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 belowPositions 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| Issuer | Class | Value | Shares | Type | CUSIP |
|---|---|---|---|---|---|
| NVIDIA CORPORATION | COM | $12.1B | 60,626,286 | — | 67066G104 |
| ALPHABET INC | CAP STK CL A | $6B | 16,841,559 | — | 02079K305 |
| AMAZON COM INC | COM | $5.8B | 24,455,378 | — | 023135106 |
| APPLE INC | COM | $5.5B | 19,112,405 | — | 037833100 |
| MICROSOFT CORP | COM | $5.4B | 14,512,326 | — | 594918104 |
| ALPHABET INC | CAP STK CL C | $3.2B | 9,047,039 | — | 02079K107 |
| META PLATFORMS INC | CL A | $3B | 5,332,613 | — | 30303M102 |
| TAIWAN SEMICONDUCTOR MANUFAC | SPONSORED ADS | $3B | 6,223,473 | — | 874039100 |
| BROADCOM INC | COM | $3B | 7,847,715 | — | 11135F101 |
| TESLA INC | COM | $2.9B | 6,961,359 | — | 88160R101 |
| ELI LILLY & CO | COM | $2.8B | 2,354,837 | — | 532457108 |
| MICRON TECHNOLOGY INC | COM | $2.4B | 2,121,016 | — | 595112103 |
| MASTERCARD INCORPORATED | CL A | $2.4B | 4,713,938 | — | 57636Q104 |
| APPLIED MATLS INC | COM | $2.2B | 3,004,203 | — | 038222105 |
| NETFLIX INC. | COM | $1.6B | 22,424,271 | — | 64110L106 |
| LAM RESEARCH CORP | COM NEW | $1.5B | 3,447,645 | — | 512807306 |
| COSTCO WHOLESALE CORPORATION | COM | $1.4B | 1,448,226 | — | 22160K105 |
| JPMORGAN CHASE & CO | COM | $1.3B | 4,008,406 | — | 46625H100 |
| AMPHENOL CORP | CL A | $1.2B | 6,877,221 | — | 032095101 |
| ADVANCED MICRO DEVICES INC | COM | $1.1B | 1,869,689 | — | 007903107 |
| CLOUDFLARE INC | CL A COM | $1.1B | 4,286,156 | — | 18915M107 |
| VERTIV HOLDINGS CO | COM CL A | $1B | 3,129,427 | — | 92537N108 |
| DATADOG INC | CL A COM | $977.4M | 3,754,204 | — | 23804L103 |
| CIENA CORP | COM NEW | $908.4M | 1,851,788 | — | 171779309 |
| HOWMET AEROSPACE INC | COM | $883.2M | 3,285,142 | — | 443201108 |
| CADENCE DESIGN SYSTEM INC | COM | $858.9M | 2,288,432 | — | 127387108 |
| INTUITIVE SURGICAL INC | COM NEW | $801.2M | 2,014,594 | — | 46120E602 |
| EXXON MOBIL CORP | COM | $770.8M | 5,637,812 | — | 30231G102 |
| JOHNSON & JOHNSON | COM | $748.1M | 2,945,732 | — | 478160104 |
| GE VERNOVA INC | COM | $746.1M | 635,080 | — | 36828A101 |
| ASML HLDG NV | N Y REGISTRY SHS | $739.9M | 371,924 | — | N07059210 |
| SNOWFLAKE INC | COM SHS | $718.6M | 2,823,407 | — | 833445109 |
| CORNING INC | COM | $661.2M | 2,588,427 | — | 219350105 |
| MARSH & MCLENNAN COS INC | COM | $646.3M | 3,877,741 | — | 571748102 |
| MERCK & CO INC | COM | $625.3M | 4,865,967 | — | 58933Y105 |
| KIMBERLY-CLARK CORP | COM | $615.6M | 5,607,923 | — | 494368103 |
| KLA CORP | COM NEW | $610.7M | 2,024,263 | — | 482480100 |
| PALANTIR TECHNOLOGIES INC | CL A | $600.3M | 5,145,531 | — | 69608A108 |
