ETF Components for AVSU - Avantis Responsible U.S. Equity ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
AAPL C 0.48 5.26
MSFT D 0.31 4.87
NVDA A -1.15 3.51
AMZN B -2.00 2.50
META C -0.66 2.48
GOOGL B -5.57 1.66
GOOG B -5.46 1.37
JPM B 1.41 1.34
TSLA B 0.28 0.92
AVGO D 1.04 0.88
COST A 2.72 0.85
V A 1.01 0.84
WMT A 1.50 0.82
MA B 1.15 0.65
GS B 2.78 0.62
VRTX D 0.15 0.61
MRK F 1.84 0.61
JNJ D 1.43 0.58
AMAT F 3.38 0.58
LLY F -0.87 0.57
TJX A -0.38 0.56
BAC A 1.70 0.54
UNP D 1.53 0.52
T A 0.77 0.51
TMUS B 0.55 0.49
GILD B 1.32 0.47
MU D 4.41 0.47
ABBV F 2.53 0.47
AMD F 0.00 0.46
HD C 1.95 0.46
AMP A 1.81 0.45
VZ C 0.77 0.44
MS B 2.74 0.44
TXN C -0.32 0.44
QCOM F 1.38 0.44
GM B 1.34 0.43
LRCX F 3.84 0.43
CMCSA B 1.38 0.41
C B 1.19 0.41
KLAC F 2.77 0.40
UNH B 0.29 0.39
ADP B 1.69 0.38
DE C 8.80 0.38
PGR B 1.88 0.38
PG C 1.36 0.37
FDX B 1.70 0.37
COF B 1.30 0.36
TGT F 0.36 0.35
MELI C 0.33 0.34
PANW A 2.17 0.34
DFS B 1.75 0.34
TRV B 1.66 0.34
NFLX A 2.04 0.33
GWW B 1.37 0.33
CSX C 1.42 0.33
PEP F 0.58 0.32
CMG C 1.74 0.31
BKNG A 3.11 0.31
AFL C 1.81 0.31
KO D 0.82 0.31
ACN B 1.52 0.31
URI B 2.25 0.30
CB D 0.86 0.29
PCAR C 3.89 0.29
CMI A 2.29 0.29
UPS C 0.06 0.29
SYF B 1.37 0.28
KR B 1.39 0.28
AMGN D 0.67 0.28
BMY B 0.79 0.28
NSC B 1.17 0.27
KKR B 2.94 0.27
HIG A 1.28 0.27
ROST D 2.23 0.26
PHM D 0.92 0.26
AXP B 1.91 0.26
SCHW A 1.08 0.25
ACGL D 2.55 0.24
ANET D 5.72 0.24
NKE F 2.21 0.24
F C 0.65 0.24
ELV F 1.06 0.23
FAST B 0.67 0.23
ODFL B 2.14 0.23
PNC B 1.63 0.23
GLW B 0.59 0.23
CL D 1.05 0.23
AIG D 1.58 0.23
BX A 3.95 0.22
DECK A 1.88 0.22
APO B 1.62 0.22
LEN D 0.38 0.22
MTB A 2.06 0.22
TSCO D 1.04 0.22
SFM B 1.88 0.22
ABT B 0.92 0.21
MET A 2.97 0.21
BK B 0.91 0.21
VRT A 4.67 0.21
REGN F 1.42 0.21
PFE F 0.84 0.20
USB A 2.31 0.20
SPGI D 1.49 0.20
ALL A 2.40 0.20
LULU C 2.26 0.20
ORCL A 2.37 0.20
EQH B 0.34 0.20
PKG A 0.12 0.20
IBM C 3.20 0.19
DHI D 0.21 0.19
BLK B 1.14 0.19
NOW B 2.86 0.19
RJF A 1.36 0.19
NVR D 0.63 0.19
FITB B 2.07 0.18
JBL C 2.65 0.18
STLD B 1.44 0.18
INTC C 2.72 0.18
PAYX B 1.06 0.18
CSL C 2.43 0.17
BSX A 1.54 0.17
PRU B 2.06 0.17
WSM C -1.94 0.17
MCD D -1.07 0.17
KMB C 1.02 0.17
ADBE D 1.77 0.17
NUE D 1.05 0.17
TFC B 1.86 0.17
FLEX A 3.84 0.16
CEG C 5.21 0.16
CPNG D 0.15 0.16
ZTS D 0.92 0.16
RF A 1.96 0.16
CTAS B 1.06 0.16
FIX A 3.12 0.16
CSCO B 0.64 0.16
ISRG A 1.64 0.16
ULTA F -2.75 0.16
MOH F 0.81 0.16
SHW C 2.15 0.16
COIN B -3.28 0.15
TTWO A 0.66 0.15
PFG C 0.49 0.15
BURL B 1.70 0.15
EXPD D 1.18 0.15
CME A -0.36 0.15
TPR B 1.94 0.15
ITW B 1.17 0.15
TOL B 0.84 0.14
BLDR F 0.13 0.14
VTRS A 0.84 0.14
CRM B 5.03 0.14
OC A 2.10 0.14
BBY D 0.78 0.14
TXRH B 0.32 0.14
GRMN B 1.93 0.14
CDNS B 1.22 0.14
ON F 1.29 0.14
