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
MSFT C 2.22 5.36
AAPL C 5.98 4.51
AMZN A 0.81 2.31
META D 2.33 2.21
NVDA C 3.46 2.20
GOOGL A 0.37 1.76
GOOG A 0.31 1.55
JPM B -0.60 1.24
MRK B -0.58 1.03
V D 0.33 0.96
AVGO D 3.19 0.80
COST C 1.56 0.78
AMAT C 3.12 0.74
MU B 2.11 0.67
AMD D 3.04 0.67
MA D 0.56 0.67
WMT C 0.18 0.67
JNJ F -0.43 0.65
UNP C 1.12 0.62
LRCX D 2.81 0.62
VRTX D 0.23 0.60
TSLA D 0.66 0.59
ABBV D 1.85 0.52
TJX C 0.21 0.52
QCOM A -0.26 0.52
GS A 1.30 0.52
KLAC B 2.13 0.51
BAC B 1.00 0.51
VZ D -0.10 0.49
C A 0.84 0.44
DE B 1.26 0.44
TGT D -0.05 0.44
TXN A 1.77 0.44
CMCSA F 0.86 0.42
PG A 0.38 0.41
T C 0.18 0.40
AMP B 0.95 0.39
HD D 2.18 0.39
FDX C -0.53 0.39
PEP B 0.40 0.39
TMUS A -0.19 0.39
BMY F 0.66 0.38
UPS F -0.54 0.38
CMG A 0.43 0.38
GILD F -0.84 0.38
CSX D 0.83 0.37
UNH C -0.11 0.37
MS A 1.07 0.36
PGR B -0.15 0.36
ELV B 0.26 0.35
COF B 0.42 0.34
GM B 0.43 0.34
ACN F 1.12 0.34
NKE F -0.28 0.34
PCAR D -1.57 0.33
KO A 0.29 0.33
TRV C -0.24 0.33
INTC F 1.28 0.32
ADP D -0.06 0.32
GWW D 0.87 0.31
MELI C 8.27 0.30
AMGN A 11.82 0.30
CB C -0.68 0.29
PANW B 0.30 0.29
DFS B 0.43 0.29
AFL B -0.99 0.28
ABT D -0.02 0.28
ROST D 2.47 0.28
REGN B 2.07 0.28
NSC D 0.75 0.28
URI D 0.31 0.28
SMCI D 2.65 0.28
AIG A 0.49 0.27
PHM A 2.45 0.27
SCHW A 0.94 0.27
F C -0.48 0.27
LULU F 1.24 0.26
NFLX D 2.51 0.26
TSCO A 1.32 0.26
NUE D 1.99 0.26
HIG D 0.42 0.26
BKNG C 3.01 0.26
ACGL A -0.80 0.25
AXP B -0.74 0.25
LEN C 1.86 0.24
CMI C 0.16 0.24
CL A -0.03 0.24
MOH F 0.04 0.23
ODFL F 0.91 0.22
FAST D 0.50 0.22
SYF A 1.33 0.22
PFE D 0.40 0.22
MCD F -1.08 0.20
DHI D 2.08 0.20
KKR D -2.18 0.20
PNC A 0.35 0.20
ALL B -0.59 0.20
STLD D 3.58 0.20
ULTA F 0.02 0.20
MET D 0.40 0.20
IBM D 0.62 0.19
USB C 1.07 0.19
CNC C 0.65 0.19
JBL F 1.70 0.19
ANET D 4.79 0.19
VRT A 0.91 0.19
SPGI C 1.97 0.19
KR C -0.56 0.19
CME D 0.08 0.18
APO D -2.33 0.18
GLW B 0.45 0.18
MTB A 0.21 0.18
BK A 0.71 0.18
EQH A 0.76 0.18
CSCO F 0.71 0.18
KMB A -0.30 0.18
ADBE D 2.02 0.18
TFC A 1.30 0.17
ZTS D -0.10 0.17
BLDR C 3.75 0.17
BLK D 0.91 0.17
RJF A 0.36 0.17
ON F 0.51 0.17
BX D -0.84 0.17
WSM A 4.26 0.17
EXPD D 0.92 0.17
PRU C 0.87 0.17
PKG C 0.53 0.17
PAYX D 1.39 0.17
CSL A 0.86 0.17
DLTR D 0.79 0.16
DIS C 0.92 0.16
CDNS D 1.88 0.16
DECK D 1.17 0.16
FITB A 1.82 0.16
PFG C 0.91 0.16
NOW D 3.01 0.16
BSX A 1.14 0.16
ITW F 0.78 0.16
ORCL D 0.73 0.15
CTAS A 1.77 0.15
VTRS D 1.55 0.15
IDXX F 1.00 0.15
WMS C 1.82 0.15
CPRT C 1.47 0.15
SHW D 2.25 0.15
TER A 2.60 0.15
TMO C 0.20 0.15
