MF · holdings as filed 2026-04-30

What's inside ARCMX?

One Choice 2030 Portfolio
Holdings
22
positions in the fund
Top 10
78%
of fund assets
Expense ratio
1.05%
net, per year
Fund size
$1B
total net assets
Sectors
Top holdings — Unclassified
Your 10 largest positions in this sector
1
A
ACDOXAMER CENT DIVERS BND-G
17.32%
2
A
AGBGXAMER CENT GLOBAL BOND-G
11.06%
3
A
ACFLXAMER CENT LRG COMP VAL-G
9.18%
4
A
AFEGXAMER CNTRY LRG CAP EQT FND-G
9.13%
5
A
ACAEXAMER CENT INTL GRWTH-G
6.25%
6
A
ACAFXAMER CENT INTL VAL-G
6.19%
7
A
ASDOXAMER CENT SHRT DUR-G
5.41%
8
A
APOGXAMER CENT SH DR INFL BND-G
4.90%
9
A
ACIHXAMER CENT GRWTH-G
4.56%
10
A
AINGXAMER CENT INFL-ADJ BND-G
3.90%
Geography
Top holdings — United States
Your 10 largest positions in this country
1
A
ACDOXAMER CENT DIVERS BND-G
17.32%
2
A
AGBGXAMER CENT GLOBAL BOND-G
11.06%
3
A
ACFLXAMER CENT LRG COMP VAL-G
9.18%
4
A
AFEGXAMER CNTRY LRG CAP EQT FND-G
9.13%
5
A
ACAEXAMER CENT INTL GRWTH-G
6.25%
6
A
ACAFXAMER CENT INTL VAL-G
6.19%
7
A
ASDOXAMER CENT SHRT DUR-G
5.41%
8
A
APOGXAMER CENT SH DR INFL BND-G
4.90%
9
A
ACIHXAMER CENT GRWTH-G
4.56%
10
A
AINGXAMER CENT INFL-ADJ BND-G
3.90%
Geography reflects each issuer's registered business address per SEC EDGAR filings where available, falling back to the exchange or listing where no SEC filing exists — not necessarily where a company's stock is primarily listed (e.g. TSMC is classified as Taiwan even though its ADR trades on the NYSE).
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Data source: official SEC Form N-PORT filings (as of 2026-04-30); expense ratio from SEC prospectus (risk/return) filings. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay.
Informational and educational only — not investment advice.