AONIX

American Century One Choice Portfolio: Very Conservative Investor Clas AONIX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode AONIX BLUX MNVAX MINVX EVUAX BINIX WESJX BESIX WESNX HNCAX
6M 6.55 % 9.13 % 5.41 % 5.55 % 19.79 % 24.68 % 27.94 % 27.94 % 27.75 % 28.76 %
YTD 4.97 % 9.13 % -1.11 % -0.90 % 20.82 % 24.92 % 10.37 % 10.31 % 10.07 % 25.50 %
1Y 2.21 % 9.13 % -8.21 % -8.21 % 9.06 % 17.92 % 10.22 % 10.16 % 9.87 % 23.04 %
3Y 9.96 % 9.13 % 26.75 % 26.80 % 24.10 % 56.35 % 38.37 % 38.17 % 37.37 % 81.83 %
5Y -5.72 % 9.13 % 13.80 % 14.10 % -4.96 % 19.65 % 25.10 % 24.90 % 23.43 % 26.02 %
10Y 2.65 % 9.13 % 37.53 % 37.68 % 24.65 % 79.76 % 49.54 % 49.17 % 46.72 % 72.83 %
Depuis le début 19.94 % 9.13 % 29.74 % 130.50 % 124.00 % 200.90 % 90.20 % 142.28 % 137.58 % 113.10 %

Dividende

American Century One Choice Portfolio: Very Conservative Investor Clas

Exchange Traded Concepts Trust

Madison Investors Fund Cl A

Madison Investors Fund Cl Y

Allspring Utility and Telecommunications Fund Class A

Baron International Growth Fund Institutional Shares

William Blair Emerging Markets Small Cap Growth Fund R6 Class

William Blair Emerging Markets Small Cap Growth Fund Class I

William Blair Emerging Markets Small Cap Growth Fund Class N

The Hartford International Growth Fund, Class A