AONIX

American Century One Choice Portfolio: Very Conservative Investor Clas AONIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode AONIX BLUX MNVAX MINVX EVUAX BINIX WESJX BESIX WESNX HNCAX
6M 6.28 % 8.01 % 4.50 % 4.64 % 17.91 % 23.25 % 25.69 % 25.61 % 25.45 % 28.02 %
YTD 4.89 % 8.01 % -2.11 % -1.90 % 19.69 % 24.77 % 10.14 % 10.08 % 9.84 % 25.91 %
1Y 2.39 % 8.01 % -8.85 % -8.85 % 8.77 % 17.95 % 10.59 % 10.54 % 10.25 % 22.80 %
3Y 9.87 % 8.01 % 25.47 % 25.52 % 22.94 % 56.16 % 38.08 % 37.89 % 37.08 % 82.42 %
5Y -5.43 % 8.01 % 14.05 % 14.31 % -4.89 % 19.89 % 27.01 % 26.80 % 25.32 % 26.73 %
10Y 2.65 % 8.01 % 35.88 % 36.03 % 23.21 % 78.78 % 48.77 % 48.40 % 45.87 % 73.40 %
From the beginning 19.84 % 8.01 % 28.42 % 128.17 % 121.90 % 200.54 % 89.81 % 141.78 % 137.07 % 113.80 %

Dividend

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