AMERICAN CENTURY COMPANIES INC

Holdings as of 2026-06-30, filed 2026-08-12

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 43 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
2,884
Value reported by manager
$226.3B
Sum of our stored positions
$226.3B
should match the line above
Disclosure lag
43 d
quarter end to filing
Top 5 concentration
25.9%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA CORPORATIONCOM$12.1B60,626,28667066G104
ALPHABET INCCAP STK CL A$6B16,841,55902079K305
AMAZON COM INCCOM$5.8B24,455,378023135106
APPLE INCCOM$5.5B19,112,405037833100
MICROSOFT CORPCOM$5.4B14,512,326594918104
ALPHABET INCCAP STK CL C$3.2B9,047,03902079K107
META PLATFORMS INCCL A$3B5,332,61330303M102
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS$3B6,223,473874039100
BROADCOM INCCOM$3B7,847,71511135F101
TESLA INCCOM$2.9B6,961,35988160R101
ELI LILLY & COCOM$2.8B2,354,837532457108
MICRON TECHNOLOGY INCCOM$2.4B2,121,016595112103
MASTERCARD INCORPORATEDCL A$2.4B4,713,93857636Q104
APPLIED MATLS INCCOM$2.2B3,004,203038222105
NETFLIX INC.COM$1.6B22,424,27164110L106
LAM RESEARCH CORPCOM NEW$1.5B3,447,645512807306
COSTCO WHOLESALE CORPORATIONCOM$1.4B1,448,22622160K105
JPMORGAN CHASE & COCOM$1.3B4,008,40646625H100
AMPHENOL CORPCL A$1.2B6,877,221032095101
ADVANCED MICRO DEVICES INCCOM$1.1B1,869,689007903107
CLOUDFLARE INCCL A COM$1.1B4,286,15618915M107
VERTIV HOLDINGS COCOM CL A$1B3,129,42792537N108
DATADOG INCCL A COM$977.4M3,754,20423804L103
CIENA CORPCOM NEW$908.4M1,851,788171779309
HOWMET AEROSPACE INCCOM$883.2M3,285,142443201108
CADENCE DESIGN SYSTEM INCCOM$858.9M2,288,432127387108
INTUITIVE SURGICAL INCCOM NEW$801.2M2,014,59446120E602
EXXON MOBIL CORPCOM$770.8M5,637,81230231G102
JOHNSON & JOHNSONCOM$748.1M2,945,732478160104
GE VERNOVA INCCOM$746.1M635,08036828A101
ASML HLDG NVN Y REGISTRY SHS$739.9M371,924N07059210
SNOWFLAKE INCCOM SHS$718.6M2,823,407833445109
CORNING INCCOM$661.2M2,588,427219350105
MARSH & MCLENNAN COS INCCOM$646.3M3,877,741571748102
MERCK & CO INCCOM$625.3M4,865,96758933Y105
KIMBERLY-CLARK CORPCOM$615.6M5,607,923494368103
KLA CORPCOM NEW$610.7M2,024,263482480100
PALANTIR TECHNOLOGIES INCCL A$600.3M5,145,53169608A108
TJX COS INC NEWCOM$598.6M3,950,845872540109
AMERICAN CENTY ETF TRUS EQT ETF$582.7M4,549,423025072885
UNITEDHEALTH GROUP INCCOM$566.6M1,363,17691324P102
ANALOG DEVICES INCCOM$558.3M1,405,705032654105
ALNYLAM PHARMACEUTICALS INCCOM$558.1M1,853,95602043Q107
SYNOPSYS INCCOM$558.1M1,251,126871607107
BECTON DICKINSON & COCOM$556.4M3,676,534075887109
AMERICAN CENTY ETF TRINTL EQT ETF$547.6M6,138,581025072703
CATERPILLAR INCCOM$546.2M512,935149123101
WILLIAMS COS INCCOM$537M7,222,977969457100
VERIZON COMMUNICATIONS INCCOM$530M12,518,21192343V104
VIASAT INCCOM$515.2M5,736,57592552V100
GILEAD SCIENCES INCCOM$500.2M3,959,269375558103
VIKING HOLDINGS LTDORD SHS$498M4,757,925G93A5A101
INTERACTIVE BROKERS GROUP INCOM CL A$485.9M5,583,02845841N107
MEDTRONIC PLCSHS$481.4M6,153,467G5960L103
GOLDMAN SACHS GROUP INCCOM$481.1M475,66138141G104
NORFOLK SOUTHN CORPCOM$480.1M1,526,249655844108
PACKAGING CORP AMERCOM$479.3M2,011,324695156109
QUALCOMM INCCOM$479.1M2,592,725747525103
PLANET LABS PBCCOM CL A$477.1M14,399,90272703X106
DUKE ENERGY CORP NEWCOM NEW$467.1M3,689,89826441C204
