(0.25%) 5 535.25 points
(0.23%) 39 561 points
(0.26%) 19 980 points
(0.64%) $82.06
(-1.85%) $2.55
(0.28%) $2 346.20
(0.02%) $29.57
(-0.55%) $996.40
(-0.24%) $0.931
(-0.27%) $10.65
(-0.16%) $0.789
(2.08%) $87.51
Live Chart Being Loaded With Signals
The investment 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 mutual funds that represent a variety of asset classes and investment styles...
Stats | |
---|---|
Dagens volum | 0 |
Gjennomsnittsvolum | 0 |
Markedsverdi | 85.90M |
EPS | $-0.00480 ( Q2 | 2023-07-31 ) |
Last Dividend | $0.184 ( 2023-12-21 ) |
Next Dividend | $0 ( N/A ) |
P/E |
0 (Sector) 0 (Industry) 0 |
ATR14 | $0 (0.00%) |
American Century One Korrelasjon
10 Mest positive korrelasjoner | |
---|---|
ARGVX | 1 |
AOGIX | 1 |
OZEM | 1 |
ARFVX | 0.999 |
AROIX | 0.999 |
AOOIX | 0.999 |
JGCCX | 0.998 |
JGCSX | 0.998 |
JGCAX | 0.998 |
ARDVX | 0.998 |
Visste du det?
Korrelasjon er en statistisk måling som beskriver forholdet mellom to variabler. Den varierer fra -1 til 1, hvor -1 indikerer en perfekt negativ korrelasjon (hvor en variabel øker, går den andre ned), 1 indikerer en perfekt positiv korrelasjon (hvor en variabel øker, går den andre også opp), og 0 indikerer ingen korrelasjon (det er ingen forhold mellom variablene).
Korrelasjon kan brukes til å analysere forholdet mellom to variabler, ikke bare aksjer. Det er vanligvis brukt innen områder som finans, økonomi, psykologi, og mer.
American Century One Økonomi
Annual | 2022 |
Omsetning: | $0 |
Bruttogevinst: | $0 (0.00 %) |
EPS: | $-0.0272 |
FY | 2022 |
Omsetning: | $0 |
Bruttogevinst: | $0 (0.00 %) |
EPS: | $-0.0272 |
Financial Reports:
No articles found.
American Century One Dividends
(Q3/22) | (Q4/22) | (Q1/23) | (Q2/23) | (Q3/23) | (Q4/23) | (Q1/24) | (Q2/24) | (Q3/24) | (Q4/24) |
$0 (N/A) |
$0.166 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0.184 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
Very Unsafe
High risk of being cut
Unsafe
Heightened risk of being cut
Borderline
Moderate risk of being cut
Safe
Unlikely to be cut
Very Safe
Very unlikely to be cut
First Dividend | $0.100 | 2020-12-29 |
Last Dividend | $0.184 | 2023-12-21 |
Next Dividend | $0 | N/A |
Payout Date | 0000-00-00 | |
Next Payout Date | N/A | |
# dividends | 4 | -- |
Total Paid Out | $0.972 | -- |
Avg. Dividend % Per Year | 1.49% | -- |
Score | 1.39 | -- |
Div. Sustainability Score | 2.71 | |
Div.Growth Potential Score | 0 | |
Div. Directional Score | 0.853 | -- |
Year | Amount | Yield |
---|---|---|
2020 | $0.100 | 0.98% |
2021 | $0.522 | 4.95% |
2022 | $0.166 | 1.36% |
2023 | $0.184 | 1.84% |
2024 | $0 | 0.00% |
The company's low Dividend Sustainability Score (DSS) highlights potential challenges in upholding its current dividend levels. Unfortunately, its low Dividend Growth Potential Score (DGPS) suggests limited prospects for dividend growth. In conclusion, a more vigilant stance is recommended given the company's tentative dividend landscape.
