ACLC holdings

All 98 positions of American Century Large Cap Equity ETF.

Positions
98
Top 10 weight
41.4%
Effective holdings
35.7
1 / sum of squared weights
In stocks
99.7%
In bonds
0.0%
Outside the US
2.6%

Asset mix

  • Equity99.7%
  • Cash0.3%

Sectors

100% of stocks classified
  • Technology47.7%
  • Industrials13.5%
  • Financials9.6%
  • Consumer Discretionary9.4%
  • Health Care7.0%
  • Consumer Staples3.5%
  • Real Estate2.7%
  • Utilities2.7%
  • Energy1.4%
  • Communication Services1.1%
  • Materials1.0%

Countries

  • United States97.1%
  • Ireland1.6%
  • Taiwan0.5%
  • Netherlands0.4%

Holdings

#HoldingTypeWeightValueShares / parCountry
1NVDANvidia CorpEquity8.47%$26M123,507US
2GOOGLAlphabet Inc. Class A Common StockEquity6.88%$21M55,694US
3MSFTMicrosoft CorpEquity6.62%$20M45,289US
4AAPLApple Inc.Equity5.12%$16M50,507US
5AMZNAmazon.Com IncEquity3.87%$12M43,992US
6AVGOBroadcom Inc. Common StockEquity3.85%$12M26,536US
7METAMeta Platforms, Inc. Class A Common StockEquity1.72%$5.3M8,387US
8MUMicron Technology, Inc.Equity1.72%$5.3M5,446US
9ADIAnalog Devices, Inc.Equity1.59%$4.9M11,812US
10NEENextEra Energy, Inc.Equity1.58%$4.9M55,766US
11LLYEli Lilly & Co.Equity1.51%$4.6M4,197US
12MAMastercard IncorporatedEquity1.45%$4.5M9,016US
13TSLATesla, Inc. Common StockEquity1.44%$4.4M10,205US
14SLBSLB LimitedEquity1.42%$4.4M80,381US
15IBMInternational Business Machines CorporationEquity1.40%$4.3M14,521US
16JPMJPMorgan Chase & Co.Equity1.39%$4.3M14,341US
17BACBank of America CorporationEquity1.31%$4.0M78,001US
18RFRegions Financial Corp.Equity1.21%$3.7M132,723US
19CMICummins Inc.Equity1.18%$3.6M5,624US
20CDNSCadence Design SystemsEquity1.09%$3.4M8,953US
21HDHome Depot, Inc.Equity1.08%$3.3M10,466US
22PLDPROLOGIS, INC.Equity1.06%$3.3M22,654US
23WELLWelltower Inc.Equity1.05%$3.2M15,742US
24TJXTJX Companies, Inc. (The)Equity1.05%$3.2M20,838US
25LINLinde plc Ordinary ShareEquity0.99%$3.0M6,109US
26AMATApplied Materials IncEquity0.98%$3.0M6,728US
27PGProcter & Gamble CompanyEquity0.95%$2.9M20,322US
28GSGoldman Sachs Group Inc.Equity0.91%$2.8M2,721US
29WMBWilliams Companies Inc.Equity0.88%$2.7M38,063US
30ABBVABBVIE INC.Equity0.87%$2.7M12,345US
31VVISA Inc.Equity0.84%$2.6M7,879US
32MSMorgan StanleyEquity0.81%$2.5M11,996US
33AXPAmerican Express CompanyEquity0.81%$2.5M7,855US
34GILDGilead Sciences IncEquity0.80%$2.5M18,407US
35SPGIS&P Global Inc.Equity0.80%$2.5M5,780US
36LRCXLam Research CorpEquity0.79%$2.4M7,689US
37ETNEaton Corporation, plc Ordinary SharesEquity0.79%$2.4M6,103IE
38MARMarriott International Class A Common StockEquity0.79%$2.4M6,463US
39TTTrane Technologies plcEquity0.78%$2.4M5,335IE
40CIThe Cigna GroupEquity0.77%$2.4M8,508US
41HONHoneywell International, Inc.Equity0.76%$2.4M9,894US
42DHRDanaher CorporationEquity0.75%$2.3M12,657US
43JCIJohnson Controls International plcEquity0.75%$2.3M17,209US
44MSIMotorola Solutions, Inc. NewEquity0.70%$2.2M5,380US
45METMetLife, Inc.Equity0.68%$2.1M25,243US
46GEVGE Vernova Inc.Equity0.67%$2.1M2,143US
47NFLXNetFlix IncEquity0.67%$2.1M23,867US
48PEPPepsiCo, Inc.Equity0.66%$2.0M14,164US
49SYYSysco CorporationEquity0.65%$2.0M26,540US
50COSTCostco Wholesale CorpEquity0.64%$2.0M2,060US
51URIUnited Rentals, Inc.Equity0.63%$1.9M1,944US
52WDCWestern Digital Corp.Equity0.62%$1.9M3,610US
53CRWDCrowdStrike Holdings, Inc. Class A Common StockEquity0.61%$1.9M2,555US
54TMOThermo Fisher Scientific, Inc.Equity0.59%$1.8M3,667US
55XYLXylem IncEquity0.59%$1.8M16,453US
56BLKBlackrock, Inc.Equity0.58%$1.8M1,710US
57UNHUNITEDHEALTH GROUP INCORPORATED (Delaware)Equity0.57%$1.8M4,626US
58EQIXEquinix, Inc. Common Stock REITEquity0.57%$1.8M1,647US
59TSMTaiwan Semiconductor Manufacturing Company Ltd.Equity0.55%$1.7M4,041TW
60MRKMerck & Co., Inc.Equity0.52%$1.6M13,537US
61ECLEcolab, Inc.Equity0.52%$1.6M6,260US
62UNPUnion Pacific Corp.Equity0.52%$1.6M6,056US
63PHParker-Hannifin CorporationEquity0.51%$1.6M1,869US
64FDXFedEx CorporationEquity0.51%$1.6M3,816US
65NOWSERVICENOW, INC.Equity0.51%$1.6M12,512US
66DEDeere & CompanyEquity0.50%$1.5M2,851US
67AMPAmeriprise Financial, Inc.Equity0.50%$1.5M3,464US
68VRTXVertex Pharmaceuticals IncEquity0.50%$1.5M3,430US
69ORLYO'Reilly Automotive, Inc.Equity0.49%$1.5M17,372US
70ADPAutomatic Data ProcessingEquity0.49%$1.5M6,781US
71IDXXIdexx Laboratories IncEquity0.46%$1.4M2,530US
72APPApplovin Corporation Class A Common StockEquity0.46%$1.4M2,316US
73BKNGBooking Holdings Inc. Common StockEquity0.45%$1.4M8,266US
74CHDChurch & Dwight Co., Inc.Equity0.44%$1.4M14,184US
75ASMLASML Holding NVEquity0.44%$1.4M838NL
76APHAmphenol CorporationEquity0.43%$1.3M8,819US
77BALLBall CorporationEquity0.41%$1.3M23,068US
78ICEIntercontinental Exchange Inc.Equity0.40%$1.2M8,356US
79DTDynatrace, Inc.Equity0.40%$1.2M28,918US
80FERGFerguson Enterprises Inc.Equity0.40%$1.2M5,387US
81ISRGIntuitive Surgical Inc.Equity0.37%$1.1M2,698US
82UBERUber Technologies, Inc.Equity0.37%$1.1M16,184US
83CORCencora, Inc.Equity0.37%$1.1M4,178US
84KKRKKR & Co. Inc.Equity0.35%$1.1M11,268US
85AAgilent Technologies Inc.Equity0.34%$1.0M7,696US
86PGRProgressive CorporationEquity0.34%$1.0M5,476US
87MRSHMarshEquity0.34%$1.0M6,483US
88WDAYWorkday, Inc. Class A Common StockEquity0.33%$1.0M7,005US
89VZVerizon CommunicationsEquity0.33%$1.0M21,016US
90CLColgate-Palmolive CompanyEquity0.32%$999K11,086US
91State Street Institutional US Government Money Market FundCash0.30%$928K927,614US
92CRMSalesforce, Inc.Equity0.30%$915K4,788US
93BMYBristol-Myers Squibb Co.Equity0.29%$879K15,372US
94MDBMongoDB, Inc. Class AEquity0.24%$734K2,187US
95LNGCheniere Energy IncEquity0.21%$642K2,856US
96COHRCoherent Corp.Equity0.17%$533K1,475US
97ABNBAirbnb, Inc. Class A Common StockEquity0.16%$497K3,725US
98FWONKLiberty Media Corporation Series C Common StockEquity0.14%$436K4,803US

