AP
American Century Short Duration Inflation Protection Bond Fund Investor Class
APOIX · NASDAQ
$10.37 +0.29% (+$0.03)
1M -1.24%
Market Cap $1.41B
P/E Ratio 106.32x
Div. Yield 3.58%
ROE -
Analiza
AI poročilo o poslu, financah, vrednotenju, razpoloženju, novicah in tveganjih - napisano v nekaj minutah.
Piotroski F-Score Moderate
6/9Valuation
0 /100
Expensive P/E 106.32x
P/S 99.48x
P/B 10.00x
Growth
14 /100
Declining Rev. growth 1.29%
Book val. growth 15.84%
EPS growth N/A
Profitability
100 /100
Strong Net margin 93.57%
Op. margin 85.32%
Gross margin N/A
Quality
98 /100
Excellent ROA 6.92%
Asset turnover 0.07x
ROIC N/A
Debt
0 /100
High Current ratio 0.20x
Debt/Equity N/A
Int. coverage N/A
Stability
14 /100
Unstable Beta 0.29x
Rev. volatility 30.05%
Profitable years 1
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Sector
Financial Services
Industry
Asset Management - Bonds
CEO
-
Employees
-
Headquarters
Kansas City