ANOIX vs PRNHX

Both ANOIX and PRNHX are mutual funds. ANOIX has a lower 5-year return than PRNHX (23.7% vs 29.44%). ANOIX has a higher expense ratio than PRNHX (1.22% vs 0.75%). Below is the comparison between ANOIX and PRNHX.

ANOIX PRNHX
Security Type Mutual fund Mutual fund
Segment U.S. Equity: Small Growth U.S. Equity: Small Growth
Family American Century Investments T. Rowe Price
Net Assets $685.60M $26.12B
Expense Ratio 1.22% 0.75%
Management Style active active
Dividend Yield 0.00% 0.00%
Minimum Investment $3,000.00 N/A
YTD Return 10.26% 20.10%
1-Year Return 5.74% 7.66%
3-Year Return 26.09% 33.20%
5-Year Return 23.70% 29.44%
10-Year Return 17.58% 22.63%

ANOIX description

The Fund seeks growth. Under normal market conditions, the Fund will invest at least 80% of its assets in small cap companies. The portfolio managers consider small cap companies to include those with a market capitalization that does not exceed that of the largest company in the Russell 2000 Growth Index.

ANOIX performance & returns

YTD Return 10.26%
1-Month Return 1.04%
3-Month Return 5.74%
1-Year Return 5.74%
3-Year Return 26.09%
5-Year Return 23.70%
10-Year Return 17.58%
ANOIX expense ratio is 1.22%.

ANOIX holdings

Top 10 Holdings (13.50% of Total Assets)

Name Symbol % Assets
Natera Inc NTRA 1.61%
Chegg Inc CHGG 1.55%
Immunomedics Inc N/A 1.47%
R1 RCM Inc RCM 1.35%
Churchill Downs Inc CHDN 1.31%
TopBuild Corp BLD 1.30%
FirstService Corp FSV.TO 1.28%
Repay Holdings Corp Ordinary Shares - Class A RPAY 1.23%
Kinsale Capital Group Inc KNSL 1.22%
Envestnet Inc ENV 1.18%

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PRNHX description

The Fund seeks long-term growth of capital by investing primarily in common stocks of small, rapidly growing companies.

PRNHX performance & returns

YTD Return 20.10%
1-Month Return 0.95%
3-Month Return 7.66%
1-Year Return 7.66%
3-Year Return 33.20%
5-Year Return 29.44%
10-Year Return 22.63%
PRNHX expense ratio is 0.75%.

PRNHX holdings

Top 10 Holdings (23.78% of Total Assets)

Name Symbol % Assets
T. Rowe Price Gov. Reserve N/A 2.76%
Paylocity Holding Corp PCTY 2.72%
Veeva Systems Inc Class A VEEV 2.49%
Coupa Software Inc COUP 2.44%
Eurofins Scientific SE ERF.PA 2.32%
Waste Connections Inc WCN.TO 2.27%
CoStar Group Inc CSGP 2.24%
MSCI Inc MSCI 2.20%
Cable One Inc CABO 2.20%
Booz Allen Hamilton Holding Corp Class A BAH 2.14%

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