ITEM 11. STATEMENT REGARDING BASIS FOR APPROVAL OF INVESTMENT ADVISORY CONTRACT.

None.

ITEM 12. DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

Not applicable.


ITEM 13. PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

Not applicable.


ITEM 14. PURCHASES OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT INVESTMENT COMPANY AND AFFILIATED PURCHASERS.

Not applicable.


ITEM 15. SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS.

During the reporting period, there were no material changes to the procedures by which shareholders may recommend nominees to the registrant’s board.


ITEM 16. CONTROLS AND PROCEDURES.




(a) The registrant's principal executive officer and principal financial officer have concluded that the registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) are effective based on their evaluation of these controls and procedures as of a date within 90 days of the filing date of this report.

(b) There were no changes in the registrant's internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) that occurred during the period covered by this report that have materially affected, or are reasonably likely to materially affect, the registrant's internal control over financial reporting.


ITEM 17. DISCLOSURE OF SECURITIES LENDING ACTIVITIES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

Not applicable.


ITEM 18. RECOVERY OF ERRONEOUSLY AWARDED COMPENSATION.

(a) Not applicable.

(b) Not applicable.

ITEM 19. EXHIBITS.

(a)(1) Not applicable for semiannual report filings.

(a)(2) Not applicable for semiannual report filings.

(a)(3) Separate certifications by the registrant’s principal executive officer and principal financial officer, pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 and Rule 30a-2(a) under the Investment Company Act of 1940, are filed and attached hereto as EX-99.CERT.

(a)(4) Not applicable.

(a)(5) Not applicable.

(b) A certification by the registrant’s chief executive officer and chief financial officer, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, is furnished and attached hereto as EX- 99.906CERT.




SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Registrant:American Century World Mutual Funds, Inc.
By:/s/ Patrick Bannigan
Name:Patrick Bannigan
Title:President
Date:July 25, 2024

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By:/s/ Patrick Bannigan
Name:Patrick Bannigan
Title:President
(principal executive officer)
Date:July 25, 2024


By:/s/ R. Wes Campbell
Name:R. Wes Campbell
Title:Treasurer and
Chief Financial Officer
(principal financial officer)
Date:July 25, 2024


EX-99 2 acwmfn-csrexx99cert.htm EX-99 Document

EX-99.CERT
CERTIFICATIONS

I, Patrick Bannigan, certify that:

1. I have reviewed this report on Form N-CSR of American Century World Mutual Funds, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.



Date:July 25, 2024
/s/ Patrick Bannigan
Patrick Bannigan
President
(principal executive officer)




I, R. Wes Campbell, certify that:

1. I have reviewed this report on Form N-CSR of American Century World Mutual Funds, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.


Date:July 25, 2024
/s/ R. Wes Campbell
R. Wes Campbell
Treasurer and Chief Financial Officer
(principal financial officer)

EX-99.906 3 acwmfn-csrexx99906cert.htm EX-99.906 Document

EX-99.906CERT

CERTIFICATION
PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

    
In connection with the shareholder report of American Century World Mutual Funds, Inc. (the "Registrant") on Form N-CSR for the period ending May 31, 2024 (the "Report"), we, the undersigned, certify, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of Section 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

Date:July 25, 2024
By:/s/ Patrick Bannigan
Patrick Bannigan
President
(chief executive officer)
By:/s/ R. Wes Campbell
R. Wes Campbell
Treasurer and Chief Financial Officer
(chief financial officer)




