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
Sectors
100% of stocks classifiedCountries
Holdings
| # | Holding | Type | Weight | Value | Shares / par | Country |
|---|---|---|---|---|---|---|
| 1 | NVDANvidia Corp | Equity | 8.47% | $26M | 123,507 | US |
| 2 | GOOGLAlphabet Inc. Class A Common Stock | Equity | 6.88% | $21M | 55,694 | US |
| 3 | MSFTMicrosoft Corp | Equity | 6.62% | $20M | 45,289 | US |
| 4 | AAPLApple Inc. | Equity | 5.12% | $16M | 50,507 | US |
| 5 | AMZNAmazon.Com Inc | Equity | 3.87% | $12M | 43,992 | US |
| 6 | AVGOBroadcom Inc. Common Stock | Equity | 3.85% | $12M | 26,536 | US |
| 7 | METAMeta Platforms, Inc. Class A Common Stock | Equity | 1.72% | $5.3M | 8,387 | US |
| 8 | MUMicron Technology, Inc. | Equity | 1.72% | $5.3M | 5,446 | US |
| 9 | ADIAnalog Devices, Inc. | Equity | 1.59% | $4.9M | 11,812 | US |
| 10 | NEENextEra Energy, Inc. | Equity | 1.58% | $4.9M | 55,766 | US |
| 11 | LLYEli Lilly & Co. | Equity | 1.51% | $4.6M | 4,197 | US |
| 12 | MAMastercard Incorporated | Equity | 1.45% | $4.5M | 9,016 | US |
| 13 | TSLATesla, Inc. Common Stock | Equity | 1.44% | $4.4M | 10,205 | US |
| 14 | SLBSLB Limited | Equity | 1.42% | $4.4M | 80,381 | US |
| 15 | IBMInternational Business Machines Corporation | Equity | 1.40% | $4.3M | 14,521 | US |
| 16 | JPMJPMorgan Chase & Co. | Equity | 1.39% | $4.3M | 14,341 | US |
| 17 | BACBank of America Corporation | Equity | 1.31% | $4.0M | 78,001 | US |
| 18 | RFRegions Financial Corp. | Equity | 1.21% | $3.7M | 132,723 | US |
| 19 | CMICummins Inc. | Equity | 1.18% | $3.6M | 5,624 | US |
| 20 | CDNSCadence Design Systems | Equity | 1.09% | $3.4M | 8,953 | US |
| 21 | HDHome Depot, Inc. | Equity | 1.08% | $3.3M | 10,466 | US |
| 22 | PLDPROLOGIS, INC. | Equity | 1.06% | $3.3M | 22,654 | US |
| 23 | WELLWelltower Inc. | Equity | 1.05% | $3.2M | 15,742 | US |
| 24 | TJXTJX Companies, Inc. (The) | Equity | 1.05% | $3.2M | 20,838 | US |
| 25 | LINLinde plc Ordinary Share | Equity | 0.99% | $3.0M | 6,109 | US |
| 26 | AMATApplied Materials Inc | Equity | 0.98% | $3.0M | 6,728 | US |
| 27 | PGProcter & Gamble Company | Equity | 0.95% | $2.9M | 20,322 | US |
| 28 | GSGoldman Sachs Group Inc. | Equity | 0.91% | $2.8M | 2,721 | US |
| 29 | WMBWilliams Companies Inc. | Equity | 0.88% | $2.7M | 38,063 | US |
| 30 | ABBVABBVIE INC. | Equity | 0.87% | $2.7M | 12,345 | US |
| 31 | VVISA Inc. | Equity | 0.84% | $2.6M | 7,879 | US |
| 32 | MSMorgan Stanley | Equity | 0.81% | $2.5M | 11,996 | US |
| 33 | AXPAmerican Express Company | Equity | 0.81% | $2.5M | 7,855 | US |
| 34 | GILDGilead Sciences Inc | Equity | 0.80% | $2.5M | 18,407 | US |
| 35 | SPGIS&P Global Inc. | Equity | 0.80% | $2.5M | 5,780 | US |
| 36 | LRCXLam Research Corp | Equity | 0.79% | $2.4M | 7,689 | US |
| 37 | ETNEaton Corporation, plc Ordinary Shares | Equity | 0.79% | $2.4M | 6,103 | IE |