OC A 0.96 0.15
CRM D 0.56 0.14
DHR C 0.62 0.14
NVR D 1.44 0.14
ALLY A 1.47 0.14
MDLZ D -0.87 0.14
FLEX D 1.75 0.14
RF B 0.81 0.14
INTU C 2.48 0.14
COIN D -2.45 0.14
TTWO D 1.96 0.14
FTNT F -9.69 0.14
RGA A 5.48 0.13
JBHT F 0.60 0.13
LECO D 0.17 0.13
MRNA B -0.47 0.13
ALV A -0.34 0.13
EIX A 0.51 0.13
FIX C 2.38 0.13
TXRH A 3.62 0.13
LOW D 1.11 0.13
ATKR B 0.56 0.13
ISRG C 0.98 0.13
BG C -0.21 0.13
GPC B 0.70 0.13
MDT C 0.95 0.13
DRI F 0.94 0.13
NEM B -0.95 0.13
ADI A 1.60 0.13
RS D -0.32 0.13
BBY D 2.80 0.13
EW D 0.22 0.12
KEY C 0.40 0.12
CTSH F -0.03 0.12
SAIA F -1.45 0.12
MCK C -0.27 0.12
UBER D 0.96 0.12
BURL D 0.74 0.12
MMC D -0.05 0.12
EG D -0.65 0.12
NXPI A 1.41 0.12
TPR D 1.16 0.12
SFM A 2.33 0.12
TOL C 1.97 0.12
IT D 2.29 0.12
LLY D -2.77 0.12
ETN A 1.96 0.12
TEL C 1.42 0.12
KVUE D 0.42 0.12
PRI D -0.62 0.11
WRB D -0.57 0.11
CI C -0.87 0.11
ORLY D 0.67 0.11
CG D 1.18 0.11
ANF C 3.09 0.11
KMX F 0.98 0.11
SYK D 0.56 0.11
BIIB D 1.87 0.11
CFG A 1.14 0.11
STT C 1.63 0.11
HON C 1.12 0.10
SKX A 1.56 0.10
GDDY A -0.55 0.10
DELL B 1.39 0.10
EWBC A 1.87 0.10
NTRS C 1.34 0.10
AON F -0.04 0.10
KEYS D 1.49 0.10
BCC D 1.17 0.10
VRSK C 1.53 0.10
LPLA A 0.49 0.10
DG D 0.25 0.10
DKS B 1.78 0.10
EXC C -1.27 0.10
MCO C 1.11 0.10
HUM F -0.14 0.10
SNA D 1.56 0.10
AFG D -0.21 0.09
HBAN A 0.95 0.09
ORI A -0.07 0.09
STZ D 0.79 0.09
CINF D 0.67 0.09
DD A -0.10 0.09
CLX F -1.03 0.09
GPK C 0.86 0.09
CAH F -3.95 0.09
LAD F 0.91 0.09
R A -0.04 0.09
SF A 1.16 0.09
AOS D 0.91 0.09
TROW D 0.31 0.09
RHI F 0.83 0.09
MNST D 3.02 0.09
NTAP C 2.47 0.09
MLI B -0.12 0.09
FCNCA B -0.20 0.09
BPOP A 0.91 0.09
AN B 1.17 0.09
HSY C 1.04 0.09
WRK A 0.10 0.09
SNPS D 2.59 0.09
CDW F 0.53 0.09
TMHC C 1.69 0.09
IR D -6.60 0.09
CBRE D -0.21 0.09
MOD B -0.04 0.09
TREX D 2.15 0.08
AJG C 0.08 0.08
OMF A 0.77 0.08
TAP F 0.09 0.08
LII D 0.65 0.08
FHN A 0.83 0.08
SEIC C 1.05 0.08
FND D 0.25 0.08
MTH A 2.26 0.08
LSTR D 1.77 0.08
SIG C -3.13 0.08
DCI B 0.85 0.08
M C 2.09 0.08
GGG D 1.50 0.08
UTHR A 1.65 0.08
APH A 1.36 0.08
JEF B 2.16 0.08
OSK D 0.92 0.08
WIRE A 0.79 0.08
SYY D 1.49 0.08
GPS D 3.85 0.08
PYPL B -1.91 0.08
CARR A 1.89 0.08
VOYA C 0.93 0.08
WST F -0.93 0.08
JKHY D 1.03 0.08
RL D 1.04 0.08
CHD B 0.22 0.08
TT A 0.79 0.08
ADSK D 2.50 0.08
LPX D 0.61 0.08
CRWD D 2.20 0.08
LH F 0.53 0.08
SLM A 2.47 0.08
AKAM F -0.07 0.08
UNM A -0.14 0.08
ZION A 2.11 0.07
ZBH D 2.70 0.07
AL A 1.24 0.07
IQV D 0.55 0.07
FNF A 1.00 0.07
CMA B 2.31 0.07
HCA D -0.35 0.07
CPRI F 1.65 0.07
SBUX F -2.43 0.07