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Form N-CSR Cover
6 Months Ended
May 31, 2024
Shareholder Report [Line Items]  
Document Type N-CSRS
Amendment Flag false
Registrant Name AMERICAN CENTURY WORLD MUTUAL FUNDS, INC.
Entity Central Index Key 0000872825
Entity Investment Company Type N-1A
Document Period End Date May 31, 2024
XML 13 R2.htm IDEA: XBRL DOCUMENT v3.24.2
Shareholder Report
6 Months Ended
May 31, 2024
USD ($)
holding
Shareholder Report [Line Items]  
Document Type N-CSRS
Amendment Flag false
Registrant Name AMERICAN CENTURY WORLD MUTUAL FUNDS, INC.
Entity Central Index Key 0000872825
Entity Investment Company Type N-1A
Document Period End Date May 31, 2024
C000018021 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name Investor Class
Trading Symbol TWMIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$671.28%
Expenses Paid, Amount $ 67
Expense Ratio, Percent 1.28%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000018023 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name I Class
Trading Symbol AMKIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$571.08%
Expenses Paid, Amount $ 57
Expense Ratio, Percent 1.08%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000189777 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name Y Class
Trading Symbol AEYMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Y Class$490.93%
Expenses Paid, Amount $ 49
Expense Ratio, Percent 0.93%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000018022 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name A Class
Trading Symbol AEMMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$801.53%
Expenses Paid, Amount $ 80
Expense Ratio, Percent 1.53%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000018024 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name C Class
Trading Symbol ACECX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1192.28%
Expenses Paid, Amount $ 119
Expense Ratio, Percent 2.28%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000055528 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name R Class
Trading Symbol AEMRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$931.78%
Expenses Paid, Amount $ 93
Expense Ratio, Percent 1.78%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000189779 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name R5 Class
Trading Symbol AEGMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R5 Class$571.08%
Expenses Paid, Amount $ 57
Expense Ratio, Percent 1.08%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000131622 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name R6 Class
Trading Symbol AEDMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$490.93%
Expenses Paid, Amount $ 49
Expense Ratio, Percent 0.93%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000236495 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Fund
Class Name G Class
Trading Symbol ACADX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$20.03%
Expenses Paid, Amount $ 2
Expense Ratio, Percent 0.03%
Net Assets $ 1,950,750,990
Holdings Count | holding 86
Advisory Fees Paid, Amount $ 6,874,889
Investment Company, Portfolio Turnover 13.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.5%China27.0%
Short-Term Investments1.3%India17.7%
Other Assets and Liabilities(0.8)%Taiwan16.7%
 South Korea11.5%
 Brazil6.3%
C000167122 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Small Cap Fund
Class Name Investor Class
Trading Symbol AECVX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$731.39%
Expenses Paid, Amount $ 73
Expense Ratio, Percent 1.39%
Net Assets $ 20,163,724
Holdings Count | holding 103
Advisory Fees Paid, Amount $ 108,290
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%
C000167123 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Small Cap Fund
Class Name I Class
Trading Symbol AECSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$621.19%
Expenses Paid, Amount $ 62
Expense Ratio, Percent 1.19%
Net Assets $ 20,163,724
Holdings Count | holding 103
Advisory Fees Paid, Amount $ 108,290
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%
C000167124 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Small Cap Fund
Class Name A Class
Trading Symbol AECLX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$861.64%
Expenses Paid, Amount $ 86
Expense Ratio, Percent 1.64%
Net Assets $ 20,163,724
Holdings Count | holding 103
Advisory Fees Paid, Amount $ 108,290
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%
C000167119 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Small Cap Fund
Class Name C Class
Trading Symbol AECHX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1242.39%
Expenses Paid, Amount $ 124
Expense Ratio, Percent 2.39%
Net Assets $ 20,163,724
Holdings Count | holding 103
Advisory Fees Paid, Amount $ 108,290
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%
C000167120 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Small Cap Fund
Class Name R Class
Trading Symbol AECMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$981.89%
Expenses Paid, Amount $ 98
Expense Ratio, Percent 1.89%
Net Assets $ 20,163,724
Holdings Count | holding 103
Advisory Fees Paid, Amount $ 108,290
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%
C000167121 [Member]  
Shareholder Report [Line Items]  
Fund Name Emerging Markets Small Cap Fund
Class Name R6 Class
Trading Symbol AECTX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Emerging Markets Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$541.04%
Expenses Paid, Amount $ 54
Expense Ratio, Percent 1.04%
Net Assets $ 20,163,724
Holdings Count | holding 103
Advisory Fees Paid, Amount $ 108,290
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%India26.6%
Exchange-Traded Funds0.8%Taiwan17.2%
Short-Term Investments2.1%South Korea11.0%
Other Assets and Liabilities(1.8)%China8.5%
 Brazil7.2%
C000018025 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name Investor Class
Trading Symbol TWGGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$581.08%
Expenses Paid, Amount $ 58
Expense Ratio, Percent 1.08%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000018027 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name I Class
Trading Symbol AGGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$470.88%
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.88%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000189780 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name Y Class
Trading Symbol AGYGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Y Class$390.73%
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.73%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000018026 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name A Class
Trading Symbol AGGRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$711.33%
Expenses Paid, Amount $ 71
Expense Ratio, Percent 1.33%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000018030 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name C Class
Trading Symbol AGLCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1112.08%
Expenses Paid, Amount $ 111
Expense Ratio, Percent 2.08%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000018031 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name R Class
Trading Symbol AGORX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$841.58%
Expenses Paid, Amount $ 84
Expense Ratio, Percent 1.58%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000189781 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name R5 Class
Trading Symbol AGFGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R5 Class$470.88%
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.88%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000131623 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused Global Growth Fund
Class Name R6 Class
Trading Symbol AGGDX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused Global Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$390.73%
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.73%
Net Assets $ 622,292,285
Holdings Count | holding 35