CNC F 0.92 0.13
IT C 0.74 0.13
PRI B 1.19 0.13
COR B 0.32 0.13
CFG B 1.91 0.13
INTU B 4.08 0.13
KEY B 1.84 0.13
RGA B 1.17 0.13
EIX C 0.50 0.13
DIS B 1.50 0.13
LOW C 0.87 0.13
CPRT B 2.08 0.13
VRSK A 0.58 0.13
KVUE A 1.70 0.13
MMC D 1.20 0.12
JEF A 2.88 0.12
SNA B 0.70 0.12
ETN B 3.18 0.12
TMO D 0.42 0.12
CTSH B 1.73 0.12
ADI D 1.38 0.12
CBRE B 0.19 0.12
MLI B 1.21 0.12
TER F 1.99 0.12
JBHT C 0.79 0.12
GDDY A 1.31 0.12
RS B 0.78 0.12
MDT D 1.08 0.12
STT A 1.21 0.12
DRI C 0.64 0.12
SAIA C 4.81 0.12
NTRS A 0.81 0.11
SYK A 1.09 0.11
WRB A 1.85 0.11
LPX B 2.17 0.11
IDXX F -0.74 0.11
ALLY C 3.51 0.11
NEM D 0.33 0.11
ANF F 2.72 0.11
SF B 1.58 0.11
MCK A 0.97 0.11
MDLZ F 0.52 0.11
AON B 0.77 0.11
FTNT B 1.70 0.11
MCO B 0.13 0.11
UTHR C 1.48 0.11
EWBC A 1.96 0.11
DHR D 0.15 0.11
HBAN B 1.57 0.10
NXPI F 1.89 0.10
FYBR C 0.24 0.10
DKS D 1.11 0.10
TMHC C 1.05 0.10
EVR B 2.32 0.10
BG D 0.94 0.10
LECO C 1.84 0.10
ADSK A 2.96 0.10
UBER F -0.32 0.10
CINF A 2.33 0.10
KMX C 4.85 0.10
MOD B 5.03 0.10
R B 1.31 0.10
LPLA A 2.53 0.10
BALL D 0.78 0.10
WMS F 1.22 0.10
CG B 2.83 0.10
EG C 2.17 0.10
ORLY B 1.20 0.10
UNM A 4.30 0.10
LAD B 3.39 0.10
FCNCA A 1.74 0.09
AXS A 1.56 0.09
DELL C 4.15 0.09
CARR D 1.91 0.09
BCC C 1.51 0.09
BPOP C 1.69 0.09
KEYS A 2.79 0.09
CAH B 1.75 0.09
GPC F 0.96 0.09
IR B 0.53 0.09
ALV C 0.60 0.09
RL C 1.46 0.09
NTAP C 3.57 0.09
HLI A 2.13 0.09
PYPL B 0.81 0.09
FHN B 1.43 0.09
EXC C 1.23 0.09
ORI A 1.15 0.09
FICO A 1.35 0.09
FOXA B 1.31 0.09
TT A 1.35 0.09
WAT B 1.90 0.08
BIIB F 0.77 0.08
HSY F 0.53 0.08
PIPR B 2.30 0.08
EW C 1.58 0.08
GPK D 1.38 0.08
AN D 3.24 0.08
CMA B 2.28 0.08
EA A 0.40 0.08
GL C 0.71 0.08
MRVL B 3.57 0.08
JLL D 1.02 0.08
MATX B 0.41 0.08
SNV B 2.11 0.08
SKX F 1.41 0.08
SW A -0.16 0.08
AWI A 1.11 0.08
TROW B 0.69 0.08
SLM A 3.88 0.08
ZION B 1.72 0.08
SNPS C 3.19 0.08
CRWD B 3.28 0.08
LH B 0.73 0.08
AFG A 2.25 0.08
HUM C 0.70 0.08
VOYA B 0.98 0.08
AJG A 1.70 0.08
SEIC B 0.25 0.08
APH B 4.16 0.08
RHI C 1.61 0.08
LII A 4.42 0.08
DD D 1.17 0.08
CI D 1.04 0.08
CLX A 0.07 0.08
SIG C 2.20 0.07
PLTR B -0.64 0.07
KD A 14.44 0.07
OSK C 1.36 0.07
SBUX B 1.64 0.07
TAP C 0.28 0.07
HPE B 3.30 0.07
WAL B 3.54 0.07
AOS F 1.90 0.07
CPAY A 1.39 0.07
MSI A 0.45 0.07
ENSG D 1.02 0.07
FDS B 1.81 0.07
SYY D 1.75 0.07
MKL A 1.64 0.07
STZ D 0.20 0.07
WTFC B 2.25 0.07
FNF D 0.73 0.07
FI A 0.38 0.07
OMF A 0.93 0.07
LSTR D 0.77 0.07
HRI C 1.64 0.07
WCC B 3.08 0.07
CMC B 1.19 0.07
RNR C 0.23 0.07
CHD A 1.06 0.07
MTH D 1.02 0.07
GAP D 3.08 0.07
MTG C 0.81 0.07
Z A 4.74 0.07
UFPI C 1.75 0.07
DCI B 0.43 0.07
DLTR F 3.51 0.07
STRL B 3.95 0.07
JKHY D 0.96 0.07
IDCC B 2.05 0.07
GGG B 0.70 0.07
RPM B 0.93 0.07
KBH D 1.01 0.06
JAZZ B 3.87 0.06