| TJX COS INC NEW | COM | $598.6M | 3,950,845 | — | 872540109 |
| AMERICAN CENTY ETF TR | US EQT ETF | $582.7M | 4,549,423 | — | 025072885 |
| UNITEDHEALTH GROUP INC | COM | $566.6M | 1,363,176 | — | 91324P102 |
| ANALOG DEVICES INC | COM | $558.3M | 1,405,705 | — | 032654105 |
| ALNYLAM PHARMACEUTICALS INC | COM | $558.1M | 1,853,956 | — | 02043Q107 |
| SYNOPSYS INC | COM | $558.1M | 1,251,126 | — | 871607107 |
| BECTON DICKINSON & CO | COM | $556.4M | 3,676,534 | — | 075887109 |
| AMERICAN CENTY ETF TR | INTL EQT ETF | $547.6M | 6,138,581 | — | 025072703 |
| CATERPILLAR INC | COM | $546.2M | 512,935 | — | 149123101 |
| WILLIAMS COS INC | COM | $537M | 7,222,977 | — | 969457100 |
| VERIZON COMMUNICATIONS INC | COM | $530M | 12,518,211 | — | 92343V104 |
| VIASAT INC | COM | $515.2M | 5,736,575 | — | 92552V100 |
| GILEAD SCIENCES INC | COM | $500.2M | 3,959,269 | — | 375558103 |
| VIKING HOLDINGS LTD | ORD SHS | $498M | 4,757,925 | — | G93A5A101 |
| INTERACTIVE BROKERS GROUP IN | COM CL A | $485.9M | 5,583,028 | — | 45841N107 |
| MEDTRONIC PLC | SHS | $481.4M | 6,153,467 | — | G5960L103 |
| GOLDMAN SACHS GROUP INC | COM | $481.1M | 475,661 | — | 38141G104 |
| NORFOLK SOUTHN CORP | COM | $480.1M | 1,526,249 | — | 655844108 |
| PACKAGING CORP AMER | COM | $479.3M | 2,011,324 | — | 695156109 |
| QUALCOMM INC | COM | $479.1M | 2,592,725 | — | 747525103 |
| PLANET LABS PBC | COM CL A | $477.1M | 14,399,902 | — | 72703X106 |
| DUKE ENERGY CORP NEW | COM NEW | $467.1M | 3,689,898 | — | 26441C204 |
| APPLOVIN CORP | COM CL A | $462.7M | 898,040 | — | 03831W108 |
| SCHWAB CHARLES CORP | COM | $455.4M | 4,935,492 | — | 808513105 |
| CSX CORP | COM | $449.3M | 9,453,902 | — | 126408103 |
| ENTERPRISE PRODS PARTNERS L | COM | $435M | 11,833,318 | — | 293792107 |
| US BANCORP | COM NEW | $429.4M | 7,108,684 | — | 902973304 |
| ALLSTATE CORP | COM | $429.1M | 1,803,390 | — | 020002101 |
| ORACLE CORP | COM | $426.8M | 2,912,302 | — | 68389X105 |
| IDEXX LABS INC | COM | $425.6M | 808,358 | — | 45168D104 |
| AMERICAN EXPRESS CO | COM | $422.7M | 1,249,803 | — | 025816109 |
| TRUIST FINL CORP | COM | $422.4M | 8,479,339 | — | 89832Q109 |
| UNION PAC CORP | COM | $419.8M | 1,543,444 | — | 907818108 |
| ABBVIE INC | COM | $417.7M | 1,659,851 | — | 00287Y109 |
| TARGET CORP | COM | $415.4M | 3,180,300 | — | 87612E106 |
| PALO ALTO NETWORKS INC | COM | $415.2M | 1,217,568 | — | 697435105 |
| OKTA INC | CL A | $399.1M | 2,924,665 | — | 679295105 |
| PEPSICO INC | COM | $397.2M | 2,933,706 | — | 713448108 |
| PROGRESSIVE CORP | COM | $396.2M | 1,813,667 | — | 743315103 |
| CISCO SYS INC | COM | $388.5M | 3,307,689 | — | 17275R102 |
