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American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative logo

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative(NASDAQMUTFUND) AONIX

Market CapN/AMarket cap calculated using publicly traded shares outstanding only. Does not include unlisted, private, or dual-class non-traded shares. Implied market cap may vary.
Since IPO (2004)+157%
5 Year+13%
1 Year+5%
1 Month+1%
$12.14
-0.25%
-0.03Today
American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative last closing stock price
MetricPriceDate
Last closeUSD 12.142026-08-28
American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative stock price return by period
PeriodPrice returnPrice at period startPeriod start date
1 week+0%USD 12.142026-08-21
1 month+1%USD 12.022026-07-29
3 month+0.81%USD 12.042026-05-29
Year to date+3.58%USD 11.722025-12-31
1 year+5.14%USD 11.552025-08-28
3 year+22.82%USD 9.882023-08-29
5 year+13.32%USD 10.712021-08-27
Since inception+156.56%USD 4.732004-09-30

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative Financials at a Glance

Market Cap

N/AMarket cap calculated using publicly traded shares outstanding only. Does not include unlisted, private, or dual-class non-traded shares. Implied market cap may vary.

Revenue (TTM)

$175.00M

Net Income (TTM)

-$15.24M

EPS (TTM)

$0.00

P/E Ratio

0.00

Dividend

$0.00

Beta (Volatility)

0.00 (Low)

Price

$12.14

Volume

N/A

Open

$12.17

Previous Close

$12.14

Daily Range

$12.14 - $12.14

52-Week Range

$12.14 - $12.14

Estimated Earnings Date

N/A

AONIX News

No articles available.

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About American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative

American Century One Choice Portfolio: Very Conservative;Investor is designed to provide a balanced investment approach with a focus on capital preservation. This fund aims to achieve the highest total return consistent with its asset mix by investing in a variety of underlying American Century Investments mutual funds.

Products and Services
  • Fund of funds strategy for diversified investment
  • Focus on conservative asset allocation
  • Access to various American Century mutual funds
Growth Outlook
  • Recent quarterly revenue of $43.66 million shows stability
  • Trailing twelve months revenue of $178.77 million indicates consistent performance
  • Dividend yield of 3.54% reflects commitment to returning value to investors
Financial Highlights
  • Net income for Q3 2023 was -$7.98 million, reflecting operational challenges
  • Operating income margin for Q3 2023 was -21.96%, indicating cost management issues
  • Cash and cash equivalents increased to $7.63 million in Q3 2023, showing liquidity
American Century One Choice Portfolio: Very Conservative;Investor is positioned to appeal to risk-averse investors seeking a stable investment vehicle. The fund's diversified approach through a fund of funds strategy allows for exposure to various asset classes while maintaining a conservative stance. Recent financial performance highlights both challenges and opportunities, with a focus on managing operational costs and enhancing liquidity. The fund's commitment to delivering value through dividends further underscores its appeal to income-focused investors.
AI Generated • Aug 13, 2026

Industry

Capital Markets

Headquarters

Kansas City, MO 64111, US

AONIX Financials

Key Financial Metrics (TTM)

Gross Margin

100.00%

Operating Margin

-13.77%

Net Income Margin

-12.48%

Return on Equity

-14.40%

Return on Capital

-15.94%

Return on Assets

-2.66%

Earnings Yield

N/A

Dividend Yield

0.00%

Payout Ratio

0.00%

Stock Overview

Market Cap

N/AMarket cap calculated using publicly traded shares outstanding only. Does not include unlisted, private, or dual-class non-traded shares. Implied market cap may vary.

Shares Outstanding

0

Volume

N/A

Avg. Volume

0

Financials (TTM)

Gross Profit

$175.00M

Operating Income

-$17.39M

EBITDA

$5.20M

Operating Cash Flow

$1.60M

Capital Expenditure

$0.00

Free Cash Flow

$1.60M

Cash & ST Invst.

$7.63M

Total Debt

$37.31M

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative Performance Analysis

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative sequential (quarter-over-quarter) revenue growth by fiscal quarter
Fiscal quarterPeriod endQoQ growth
Q42022-12-315.7%
Q12023-03-316.3%
Q22023-06-300.3%
Q32023-09-30-2.4%
American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative sequential (quarter-over-quarter) diluted earnings per share growth by fiscal quarter
Fiscal quarterPeriod endQoQ growth
Q42022-12-31-47.1%
Q12023-03-3174.0%
Q22023-06-30200.0%
Q32023-09-30-515.4%

Revenue Growth Rate

Annual and quarterly growth comparison

Currently no data to display.

Earnings Per Share Growth Rate

Annual and quarterly EPS growth comparison

Currently no data to display.

Quarterly Performance

Name
Q3 2023YOY CHG

Revenue

$43.66M

+10.0%

Gross Profit

$43.66M

+10.0%

Gross Margin

100.00%

N/A

Market Cap

N/AMarket cap calculated using publicly traded shares outstanding only. Does not include unlisted, private, or dual-class non-traded shares. Implied market cap may vary.

N/A

Market Cap/Employee

N/A

N/A

Employees

N/A

N/A

Net Income

-$7.98M

-56.8%

EBITDA

$3.22M

+172.8%

Quarterly Fundamentals

Name
Q3 2023YOY CHG

Total Cash

$7.63M

-40.0%

Total Debt

$37.31M

N/A

Accounts Receivable

$0.00

N/A

Inventory

$0.00

N/A

Long Term Debt

$37.31M

+31.8%

Short Term Debt

$0.00

N/A

Return on Assets

-2.66%

N/A

Return on Invested Capital

-2.93%

N/A

Free Cash Flow

$3.69M

+83.8%

Operating Cash Flow

$3.69M

+83.8%

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Questions About AONIX

What is the current price of American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative?

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative is trading at $12.14 per share.

What is the 52-week range for American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative?

Over the past 52 weeks, American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative has traded between $12.14 and $12.14.

How much debt does American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative have?

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative total debt is unavailable.

How much cash does American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative have on hand?

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative does not have cash on hand data available.

What is American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative’s dividend yield?

American Century Asset Allocation Portfolios, Inc. - One Choice Portfolio: Very Conservative does not currently have a dividend yield.

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