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American Century Investments One Choice Portfolio®: Very Conservative Investor Class

American Century Investments One Choice Portfolio®: Very Conservative Investor Class

AONIX · NMFQS
AONIX · NMFQS
11.41
USD0.020.18%
American Century Investments One Choice Portfolio®: Very Conservative Investor Class
AONIX
11.41
USD0.020.18%

Sector weight

Sector
Equity %
Category Average
Technology
22.42%
24.89%
Healthcare
14.72%
11.42%
Financial Services
13.30%
16.00%
Real Estate
10.35%
4.12%
Industrials
9.92%
10.39%
Consumer Defensive
7.92%
6.39%
Consumer Cyclical
7.08%
9.50%
Communication Services
5.30%
7.16%
Utilities
3.88%
2.90%
Government
3.88%
34.60%
Municipal
3.88%
2.62%
Corporate
3.88%
24.55%
Securitized
3.88%
20.95%
Cash and Equivalents
3.88%
13.85%
Derivative
3.88%
3.43%
Energy
3.86%
4.00%
Basic Materials
1.24%
3.24%

World Regions

Region
Equity %
Category Average
North America
79.10%
81.15%
Europe Developed
7.62%
7.31%
Japan
4.18%
3.14%
Asia Emerging
2.41%
2.13%
United Kingdom
2.37%
2.74%
Asia Developed
1.86%
2.01%
Australasia
1.26%
0.64%
Africa/Middle East
0.64%
0.34%
Latin America
0.43%
0.44%
Europe Emerging
0.13%
0.10%

Market Capitalization

Size
Portfolio
Category Average
Benchmark
AverageMarketCap
103.53K USD
138.57K USD
161.6K USD
Medium
7.27%
3.97%
4.35%
Large
6.95%
5.16%
7.03%
Giant
6.75%
7.45%
9.54%
Small
2.18%
0.89%
1.23%
Micro
0.34%
0.51%
0.01%

Valuation and Growth

Growth Rates
AONIX.US
Category Average
Price/Prospective Earnings
19.81%
19.23%
Price/Cash Flow
14.33%
13.16%
Price/Book
3.41%
3.21%
Price/Sales
2.40%
2.25%
Dividend Yield
1.91%
1.89%
Valuation Rates
AONIX.US
Category Average
Long-Term Earnings
10.11%
10.29%
Cash-Flow Growth
9.01%
8.78%
Sales Growth
8.00%
8.21%
Book-Value Growth
5.49%
6.55%
Historical Earnings
5.17%
6.21%