APPLOVIN CORPCOM CL A$462.7M898,04003831W108
SCHWAB CHARLES CORPCOM$455.4M4,935,492808513105
CSX CORPCOM$449.3M9,453,902126408103
ENTERPRISE PRODS PARTNERS LCOM$435M11,833,318293792107
US BANCORPCOM NEW$429.4M7,108,684902973304
ALLSTATE CORPCOM$429.1M1,803,390020002101
ORACLE CORPCOM$426.8M2,912,30268389X105
IDEXX LABS INCCOM$425.6M808,35845168D104
AMERICAN EXPRESS COCOM$422.7M1,249,803025816109
TRUIST FINL CORPCOM$422.4M8,479,33989832Q109
UNION PAC CORPCOM$419.8M1,543,444907818108
ABBVIE INCCOM$417.7M1,659,85100287Y109
TARGET CORPCOM$415.4M3,180,30087612E106
PALO ALTO NETWORKS INCCOM$415.2M1,217,568697435105
OKTA INCCL A$399.1M2,924,665679295105
PEPSICO INCCOM$397.2M2,933,706713448108
PROGRESSIVE CORPCOM$396.2M1,813,667743315103
CISCO SYS INCCOM$388.5M3,307,68917275R102
MORGAN STANLEYCOM NEW$384.5M1,839,245617446448
BAKER HUGHES COMPANYCL A$382.5M6,891,57405722G100
CHIPOTLE MEXICAN GRILL INCCOM$381.8M11,229,940169656105
DIAMONDBACK ENERGY INCCOM$378.2M2,151,48225278X109
ASCENDIS PHARMA A/SORD SHS$373.6M1,400,575K08588103
DEERE & COCOM$373M587,994244199105
CITIGROUP INCCOM NEW$371.9M2,657,157172967424
TARGA RES CORPCOM$363.8M1,356,68287612G101
CHEVRON CORPORATIONCOM$362.8M2,188,745166764100
WELLS FARGO & COCOM$360.7M4,364,525949746101
TC ENERGY CORPCOM$359.6M5,430,26287807B107
OWENS CORNING NEWCOM$358.5M2,255,518690742101
ARGAN INCCOM$357.7M447,98304010E109
PLEXUS CORPCOM$356.1M1,184,217729132100
AMERIPRISE FINL INCCOM$355.9M775,74303076C106
GE AEROSPACECOM NEW$354.8M949,406369604301
STONEX GROUP INCCOM$351.1M2,962,664861896108
COMMERCE BANCSHARES INCCOM$342.9M5,937,371200525103
SERVICENOW INCCOM$342.4M3,448,76281762P102
CENCORA INCCOM$338.7M1,197,03803073E105
MATSON INCCOM$338.3M1,760,01757686G105
NORTHERN TR CORPCOM$335.4M1,929,640665859104
WALMART INCCOM$333.5M2,944,661931142103
TEXAS INSTRS INCCOM$332M1,113,857882508104
WELLTOWER INCCOM$331M1,458,54495040Q104
AMERICAN CENTY ETF TRUS LARGE CAP VLU$329.2M3,608,727025072349
AMERICAN CENTY ETF TRAVANTIS EMGMKT$328.4M3,403,867025072604
CHENIERE ENERGY INCCOM NEW$327.5M1,370,10016411R208
REINSURANCE GROUP AMER INCCOM NEW$323.6M1,521,592759351604
EATON CORP PLCSHS$322.8M757,649G29183103
COMFORT SYS USA INCCOM$322.8M162,875199908104
CROWDSTRIKE HLDGS INCCL A$317.8M416,43222788C105
ISHARES TRRUS 1000 GRW ETF$317M2,553,192464287614
EOG RES INCCOM$316.7M2,441,08026875P101
JOHNSON CONTROLS INTERNATIONSHS$314.3M2,151,277G51502105
LANTHEUS HLDGS INCCOM$312.5M2,816,547516544103
COLGATE PALMOLIVE COCOM$298.7M3,258,357194162103
SMITH A O CORPCOM$296.4M4,726,410831865209
ROYAL CARIBBEAN GROUPCOM$289.8M912,672V7780T103
SCHEIN HENRY INCCOM$288.7M3,457,175806407102
VERTEX PHARMACEUTICALS INCCOM$288.6M580,90192532F100
BERKSHIRE HATHAWAY INC DELCL B NEW$288.5M576,554084670702
CONOCOPHILLIPSCOM$288M2,770,43520825C104
WABTECCOM$287.3M1,065,784929740108
AMERICAN CENTY ETF TRINTERNATIONAL LR$286.2M3,697,239025072364
PROLOGIS INC.COM$285.1M2,104,24274340W103
ROBINHOOD MKTS INCCOM CL A$283.3M2,825,315770700102
MAGNOLIA OIL & GAS CORPCL A$281.7M11,011,458559663109
LEAR CORPCOM NEW$280.5M2,092,298521865204
ACUITY INCCOM$280M743,41100508Y102
GENTEX CORPCOM$278.6M11,025,677371901109
ALASKA AIR GROUP INCCOM$278.1M5,327,194011659109
