American Century One Choice Portfolio: Very Conservative Investor Clas
$11.98-0.33%($-0.04)
TickerSpark Score
45/100
60
Valuation
40
Profitability
10
Growth
36
Health
80
Momentum
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52-Week Range77% of range
Low $11.52
Current $11.98
High $12.12
Companywww.americancentury.com/invest/funds/one-choice-very-conservative-portfolio/aonix
Seeks the highest total return consistent with its asset mix
- IPO
- 2004
- HQ
- Kansas City, MO, US
Price Chart
+3.19% · this period
Valuation
- Market Cap
- $351.59M
- P/E
- 0.00
- P/S
- 2.14
- P/B
- 0.00
- EV/EBITDA
- 88.24
- Div Yield
- 3.60%
Profitability
- Gross Margin
- 100.00%
- Op Margin
- -13.77%
- Net Margin
- -12.48%
- ROE
- -14.40%
- ROIC
- -20.14%
Growth & Income
- Revenue
- $163.91M · -7.17%
- Net Income
- $-20,460,000 · -22.83%
- EPS
- $-1.38 · -23.21%
- Op Income
- $-22,568,000
- FCF YoY
- -828.21%
Performance & Tape
- 52W High
- $12.12
- 52W Low
- $11.52
- 50D MA
- $11.93
- 200D MA
- $11.98
- Beta
- 0.55
- Avg Volume
- 0
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