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AVLV · Avantis U.S. Large Cap Value ETF ETF

American Century ETF Trust

SEC fund profile
$94.67 -0.23% At close · Sep 4
Net assets $12,863,185,899
Holdings269
1 month
+0.94%
Year to date
+25.69%
52-week range
$70.10–$95.32
30-session avg volume
2,151,473

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Exchange-traded product
SEC series
S000072998
Report date
May 31, 2026
Holdings coverage
Tracked U.S. equities

Portfolio concentration

Top 10 holdings

Calculated only when the SEC filing is stored with complete portfolio coverage.

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Micron Technology Inc$587,355,9584.57%
Amazon.com Inc$407,972,7503.17%
Apple Inc$407,570,6443.17%
Meta Platforms Inc$351,872,9032.74%
Caterpillar Inc$324,711,2852.52%
Lam Research Corp$324,207,6022.52%
Costco Wholesale Corp$264,132,7152.05%
JPMorgan Chase & Co$229,415,4281.78%
Merck & Co Inc$225,471,9561.75%
Verizon Communications Inc$210,574,8421.64%
Microsoft Corp$209,423,7331.63%
Union Pacific Corp$196,467,3271.53%
TJX Cos Inc/The$195,010,5341.52%
Morgan Stanley$175,420,1281.36%
Gilead Sciences Inc$165,423,6431.29%
ConocoPhillips$150,414,3911.17%
General Motors Co$143,156,7351.11%
Flex Ltd$136,644,3751.06%
Applied Materials Inc$136,189,5061.06%
CSX Corp$135,660,4231.05%
Ross Stores Inc$135,034,1691.05%
Progressive Corp/The$133,670,5101.04%
American Express Co$129,989,4201.01%
Deere & Co$122,604,7900.95%
United Parcel Service Inc$121,617,7450.95%
KLA Corp$119,430,4330.93%
Netflix Inc$117,302,8930.91%
EOG Resources Inc$115,423,4510.90%
Travelers Cos Inc/The$114,776,1100.89%
Walmart Inc$114,481,4960.89%
Delta Air Lines Inc$113,096,5760.88%
Williams Cos Inc/The$107,339,4340.83%
Target Corp$107,039,5750.83%
Targa Resources Corp$106,823,8260.83%
Devon Energy Corp$105,584,5580.82%
Royal Caribbean Cruises Ltd$101,809,8740.79%
FedEx Corp$101,463,8470.79%
WW Grainger Inc$95,964,6280.75%
Comcast Corp$95,792,3260.74%
Freeport-McMoRan Inc$95,178,5690.74%
Allstate Corp/The$94,742,2520.74%
Norfolk Southern Corp$90,747,2520.71%
ON Semiconductor Corp$89,451,9130.70%
United Airlines Holdings Inc$87,766,2070.68%
T-Mobile US Inc$84,702,4250.66%
Cheniere Energy Inc$84,414,6930.66%
Ameriprise Financial Inc$84,254,7900.66%
Hartford Insurance Group Inc/The$77,302,5410.60%
Kroger Co/The$75,025,5530.58%
MetLife Inc$73,751,7070.57%