American Century One Choice Portfolio: Conservative Investor Class (AOCIX)
NASDAQ
Financial Services
Asset Management
$13.97
▲ +0.29%
Market Cap
$1.05B
Sector
Financial Services
Industry
Asset Management
Beta
0.76
52-Wk Range
13.32-14.41
CEO
—
Country
US
Currency
USD
American Century One Choice Portfolio: Conservative Investor Class operates in the Asset Management industry of the Financial Services sector, headquartered in Kansas City, MO, US. The stock last traded at $13.97, up 0.29% on the session, giving a market capitalisation of $1.05B. On trailing twelve-month figures it carries a trailing P/E of -387.52, a net margin of 0.0%. Its beta of 0.76 implies it has historically moved less than the broad market.
Valuation & profitability (TTM)
P/E
-387.52
Price / Sales
0.00
Price / Book
0.00
EV / EBITDA
44780062.53
Gross margin
0.0%
Operating margin
0.0%
Net margin
0.0%
Return on equity
—
Debt / equity
0.00
Current ratio
0.85
Dividend yield
5.2%
Payout ratio
0.0%
Company profile
Exchange
NASDAQ
Employees
—
IPO date
2004-10-01
Headquarters
Kansas City, MO, US
About American Century One Choice Portfolio: Conservative Investor Class
This portfolio aims to maximize overall investment gains while staying within the boundaries defined by its asset allocation strategy.
Comparable companies
American Century One Choice Portfolio: Conservative Investor Class is most often compared with the following Financial Services names:
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