MHO D 1.57 0.06
FAF A -0.21 0.06
AYI B 1.80 0.06
ESNT D 0.52 0.06
SCI B 0.57 0.06
ATKR D 0.89 0.06
SSD D 1.21 0.06
GATX A 1.81 0.06
ITT B 2.15 0.06
WBS A 1.65 0.06
M F 2.44 0.06
RDN D 1.43 0.06
HUBB B 3.46 0.06
ICE D 1.33 0.06
CDW F 1.52 0.06
CLH C 1.35 0.06
AIZ A 1.53 0.06
BC F 2.76 0.06
FND D 2.92 0.06
LOPE B 1.02 0.06
AKAM F 3.16 0.06
HCA F -1.86 0.06
AME A 0.80 0.06
PH B 2.21 0.06
WST C 1.45 0.06
WAB B 1.63 0.06
KNSL B 1.78 0.06
GMS B 1.18 0.05
YUM D 0.72 0.05
TKO A 2.28 0.05
FSLR F 0.55 0.05
THG A 0.82 0.05
GNRC B 2.43 0.05
RGLD C -0.17 0.05
PAG C 2.86 0.05
FN C 2.33 0.05
CARG B 1.54 0.05
VIRT A 1.62 0.05
WSO A 1.93 0.05
SIGI C 0.92 0.05
SJM D 0.63 0.05
HOG F 0.77 0.05
ARES A 2.11 0.05
DAR C -1.60 0.05
TTD B 2.93 0.05
POOL D 1.36 0.05
DG F 1.08 0.05
SMCI F 15.99 0.05
SON D 0.18 0.05
DXC C 2.60 0.05
STX D 2.13 0.05
OMC D 2.40 0.05
IQV F 1.27 0.05
WTM A 1.05 0.05
KNF B 0.85 0.05
ATR B 0.56 0.05
A F 2.61 0.05
XYL D 3.08 0.05
DXCM C 0.62 0.05
AIT B 1.82 0.05
OZK B 1.87 0.05
EXEL B 0.58 0.05
TPH D 0.78 0.05
BAH F 3.99 0.05
WTW B 1.63 0.05
TREX C 1.74 0.05
ERIE D 1.48 0.05
ZBH C -0.48 0.05
CBSH B 1.59 0.05
MANH D 0.50 0.05
INCY C 0.18 0.05
XPO B 3.35 0.05
BR B 0.97 0.05
THO C 2.50 0.05
ABG B 2.52 0.05
COLB B 2.79 0.05
BDX F 1.53 0.05
CIEN B 3.31 0.05
COHR B 3.70 0.05
AL B 2.47 0.05
HALO F -0.33 0.05
WDC F 4.04 0.05
KTB B 0.86 0.05
BWA D 0.84 0.05
MASI B 1.75 0.04
RUSHA B 1.54 0.04
ENTG F 3.99 0.04
AVT C 1.89 0.04
MKTX D -1.47 0.04
WSC F -0.09 0.04
SLVM B 1.24 0.04
EFX F 1.68 0.04
ASB B 0.64 0.04
LW C 0.60 0.04
JCI B 1.78 0.04
EBAY D 1.88 0.04
AVY D 0.15 0.04
GNTX F 0.46 0.04
YETI D 2.50 0.04
ARCB C 2.13 0.04
FOX A 1.22 0.04
BHF B 1.10 0.04
CBOE C 0.39 0.04
SHOO D 2.02 0.04
EHC B 0.20 0.04
VEEV C 2.15 0.04
JHG B 1.78 0.04
DOX D 1.52 0.04
GHC B 0.81 0.04
WDAY C 3.29 0.04
BMRN F 0.98 0.04
CNO B 1.80 0.04
OTIS D 0.28 0.04
NMIH C 0.63 0.04
CHH A 1.70 0.04
VSCO A -1.39 0.04
ABNB C -0.95 0.04
AEO F -0.32 0.04
PFSI D 1.18 0.04
MWA B 1.05 0.04
ONTO F 2.39 0.04
CBZ B 2.16 0.04
PB B 1.70 0.04
CFR B 2.06 0.04
KNX B 0.92 0.04
VMC B 0.36 0.04
FBP B 1.88 0.04
TEX D 1.78 0.04
MC B 2.06 0.04
GIS D 0.36 0.04
ONB B 1.46 0.04
HWKN B 1.69 0.04
DASH B 0.60 0.04
PNFP B 1.57 0.04
HPQ B 3.08 0.04
MRNA F 2.14 0.04
AAON B 3.32 0.04
WD D 1.52 0.04
IVZ B 2.01 0.04
FNB B 2.53 0.04
KDP D 0.09 0.04
PATK C 1.48 0.04
IBP D 2.62 0.04
SKY A 3.65 0.04
ALGN D 1.93 0.04
CTLT D 1.27 0.04
NOC D 0.79 0.04
AGCO F 6.85 0.04
CVNA B 1.63 0.04
WWD B 0.67 0.04
AZO C 0.65 0.04
GFF A 2.92 0.04
AGO A 0.79 0.04
NWSA A 0.77 0.04
ALB B -0.81 0.04
PVH D 1.75 0.04
CVS D 0.18 0.04
ALSN B 2.74 0.04
WHR B 1.25 0.04
KLIC C 2.59 0.03
ROK B -0.95 0.03
UCB A 2.34 0.03
PII F 1.87 0.03
FFIN B 2.46 0.03
