# American Century One Choice 2060 Portfolio;Investor (ARGVX)

> Financial Services · US · Reports in SAR

Fundamental indicators from Sponda, adjusted for inflation.

[HTML version](https://sponda.capital/en/ARGVX/fundamentals)

## Annual figures

| Year | Revenue (M) | Net Inc. (M) | FCF (M) | Debt (M) | Equity (M) |
| --- | --- | --- | --- | --- | --- |
| 2023 | SAR 3.57B | SAR 174.57M | SAR 89.52M | SAR 7.57B | SAR 9.65B |
| 2022 | SAR 3.88B | SAR 666.35M | SAR 659.81M | SAR 7.16B | SAR 9.61B |
| 2021 | SAR 3.67B | SAR 1.36B | SAR 790.70M | SAR 8.12B | SAR 8.70B |
| 2020 | SAR 2.27B | SAR -446.75M | SAR -76.12M | SAR 8.55B | SAR 7.27B |
| 2019 | SAR 2.98B | SAR -678.05M | SAR -484.44M | SAR 7.77B | SAR 7.83B |
| 2018 | SAR 3.07B | SAR -160.36M | SAR 1.19B | SAR 0 | SAR 9.34B |
| 2017 | SAR 10.80B | SAR 716.16M | SAR 543.43M | SAR 0 | SAR 8.35B |
| 2016 | SAR 8.62B | SAR 101.42M | SAR -974.35M | SAR 0 | SAR 7.33B |
| 2015 | SAR 15.15B | SAR -1.42B | SAR 732.79M | SAR 0 | SAR 7.97B |
| 2014 | SAR 18.69B | SAR 1.07B | SAR 120.23M | SAR 0 | SAR 11.63B |
| 2013 | SAR 18.20B | SAR 1.18B | SAR 428.20M | SAR 0 | SAR 12.01B |
| 2012 | SAR 4.44B | SAR 242.02M | SAR 149.27M | SAR 0 | SAR 12.07B |

Columns not available in this view: annualPriceMultiples, dividends. They require live market data and are shown on the HTML page instead.

## Leverage and liquidity

| Indicator | Value |
| --- | --- |
| Gross Debt / Eq | 0.78 |
| Liabilities / Eq | 1.37 |
| Current Ratio | 1.04 |

## Debt coverage

| Indicator | Value |
| --- | --- |
| Gross Debt / Earnings | 54.95 |
| Gross Debt / FCF | 29.25 |

## Other views

- [Metrics](https://sponda.capital/en/ARGVX.md)
- [Charts](https://sponda.capital/en/ARGVX/charts.md)
- [Compare](https://sponda.capital/en/ARGVX/compare.md)
- [Indicator definitions](https://sponda.capital/en/screener.md)

Data as of 2026-08-30.
