ETF Components for LVOL - American Century Low Volatility 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 A 1.47 8.47
AAPL A 2.16 6.60
V C 0.51 2.95
PG C 0.84 2.69
KO A 0.68 2.66
GOOGL A 2.57 2.54
BRK.A C 1.17 2.43
APH B 0.32 2.33
LIN C 0.64 2.31
JNJ F 0.54 2.25
MA C 0.29 2.18
HD C 0.28 2.06
CSCO D -0.09 1.98
MCD F 0.44 1.94
MMC B 0.48 1.93
ACN D -2.16 1.89
MRK C 0.48 1.87
CB C -0.62 1.83
TEL B 0.44 1.80
PEP D 1.10 1.69
CMI D -2.00 1.62
MDT D 0.57 1.59
GD D -0.63 1.52
COST A 2.67 1.48
ABT D 1.65 1.39
CTSH C -0.44 1.35
SPGI B 0.85 1.34
CTAS A 1.29 1.26
AMZN A 1.22 1.24
HON B -0.10 1.22
INTU A 1.34 1.20
DOX D 0.44 1.06
RSG A 0.70 1.01
CL B 1.21 0.98
WM B 0.06 0.95
AVGO B -1.50 0.86
GOOG A 2.44 0.85
ADSK B 0.64 0.80
MCO A 1.47 0.80
KEYS D 1.49 0.78
ITW D -1.21 0.76
DOV D -0.16 0.75
SNPS B 2.36 0.71
NDSN D -0.43 0.69
PAYX D 0.09 0.67
BSX B 0.38 0.66
ECL B 0.99 0.62
AJG A 0.78 0.62
ROP B 0.38 0.61
WMT A 2.64 0.61
HIG C -0.91 0.61
MSI B 0.28 0.60
KMB B 0.56 0.58
AMP B -0.43 0.58
SYK B 1.58 0.57
ORLY C 0.62 0.56
IBM B 0.17 0.53
LLY A 1.83 0.53
SHW D -0.51 0.52
TRV D -0.89 0.52
OTIS B 0.38 0.47
VRSK A 0.43 0.47
YUM D -0.35 0.46
FAST D 0.75 0.45
PTC B 1.35 0.44
NXPI B 0.46 0.38
CDW D -0.83 0.36
IEX D -0.23 0.36
PPG D 0.29 0.36
EA B -0.30 0.34
ABBV C 2.08 0.33
NTAP A -0.50 0.32
GRMN C 0.48 0.30
DLB D -0.21 0.28
BR B 1.31 0.28
CMCSA F -0.50 0.28
BLK B 0.19 0.25
BRO B 0.53 0.25
AVY D -0.36 0.22
SNA F -0.60 0.22
HOLX C 0.84 0.21
MDLZ D 0.96 0.20
PKG C -1.12 0.20
CRM C 0.86 0.19
VRSN C 0.77 0.19
ZBH D 1.34 0.18
FDS C 1.60 0.16
GWW C -0.32 0.15
JKHY C -0.36 0.15
WRB C -0.67 0.14
FFIV C 0.67 0.12
PGR B -0.04 0.09
LSTR D -2.10 0.09
AON C 0.37 0.09
CW C -0.37 0.09
CHE D -0.37 0.08
GGG D -0.37 0.08
DCI D -1.46 0.08
ITT D -0.67 0.08
VLTO D 0.28 0.03

Recent News for American Century Low Volatility ETF & its Holdings

Date Stock Title
Jul 6 PEP Earnings Season Launches With Delta, PepsiCo, JPMorgan, And Citi Leading Off
Jul 6 MSFT Nintendo's President Says AI Can Be 'Creative,' But Raises Intellectual Property Concerns
Jul 6 COST 4 Reasons Costco Will Never Raise Membership Prices by More Than $20 a Year
Jul 6 COST This One Item Helps Costco Earn Billions of Dollars per Year -- It's Not Rotisserie Chicken
Jul 6 AMZN Amazon Is Now the Best-Performing Stock in the Dow Jones Industrial Average In 2024. Is It a Buy Around Its All-Time High?
Jul 6 AAPL Apple and Tesla Are the Only "Magnificent Seven" Stocks Trailing the S&P 500 So Far This Year. Are They Worth Buying Now?
Jul 6 HD Lumber Prices Are Crashing! What Does That Mean for Home Depot Stock Investors?
Jul 6 AAPL Apple Approves Epic Games' Marketplace App In Europe Amid Ongoing Feud
Jul 6 AVGO Nvidia Gets Rare Downgrade Over Concerns That Demand Is Normalizing 'In Line With Expectations:' Stock 'Getting Fully Valued'
Jul 5 ACN The Most Ethnically Diverse State in the US
Jul 5 AMZN Amazon Prime Day: 10 Items for Less Than $25
Jul 5 PAYX Should Investors Buy Stock in These Payroll Processers After Friday's Jobs Report?
Jul 5 AAPL The 2 Most Important Questions in Investing
Jul 5 AMZN TD Cowen: Saks-Neiman Deal Likely a Boon to Both Retailers Amid Brand Moves to DTC
Jul 5 PEP Biden on ABC, bank earnings, inflation data: What to Watch
Jul 5 PGR Biden on ABC, bank earnings, inflation data: What to Watch
Jul 5 AVGO Why Did Taiwan Semiconductor Stock Rise 15% Last Month?
Jul 5 MSFT Why Did Taiwan Semiconductor Stock Rise 15% Last Month?
Jul 5 WMT Biden Should Step Aside, Say Business Leaders Including Walmart Heir
Jul 5 MA Spotlight on Mastercard: Analyzing the Surge in Options Activity
The investment seeks capital appreciation. The fund generally invests in common stocks of U.S. companies that have a market capitalization greater than $2 billion. It seeks to deliver a lower realized portfolio volatility than its benchmark, the S&P 500® Index, by utilizing a stock selection process that expands on traditional measures of price volatility by including measures of asymmetric volatility and seeking securities of businesses that demonstrate consistent cash-flows, stable operations, and strong balance sheets. The fund is an actively managed ETF that does not seek to replicate the performance of a specified index.
Exchange Traded Fund Investment Management Inverse Exchange Traded Fund Technical Analysis Volatility
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