Live Quote · NASDAQFAJTXFinancial Services· Asset Management

American Funds 2055 Target Date Retirement Fd Cl F-1

$32.48 0.43%($-0.14)
TickerSpark Score

Limited financial coverage for FAJTX.

Not enough data to compute a meaningful composite — typical for foreign-listed ADRs, recent IPOs, or thinly-covered small caps. Live quote, chart, and any available stats still render below.

100
Momentum
52-Week Range94% of range
Low
$27.75
Current
$32.48
High
$32.76

About the company

This fund dynamically modifies its asset allocation over time, typically dedicating a larger portion of its investments to fixed income, equity-income, and balanced funds as it approaches and eventually passes its designated target date. To achieve its investment goals, the advisor strategically invests in a diverse selection of American Funds, employing distinct combinations and weightings. These underlying American Funds represent a broad spectrum of categories, including growth, growth-and-income, equity-income, balanced, and fixed income portfolios, each characterized by unique objectives and investment strategies.

IPO
2014
HQ
Los Angeles, CA, US

Price Chart

+13.45% · this period
$32.76$30.25$27.75Jul 02Dec 31Jul 02
Valuation
Market Cap
$32.08B
Div Yield
5.18%
Performance & Tape
52W High
$32.76
52W Low
$27.75
50D MA
$31.93
200D MA
$30.64
Beta
1.23
Avg Volume
0

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