Advisory Fees Paid, Amount $ 3,048,723
Investment Company, Portfolio Turnover 29.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United States69.3%
Short-Term Investments2.2%United Kingdom6.1%
Other Assets and Liabilities(0.9)%Denmark3.6%
 Netherlands3.3%
 Japan2.8%
C000167113 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name Investor Class
Trading Symbol AFCNX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$571.09%
Expenses Paid, Amount $ 57
Expense Ratio, Percent 1.09%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000167114 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name I Class
Trading Symbol AFCSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$470.89%
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.89%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000167115 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name A Class
Trading Symbol AFCLX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$701.34%
Expenses Paid, Amount $ 70
Expense Ratio, Percent 1.34%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000167116 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name C Class
Trading Symbol AFCHX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1102.09%
Expenses Paid, Amount $ 110
Expense Ratio, Percent 2.09%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000167117 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name R Class
Trading Symbol AFCWX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$841.59%
Expenses Paid, Amount $ 84
Expense Ratio, Percent 1.59%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000167118 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name R6 Class
Trading Symbol AFCMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$390.74%
Expenses Paid, Amount $ 39
Expense Ratio, Percent 0.74%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000212502 [Member]  
Shareholder Report [Line Items]  
Fund Name Focused International Growth Fund
Class Name G Class
Trading Symbol AFCGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Focused International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$00.00%
Expenses Paid, Amount $ 0
Expense Ratio, Percent 0.00%
Net Assets $ 93,906,487
Holdings Count | holding 47
Advisory Fees Paid, Amount $ 241,323
Investment Company, Portfolio Turnover 47.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.2%United Kingdom15.2%
Short-Term Investments1.3%Japan14.2%
Other Assets and Liabilities(0.5)%Netherlands11.4%
 France11.0%
 Switzerland6.6%
C000167125 [Member]  
Shareholder Report [Line Items]  
Fund Name Global Small Cap Fund
Class Name Investor Class
Trading Symbol AGCVX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$601.11%
Expenses Paid, Amount $ 60
Expense Ratio, Percent 1.11%
Net Assets $ 82,757,966
Holdings Count | holding 136
Advisory Fees Paid, Amount $ 400,566
Investment Company, Portfolio Turnover 58.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%
C000167126 [Member]  
Shareholder Report [Line Items]  
Fund Name Global Small Cap Fund
Class Name I Class
Trading Symbol AGCSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$490.91%
Expenses Paid, Amount $ 49
Expense Ratio, Percent 0.91%
Net Assets $ 82,757,966
Holdings Count | holding 136
Advisory Fees Paid, Amount $ 400,566
Investment Company, Portfolio Turnover 58.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%
C000167127 [Member]  
Shareholder Report [Line Items]  
Fund Name Global Small Cap Fund
Class Name A Class
Trading Symbol AGCLX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$731.36%
Expenses Paid, Amount $ 73
Expense Ratio, Percent 1.36%
Net Assets $ 82,757,966
Holdings Count | holding 136
Advisory Fees Paid, Amount $ 400,566
Investment Company, Portfolio Turnover 58.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%
C000167128 [Member]  
Shareholder Report [Line Items]  
Fund Name Global Small Cap Fund
Class Name C Class
Trading Symbol AGCHX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1132.11%
Expenses Paid, Amount $ 113
Expense Ratio, Percent 2.11%
Net Assets $ 82,757,966
Holdings Count | holding 136
Advisory Fees Paid, Amount $ 400,566
Investment Company, Portfolio Turnover 58.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%
C000167129 [Member]  
Shareholder Report [Line Items]  
Fund Name Global Small Cap Fund
Class Name R Class
Trading Symbol AGCWX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$861.61%
Expenses Paid, Amount $ 86
Expense Ratio, Percent 1.61%
Net Assets $ 82,757,966
Holdings Count | holding 136
Advisory Fees Paid, Amount $ 400,566
Investment Company, Portfolio Turnover 58.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%
C000167130 [Member]  
Shareholder Report [Line Items]  
Fund Name Global Small Cap Fund
Class Name R6 Class
Trading Symbol AGCTX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Global Small Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$410.76%
Expenses Paid, Amount $ 41
Expense Ratio, Percent 0.76%
Net Assets $ 82,757,966
Holdings Count | holding 136
Advisory Fees Paid, Amount $ 400,566
Investment Company, Portfolio Turnover 58.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.2%United States54.0%
Exchange-Traded Funds1.5%Japan7.8%
Short-Term Investments1.7%Canada7.3%
Other Assets and Liabilities(1.4)%United Kingdom4.5%
 India3.6%
C000018035 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name Investor Class
Trading Symbol TWIEX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$661.25%
Expenses Paid, Amount $ 66
Expense Ratio, Percent 1.25%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000018037 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name I Class
Trading Symbol TGRIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$551.05%
Expenses Paid, Amount $ 55
Expense Ratio, Percent 1.05%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000189783 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name Y Class
Trading Symbol ATYGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Y Class$480.90%
Expenses Paid, Amount $ 48
Expense Ratio, Percent 0.90%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000018036 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name A Class
Trading Symbol TWGAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$791.50%
Expenses Paid, Amount $ 79
Expense Ratio, Percent 1.50%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000018040 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name C Class
Trading Symbol AIWCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1182.25%
Expenses Paid, Amount $ 118
Expense Ratio, Percent 2.25%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000018041 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name R Class
Trading Symbol ATGRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$921.75%
Expenses Paid, Amount $ 92
Expense Ratio, Percent 1.75%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000189784 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name R5 Class
Trading Symbol ATGGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R5 Class$551.05%
Expenses Paid, Amount $ 55
Expense Ratio, Percent 1.05%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000131624 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name R6 Class
Trading Symbol ATGDX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$480.90%
Expenses Paid, Amount $ 48
Expense Ratio, Percent 0.90%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000236496 [Member]  
Shareholder Report [Line Items]  
Fund Name International Growth Fund
Class Name G Class
Trading Symbol ACAEX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Growth Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$10.01%
Expenses Paid, Amount $ 1
Expense Ratio, Percent 0.01%
Net Assets $ 2,928,263,267
Holdings Count | holding 93
Advisory Fees Paid, Amount $ 7,806,415
Investment Company, Portfolio Turnover 32.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.3%United Kingdom18.4%
Short-Term Investments1.7%Japan16.9%
Other Assets and Liabilities(1.0)%France16.5%
 Netherlands8.4%
 Switzerland7.2%