Find which other funds hold a stock by opening it and choosing "ETFs holding".

Position changes between reports

ActionHoldingWeight beforeWeight afterShares vs flowsBetween reports
IncreaseMUMicron Technology Inc0.24%1.72%+219.2%Feb 28, 2026 → May 31, 2026 SEC
ExitTSCOTractor Supply Co0.60%——Feb 28, 2026 → May 31, 2026 SEC
ExitZTSZoetis Inc0.57%——Feb 28, 2026 → May 31, 2026 SEC
IncreaseSLBSLB Ltd0.86%1.42%+66.0%Feb 28, 2026 → May 31, 2026 SEC
DecreaseLNGCheniere Energy Inc0.76%0.21%−69.1%Feb 28, 2026 → May 31, 2026 SEC
IncreaseWDCWestern Digital Corp0.13%0.62%+173.3%Feb 28, 2026 → May 31, 2026 SEC
New positionCOHRCoherent Corp—0.17%—Feb 28, 2026 → May 31, 2026 SEC
DecreaseTSMTaiwan Semiconductor Manufacturing Co Ltd0.64%0.55%−17.7%Feb 28, 2026 → May 31, 2026 SEC
DecreaseASMLASML Holding NV0.48%0.44%−12.0%Feb 28, 2026 → May 31, 2026 SEC
DecreaseAMATApplied Materials Inc1.00%0.98%−13.0%Feb 28, 2026 → May 31, 2026 SEC
IncreaseBKNGBooking Holdings Inc0.44%0.45%+10.7%Feb 28, 2026 → May 31, 2026 SEC

Share-count changes are measured after removing what creations and redemptions explain.

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.