| MORGAN STANLEY | COM NEW | $384.5M | 1,839,245 | — | 617446448 |
| BAKER HUGHES COMPANY | CL A | $382.5M | 6,891,574 | — | 05722G100 |
| CHIPOTLE MEXICAN GRILL INC | COM | $381.8M | 11,229,940 | — | 169656105 |
| DIAMONDBACK ENERGY INC | COM | $378.2M | 2,151,482 | — | 25278X109 |
| ASCENDIS PHARMA A/S | ORD SHS | $373.6M | 1,400,575 | — | K08588103 |
| DEERE & CO | COM | $373M | 587,994 | — | 244199105 |
| CITIGROUP INC | COM NEW | $371.9M | 2,657,157 | — | 172967424 |
| TARGA RES CORP | COM | $363.8M | 1,356,682 | — | 87612G101 |
| CHEVRON CORPORATION | COM | $362.8M | 2,188,745 | — | 166764100 |
| WELLS FARGO & CO | COM | $360.7M | 4,364,525 | — | 949746101 |
| TC ENERGY CORP | COM | $359.6M | 5,430,262 | — | 87807B107 |
| OWENS CORNING NEW | COM | $358.5M | 2,255,518 | — | 690742101 |
| ARGAN INC | COM | $357.7M | 447,983 | — | 04010E109 |
| PLEXUS CORP | COM | $356.1M | 1,184,217 | — | 729132100 |
| AMERIPRISE FINL INC | COM | $355.9M | 775,743 | — | 03076C106 |
| GE AEROSPACE | COM NEW | $354.8M | 949,406 | — | 369604301 |
| STONEX GROUP INC | COM | $351.1M | 2,962,664 | — | 861896108 |
| COMMERCE BANCSHARES INC | COM | $342.9M | 5,937,371 | — | 200525103 |
| SERVICENOW INC | COM | $342.4M | 3,448,762 | — | 81762P102 |
| CENCORA INC | COM | $338.7M | 1,197,038 | — | 03073E105 |
| MATSON INC | COM | $338.3M | 1,760,017 | — | 57686G105 |
| NORTHERN TR CORP | COM | $335.4M | 1,929,640 | — | 665859104 |
| WALMART INC | COM | $333.5M | 2,944,661 | — | 931142103 |
| TEXAS INSTRS INC | COM | $332M | 1,113,857 | — | 882508104 |
| WELLTOWER INC | COM | $331M | 1,458,544 | — | 95040Q104 |
| AMERICAN CENTY ETF TR | US LARGE CAP VLU | $329.2M | 3,608,727 | — | 025072349 |
| AMERICAN CENTY ETF TR | AVANTIS EMGMKT | $328.4M | 3,403,867 | — | 025072604 |
| CHENIERE ENERGY INC | COM NEW | $327.5M | 1,370,100 | — | 16411R208 |
| REINSURANCE GROUP AMER INC | COM NEW | $323.6M | 1,521,592 | — | 759351604 |
| EATON CORP PLC | SHS | $322.8M | 757,649 | — | G29183103 |
| COMFORT SYS USA INC | COM | $322.8M | 162,875 | — | 199908104 |
| CROWDSTRIKE HLDGS INC | CL A | $317.8M | 416,432 | — | 22788C105 |
| ISHARES TR | RUS 1000 GRW ETF | $317M | 2,553,192 | — | 464287614 |
| EOG RES INC | COM | $316.7M | 2,441,080 | — | 26875P101 |
| JOHNSON CONTROLS INTERNATION | SHS | $314.3M | 2,151,277 | — | G51502105 |
| LANTHEUS HLDGS INC | COM | $312.5M | 2,816,547 | — | 516544103 |
| COLGATE PALMOLIVE CO | COM | $298.7M | 3,258,357 | — | 194162103 |
| SMITH A O CORP | COM | $296.4M | 4,726,410 | — | 831865209 |
| ROYAL CARIBBEAN GROUP | COM | $289.8M | 912,672 | — | V7780T103 |
| SCHEIN HENRY INC | COM | $288.7M | 3,457,175 | — | 806407102 |
| VERTEX PHARMACEUTICALS INC | COM | $288.6M | 580,901 | — | 92532F100 |