C000018042 [Member]  
Shareholder Report [Line Items]  
Fund Name International Opportunities Fund
Class Name Investor Class
Trading Symbol AIOIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$821.56%
Expenses Paid, Amount $ 82
Expense Ratio, Percent 1.56%
Net Assets $ 442,882,044
Holdings Count | holding 135
Advisory Fees Paid, Amount $ 3,335,804
Investment Company, Portfolio Turnover 61.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%
C000018043 [Member]  
Shareholder Report [Line Items]  
Fund Name International Opportunities Fund
Class Name I Class
Trading Symbol ACIOX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$721.36%
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.36%
Net Assets $ 442,882,044
Holdings Count | holding 135
Advisory Fees Paid, Amount $ 3,335,804
Investment Company, Portfolio Turnover 61.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%
C000088079 [Member]  
Shareholder Report [Line Items]  
Fund Name International Opportunities Fund
Class Name A Class
Trading Symbol AIVOX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$951.81%
Expenses Paid, Amount $ 95
Expense Ratio, Percent 1.81%
Net Assets $ 442,882,044
Holdings Count | holding 135
Advisory Fees Paid, Amount $ 3,335,804
Investment Company, Portfolio Turnover 61.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%
C000088080 [Member]  
Shareholder Report [Line Items]  
Fund Name International Opportunities Fund
Class Name C Class
Trading Symbol AIOCX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1342.56%
Expenses Paid, Amount $ 134
Expense Ratio, Percent 2.56%
Net Assets $ 442,882,044
Holdings Count | holding 135
Advisory Fees Paid, Amount $ 3,335,804
Investment Company, Portfolio Turnover 61.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%
C000088081 [Member]  
Shareholder Report [Line Items]  
Fund Name International Opportunities Fund
Class Name R Class
Trading Symbol AIORX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Opportunities Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$1082.06%
Expenses Paid, Amount $ 108
Expense Ratio, Percent 2.06%
Net Assets $ 442,882,044
Holdings Count | holding 135
Advisory Fees Paid, Amount $ 3,335,804
Investment Company, Portfolio Turnover 61.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks100.2%Japan16.5%
Exchange-Traded Funds0.0%Canada9.0%
Short-Term Investments1.4%India8.3%
Other Assets and Liabilities(1.6)%United Kingdom8.3%
 Taiwan7.6%
C000152811 [Member]  
Shareholder Report [Line Items]  
Fund Name International Small-Mid Cap Fund
Class Name Investor Class
Trading Symbol ANTSX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Small-Mid Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$781.44%
Expenses Paid, Amount $ 78
Expense Ratio, Percent 1.44%
Net Assets $ 564,397,983
Holdings Count | holding 118
Advisory Fees Paid, Amount $ 638,567
Investment Company, Portfolio Turnover 55.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.1%Japan26.4%
Exchange-Traded Funds0.0%United Kingdom13.0%
Short-Term Investments0.5%Australia9.9%
Other Assets and Liabilities0.4%Canada6.9%
 Spain5.8%
C000152812 [Member]  
Shareholder Report [Line Items]  
Fund Name International Small-Mid Cap Fund
Class Name G Class
Trading Symbol ANTMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Small-Mid Cap Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$10.01%
Expenses Paid, Amount $ 1
Expense Ratio, Percent 0.01%
Net Assets $ 564,397,983
Holdings Count | holding 118
Advisory Fees Paid, Amount $ 638,567
Investment Company, Portfolio Turnover 55.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks99.1%Japan26.4%
Exchange-Traded Funds0.0%United Kingdom13.0%
Short-Term Investments0.5%Australia9.9%
Other Assets and Liabilities0.4%Canada6.9%
 Spain5.8%
C000018052 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name Investor Class
Trading Symbol ACEVX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$601.11%
Expenses Paid, Amount $ 60
Expense Ratio, Percent 1.11%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000018053 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name I Class
Trading Symbol ACVUX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$490.91%
Expenses Paid, Amount $ 49
Expense Ratio, Percent 0.91%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000018054 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name A Class
Trading Symbol MEQAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$731.36%
Expenses Paid, Amount $ 73
Expense Ratio, Percent 1.36%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000018056 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name C Class
Trading Symbol ACCOX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
C Class$1132.11%
Expenses Paid, Amount $ 113
Expense Ratio, Percent 2.11%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000018057 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name R Class
Trading Symbol ACVRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$861.61%
Expenses Paid, Amount $ 86
Expense Ratio, Percent 1.61%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000131625 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name R6 Class
Trading Symbol ACVDX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$410.76%
Expenses Paid, Amount $ 41
Expense Ratio, Percent 0.76%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000236497 [Member]  
Shareholder Report [Line Items]  
Fund Name International Value Fund
Class Name G Class
Trading Symbol ACAFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about International Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$10.01%
Expenses Paid, Amount $ 1
Expense Ratio, Percent 0.01%
Net Assets $ 1,555,231,363
Holdings Count | holding 169
Advisory Fees Paid, Amount $ 1,326,950
Investment Company, Portfolio Turnover 34.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.9%Japan24.0%
Short-Term Investments4.1%United Kingdom18.4%
Other Assets and Liabilities(3.0)%France11.9%
 Germany7.3%
 Italy6.4%
C000205778 [Member]  
Shareholder Report [Line Items]  
Fund Name Non-U.S. Intrinsic Value Fund
Class Name Investor Class
Trading Symbol ANTUX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
Investor Class$631.19%
Expenses Paid, Amount $ 63
Expense Ratio, Percent 1.19%
Net Assets $ 608,015,814
Holdings Count | holding 53
Advisory Fees Paid, Amount $ 620,847
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%
C000216231 [Member]  
Shareholder Report [Line Items]  
Fund Name Non-U.S. Intrinsic Value Fund
Class Name I Class
Trading Symbol ANVHX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
I Class$530.99%
Expenses Paid, Amount $ 53
Expense Ratio, Percent 0.99%
Net Assets $ 608,015,814
Holdings Count | holding 53
Advisory Fees Paid, Amount $ 620,847
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%
C000216232 [Member]  
Shareholder Report [Line Items]  
Fund Name Non-U.S. Intrinsic Value Fund
Class Name A Class
Trading Symbol ANVLX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
A Class$771.44%
Expenses Paid, Amount $ 77
Expense Ratio, Percent 1.44%
Net Assets $ 608,015,814
Holdings Count | holding 53
Advisory Fees Paid, Amount $ 620,847
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%
C000216233 [Member]  
Shareholder Report [Line Items]  
Fund Name Non-U.S. Intrinsic Value Fund
Class Name R Class
Trading Symbol ANVRX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R Class$901.69%
Expenses Paid, Amount $ 90
Expense Ratio, Percent 1.69%
Net Assets $ 608,015,814
Holdings Count | holding 53
Advisory Fees Paid, Amount $ 620,847
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%
C000216230 [Member]  
Shareholder Report [Line Items]  
Fund Name Non-U.S. Intrinsic Value Fund
Class Name R6 Class
Trading Symbol ANVMX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
R6 Class$450.84%
Expenses Paid, Amount $ 45
Expense Ratio, Percent 0.84%
Net Assets $ 608,015,814
Holdings Count | holding 53
Advisory Fees Paid, Amount $ 620,847
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%
C000205779 [Member]  
Shareholder Report [Line Items]  