ONE GAS INCCOM$273.1M3,543,22968235P108
FAIR ISAAC CORPCOM$272.7M228,232303250104
FLEX LTDORD$269.9M1,665,399Y2573F102
VISA INCCOM CL A$267.4M779,27692826C839
CUMMINS INCCOM$266.9M374,240231021106
IRIDIUM COMMUNICATIONS INCCOM$266.4M4,856,44046269C102
BANK OF AMER CORPCOM$265.8M4,664,944060505104
TRAVELERS COMPANIES INCCOM$264M799,83989417E109
AXOS FINANCIAL INCCOM$263.5M2,705,65305465C100
BLACKROCK INCCOM$262M272,49709290D101
ROCKET LAB CORPCOM$262M2,577,154773121108
LINDE PLCSHS$261.8M504,467G54950103
UNITED PARCEL SVCS INCCL B$261.5M2,432,278911312106
MACYS INCCOM$259.8M11,030,53755616P104
OSCAR HEALTH INCCL A$258.3M9,055,242687793109
BRUNSWICK CORPCOM$257.4M3,055,802117043109
ADVANCED DRAIN SYS INC DELCOM$256.5M1,634,30200790R104
AVNET INCCOM$254.5M2,865,223053807103
COLUMBIA BKG SYS INCCOM$253.3M7,903,579197236102
CABOT CORPCOM$251.4M2,768,176127055101
ASTRAZENECA PLCORD$250.4M1,320,358G0593M107
ARCHROCK INCCOM$250M6,139,81803957W106
GATX CORPCOM$247.3M1,395,456361448103
CENTERPOINT ENERGY INCCOM$245.3M5,570,93915189T107
CURTISS WRIGHT CORPCOM$244.6M322,858231561101
GENERAL MTRS COCOM$244.5M3,171,76537045V100
VISHAY INTERTECHNOLOGY INCCOM$242.8M4,514,575928298108
CINTAS CORPCOM$242.6M1,426,577172908105
DELTA AIR LINES INCCOM NEW$242.3M2,586,645247361702
AMETEK INCCOM$241.1M996,400031100100
ASE TECHNOLOGY HLDG CO LTDSPONSORED ADS$240.6M5,332,79000215W100
MONDELEZ INTL INCCL A$240.1M4,151,094609207105
WEATHERFORD INTL PLCORD SHS$239.1M2,933,502G48833118
DEVON ENERGY CORP NEWCOM$239.1M5,786,00325179M103
MURPHY OIL CORPCOM$238.2M7,316,708626717102
ECOLAB INCCOM$237.9M853,805278865100
INTERNATIONAL BANCSHARES CORCOM$237.6M3,128,416459044103
LABCORP HOLDINGS INCCOM SHS$236.6M845,023504922105
ZIMMER BIOMET HOLDINGS INCCOM$236.3M2,744,46398956P102
RTX CORPORATIONCOM$235.1M1,238,91375513E101
XCEL ENERGY INCCOM$234M2,914,18598389B100
SM ENERGY COMPANYCOM$233.2M8,935,68378454L100
AXIS CAP HLDGS LTDSHS$231M2,150,320G0692U109
HANOVER INS GROUP INCCOM$230.8M1,078,105410867105
AMRIZE LTDSHS$230.4M4,321,831H2927K103
EQUITY RESIDENTIALSH BEN INT$230.3M3,390,54229476L107
ALIBABA GROUP HLDG LTDSPONSORED ADS$229.6M2,392,11201609W102
CANADIAN PACIFIC KANSAS CITYCOM$229.6M2,648,57113646K108
BRIGHTSPRING HEALTH SVCS INCCOM$229.5M3,291,03910950A106
SLB LIMITEDCOM STK$227.3M4,889,549806857108
BURLINGTON STORES INCCOM$227.1M716,826122017106
ARISTA NETWORKS INCCOM SHS$226.8M1,334,795040413205
RYDER SYS INCCOM$226.6M858,989783549108
CHUBB LIMITEDCOM$226M663,120H1467J104
BANCORP INC DELCOM$224.9M3,589,89405969A105
PRICESMART INCCOM$224.3M1,148,225741511109
EVERGY INCCOM$224.1M2,592,49330034W106
SKYWEST INCCOM$223.7M2,252,482830879102
PACCAR INCCOM$222.8M1,854,920693718108
ROSS STORES INCCOM$222M1,043,187778296103
KODIAK GAS SVCS INCCOM$221.6M2,949,34850012A108
ARCBEST CORPCOM$221.5M1,542,81503937C105
REDDIT INCCL A$220M1,267,20175734B100
PULTE GROUP INCCOM$219.8M1,602,144745867101
RUSH ENTERPRISES INCCL A$219.7M3,010,503781846209
CHORD ENERGY CORPORATIONCOM NEW$219.1M1,917,213674215207
SELECTIVE INS GROUP INCCOM$216.2M2,228,969816300107
VISTEON CORPCOM NEW$216.1M2,178,68592839U206
AMERICAN TOWER CORPCOM$210.1M1,284,43703027X100
QUANTA SVCS INCCOM$209.8M291,35674762E102
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-08-12