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United States  USA  |  Investing Opportunities


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Collecting data for BCTIX

American quote and profile

 
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12.0
  
FUND
(0.01)  Macroaxis: -0.08 Down   0.08%  
May 18 2013 

Diversification Suggestion

Use American to protect against small markets fluctuations. The fund experiences normal downward trend and little activity
Analyze American Century CA Trend or Check current 30 days American correlation with market (S&P 500)
1 Month Beta -0.09  
Highest Price:  
Lowest Price:  
12.07  
12.0  
May 01 2013 
May 14 2013 
As returns on market increase, returns on owning American are expected to decrease at a much smaller rate. During bear market, American is likely to outperform the market.
American Century CA IntermT TFr Bd Ins Almost negative betaAmerican Century CA Beta Legend
BCTIX United States NASDAQ
American Century CA IntermT TFr Bd Ins
American Century Investments
Muni California Intermediate
Contact Number: 800. 345. 2021
Currency: USD - US Dollar
Traded on NASDAQ Stock Exchange
    
Number of Employees1
Net Asset1.29 B
Last Dividend Paid0.03
 United States Russel   1.11 % Macroaxis: change 1.11 Moved Up  
 
 United States SP 500   1.03 % Macroaxis: change 1.03 Moved Up  
 
 United States NYSE   0.92 % Macroaxis: 0.92 Moved Up  
 
 United States Nasdaq   0.69 % Macroaxis: 0.69 Moved Up  
 
 thisRed BCTIX BCTIX agains markets  0.08 % Macroaxis: 0.08 Moved Down  
 
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Joseph Gotelli  Money Manager
Fund Manager since July 8, 2008
Gotelli is a Portfolio Manager. He joined American Century Investments in 2008. He has shared primary responsibility for the management of the fund, and has served on teams managing fixedincome investments since joining ...
    

American Price and Market Media

The median price of American for the period between Thu, Apr 18, 2013 and Sat, May 18, 2013 is 12.04 with a coefficient of variation of 0.16. The daily time series for the period is distributed with a sample standard deviation of 0.02, arithmetic mean of 12.03, and mean deviation of 0.02. The Fund did not receive any noticable media coverage during the period.
American         Market
Price Growth (%)
 

American Summary

American Century CA IntermT TFr Bd Ins [BCTIX] is traded in USA and was established in February 28, 2010. The fund is listed under Muni California Intermediate category and is part of American Century Investments family. This fund currently has accumulated 1.29 B in assets under management (AUM) with minimum initial investment of 5 M. American Century CA IntermT TFr Bd Ins is currently producing year-to-date (YTD) return of 0.94% with the current yeild of 2.84%, while the total return for the last 3 years was 6.96%.

Fund Instrument Allocation for American

The fund consists of 94.24% investments in fixed income securities, with the rest of funds allocated in cash.
Past Market
Over 30
Days
0
Out Of
100
 
Chance of
Less
Than
%
 
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American Research Report

American vs. Vanguard

Correlation analysis and fundamentals comparison between American Century CA and Vanguard CA IntermTerm

American Asset Under Management

American Century CA IntermT TFr Bd Ins is rated below average in net asset among similar funds. Total Asset Under Management (AUM) of Muni California Intermediate category is currently estimated at about 23.8 Billion. American holds roughly 1.29 Billion in net asset claiming about 5% of funds under Muni California Intermediate category.

American Fundamentals

Ten Year Return vs Annual Yield
Holdings Turnover vs Three Year Return
Ten Year Return vs Net Asset
Five Year Return vs Three Year Return

American vs Competition

American vs. Vanguard CA IntermTerm TaxExempt Inv
American vs. Vanguard CA IntermTerm TaxExempt Adm
American vs. American Century CA IntermT TFr Bd A
American vs. American Century CA IntermT TFr Bd Inv
American vs. American Century CA IntermT TFr Bd C
American vs. Franklin CA IntermTerm TxFr Income C
American vs. Franklin CA IntermTerm TxFr Income A
American vs. Schwab CA TaxFree Bond
American vs. Northern CA Intermediate TaxExempt

American May 18 2013 Opportunity Range

Downside Deviation0.1223
Information Ratio(4.70)
Maximum Drawdown0.3321
Value At Risk(0.17)
Potential Upside0.0833

 
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