Ex Date | Amount | Declaration Date | Record Date | Payment Date |
---|---|---|---|---|
21 Dec 2023 | $0.184 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
28 Dec 2022 | $0.166 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
28 Dec 2021 | $0.522 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
29 Dec 2020 | $0.100 | 30 Nov -0001 | 30 Nov -0001 | 30 Nov -0001 |
Symbol | Title | Last dividend | Frequency | Years Dividend | Yearly Dividend | Score |
---|---|---|---|---|---|---|
OXLC | Dividend Diamond | 2024-09-16 | Monthly | 14 | 15.03% | 9.60 |
DMLP | Dividend Diamond | 2024-04-26 | Quarterly | 22 | 10.71% | 9.35 |
OXSQ | Dividend Diamond | 2024-09-16 | Monthly | 21 | 12.73% | 9.02 |
ARLP | Dividend Royal | 2024-05-07 | Quarterly | 26 | 9.67% | 8.87 |
PNNT | Dividend Royal | 2024-06-14 | Monthly | 18 | 9.49% | 8.82 |
MFIC | Dividend Royal | 2024-06-11 | Quarterly | 21 | 10.89% | 8.79 |
SPOK | Dividend Royal | 2024-05-23 | Quarterly | 20 | 8.73% | 8.72 |
PSEC | Dividend Royal | 2024-06-25 | Monthly | 21 | 9.03% | 8.65 |
SBLK | Dividend Royal | 2024-06-06 | Quarterly | 17 | 13.10% | 8.63 |
GBDC | Dividend Royal | 2024-11-29 | Bi-Monthly | 15 | 8.53% | 8.62 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
netProfitMarginTTM | 74.12 | 1.500 | 10.00 | 10.00 | [0 - 0.5] |
returnOnAssetsTTM | -0.317 | 1.200 | -10.00 | -10.00 | [0 - 0.3] |
returnOnEquityTTM | -0.504 | 1.500 | -6.72 | -10.00 | [0.1 - 1] |
payoutRatioTTM | 0 | -1.000 | 0 | 0 | [0 - 1] |
currentRatioTTM | 18.11 | 0.800 | 10.00 | 8.00 | [1 - 3] |
quickRatioTTM | 16.95 | 0.800 | 10.00 | 8.00 | [0.8 - 2.5] |
cashRatioTTM | 16.95 | 1.500 | 10.00 | 10.00 | [0.2 - 2] |
debtRatioTTM | 0 | -1.500 | 0 | 0 | [0 - 0.6] |
interestCoverageTTM | 0 | 1.000 | -1.111 | -1.111 | [3 - 30] |
operatingCashFlowPerShareTTM | -0.0109 | 2.00 | -0.00363 | -0.00726 | [0 - 30] |
freeCashFlowPerShareTTM | -0.0109 | 2.00 | -0.00545 | -0.0109 | [0 - 20] |
debtEquityRatioTTM | 0 | -1.500 | 0 | 0 | [0 - 2.5] |
grossProfitMarginTTM | 1.000 | 1.000 | 10.00 | 10.00 | [0.2 - 0.8] |
operatingProfitMarginTTM | 78.81 | 1.000 | 10.00 | 10.00 | [0.1 - 0.6] |
cashFlowToDebtRatioTTM | 0 | 1.000 | -1.111 | -1.111 | [0.2 - 2] |
assetTurnoverTTM | -0.00427 | 0.800 | -3.36 | -2.69 | [0.5 - 2] |
Total Score | 2.71 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
peRatioTTM | -823.45 | 1.000 | -10.00 | 0 | [1 - 100] |
returnOnEquityTTM | -0.504 | 2.50 | -4.32 | -10.00 | [0.1 - 1.5] |
freeCashFlowPerShareTTM | -0.0109 | 2.00 | -0.00363 | -0.0109 | [0 - 30] |
dividendYielPercentageTTM | 1.895 | 1.500 | 10.00 | 0 | [0 - 0.4] |
operatingCashFlowPerShareTTM | -0.0109 | 2.00 | -0.00363 | -0.00726 | [0 - 30] |
payoutRatioTTM | 0 | 1.500 | 0 | 0 | [0 - 1] |
pegRatioTTM | -68.29 | 1.500 | -10.00 | 0 | [0.5 - 2] |
operatingCashFlowSalesRatioTTM | 68.46 | 1.000 | 10.00 | 0 | [0.1 - 0.5] |
Total Score | -1.001 |
Contract Name | Last Trade Date (EDT) | Strike | Last Price | Bid | Ask | Change | % Change | Volume | Open Interest | Implied Volatility | Strike Date |
---|---|---|---|---|---|---|---|---|---|---|---|
No data available |
Contract Name | Last Trade Date (EDT) | Strike | Last Price | Bid | Ask | Change | % Change | Volume | Open Interest | Implied Volatility | Strike Date |
---|---|---|---|---|---|---|---|---|---|---|---|
No data available |
American Century One
The investment 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 mutual funds that represent a variety of asset classes and investment styles. As the target date approaches, the fund’s neutral mix will become more conservative by decreasing the allocation to stocks and increasing the allocation to bonds and cash. By the time the fund reaches its target date, the neutral mix will become fixed and match that of One Choice In Retirement Portfolio, which is currently 45% stock funds, 45% bond funds and 10% money market funds.
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