AME D 1.97 0.07
FDS D 1.16 0.07
MRVL D 2.76 0.07
MTG C 0.63 0.07
ALGN F 0.46 0.07
FOXA B 1.42 0.07
EA D 0.82 0.07
EVR B 1.77 0.07
AXS B 0.32 0.07
AWI D 0.38 0.07
WDC B 1.76 0.07
RNR D -0.11 0.07
BC F 0.22 0.07
HLI A 1.03 0.07
WAT D 1.80 0.07
UFPI C 1.00 0.07
FYBR C 6.75 0.07
MKL A 0.29 0.07
CMC C -0.99 0.07
RPM D 0.82 0.07
SIGI F 0.67 0.06
BAH B 0.37 0.06
SCI D -2.89 0.06
GATX C 1.30 0.06
SJM F 0.23 0.06
OZK B 1.08 0.06
IBP C -0.40 0.06
MSI A 5.19 0.06
JAZZ D 0.66 0.06
THO F 1.26 0.06
FICO D 2.37 0.06
AIZ C 0.84 0.06
ITT D 3.07 0.06
WTM A -1.23 0.06
ICE D 3.13 0.06
LOPE C 1.56 0.06
HOG D 0.06 0.06
FIVE F 0.93 0.06
HRI D -1.12 0.06
ALB D 2.23 0.06
POOL F 1.26 0.06
AEO C -0.69 0.06
RDN C 0.16 0.06
DAR F 0.42 0.06
CLH A 0.88 0.06
WTFC A 0.67 0.06
MATX B 3.90 0.06
ERIE C 1.32 0.06
BWA B 2.27 0.06
A C 1.40 0.06
KNSL F 2.48 0.06
SNV C 1.52 0.06
HPE D 2.00 0.06
CEG A 4.66 0.06
AGCO F 1.07 0.06
PH C 1.04 0.06
CVS F 1.36 0.06
SSD D 1.59 0.06
SON D 2.14 0.06
JLL C 0.83 0.06
GL F -2.18 0.06
ESNT D 0.48 0.06
WAB A 0.20 0.06
XYL A 0.90 0.06
BDX F -2.36 0.06
GRMN A 0.39 0.06
ENSG D 0.29 0.06
HUBB D 1.86 0.06
XPO D 3.34 0.05
NBIX A 0.63 0.05
WSC F -0.66 0.05
MANH F 0.92 0.05
CSGP C 1.64 0.05
CBSH A 0.07 0.05
SKY D 2.10 0.05
CTLT C 0.28 0.05
DOOR A 0.00 0.05
KSS F -1.91 0.05
KNF B 0.01 0.05
AVY A 0.93 0.05
WTW D -0.20 0.05
IDCC C 0.76 0.05
SWKS F 3.11 0.05
ATR A 0.61 0.05
WSO A 1.86 0.05
RGLD B 0.61 0.05
BALL A 0.88 0.05
HUN D 0.86 0.05
GNTX D 0.00 0.05
DXCM D 1.36 0.05
GMS C 0.63 0.05
KDP A 0.80 0.05
ARCB F 1.93 0.05
FSLR B 6.12 0.05
WAL C 2.22 0.05
STX D 1.40 0.05
Z F 2.13 0.05
NOC B -1.24 0.05
AAP D 1.86 0.05
WBS D 1.17 0.05
MHO D 2.62 0.05
AYI C 1.57 0.05
GIS B -1.05 0.05
APTV D 3.90 0.05
OMC B 0.13 0.05
PAG D 0.62 0.05
TEX D 1.55 0.05
AZO D -0.33 0.05
DXC F 1.38 0.05
ABG F 2.54 0.05
EL F -1.48 0.05
LEA F 0.43 0.05
ONTO A 2.60 0.05
KD D 3.27 0.05
BR C 1.79 0.05
TPH A 2.28 0.05
ENTG D 4.11 0.05
KBH B 4.04 0.05
PIPR A 1.47 0.05
BMRN F -1.62 0.05
STRL D 0.50 0.05
FAF F 0.54 0.05
ABNB D 0.87 0.05
PVH D 2.41 0.05
YUM C -0.54 0.05
PB B 0.88 0.04
CFR C -0.49 0.04
EBAY C 0.53 0.04
ONB A 0.94 0.04
RMD B -0.54 0.04
TPX D -0.08 0.04
HPQ D 0.86 0.04
RRX D 1.56 0.04
DASH D -0.44 0.04
NMIH A 0.12 0.04
EFX D 1.14 0.04
FELE D 0.18 0.04
VSH C 0.80 0.04
IRDM C -2.13 0.04
UHAL C 2.28 0.04
GHC B 0.95 0.04
NSP D -0.28 0.04
TTD B 0.53 0.04
PII F 0.16 0.04
FBP A 0.61 0.04
QLYS D -0.38 0.04
IFF B -0.20 0.04
VEEV D 1.00 0.04
FN D 2.89 0.04
COLB C 2.13 0.04
TKR B 0.36 0.04
HOLX B 0.83 0.04