| BERKSHIRE HATHAWAY INC DEL | CL B NEW | $288.5M | 576,554 | — | 084670702 |
| CONOCOPHILLIPS | COM | $288M | 2,770,435 | — | 20825C104 |
| WABTEC | COM | $287.3M | 1,065,784 | — | 929740108 |
| AMERICAN CENTY ETF TR | INTERNATIONAL LR | $286.2M | 3,697,239 | — | 025072364 |
| PROLOGIS INC. | COM | $285.1M | 2,104,242 | — | 74340W103 |
| ROBINHOOD MKTS INC | COM CL A | $283.3M | 2,825,315 | — | 770700102 |
| MAGNOLIA OIL & GAS CORP | CL A | $281.7M | 11,011,458 | — | 559663109 |
| LEAR CORP | COM NEW | $280.5M | 2,092,298 | — | 521865204 |
| ACUITY INC | COM | $280M | 743,411 | — | 00508Y102 |
| GENTEX CORP | COM | $278.6M | 11,025,677 | — | 371901109 |
| ALASKA AIR GROUP INC | COM | $278.1M | 5,327,194 | — | 011659109 |
| ONE GAS INC | COM | $273.1M | 3,543,229 | — | 68235P108 |
| FAIR ISAAC CORP | COM | $272.7M | 228,232 | — | 303250104 |
| FLEX LTD | ORD | $269.9M | 1,665,399 | — | Y2573F102 |
| VISA INC | COM CL A | $267.4M | 779,276 | — | 92826C839 |
| CUMMINS INC | COM | $266.9M | 374,240 | — | 231021106 |
| IRIDIUM COMMUNICATIONS INC | COM | $266.4M | 4,856,440 | — | 46269C102 |
| BANK OF AMER CORP | COM | $265.8M | 4,664,944 | — | 060505104 |
| TRAVELERS COMPANIES INC | COM | $264M | 799,839 | — | 89417E109 |
| AXOS FINANCIAL INC | COM | $263.5M | 2,705,653 | — | 05465C100 |
| BLACKROCK INC | COM | $262M | 272,497 | — | 09290D101 |
| ROCKET LAB CORP | COM | $262M | 2,577,154 | — | 773121108 |
| LINDE PLC | SHS | $261.8M | 504,467 | — | G54950103 |
| UNITED PARCEL SVCS INC | CL B | $261.5M | 2,432,278 | — | 911312106 |
| MACYS INC | COM | $259.8M | 11,030,537 | — | 55616P104 |
| OSCAR HEALTH INC | CL A | $258.3M | 9,055,242 | — | 687793109 |
| BRUNSWICK CORP | COM | $257.4M | 3,055,802 | — | 117043109 |
| ADVANCED DRAIN SYS INC DEL | COM | $256.5M | 1,634,302 | — | 00790R104 |
| AVNET INC | COM | $254.5M | 2,865,223 | — | 053807103 |
| COLUMBIA BKG SYS INC | COM | $253.3M | 7,903,579 | — | 197236102 |
| CABOT CORP | COM | $251.4M | 2,768,176 | — | 127055101 |
| ASTRAZENECA PLC | ORD | $250.4M | 1,320,358 | — | G0593M107 |
| ARCHROCK INC | COM | $250M | 6,139,818 | — | 03957W106 |
| GATX CORP | COM | $247.3M | 1,395,456 | — | 361448103 |
| CENTERPOINT ENERGY INC | COM | $245.3M | 5,570,939 | — | 15189T107 |
| CURTISS WRIGHT CORP | COM | $244.6M | 322,858 | — | 231561101 |
| GENERAL MTRS CO | COM | $244.5M | 3,171,765 | — | 37045V100 |
| VISHAY INTERTECHNOLOGY INC | COM | $242.8M | 4,514,575 | — | 928298108 |
| CINTAS CORP | COM | $242.6M | 1,426,577 | — | 172908105 |
| DELTA AIR LINES INC | COM NEW | $242.3M | 2,586,645 | — | 247361702 |
| AMETEK INC | COM | $241.1M | 996,400 | — | 031100100 |
