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AMERICAN CENTURY COMPANIES INC

2,841 holdingsFiling period: 2026-03-31Current AUM: $217.26Bestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORPORATION61.04M$10.65B$11.91B5.48%-2,269,3102026-03-31
2AAPLAPPLE INC25.21M$6.40B$8.41B3.87%-819,7462026-03-31
3MSFTMICROSOFT CORP16.15M$5.98B$7.29B3.35%+1.03M2026-03-31
4AMZNAMAZON COM INC24.27M$5.05B$5.72B2.63%-2,331,7602026-03-31
5GOOGLALPHABET INC17.49M$5.03B$5.84B2.69%-1,401,3432026-03-31
6AVGOBROADCOM INC9.54M$2.95B$3.70B1.70%+188.2K2026-03-31
7METAMETA PLATFORMS INC4.99M$2.86B$2.69B1.24%-40,5822026-03-31
8GOOGALPHABET INC9.38M$2.69B$3.13B1.44%-428,6272026-03-31
9MAMASTERCARD INCORPORATED5.36M$2.68B$3.10B1.42%-139,5522026-03-31
10TSLATESLA INC6.76M$2.51B$2.09B0.96%-94,8832026-03-31
11TSMTAIWAN SEMICONDUCTOR MANUFAC6.35M$2.15B$2.56B1.18%-386,2252026-03-31
12NFLXNETFLIX INC.19.40M$1.87B$1.42B0.65%+1.89M2026-03-31
13COSTCOSTCO WHOLESALE CORPORATION1.81M$1.80B$1.72B0.79%+64.9K2026-03-31
14LLYELI LILLY & CO1.85M$1.70B$2.13B0.98%-16,0312026-03-31
15AMATAPPLIED MATLS INC3.54M$1.21B$1.78B0.82%-84,7532026-03-31
16JPMJPMORGAN CHASE & CO3.73M$1.10B$1.31B0.60%+24.2K2026-03-31
17ADIANALOG DEVICES INC3.17M$1.01B$1.16B0.53%-132,6032026-03-31
18ISRGINTUITIVE SURGICAL INC2.11M$972.5M$744.6M0.34%+6.1K2026-03-31
19XOMEXXON MOBIL CORP5.26M$891.8M$825.1M0.38%-29,9292026-03-31
20XOMEXXON MOBIL CORP5.26M$891.8M$825.1M0.38%-29,9292026-03-31
21VRTVERTIV HOLDINGS CO3.33M$833.5M$756.7M0.35%+131.1K2026-03-31
22HWMHOWMET AEROSPACE INC3.60M$829.4M$997.9M0.46%-352,1412026-03-31
23NETCLOUDFLARE INC3.63M$748.4M$1.03B0.47%+452.8K2026-03-31
24MRSHMARSH & MCLENNAN COS INC4.23M$734.4M$810.9M0.37%+1.90M2026-03-31
25ABBVABBVIE INC3.30M$717.6M$849.3M0.39%-196,5712026-03-31
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