American Century Short Duration Inflation Protection Bond Fund Investor Class
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Price Chart
About the company
Its primary objective is to achieve overall investment growth, utilizing a specialized strategy to mitigate the impact of U.S. inflationary pressures.
- IPO
- 2005
- HQ
- Kansas City, MO, US
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- Market Cap
- $1.42B
- P/E
- 10.49
- PEG
- 0.00
- P/S
- 99.96
- P/B
- 0.00
- EV/EBITDA
- 1230.79
- Div Yield
- 3.56%
- Gross Margin
- 100.00%
- Op Margin
- 85.32%
- Net Margin
- 93.57%
- ROE
- 9.41%
- ROIC
- 7.26%
Latest fiscal year · YoY change
- Revenue
- $14.18M+28.4%
- Gross Profit
- $14.18M+28.4%
- Op Income
- $12.10M
- Net Income
- $13.27M+160.5%
- EPS
- $0.99+160.7%
- OCF Growth
- -20.3%
- FCF Growth
- -20.3%
- 52W High
- $10.71
- 52W Low
- $10.33
- 50D MA
- $10.44
- 200D MA
- $10.47
- Beta
- 0.29
- RSI (14)
- 48
- Avg Volume
- 0
No earnings-call transcripts are available for APOIX yet.
- Free Float
- 0.0%
- Shares Outstanding
- 136.44M
- Float Shares
- 0
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