Fund Name Non-U.S. Intrinsic Value Fund
Class Name G Class
Trading Symbol ANTGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about Non-U.S. Intrinsic Value Fund for the period December 1, 2023 to May 31, 2024.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block] You can find additional information about the fund at americancentury.com/docs. You can also request this information by contacting us at 1-800-345-2021.
Additional Information Phone Number 1-800-345-2021
Additional Information Website americancentury.com/docs
Expenses [Text Block]
What were the fund costs for the last six months? (based on a hypothetical $10,000 investment)
The below table explains the costs that you would have paid within the reporting period.
Costs of $10,000 investment
Costs paid as a percentage of a $10,000 investment
G Class$20.04%
Expenses Paid, Amount $ 2
Expense Ratio, Percent 0.04%
Net Assets $ 608,015,814
Holdings Count | holding 53
Advisory Fees Paid, Amount $ 620,847
Investment Company, Portfolio Turnover 30.00%
Holdings [Text Block]
Fund Holdings
Types of Investments in Portfolio (as a % of net assets)
Top Five Countries (as a % of net assets)
Common Stocks98.7%United Kingdom28.7%
Short-Term Investments0.6%France16.8%
Other Assets and Liabilities0.7%South Korea9.8%
 Netherlands7.8%
 Switzerland7.2%
XML 14 R3.htm IDEA: XBRL DOCUMENT v3.24.2
Shareholder Report, Holdings (Details)
May 31, 2024
C000018021 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000018021 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000018021 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000018021 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000018021 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000018021 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000018021 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000018021 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000018023 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000018023 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000018023 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000018023 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000018023 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000018023 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000018023 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000018023 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000189777 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000189777 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000189777 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000189777 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000189777 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000189777 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000189777 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000189777 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000018022 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000018022 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000018022 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000018022 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000018022 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000018022 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000018022 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000018022 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000018024 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000018024 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000018024 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000018024 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000018024 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000018024 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000018024 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000018024 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000055528 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000055528 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000055528 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000055528 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000055528 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000055528 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000055528 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000055528 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000189779 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000189779 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000189779 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000189779 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000189779 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000189779 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000189779 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000189779 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000131622 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000131622 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000131622 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000131622 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000131622 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000131622 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000131622 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000131622 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000236495 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 27.00%
C000236495 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 17.70%
C000236495 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 16.70%
C000236495 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.50%
C000236495 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 6.30%
C000236495 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.50%
C000236495 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000236495 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.80%)
C000167122 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 8.50%
C000167122 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 26.60%
C000167122 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 17.20%
C000167122 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167122 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000167122 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000167122 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10%
C000167122 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.80%)
C000167122 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80%
C000167123 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 8.50%
C000167123 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 26.60%
C000167123 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 17.20%
C000167123 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167123 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000167123 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000167123 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10%
C000167123 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.80%)
C000167123 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80%
C000167124 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 8.50%
C000167124 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 26.60%
C000167124 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 17.20%
C000167124 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167124 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000167124 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000167124 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10%
C000167124 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.80%)
C000167124 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80%
C000167119 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 8.50%
C000167119 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 26.60%
C000167119 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 17.20%
