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 C -2.45 8.78
NVDA D 3.71 5.34
AAPL F 0.51 4.10
GOOGL A -1.97 3.99
AMZN B -1.65 3.35
META D -10.56 2.38
V C 0.05 1.74
HD D -0.31 1.71
JPM B 0.15 1.70
UNH C 1.35 1.66
PLD F 0.16 1.61
AMD D 1.33 1.52
COP A 0.64 1.41
ABBV C -0.30 1.31
NEE A 0.51 1.28
MS A -1.37 1.24
DHR C -1.84 1.23
CRM D -1.10 1.22
PEP A -0.41 1.20
SLB D 0.67 1.17
LIN C -0.11 1.16
EOG A -0.18 1.15
ETN A -0.53 1.15
MRK A 2.93 1.14
CI A 0.63 1.10
VZ C -0.68 1.09
CSCO D -0.52 1.03
A D -0.81 1.03
CDW C 1.13 1.01
ACN D -1.45 1.01
TGT B -0.54 0.99
SPGI C 0.54 0.99
TJX C 1.20 0.99
IBM D -8.25 0.98
JCI A -0.25 0.95
AMAT C 0.73 0.95
CDNS D -0.21 0.95
MA C -0.08 0.94
ADI B 0.73 0.94
BAC A -1.07 0.92
SYY C -0.28 0.89
UNP C 4.99 0.89
KEYS D 0.57 0.87
TMO C -0.98 0.87
PG A -0.03 0.84
TSLA D 4.97 0.78
CMI A -0.25 0.78
NVO C -0.29 0.76
RF B -0.81 0.75
BLK C -0.68 0.74
PH A 0.55 0.72
COST C -0.12 0.71
HON D -0.91 0.70
ECL C -0.45 0.69
UPS D 0.53 0.68
AMGN D -1.33 0.68
LLY D -1.00 0.67
APTV F -1.78 0.67
PGR A -1.00 0.66
MDLZ B -0.72 0.65
ZTS D 1.64 0.63
AXP A -0.84 0.62
AMP C -0.47 0.62
MMC B 0.26 0.61
LKQ F -0.83 0.61
XYL A -0.05 0.60
EQIX D -2.44 0.60
ISRG C -0.50 0.59
SBUX F -1.03 0.55
UBER D -0.07 0.54
TSCO A 2.76 0.52
MET B -1.13 0.52
PRU C -1.40 0.51
ASML D 1.14 0.50
DIS D -1.01 0.50
DECK D -5.31 0.50
MAS D 0.19 0.50
BALL A 0.40 0.49
DE B -0.14 0.45
ICE C -0.57 0.44
LMT A 1.23 0.44
AVGO C 2.99 0.44
BMY F -8.51 0.43
VRTX C -0.76 0.39
WDAY D -0.66 0.35
FDX B -0.21 0.35
KMX D -1.49 0.35
EA D -0.65 0.32
CMG A 6.33 0.29
NOW D -4.03 0.27
CL A 0.47 0.27
ADBE D -0.77 0.26
ABNB B 0.10 0.26
SQ D -1.67 0.22
CRWD C 0.13 0.19
DXCM A 0.10 0.17
GNRC A 1.22 0.11

Recent News for American Century Sustainable Equity ETF & its Holdings

Date Stock Title
Apr 26 MSFT Dow Jones Futures: Microsoft, Google Jump; New Market Rally Still Must Do This
Apr 26 GOOGL Alphabet CFO Underscores Google's $12B Capex Surge: 'Reflects Our Confidence In The Opportunities Offered By AI'
Apr 26 MSFT Microsoft CEO to Visit Southeast Asia With AI on Agenda
Apr 26 MSFT Satya Nadella Says Azure Search, Also Used By ChatGPT, Is 'One Of The Fastest-Growing Services' For Microsoft
Apr 26 MSFT Asian Tech Stocks Gain, Yen Drops on BOJ Rate Hold: Markets Wrap
Apr 26 MSFT Google surges after buying back billions of dollars of its own stock
Apr 26 TSLA Ex-Tesla SVP Drew Baglino Offloads $181.5M Worth Of EV Maker's Shares After Resignation
Apr 26 BMY Q1 2024 Bristol-Myers Squibb Co Earnings Call
Apr 26 AVGO Dow Jones Futures: Microsoft, Google Jump; New Market Rally Still Must Do This
Apr 26 MSFT Google Parent Alphabet, Microsoft, Intel, Roku, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Apr 26 GOOGL Google Parent Alphabet, Microsoft, Intel, Roku, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Apr 26 GOOGL Gene Munster Applauds Sundar Pichai's $100B Revenue Projection For Google Parent Alphabet: A Sign Of 'Entering A New Growth Phase'
Apr 26 AAPL Microsoft CEO to Visit Southeast Asia With AI on Agenda
Apr 26 AAPL Alphabet CEO 'Very, Very Confident' That It Won't Be 'Costly To Serve' Search Experience With Generative Answers
Apr 26 GOOGL Alphabet CEO 'Very, Very Confident' That It Won't Be 'Costly To Serve' Search Experience With Generative Answers
Apr 26 AMZN Hawaiian Airlines Slowly Adds Freighters for Amazon Business
Apr 26 AMZN Is Amazon Stock Worth Buying Ahead of Q1 Earnings?
Apr 26 BMY Bristol-Myers Q1 Loss Narrower Than Expected, Sales Beat
Apr 26 MSFT Microsoft Corporation (MSFT) Q3 2024 Earnings Call Transcript
Apr 26 NVDA Beijing city to subsidise domestic AI chips, targets self-reliance by 2027
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
Back to the Main ESGA Page...