ETF Components for ESGA - American Century Sustainable 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
MSFT D -0.38 7.98
AAPL C -0.21 7.02
NVDA A -1.25 6.60
GOOGL B -6.65 3.94
AMZN B -3.34 3.32
META C -1.58 2.50
UNH B -0.19 1.97
NEE C 0.44 1.74
HD C 1.48 1.66
JPM B 1.10 1.60
V A 0.94 1.49
PLD D 0.14 1.43
ABBV F 1.72 1.29
AMD F -0.73 1.28
DHR D -0.71 1.26
MS B 2.51 1.26
LLY F -1.20 1.21
SPGI D 1.54 1.16
PEP F 0.22 1.12
LIN D 0.24 1.10
AVGO D 0.67 1.08
COP B 0.64 1.08
JCI B 1.74 1.04
ADI D 0.65 1.01
EOG A 0.37 1.01
TJX A -0.28 1.01
A F 1.82 0.97
TSLA B -0.69 0.96
ETN B 3.23 0.94
VZ C 0.68 0.93
SLB C 1.45 0.93
BAC A 1.74 0.90
CI D 0.74 0.89
TMO D -0.65 0.86
ZTS D 0.47 0.86
MA B 0.87 0.84
UNP D 1.30 0.83
RF A 2.11 0.83
PG C 1.01 0.83
MRK F 1.26 0.82
AMAT F 2.91 0.81
CDNS B 0.38 0.81
COST A 2.16 0.80
IBM C 2.67 0.80
CMI A 2.19 0.80
TGT F 0.28 0.80
SYY D 1.15 0.79
BLK B 1.12 0.78
ACN B 1.59 0.77
PH B 2.05 0.76
PGR B 1.71 0.75
MSI A 0.62 0.74
MDLZ F 0.36 0.73
EQIX A 1.00 0.71
ECL D 0.41 0.70
AXP B 1.39 0.68
ISRG A 1.20 0.67
HON B -0.72 0.66
AMP A 1.60 0.62
MMC D 0.87 0.61
UBER F 0.68 0.60
XYL D 2.73 0.59
TSCO D 1.31 0.59
ASML F 0.48 0.55
MET A 2.54 0.54
WDAY C 2.66 0.54
CDW F 1.29 0.54
BALL D 0.56 0.50
CRM B 4.25 0.49
PRU B 1.76 0.48
ICE D 1.50 0.47
UPS C -0.31 0.46
NVO D -3.08 0.46
CSCO B 0.49 0.45
APTV F 0.48 0.45
AMGN D -0.04 0.44
LKQ F 1.37 0.42
DE C 7.39 0.42
CMG C 1.56 0.41
VRTX D -0.83 0.40
FDX B 1.34 0.39
LMT D 1.39 0.37
DIS B 1.08 0.36
CRWD B 2.78 0.34
URI B 1.58 0.31
SQ A 3.11 0.30
KMX C 4.54 0.29
IDXX F -1.48 0.29
CL D 0.43 0.29
DECK A 1.96 0.29
NOW B 2.07 0.29
YETI D 1.58 0.27
ADBE D 0.89 0.24
DXCM C -0.17 0.23
BMY B 0.15 0.22
ABNB C -1.40 0.18
DT D 1.94 0.15
SAIA C 4.56 0.15

Recent News for American Century Sustainable Equity ETF & its Holdings

The investment seeks long-term capital growth. The fund will generally invest in large capitalization companies the advisor believes show sustainable business improvement using a proprietary multi-factor model that combines fundamental measures of a stock's value and growth potential with environmental, social, and governance (ESG) metrics. Under normal market conditions, it will invest at least 80% of its assets in sustainable equity securities. The fund is not permitted to invest in securities issued by companies assigned the Global Industry Classification Standard (GICS) or the Bloomberg Industry Classification Standard (BICS) for the tobacco industry.
Global Industry Classification Standard Industry Classification Sustainability Accounting Standards Board
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