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American Century Global Gold Fund Investor Class (BGEIX)

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13.30 +0.06    +0.45%
00:00:00 - Delayed Data. Currency in USD
Type:  Fund
Market:  United States
Issuer:  American Century Investments
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 634.29M
American Century Global Gold Inv 13.30 +0.06 +0.45%

American Century Global Gold Fund Investor Class Overview

 
On this page you'll find an in-depth profile of American Century Global Gold Fund Investor Class. Learn about the key management, total assets, investment strategy and contact information of BGEIX among other information.
Category

Equity Precious Metals

Total Assets

634.29M

Expenses

0.66%

Inception Date

32372

Investment Strategy

The investment seeks to realize a total return (capital growth and dividends) consistent with investment in securities of companies that are engaged in mining, processing, fabricating or distributing gold or other precious metals throughout the world. The fund invests at least 80% of its net assets in companies that are engaged in mining, processing, fabricating, distributing, exploring for or otherwise dealing in gold. It is non-diversified.

Contact Information

Address P.O. Box 419200,4500 Main Street
Kansas City,,MO 64141
United States
Phone +1 8004444015

Top Executives

Name Title Since Until
Stephen Quance - 2023 Now
Biography Stephen Quance, Vice President, Portfolio Manager and Co-Head of Global Analytics and Head of Investments for Disciplined Equity Group, has been a member of the team that manages the fund since joining American Century Investments in 2023. Prior to joining American Century, Mr. Quance was the Global Director of Factor Investing from 2019 to 2023 and Director of Factor Investing Asia Pacific from 2017 to 2018 at Invesco Ltd. He has a bachelor of science in civil and environmental engineering from Rice University and an MBA from The University of Texas, McCombs School of Business.
Arun Daniel Portfolio Manager, Senior Research Analyst 2022 Now
Biography Arun Daniel, is a portfolio manager and head of Disciplined Equity Group (DEG) strategies for American Century Investments®. Arun co-manages the U.S. Disciplined Large Cap Core, U.S. Disciplined Large Cap Growth, U.S. Disciplined Small Cap Core, U.S. Utilities, and Non-U.S. Disciplined Large Cap Value strategies. He is also responsible for overseeing portfolio management for all strategies managed by the disciplined equity group. Before joining American Century Investments, Arun was a senior portfolio manager and senior research analyst of global equities with JO Hambro Capital Management Group. Prior to that, he was a portfolio manager and sector research head with Fidelity Investment Company. He also held roles as a vice president and portfolio manager for the consumer sector with Voya Financial and as a portfolio manager and senior research analyst for the consumer sector with Principled Capital Management. He has worked in the investment industry since 2001. Arun earned a bachelor's degree in business administration from Madurai University in India and a master's degree in business administration from Regent University.
Yulin Long Portfolio Manager 2016 Now
Biography Yulin Long is a Vice president, Portfolio Manager and Head of Quantitative Research for American Century Investments®, a premier investment manager headquartered in Kansas City, Mo. Dr. Long joined the company in 2005. She became a senior quantitative analyst in 2007, a vice president and senior quantitative analyst in 2012, and a portfolio manager in 2013. Previously, she was an analyst focused on the development of an international stock selection model. Prior to that, she worked for Cornerstone Research as an associate conducting financial and accounting analysis for complex business litigation cases. Dr. Long earned a Ph.D. in accounting from Stanford University. She also has a Master of Philosophy degree in accounting from Hong Kong University of Science and Technology and a bachelor's degree in finance from Beijing University. She is a CFA charterholder.
Guan Wang Portfolio Manager 2020 2022
Biography Ms Wang, Portfolio Manager and Quantitative Analyst, joined American Century Investments in 2015 as an analyst and was promoted to portfolio manager in 2020. She has a bachelor’s degree in finance from Fudan University in China and a masters in finance from Massachusetts Institute of Technology. She is a CFA charterholder.
Elizabeth Xie Portfolio Manager 2016 2020
Biography Dr. Xie, Portfolio Manager and Senior Quantitative Analyst, has been a member of managemenet team. She joined American Century Investments as a quantitative analyst in 2007. She became a portfolio manager in 2010. From 2005 to 2007, she was a consultant for ERS Group. She has both a bachelor’s and master’s degree in economics from Beijing University, and a Ph.D. in economics and a Master of Legal Studies from Stanford University. She is a CFA charterholder.
Lynette Pang Portfolio Manager 2010 2016
Biography Ms. Pang, Portfolio Manager, has been a member of the disciplined growth strategy team since September 2005. She joined American Century in July 1997 and became a portfolio manager in February 2006. She is a CFA charterholder.
William Martin Senior Vice President 1992 2016
Biography Mr. Martin, Senior Vice President and Senior Portfolio Manager, joined American Century Investments in 1989 and became a portfolio manager in 1991. He has shared primary responsibility for the management of the fund since 2010, and has served on teams managing quantitative equity investments since 1990. Prior to joining the company, he was with A.G. Edwards & Associates. He has a bachelor's degree in economics from the University of Illinois. He is a CFA charterholder.
Joseph B. Sterling Portfolio Manager 1995 2010
Biography Sterling is a portfolio manager with American Century Investments, his employer since 1989. Prior to joining the firm, he was a business banker for Wells Fargo Bank and an investment broker for Dean Witter. He has more than 11 years of investment experience.
John Schniedwind CIO (Chief Investment Officer) 1998 2006
Biography Schniedwind, chief investment officer, has been a member of the team that manages the fund since its inception in December 1990. He joined American Century in October 1982 and became a portfolio manager in June 1997.
Steven L. Colton Senior Vice President 1988 1992
Biography Colton is a senior vice president and senior portfolio manager of Phoenix (since June 2006) and was senior vice president and senior portfolio manager of Engemann Asset Management (Engemann), an affiliate of Phoenix (January 2005 to October 2006). Prior to joining Engemann, he was managing director, senior portfolio manager of Phoenix (1997-2005).
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BGEIX Comments

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John Shaeffer
John Shaeffer Nov 09, 2018 11:44AM ET
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Started buying $70 per day through Dec 31--today.  I expect big bottom for gold stocks between Jan 15-Feb 15 2019.  Will average into that bottom and decide at the beginning of 2019, if I want to increase the daily allocation.
John Shaeffer
John Shaeffer Jul 18, 2018 3:56PM ET
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Have closed this out over the course of the week-third death cross forming (50dayMA<200dayMA)--not a good sign--same thing happened early in 2008 and that was a disaster.  Will look to get back in here early in 2019--looking for 1100 gold and platinum at 550.  Death cross in gold happened earlier and the average calendar days before a golden cross (50day>200day) is 210 calendar days--sometime late 2018-early 2019 if average.
John Shaeffer
John Shaeffer Jun 28, 2018 8:30AM ET
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50 day moving avg has gone below 200 day MA for gold.  Happened 10 times since 2000 before now.  Average length of time 50 MA under 200 MA is 210 calendar days.  Longest is 530 calendar days..  Will average in to BGEIX at $50 a day--increase to $100 per day if gets to 6.50 or below.  Low risk way of getting in at the lows.  Averaging in to ACITX at $50 a day during this tume.
John Shaeffer
John Shaeffer Jun 28, 2018 8:30AM ET
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Paste  and go:. . http://stockcharts.com/c-sc/sc?s=BGEIX%3A%24GOLD&p=W&yr=2&mn=0&dy=0&i=t51927868715&r=1518688120012. . So far miners holding up well vs. gold.  Move below recent lows probably means a return to under 6.50 for BGEIX.
 
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