C000167119 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167119 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000167119 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000167119 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10%
C000167119 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.80%)
C000167119 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80%
C000167120 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 8.50%
C000167120 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 26.60%
C000167120 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 17.20%
C000167120 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167120 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000167120 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000167120 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10%
C000167120 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.80%)
C000167120 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80%
C000167121 [Member] | CHINA  
Holdings [Line Items]  
Percent of Net Asset Value 8.50%
C000167121 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 26.60%
C000167121 [Member] | TAIWAN  
Holdings [Line Items]  
Percent of Net Asset Value 17.20%
C000167121 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167121 [Member] | BRAZIL  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000167121 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000167121 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10%
C000167121 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.80%)
C000167121 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80%
C000018025 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000018025 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000018025 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000018025 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000018025 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000018025 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000018025 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000018025 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000018027 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000018027 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000018027 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000018027 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000018027 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000018027 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000018027 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000018027 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000189780 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000189780 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000189780 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000189780 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000189780 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000189780 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000189780 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000189780 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000018026 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000018026 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000018026 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000018026 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000018026 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000018026 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000018026 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000018026 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000018030 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000018030 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000018030 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000018030 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000018030 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000018030 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000018030 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000018030 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000018031 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000018031 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000018031 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000018031 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000018031 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000018031 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000018031 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000018031 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000189781 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000189781 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000189781 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000189781 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000189781 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000189781 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000189781 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000189781 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000131623 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 69.30%
C000131623 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 6.10%
C000131623 [Member] | DENMARK  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000131623 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 3.30%
C000131623 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 2.80%
C000131623 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000131623 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20%
C000131623 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.90%)
C000167113 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000167113 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000167113 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000167113 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167113 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000167113 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000167113 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000167113 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
C000167114 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000167114 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000167114 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000167114 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167114 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000167114 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000167114 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000167114 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
C000167115 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000167115 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000167115 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000167115 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167115 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000167115 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000167115 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000167115 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
C000167116 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000167116 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000167116 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000167116 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167116 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000167116 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000167116 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000167116 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
C000167117 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000167117 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000167117 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000167117 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167117 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000167117 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000167117 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000167117 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