| 38 | MARMarriott International Class A Common Stock | Equity | 0.79% | $2.4M | 6,463 | US |
| 39 | TTTrane Technologies plc | Equity | 0.78% | $2.4M | 5,335 | IE |
| 40 | CIThe Cigna Group | Equity | 0.77% | $2.4M | 8,508 | US |
| 41 | HONHoneywell International, Inc. | Equity | 0.76% | $2.4M | 9,894 | US |
| 42 | DHRDanaher Corporation | Equity | 0.75% | $2.3M | 12,657 | US |
| 43 | JCIJohnson Controls International plc | Equity | 0.75% | $2.3M | 17,209 | US |
| 44 | MSIMotorola Solutions, Inc. New | Equity | 0.70% | $2.2M | 5,380 | US |
| 45 | METMetLife, Inc. | Equity | 0.68% | $2.1M | 25,243 | US |
| 46 | GEVGE Vernova Inc. | Equity | 0.67% | $2.1M | 2,143 | US |
| 47 | NFLXNetFlix Inc | Equity | 0.67% | $2.1M | 23,867 | US |
| 48 | PEPPepsiCo, Inc. | Equity | 0.66% | $2.0M | 14,164 | US |
| 49 | SYYSysco Corporation | Equity | 0.65% | $2.0M | 26,540 | US |
| 50 | COSTCostco Wholesale Corp | Equity | 0.64% | $2.0M | 2,060 | US |
| 51 | URIUnited Rentals, Inc. | Equity | 0.63% | $1.9M | 1,944 | US |
| 52 | WDCWestern Digital Corp. | Equity | 0.62% | $1.9M | 3,610 | US |
| 53 | CRWDCrowdStrike Holdings, Inc. Class A Common Stock | Equity | 0.61% | $1.9M | 2,555 | US |
| 54 | TMOThermo Fisher Scientific, Inc. | Equity | 0.59% | $1.8M | 3,667 | US |
| 55 | XYLXylem Inc | Equity | 0.59% | $1.8M | 16,453 | US |
| 56 | BLKBlackrock, Inc. | Equity | 0.58% | $1.8M | 1,710 | US |
| 57 | UNHUNITEDHEALTH GROUP INCORPORATED (Delaware) | Equity | 0.57% | $1.8M | 4,626 | US |
| 58 | EQIXEquinix, Inc. Common Stock REIT | Equity | 0.57% | $1.8M | 1,647 | US |
| 59 | TSMTaiwan Semiconductor Manufacturing Company Ltd. | Equity | 0.55% | $1.7M | 4,041 | TW |
| 60 | MRKMerck & Co., Inc. | Equity | 0.52% | $1.6M | 13,537 | US |
| 61 | ECLEcolab, Inc. | Equity | 0.52% | $1.6M | 6,260 | US |
| 62 | UNPUnion Pacific Corp. | Equity | 0.52% | $1.6M | 6,056 | US |
| 63 | PHParker-Hannifin Corporation | Equity | 0.51% | $1.6M | 1,869 | US |
| 64 | FDXFedEx Corporation | Equity | 0.51% | $1.6M | 3,816 | US |
| 65 | NOWSERVICENOW, INC. | Equity | 0.51% | $1.6M | 12,512 | US |
| 66 | DEDeere & Company | Equity | 0.50% | $1.5M | 2,851 | US |
| 67 | AMPAmeriprise Financial, Inc. | Equity | 0.50% | $1.5M | 3,464 | US |
| 68 | VRTXVertex Pharmaceuticals Inc | Equity | 0.50% | $1.5M | 3,430 | US |
| 69 | ORLYO'Reilly Automotive, Inc. | Equity | 0.49% | $1.5M | 17,372 | US |
| 70 | ADPAutomatic Data Processing | Equity | 0.49% | $1.5M | 6,781 | US |
| 71 | IDXXIdexx Laboratories Inc | Equity | 0.46% | $1.4M | 2,530 | US |
| 72 | APPApplovin Corporation Class A Common Stock | Equity | 0.46% | $1.4M | 2,316 | US |
| 73 | BKNGBooking Holdings Inc. Common Stock | Equity | 0.45% | $1.4M | 8,266 | US |
| 74 | CHDChurch & Dwight Co., Inc. | Equity | 0.44% | $1.4M | 14,184 | US |
| 75 | ASMLASML Holding NV | Equity | 0.44% | $1.4M | 838 | NL |
| 76 | APHAmphenol Corporation | Equity | 0.43% | $1.3M | 8,819 | US |
