American Funds Retirement Income Portfolio - Moderate Class F-1
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About the company
This fund's manager actively oversees a diversified portfolio of American Funds, strategically adjusting the allocation and weighting of its underlying components over time to achieve its investment objectives. These constituent funds primarily focus on generating income and typically include a blend of equity-income, fixed-income, and balanced investment strategies. As one of three distinct American Funds Retirement Income Portfolios, it is specifically crafted to support individuals approaching or in retirement who require a structured withdrawal program.
- IPO
- 2015
- HQ
- Irvine, CA, US
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- Market Cap
- $1.75B
- P/E
- 130.09
- PEG
- -6.94
- P/S
- 0.02
- P/B
- 1.15
- EV/EBITDA
- 2.68
- Div Yield
- 5.39%
- Gross Margin
- 6.65%
- Op Margin
- 0.91%
- Net Margin
- 0.48%
- ROE
- 0.97%
- ROIC
- 0.17%
Latest fiscal year · YoY change
- Revenue
- $184.99B+5.0%
- Gross Profit
- $15.55B-3.8%
- Op Income
- $5.22B
- Net Income
- $5.88B+35.2%
- EPS
- $1.46+35.2%
- OCF Growth
- +3.4%
- FCF Growth
- +0.9%
- 52W High
- $14.53
- 52W Low
- $13.41
- 50D MA
- $14.32
- 200D MA
- $14.08
- Beta
- 0.79
- RSI (14)
- 55
- Avg Volume
- 0
No earnings-call transcripts are available for FBFWX yet.
- Free Float
- 0.0%
- Shares Outstanding
- 121.36M
- Float Shares
- 0
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