AONIX

American Century One Choice Portfolio: Very Conservative Investor Clas AONIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode AONIX MINVX MNVAX WESJX BESIX WESNX EVUAX BINIX EVUDX HNCAX
6M 3.50 % 2.47 % 2.34 % 11.61 % 11.55 % 11.44 % 5.18 % 3.54 % 5.28 % 9.01 %
YTD 5.76 % 4.59 % 4.32 % 10.64 % 10.58 % 10.31 % 13.81 % 21.11 % 12.65 % 26.86 %
1Y 2.80 % -5.07 % -5.09 % 10.09 % 10.03 % 9.75 % 11.64 % 16.88 % 7.06 % 22.04 %
3Y 5.76 % 22.02 % 21.93 % 38.40 % 38.28 % 37.42 % 12.11 % 32.10 % 10.98 % 54.30 %
5Y -7.41 % 15.73 % 15.45 % 13.80 % 13.64 % 12.34 % 1.93 % 4.14 % 0.67 % 21.22 %
10Y 4.84 % 44.68 % 44.52 % 62.53 % 62.14 % 59.46 % 26.96 % 82.83 % 24.36 % 79.35 %
From the beginning 20.84 % 143.26 % 36.85 % 90.67 % 142.89 % 138.08 % 111.00 % 191.73 % 88.56 % 115.40 %

Dividend

American Century One Choice Portfolio: Very Conservative Investor Clas

Madison Large Cap Fund Class Y

Madison Large Cap Fund Class A

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

Allspring Utility and Telecommunications Fund Class A

Baron International Growth Fund Institutional Shares

Allspring Utility and Telecommunications Fund Administrator Class

The Hartford International Growth Fund, Class A