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Holdings (Monthly) Guide ↗

American Century Mid Cap Growth Impact ETF

· American Century ETF Trust
Monthly Holdings $92M AUM 44 positions Period Feb 2026 Filed Apr 29, 2026 EDGAR ↗ ← All Funds
# Name Ticker Since Shares Value % Port Cat
1 Monolithic Power Systems Inc MPWR Feb 2026 5,011 $5.7M 6.20% EC
2 Johnson Controls International plc JCI Feb 2026 38,496 $5.6M 6.01% EC
3 Cloudflare Inc NET Feb 2026 28,674 $4.9M 5.34% EC
4 Vistra Corp VST Feb 2026 24,645 $4.3M 4.64% EC
5 Targa Resources Corp TRGP Feb 2026 16,879 $4.0M 4.31% EC
6 Cadence Design Systems Inc CDNS Feb 2026 12,272 $3.7M 4.00% EC
7 WESCO International Inc WCC Feb 2026 12,365 $3.6M 3.87% EC
8 Tractor Supply Co TSCO Feb 2026 67,722 $3.5M 3.80% EC
9 TopBuild Corp BLD Feb 2026 7,651 $3.4M 3.71% EC
10 On Holding AG ONON Feb 2026 67,506 $3.1M 3.40% EC
11 MSCI Inc MSCI Feb 2026 5,299 $3.0M 3.28% EC
12 Vertiv Holdings Co VRT Feb 2026 11,469 $2.9M 3.16% EC
13 Hubbell Inc HUBB Feb 2026 5,384 $2.8M 2.98% EC
14 Capstone Copper Corp CS Feb 2026 252,154 $2.6M 2.82% EC
15 Republic Services Inc RSG Feb 2026 11,379 $2.6M 2.82% EC
16 Dexcom Inc DXCM Feb 2026 32,849 $2.4M 2.61% EC
17 State Street Institutional US Government Money Market Fund GVMXX Feb 2026 2,318,499 $2.3M 2.51% STIV
18 Carvana Co CVNA Feb 2026 6,573 $2.2M 2.38% EC
19 Zscaler Inc ZS Feb 2026 14,805 $2.2M 2.36% EC
20 Insulet Corp PODD Feb 2026 8,808 $2.2M 2.35% EC
21 Cameco Corp CCJ Feb 2026 17,653 $2.1M 2.26% EC
22 Equifax Inc EFX Feb 2026 9,431 $2.0M 2.13% EC
23 West Pharmaceutical Services Inc WST Feb 2026 7,736 $2.0M 2.13% EC
24 Chipotle Mexican Grill Inc CMG Feb 2026 46,922 $1.7M 1.89% EC
25 TPG Inc TPG Feb 2026 36,355 $1.6M 1.71% EC
26 GE HealthCare Technologies Inc GEHC Feb 2026 18,166 $1.5M 1.66% EC
27 Natera Inc NTRA Feb 2026 7,354 $1.5M 1.66% EC
28 Sprouts Farmers Market Inc SFM Feb 2026 17,240 $1.3M 1.38% EC
29 Axon Enterprise Inc AXON Feb 2026 2,258 $1.2M 1.33% EC
30 Bio-Techne Corp TECH Feb 2026 20,700 $1.2M 1.32% EC
31 Alnylam Pharmaceuticals Inc ALNY Feb 2026 3,142 $1.0M 1.13% EC
32 Insmed Inc INSM Feb 2026 6,961 $1.0M 1.13% EC
33 ICON PLC ICLR Feb 2026 9,428 $1.0M 1.10% EC
34 IQVIA Holdings Inc IQV Feb 2026 4,808 $860K 0.93% EC
35 Bright Horizons Family Solutions Inc BFAM Feb 2026 11,334 $845K 0.91% EC
36 NU Holdings Ltd/Cayman Islands NU Feb 2026 53,012 $794K 0.86% EC
37 Toast Inc TOST Feb 2026 28,490 $778K 0.84% EC
38 Viking Therapeutics Inc VKTX Feb 2026 21,926 $742K 0.80% EC
39 Affirm Holdings Inc AFRM Feb 2026 13,082 $615K 0.67% EC
40 IDEXX Laboratories Inc IDXX Feb 2026 882 $579K 0.63% EC
41 Structure Therapeutics Inc GPCR Feb 2026 8,335 $525K 0.57% EC
42 Argenx SE ARGX Feb 2026 296 $227K 0.25% EC
43 Duolingo Inc DUOL Feb 2026 1,163 $117K 0.13% EC
44 State Street Navigator Securities Lending Trust - State Street Navigator Securities Lending Government Money Market Portfolio N/A Feb 2026 1,924 $2K 0.00% STIV