AOMIX

American Century One Choice Portfolio: Moderate Investor Class AOMIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode AOMIX FAMVX LISIX RLITX FGADX CSVYX BEQGX LCIAX SDLAX GEMAX
6M 15.63 % 12.09 % 16.75 % 16.80 % 58.65 % 27.54 % 30.94 % 29.03 % 30.88 % 31.84 %
YTD 10.17 % 3.49 % 21.78 % 21.83 % 143.85 % 5.92 % 12.30 % 13.12 % 16.85 % 28.48 %
1Y 7.35 % -3.54 % 1.05 % 1.11 % 80.54 % 6.00 % 13.31 % 0.23 % -11.21 % 18.94 %
3Y 27.29 % 30.73 % 35.26 % 35.40 % 227.87 % 32.20 % 62.12 % 24.09 % 8.52 % 60.86 %
5Y 0.96 % 28.37 % 10.08 % 10.13 % 66.91 % 51.52 % 13.01 % 18.55 % -4.90 % 13.62 %
10Y 12.23 % 53.45 % 19.56 % 19.96 % 242.93 % 21.11 % 29.68 % 36.57 % 29.68 % 86.28 %
From the beginning 65.91 % 924.87 % 63.80 % 19.78 % 264.10 % 73.52 % 277.10 % 68.81 % 111.50 % 177.00 %

Dividend

American Century One Choice Portfolio: Moderate Investor Class

FAM Value Fund Investor Class

Lazard International Strategic Equity Portfolio Institutional Shares

Lazard International Strategic Equity Portfolio R6

Franklin Gold and Precious Metals Fund Advisor Class

Columbia Small Cap Value Fund I Institutional 3 Class

American Century Equity Growth Fund Investor Class

SEI Institutional Investments Trust Large Cap Index Fund Class A

SEI Institutional Investments Trust Dynamic Asset Allocation Fund Class A

Goldman Sachs Emerging Markets Fund Class A