MUSI
American Century Multisector Income ETF
📎 Investment Objective
The American Century Multisector Income ETF seeks to provide current income by investing across a diversified portfolio of fixed-income securities.
Overview
ETF tracking American Century Multisector Income ETF
Performance
Price Chart
Investment Summary
📎 Investment Objective
The American Century Multisector Income ETF seeks to provide current income by investing across a diversified portfolio of fixed-income securities.
🎯 Investment Strategy
The fund invests in a variety of debt instruments, including government bonds, corporate bonds, mortgage-backed securities, and other fixed-income assets. The portfolio is actively managed, with the goal of generating consistent income while managing risk.
✨ Key Features
- Diversified fixed-income exposure across multiple sectors
- Active management approach to security selection and portfolio positioning
- Seeks to provide a steady stream of income for investors
- Low expense ratio of 0.00%
⚠️ Primary Risks
- Interest rate risk: The fund's holdings may decline in value when interest rates rise
- Credit risk: The fund is exposed to the risk of default or downgrade of the debt securities it holds
- Liquidity risk: Some of the fund's investments may be less liquid, which could impact the ability to sell positions at favorable prices
- Sector concentration risk: The fund's performance may be more sensitive to developments in specific sectors or industries
👤 Best For
The American Century Multisector Income ETF may be suitable for investors seeking a diversified fixed-income investment that can provide a steady stream of income. It may be appropriate as a core fixed-income holding or as a complement to a broader investment portfolio.