| 77 | BALLBall Corporation | Equity | 0.41% | $1.3M | 23,068 | US |
| 78 | ICEIntercontinental Exchange Inc. | Equity | 0.40% | $1.2M | 8,356 | US |
| 79 | DTDynatrace, Inc. | Equity | 0.40% | $1.2M | 28,918 | US |
| 80 | FERGFerguson Enterprises Inc. | Equity | 0.40% | $1.2M | 5,387 | US |
| 81 | ISRGIntuitive Surgical Inc. | Equity | 0.37% | $1.1M | 2,698 | US |
| 82 | UBERUber Technologies, Inc. | Equity | 0.37% | $1.1M | 16,184 | US |
| 83 | CORCencora, Inc. | Equity | 0.37% | $1.1M | 4,178 | US |
| 84 | KKRKKR & Co. Inc. | Equity | 0.35% | $1.1M | 11,268 | US |
| 85 | AAgilent Technologies Inc. | Equity | 0.34% | $1.0M | 7,696 | US |
| 86 | PGRProgressive Corporation | Equity | 0.34% | $1.0M | 5,476 | US |
| 87 | MRSHMarsh | Equity | 0.34% | $1.0M | 6,483 | US |
| 88 | WDAYWorkday, Inc. Class A Common Stock | Equity | 0.33% | $1.0M | 7,005 | US |
| 89 | VZVerizon Communications | Equity | 0.33% | $1.0M | 21,016 | US |
| 90 | CLColgate-Palmolive Company | Equity | 0.32% | $999K | 11,086 | US |
| 91 | State Street Institutional US Government Money Market Fund | Cash | 0.30% | $928K | 927,614 | US |
| 92 | CRMSalesforce, Inc. | Equity | 0.30% | $915K | 4,788 | US |
| 93 | BMYBristol-Myers Squibb Co. | Equity | 0.29% | $879K | 15,372 | US |
| 94 | MDBMongoDB, Inc. Class A | Equity | 0.24% | $734K | 2,187 | US |
| 95 | LNGCheniere Energy Inc | Equity | 0.21% | $642K | 2,856 | US |
| 96 | COHRCoherent Corp. | Equity | 0.17% | $533K | 1,475 | US |
| 97 | ABNBAirbnb, Inc. Class A Common Stock | Equity | 0.16% | $497K | 3,725 | US |
| 98 | FWONKLiberty Media Corporation Series C Common Stock | Equity | 0.14% | $436K | 4,803 | US |
Find which other funds hold a stock by opening it and choosing "ETFs holding".
Position changes between reports
| Action | Holding | Weight before | Weight after | Shares vs flows | Between reports |
|---|---|---|---|---|---|
| Increase | MUMicron Technology Inc | 0.24% | 1.72% | +219.2% | Feb 28, 2026 → May 31, 2026 SEC |
| Exit | TSCOTractor Supply Co | 0.60% | — | — | Feb 28, 2026 → May 31, 2026 SEC |
| Exit | ZTSZoetis Inc | 0.57% | — | — | Feb 28, 2026 → May 31, 2026 SEC |
| Increase | SLBSLB Ltd | 0.86% | 1.42% | +66.0% | Feb 28, 2026 → May 31, 2026 SEC |
| Decrease | LNGCheniere Energy Inc | 0.76% | 0.21% | −69.1% | Feb 28, 2026 → May 31, 2026 SEC |
| Increase | WDCWestern Digital Corp | 0.13% | 0.62% | +173.3% | Feb 28, 2026 → May 31, 2026 SEC |
| New position | COHRCoherent Corp | — | 0.17% | — | Feb 28, 2026 → May 31, 2026 SEC |
| Decrease | TSMTaiwan Semiconductor Manufacturing Co Ltd | 0.64% | 0.55% | −17.7% | Feb 28, 2026 → May 31, 2026 SEC |
| Decrease | ASMLASML Holding NV | 0.48% | 0.44% | −12.0% | Feb 28, 2026 → May 31, 2026 SEC |
| Decrease | AMATApplied Materials Inc | 1.00% | 0.98% | −13.0% | Feb 28, 2026 → May 31, 2026 SEC |
| Increase | BKNGBooking Holdings Inc | 0.44% | 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.