American Century One Choice Portfolio: Very Conservative;Investor

American Century One Choice Portfolio: Very Conservative;Investor - PE Ratioverified

AONIX

Price:

$12.02

Market Cap:

$349.45M

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.

Industry

Asset Management

IPO Date

2004-10-01

Stock Exchange

NASDAQ

Ticker

AONIX

The PE Ratio as of July 2026 (TTM) for American Century One Choice Portfolio: Very Conservative;Investor (AONIX) is -22.42

According to American Century One Choice Portfolio: Very Conservative;Investor’s latest financial reports and current stock price. The company's current PE Ratio is -22.42. This represents a change of 769.08% compared to the average of -2.58 of the last 4 quarters.

American Century One Choice Portfolio: Very Conservative;Investor (AONIX) Historical PE Ratio (quarterly & annually)

How has AONIX PE Ratio performed in the past?

The mean historical PE Ratio of American Century One Choice Portfolio: Very Conservative;Investor over the last ten years is -11.61. The current -22.42 PE Ratio has changed 19.20% with respect to the historical average. Over the past ten years (40 quarters), AONIX's PE Ratio was at its highest in in the June 2023 quarter at 21.06. The PE Ratio was at its lowest in in the June 2021 quarter at -41.56.

Quarterly (TTM)
Annual

Average

-11.61

Median

-11.30

Minimum

-21.55

Maximum

-7.67

American Century One Choice Portfolio: Very Conservative;Investor (AONIX) PE Ratio by Quarter and Year

Discovering the peaks and valleys of American Century One Choice Portfolio: Very Conservative;Investor PE Ratio, unveiling quarterly and yearly fluctuations to gain insights into the company’s financial performance and market dynamics, offering valuable data for investors and analysts alike.

Maximum Annual Increase = 90.66%

Maximum Annual PE Ratio = -7.67

Minimum Annual Increase = -43.73%

Minimum Annual PE Ratio = -21.55

Quarterly (TTM)
Annual
YearPE RatioChange
2022-7.74-32.86%
2021-11.5350.35%
2020-7.67-18.24%
2019-9.38-22.69%
2018-12.13-43.73%
2017-21.5590.66%

American Century One Choice Portfolio: Very Conservative;Investor (AONIX) Average PE Ratio

How has AONIX PE Ratio performed in the past?

The current PE Ratio of American Century One Choice Portfolio: Very Conservative;Investor (AONIX) is less than than its 3-year, less than than its 5-year, and less than than its 10-year historical averages

3-year avg

-8.98

5-year avg

-9.69

10-year avg

-11.61

American Century One Choice Portfolio: Very Conservative;Investor (AONIX) PE Ratio vs. Peers

How is AONIX’s PE Ratio compared to its peers?

American Century One Choice Portfolio: Very Conservative;Investor’s PE Ratio is less than Madison Large Cap Fund Class Y (20.30), less than Madison Large Cap A (0), less than William Blair Emerging Markets Small Cap Growth Fund R6 Class (0), less than William Blair Emerging Markets Small Cap Growth Fund Class I (0), less than William Blair Emerging Markets Small Cap Growth Fund Class N (0), less than Allspring Utility and Telecommunications Fund Class A (0), less than Baron International Growth Fund Institutional Shares (0), less than Allspring Utility and Telecommunications Fund Administrator Class (0), less than Hartford International Growth Fund Class A (6.81), less than The Hartford International Growth Fund Class Y (0),

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