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American Century Short Duration Inflation Protection Bond Fund Investor Class (APOIX)

NASDAQ Financial Services Asset Management - Bonds
$10.35 ▲ +0.19%
Market Cap
$1.41B
Sector
Financial Services
Industry
Asset Management - Bonds
Beta
0.29
52-Wk Range
10.33-10.71
CEO
—
Country
US
Currency
USD

American Century Short Duration Inflation Protection Bond Fund Investor Class operates in the Asset Management - Bonds industry of the Financial Services sector, headquartered in Kansas City, MO, US. The stock last traded at $10.35, up 0.19% on the session, giving a market capitalisation of $1.41B. On trailing twelve-month figures it carries a trailing P/E of 10.45, a net margin of 93.6%. Its beta of 0.29 implies it has historically moved less than the broad market.

Valuation & profitability (TTM)
P/E
10.45
Price / Sales
99.58
Price / Book
0.00
EV / EBITDA
1226.12
Gross margin
100.0%
Operating margin
85.3%
Net margin
93.6%
Return on equity
—
Debt / equity
0.18
Current ratio
0.20
Dividend yield
3.6%
Payout ratio
98.8%
Company profile
Exchange
NASDAQ
Employees
—
IPO date
2005-05-31
Headquarters
Kansas City, MO, US
About American Century Short Duration Inflation Protection Bond Fund Investor Class

Its primary objective is to achieve overall investment growth, utilizing a specialized strategy to mitigate the impact of U.S. inflationary pressures.

Comparable companies

American Century Short Duration Inflation Protection Bond Fund Investor Class is most often compared with the following Financial Services names:

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