C000167118 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000167118 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000167118 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000167118 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000167118 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000167118 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000167118 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000167118 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
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Holdings [Line Items]  
Percent of Net Asset Value 15.20%
C000212502 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 11.40%
C000212502 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 14.20%
C000212502 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.00%
C000212502 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 6.60%
C000212502 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.20%
C000212502 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30%
C000212502 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (0.50%)
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Holdings [Line Items]  
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C000167125 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 54.00%
C000167125 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 4.50%
C000167125 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000167125 [Member] | CANADA  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000167125 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.20%
C000167125 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70%
C000167125 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.40%)
C000167125 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.50%
C000167126 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000167126 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 54.00%
C000167126 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 4.50%
C000167126 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000167126 [Member] | CANADA  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000167126 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.20%
C000167126 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70%
C000167126 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.40%)
C000167126 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.50%
C000167127 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000167127 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 54.00%
C000167127 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 4.50%
C000167127 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000167127 [Member] | CANADA  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
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Holdings [Line Items]  
Percent of Net Asset Value 98.20%
C000167127 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
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C000167127 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.40%)
C000167127 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.50%
C000167128 [Member] | INDIA  
Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000167128 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 54.00%
C000167128 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 4.50%
C000167128 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000167128 [Member] | CANADA  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000167128 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.20%
C000167128 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70%
C000167128 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (1.40%)
C000167128 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.50%
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Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000167129 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 54.00%
C000167129 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 4.50%
C000167129 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
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Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000167129 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.20%
C000167129 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
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C000167129 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
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C000167129 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.50%
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Holdings [Line Items]  
Percent of Net Asset Value 3.60%
C000167130 [Member] | UNITED STATES  
Holdings [Line Items]  
Percent of Net Asset Value 54.00%
C000167130 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
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C000167130 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
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Holdings [Line Items]  
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Holdings [Line Items]  
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C000167130 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
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C000167130 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
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C000167130 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 99.30%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value (1.00%)
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Holdings [Line Items]  
Percent of Net Asset Value 18.40%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 16.90%
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Holdings [Line Items]  
Percent of Net Asset Value 16.50%
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Holdings [Line Items]  
Percent of Net Asset Value 7.20%
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Holdings [Line Items]  
Percent of Net Asset Value 99.30%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value (1.00%)
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 16.90%
C000189783 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.50%
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Holdings [Line Items]  
Percent of Net Asset Value 7.20%
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Holdings [Line Items]  
Percent of Net Asset Value 99.30%
C000189783 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value (1.00%)
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 16.90%
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Holdings [Line Items]  
Percent of Net Asset Value 16.50%
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Holdings [Line Items]  
Percent of Net Asset Value 7.20%
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Holdings [Line Items]  
Percent of Net Asset Value 99.30%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value (1.00%)
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 16.90%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 7.20%
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Holdings [Line Items]  
Percent of Net Asset Value 99.30%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value (1.00%)
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 16.90%
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Holdings [Line Items]  
Percent of Net Asset Value 16.50%
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Holdings [Line Items]  
Percent of Net Asset Value 7.20%
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Holdings [Line Items]  
Percent of Net Asset Value 99.30%
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value (1.00%)
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
Percent of Net Asset Value 16.90%
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Holdings [Line Items]  
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Percent of Net Asset Value 9.90%
C000152811 [Member] | SPAIN  
Holdings [Line Items]  
Percent of Net Asset Value 5.80%