PFSI A 3.32 0.04
ASH A 0.06 0.04
WCC C 1.59 0.04
AVT A 1.58 0.04
CBOE D 3.19 0.04
SHOO D -1.30 0.04
IVZ D 2.13 0.04
YETI F 0.64 0.04
CHH D 0.57 0.04
PATK D 0.72 0.04
EXEL D -0.99 0.04
AIT C 0.73 0.04
FNB A 1.10 0.04
GNRC B 3.67 0.04
MTD D 0.17 0.04
INCY D 1.26 0.04
BEN F 1.78 0.04
OTIS D 0.38 0.04
GT D -0.81 0.04
BHF C 1.01 0.04
CROX D -1.91 0.04
WDAY D 1.97 0.04
WD C 1.06 0.04
CIEN D 0.55 0.04
KNX F 0.00 0.04
NWSA D 1.96 0.04
MKSI D 3.42 0.04
CBZ D 0.76 0.04
IPG F 0.62 0.04
MEDP D 0.38 0.04
PPG D 0.51 0.04
ARW B 1.78 0.04
WWD A 0.50 0.04
THG A 2.27 0.04
WHR F 1.11 0.04
DOX F 0.31 0.04
AGO D 0.56 0.04
TTC D 0.65 0.04
LW D 0.71 0.04
ENPH F 7.67 0.04
SNOW D 0.98 0.04
ARES C -2.03 0.04
GFF C 0.61 0.04
HALO D 0.23 0.04
CRUS C 2.99 0.03
PLAB C 2.27 0.03
MHK D 0.65 0.03
DAN C -0.08 0.03
JELD B 2.09 0.03

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

Date Stock Title
May 3 DIS A Week Of Fast-Moving Stocks Ahead: Disney, Toyota, Ferrari, Constellation
May 3 NOC Buy Northrop Grumman instead of Boeing: Portfolio manager
May 3 LGIH LGI Homes, Inc. Reports April 2024 Home Closings
May 3 MSFT How AI is impacting Q1 earnings
May 3 MCD Why value needs to be the main focus for fast food restaurants
May 3 DIS Disney earnings, Fedspeak: What to Watch Next Week
May 3 DDOG Dow Jones Futures: Stock Market Makes Bullish Move, Nvidia In Buy Area; Palantir, These AI Plays On Tap
May 3 AAPL Is Apple Stock Going to $230? 1 Wall Street Analyst Firm Thinks So.
May 3 SCHW 10 Most Tax-Friendly States for Retirees: Some with No Property Tax
May 3 AAPL Apple Rally Helps Boost Equity Markets as Traders Parse Jobs Report
May 3 AAPL Warren Buffett's Greatest Investment Is Now One of His Riskiest
May 3 AAPL Summary Notice of Pendency and Proposed Settlement of Shareholder Derivative Actions
May 3 WHR Whirlpool making additional layoffs as part of global workforce reduction
May 3 JPM JPMorgan Chase Investor Day 2024
May 3 ALB Albemarle Corporation (NYSE:ALB) Q1 2024 Earnings Call Transcript
May 3 CCRN Cross Country Healthcare to Attend Benchmark’s Healthcare House Call Investor Conference
May 3 GDDY GoDaddy demonstrates some giddy up in latest earnings report
May 3 AAPL Stocks jump after April jobs data, Apple buyback announcement
May 3 AAPL Apple: Growth Issues Masked By Buybacks And Dividends
May 3 NOVA Sunnova Energy International Inc. (NYSE:NOVA) Q1 2024 Earnings Call Transcript
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
Back to the Main AVSU Page...