| ASE TECHNOLOGY HLDG CO LTD | SPONSORED ADS | $240.6M | 5,332,790 | — | 00215W100 |
| MONDELEZ INTL INC | CL A | $240.1M | 4,151,094 | — | 609207105 |
| WEATHERFORD INTL PLC | ORD SHS | $239.1M | 2,933,502 | — | G48833118 |
| DEVON ENERGY CORP NEW | COM | $239.1M | 5,786,003 | — | 25179M103 |
| MURPHY OIL CORP | COM | $238.2M | 7,316,708 | — | 626717102 |
| ECOLAB INC | COM | $237.9M | 853,805 | — | 278865100 |
| INTERNATIONAL BANCSHARES COR | COM | $237.6M | 3,128,416 | — | 459044103 |
| LABCORP HOLDINGS INC | COM SHS | $236.6M | 845,023 | — | 504922105 |
| ZIMMER BIOMET HOLDINGS INC | COM | $236.3M | 2,744,463 | — | 98956P102 |
| RTX CORPORATION | COM | $235.1M | 1,238,913 | — | 75513E101 |
| XCEL ENERGY INC | COM | $234M | 2,914,185 | — | 98389B100 |
| SM ENERGY COMPANY | COM | $233.2M | 8,935,683 | — | 78454L100 |
| AXIS CAP HLDGS LTD | SHS | $231M | 2,150,320 | — | G0692U109 |
| HANOVER INS GROUP INC | COM | $230.8M | 1,078,105 | — | 410867105 |
| AMRIZE LTD | SHS | $230.4M | 4,321,831 | — | H2927K103 |
| EQUITY RESIDENTIAL | SH BEN INT | $230.3M | 3,390,542 | — | 29476L107 |
| ALIBABA GROUP HLDG LTD | SPONSORED ADS | $229.6M | 2,392,112 | — | 01609W102 |
| CANADIAN PACIFIC KANSAS CITY | COM | $229.6M | 2,648,571 | — | 13646K108 |
| BRIGHTSPRING HEALTH SVCS INC | COM | $229.5M | 3,291,039 | — | 10950A106 |
| SLB LIMITED | COM STK | $227.3M | 4,889,549 | — | 806857108 |
| BURLINGTON STORES INC | COM | $227.1M | 716,826 | — | 122017106 |
| ARISTA NETWORKS INC | COM SHS | $226.8M | 1,334,795 | — | 040413205 |
| RYDER SYS INC | COM | $226.6M | 858,989 | — | 783549108 |
| CHUBB LIMITED | COM | $226M | 663,120 | — | H1467J104 |
| BANCORP INC DEL | COM | $224.9M | 3,589,894 | — | 05969A105 |
| PRICESMART INC | COM | $224.3M | 1,148,225 | — | 741511109 |
| EVERGY INC | COM | $224.1M | 2,592,493 | — | 30034W106 |
| SKYWEST INC | COM | $223.7M | 2,252,482 | — | 830879102 |
| PACCAR INC | COM | $222.8M | 1,854,920 | — | 693718108 |
| ROSS STORES INC | COM | $222M | 1,043,187 | — | 778296103 |
| KODIAK GAS SVCS INC | COM | $221.6M | 2,949,348 | — | 50012A108 |
| ARCBEST CORP | COM | $221.5M | 1,542,815 | — | 03937C105 |
| REDDIT INC | CL A | $220M | 1,267,201 | — | 75734B100 |
| PULTE GROUP INC | COM | $219.8M | 1,602,144 | — | 745867101 |
| RUSH ENTERPRISES INC | CL A | $219.7M | 3,010,503 | — | 781846209 |
| CHORD ENERGY CORPORATION | COM NEW | $219.1M | 1,917,213 | — | 674215207 |
| SELECTIVE INS GROUP INC | COM | $216.2M | 2,228,969 | — | 816300107 |
| VISTEON CORP | COM NEW | $216.1M | 2,178,685 | — | 92839U206 |
| AMERICAN TOWER CORP | COM | $210.1M | 1,284,437 | — | 03027X100 |
| QUANTA SVCS INC | COM | $209.8M | 291,356 | — | 74762E102 |
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