C000152811 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.10%
C000152811 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.50%
C000152811 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40%
C000152811 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00%
C000152812 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 13.00%
C000152812 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 26.40%
C000152812 [Member] | CANADA  
Holdings [Line Items]  
Percent of Net Asset Value 6.90%
C000152812 [Member] | AUSTRALIA  
Holdings [Line Items]  
Percent of Net Asset Value 9.90%
C000152812 [Member] | SPAIN  
Holdings [Line Items]  
Percent of Net Asset Value 5.80%
C000152812 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.10%
C000152812 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.50%
C000152812 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40%
C000152812 [Member] | Exchange-Traded Fund [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00%
C000018052 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000018052 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000018052 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000018052 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000018052 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000018052 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000018052 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000018052 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000018053 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000018053 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000018053 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000018053 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000018053 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000018053 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000018053 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000018053 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000018054 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000018054 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000018054 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000018054 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000018054 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000018054 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000018054 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000018054 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000018056 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000018056 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000018056 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000018056 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000018056 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000018056 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000018056 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000018056 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000018057 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000018057 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000018057 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000018057 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000018057 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000018057 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000018057 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000018057 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000131625 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000131625 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000131625 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000131625 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000131625 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000131625 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000131625 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000131625 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000236497 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 18.40%
C000236497 [Member] | JAPAN  
Holdings [Line Items]  
Percent of Net Asset Value 24.00%
C000236497 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 11.90%
C000236497 [Member] | GERMANY  
Holdings [Line Items]  
Percent of Net Asset Value 7.30%
C000236497 [Member] | ITALY  
Holdings [Line Items]  
Percent of Net Asset Value 6.40%
C000236497 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.90%
C000236497 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10%
C000236497 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value (3.00%)
C000205778 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 9.80%
C000205778 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 28.70%
C000205778 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000205778 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.80%
C000205778 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000205778 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000205778 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.60%
C000205778 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70%
C000216231 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 9.80%
C000216231 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 28.70%
C000216231 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000216231 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.80%
C000216231 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000216231 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000216231 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.60%
C000216231 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70%
C000216232 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 9.80%
C000216232 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 28.70%
C000216232 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000216232 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.80%
C000216232 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000216232 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000216232 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.60%
C000216232 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70%
C000216233 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 9.80%
C000216233 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 28.70%
C000216233 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000216233 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.80%
C000216233 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000216233 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000216233 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.60%
C000216233 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70%
C000216230 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 9.80%
C000216230 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 28.70%
C000216230 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000216230 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.80%
C000216230 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000216230 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000216230 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.60%
C000216230 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70%
C000205779 [Member] | KOREA, REPUBLIC OF  
Holdings [Line Items]  
Percent of Net Asset Value 9.80%
C000205779 [Member] | UNITED KINGDOM  
Holdings [Line Items]  
Percent of Net Asset Value 28.70%
C000205779 [Member] | NETHERLANDS  
Holdings [Line Items]  
Percent of Net Asset Value 7.80%
C000205779 [Member] | FRANCE  
Holdings [Line Items]  
Percent of Net Asset Value 16.80%
C000205779 [Member] | SWITZERLAND  
Holdings [Line Items]  
Percent of Net Asset Value 7.20%
C000205779 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 98.70%
C000205779 [Member] | Short-Term Investment [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.60%
C000205779 [Member] | Other Assets and Liabilities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70%
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