NASDAQ · Asset Management

American Century One Choice Portfolio: Very Conservative;Investor (AONIX) Stock

$12.16 -0.16% NASDAQ: AONIX Financial Services

The Fund seeks the highest total return consistent with its asset mix. The fund is a "fund of funds", meaning that it seeks to achieve its objective by investing in other American Century Investments mutual funds (the underlying funds) that represent a variety of asset classes and investment styles.

Valuation

MetricValue
Price$12.16
Market Cap$351.18M
P/E Ratio-8.81
P/B Ratio3.16
P/S Ratio2.14
EPS (TTM)$-1.38
52-Week High$12.18
52-Week Low$11.64
Dividend Yield3.45%

Financials & Margins

MetricValue
ROE-14.40%
ROA-2.66%
ROCE-2.93%
Gross Margin100.00%
Operating Margin-13.77%
Net Margin-12.48%
Debt/Equity0.27
Current Ratio0.00

Annual Financials (USD)

Metric20182019202020212022
Revenue$124.0M$135.0M$148.0M$177.0M$164.0M
Operating Profit$-16.0M$-20.0M$-27.0M$-17.0M$-23.0M
Net Profit$-14.0M$-19.0M$-25.0M$-17.0M$-20.0M
EPS$-0.93$-1.30$-1.68$-1.12$-1.38
Op Margin-13.1%-14.9%-18.5%-9.7%-13.8%

Balance Sheet (USD)

Metric20182019202020212022
Total Assets$655.0M$722.0M$769.0M$788.0M$770.0M
Total Liabilities$10.0M$17.0M$25.0M$22.0M$30.0M
Cash$21.0M$38.0M$36.0M$22.0M$10.0M
Borrowings$0$0$0$0$30.0M

Cash Flow (USD)

Metric20182019202020212022
Operating Cash Flow$4.0M$-3.0M$5.0M$-1.0M$-7.0M
Investing Cash Flow$3.0M$-26.0M$-9.0M$-1.0M$-9.0M
Financing Cash Flow$2.0M$-48.0M$2.0M$-12.0M$4.0M
Net Cash Flow$9.0M$17.0M$-2.0M$-14.0M$-13.0M
Free Cash Flow$4.0M$-3.0M$5.0M$-1.0M$-7.0M

Valuation & Return Ratios

MetricValue
PEG Ratio0.82
EV / EBITDA88.14
FCF Yield-2.10%
Quick Ratio0.00
Interest Coverage0.00
Return 1Y6.56%
Return 3Y23.25%
Return 5Y14.10%

Peer Comparison

TickerPriceChangeP/EMarket CapDiv Yield
BESIXWilliam Blair Emerging Markets Small Cap Growth Fund Class I $25.81 +0.78% $447.43M 8.29%
BINIXBaron International Growth Fund Institutional Shares $36.28 +0.03% $326.27M 1.02%
EVUAXAllspring Utility and Telecommunications Fund Class A $20.41 -0.87% $348.20M 5.05%
EVUDXAllspring Utility and Telecommunications Fund Administrator Class $20.93 +0.38% $359.64M 1.91%
HNCAXHartford International Growth Fund Class A $23.39 -0.17% 7.33 $540.64M 7.27%

About American Century One Choice Portfolio: Very Conservative;Investor

The Fund seeks the highest total return consistent with its asset mix. The fund is a "fund of funds", meaning that it seeks to achieve its objective by investing in other American Century Investments mutual funds (the underlying funds) that represent a variety of asset classes and investment styles.

American Century One Choice Portfolio: Very Conservative;Investor is headquartered in US.

American Century One Choice Portfolio: Very Conservative;Investor (AONIX) stock trades at $12.16 with a market capitalization of $351.18M. The stock is valued at a price-to-earnings (P/E) ratio of -8.81, price-to-book of 3.16, price-to-sales of 2.14. Over the past 52 weeks the stock has ranged between $11.64 and $12.18, and currently trades at its 52-week high. It pays a dividend yielding 3.45%.

On profitability, American Century One Choice Portfolio: Very Conservative;Investor generates a return on equity (ROE) of -14.40%, return on capital employed of -2.93%, an operating margin of -13.77%, a net profit margin of -12.48%.

Official website: www.americancentury.com/invest/funds/one-choice-portfolio-very-conservative/aonix/

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