BOH B 2.36 0.03
CHRW B -0.14 0.03
PARA D 2.93 0.03
SANM B 2.86 0.03
MLKN F 1.36 0.03
MHK D 2.04 0.03
MAS D 0.86 0.03
URBN D 0.60 0.03
GBCI B 3.08 0.03
LHX B 0.99 0.03
BOKF B 2.17 0.03
GME C -0.35 0.03
ASH F 1.33 0.03

Recent News for Avantis Responsible U.S. Equity ETF & its Holdings

Date Stock Title
Nov 21 AMD Advanced Micro Devices, Inc. (AMD) PCs Excluded from Upcoming Microsoft Windows AI Copilot Features, Limited to Snapdragon Devices
Nov 21 ESTC MongoDB, Other Data Software Stocks Rally On Strong Snowflake Results
Nov 21 BK BNY to be financial agent for the Treasury Department's prepaid debit card program
Nov 21 WSM Morgan Stanley lifts Williams-Sonoma PT on steady top-line, margin gains
Nov 21 PII Polaris Donates Nearly $85,000 To Off-Road and Snow Organizations Through Its Fall 2024 TRAILS GRANTS
Nov 21 TECH Reddit Suffers Second Disruption In Two Days
Nov 21 TGT Walmart wins, Target misses in mixed retail earnings report
Nov 21 MAS Calculating The Intrinsic Value Of Masco Corporation (NYSE:MAS)
Nov 21 ADTN Adtran launches scalable AI private cloud solutions for US federal agencies
Nov 21 APH Nvidia's results seen as positive for Arista Networks, Amphenol, others: Evercore
Nov 21 YUM Starbucks Eyes Stake Sale in China Amid Fierce Competition and Falling Sales
Nov 21 MCD Starbucks Eyes Stake Sale in China Amid Fierce Competition and Falling Sales
Nov 21 SBUX Starbucks Eyes Stake Sale in China Amid Fierce Competition and Falling Sales
Nov 21 CARG CarGurus: Solid Monetization Strategy, But Upside Is Limited
Nov 21 T SurgePays Teams Up With AT&T For Affordable Wireless Solutions Nationwide; Stock Gains
Nov 21 T SurgePays Teams Up With AT&T For Affordable Wireless Solutions Nationwide; Stock Gains
Nov 21 YUM Build-A-Bear and KFC® Unveil a Deliciously Playful Limited-Edition Collection
Nov 21 RIVN Rivian Automotive Expands Collaboration With XPEL: Details
Nov 21 TGT Target Posts Q3 Earnings Miss: Analysts Slash Forecasts On Market Share Loss, Margin Concerns
Nov 21 CMA Comerica Bank Statement on Direct Express Program Transition
Avantis Responsible U.S. Equity ETF is an exchange traded fund launched and managed by American Century Investment Management Inc. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in value stocks of small-cap companies. It invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. It seeks to benchmark the performance of its portfolio against the Russell 3000 Index. The fund employs proprietary research to create its portfolio. Avantis Responsible U.S. Equity ETF is domiciled in the United States.
Exchange Traded Funds SPDR Betashares Russell 3000 Index
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