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AMERICAN CENTURY COMPANIES INC

Tech Focused

Managed by

Hedge Fund

AUM Tracked

$193.7B

AI Exposure

31.1%

AI vs Non-AI Sector Exposure

AI & Semiconductors30.8%
Other Tech0.0%
$NVDA

5.5%

$AAPL

3.3%

$MSFT

3.1%

$AMZN

2.6%

Portfolio Holdings

AI & Tech holdings for AMERICAN CENTURY COMPANIES INC

TickerCompanySharesValue% of PortfolioAction Last Quarter
$NVDAAINVIDIA Corporation61,043,097$10.6B
5.5%
No change
$AAPLAIApple Inc.25,211,083$6.4B
3.3%
No change
$MSFTAIMicrosoft Corporation16,151,639$6.0B
3.1%
Increased by 7%
$AMZNAIAmazon.com, Inc.24,268,620$5.1B
2.6%
Reduced by 9%
$GOOGLAIAlphabet Inc.17,490,949$5.0B
2.6%
Reduced by 7%
$AVGOAIBroadcom Inc.9,541,206$3.0B
1.5%
No change
$METAAIMeta Platforms, Inc.4,992,476$2.9B
1.5%
No change
$GOOGAIAlphabet Inc.9,380,500$2.7B
1.4%
No change
$TSLAAITesla, Inc.6,762,692$2.5B
1.3%
No change
$TSMAITaiwan Semiconductor6,348,986$2.1B
1.1%
Reduced by 6%
$AMATAIApplied Materials3,543,844$1.2B
0.6%
No change
$ADIAIAnalog Devices3,167,395$1.0B
0.5%
No change
$ISRGAIIntuitive Surgical2,109,524$972.5M
0.5%
No change
$VRTAIVertiv Holdings3,326,325$833.5M
0.4%
No change
$NETAICloudflare Inc.3,627,255$748.4M
0.4%
Increased by 14%
$LRCXAILam Research3,282,745$701.4M
0.4%
Increased by 29%
$PLTRAIPalantir Technologies4,280,120$626.1M
0.3%
Increased by 21%
$MUAIMicron Technology1,639,439$553.9M
0.3%
Increased by 10%
$ORCLAIOracle Corporation3,239,249$476.5M
0.2%
Reduced by 24%
$ASMLAIASML Holding NV360,140$475.7M
0.2%
Increased by 33%
$DDOGAIDatadog Inc.3,804,623$449.1M
0.2%
No change
$KLACAIKLA Corporation274,227$403.8M
0.2%
Reduced by 9%
$SNOWAISnowflake Inc.2,630,847$396.8M
0.2%
No change
$APPAIAppLovin Corporation991,256$394.5M
0.2%
No change
$BABAAIAlibaba Group2,733,233$342.9M
0.2%
Reduced by 17%
$CDNSAICadence Design Systems1,228,875$341.5M
0.2%
Reduced by 5%
$ZSAIZscaler Inc.2,384,425$334.5M
0.2%
No change
$UBERAIUber Technologies3,683,744$265.0M
0.1%
Increased by 24%
$SNPSAISynopsys Inc.626,991$248.6M
0.1%
No change
$NOWAIServiceNow Inc.2,354,685$246.2M
0.1%
No change
$MPWRAIMonolithic Power Systems199,685$218.3M
0.1%
No change
$PDDAIPDD Holdings Inc.2,089,680$213.5M
0.1%
Increased by 71%
$PANWAIPalo Alto Networks1,199,019$192.2M
0.1%
Reduced by 8%
$CRWDAICrowdStrike Holdings491,906$192.0M
0.1%
Reduced by 6%
$ANETAIArista Networks1,440,895$176.9M
0.1%
Reduced by 39%
$SHOPAIShopify Inc.1,415,395$167.9M
0.1%
Increased by 32%
$QCOMAIQUALCOMM Inc.1,298,783$167.3M
0.1%
Reduced by 11%
$TERAITeradyne Inc.550,691$163.3M
0.1%
Reduced by 25%
$VSTAIVistra Corp.1,058,936$159.2M
0.1%
Reduced by 36%
$ABNBAIAirbnb Inc.1,085,678$137.1M
0.1%
Increased by 21%
$CRMAISalesforce Inc.688,097$128.4M
0.1%
Reduced by 58%
$ONAION Semiconductor1,782,550$110.4M
0.1%
Increased by 15%
$TXNAITexas Instruments564,551$109.6M
0.1%
Increased by 8%
$NXPIAINXP Semiconductors526,018$103.6M
0.1%
Increased by 130%
$CEGAIConstellation Energy328,550$91.7M
0%
Reduced by 31%
$ADBEAIAdobe Inc.357,205$86.8M
0%
Reduced by 21%
$MDBAIMongoDB Inc.267,414$65.5M
0%
No change
$AMDAIAdvanced Micro Devices313,695$63.8M
0%
Increased by 28%
$MCHPAIMicrochip Technology911,379$58.9M
0%
Increased by 10149%
$INTUAIIntuit Inc.125,099$54.1M
0%
Increased by 7%
$SQAIBlock Inc.882,270$53.1M
0%
No change
$PYPLAIPayPal Holdings1,009,795$45.7M
0%
Increased by 29%
$INTCAIIntel Corporation830,389$36.6M
0%
No change
$WDAYAIWorkday Inc.255,540$33.2M
0%
Reduced by 61%
$ARMAIARM Holdings plc193,381$29.3M
0%
Reduced by 64%
$FTNTAIFortinet Inc.321,869$26.3M
0%
Reduced by 39%
$SAPAISAP SE147,164$25.2M
0%
Increased by 22%
$MRVLAIMarvell Technology174,223$17.3M
0%
Increased by 10%
$BIDUAIBaidu, Inc.118,329$13.2M
0%
Increased by 191%
$COINAICoinbase Global35,121$6.1M
0%
Reduced by 73%
$DELLAIDell Technologies34,905$5.7M
0%
Reduced by 71%
$TEAMAIAtlassian Corporation67,892$4.6M
0%
Increased by 30%
$SMCIAISuper Micro Computer166,849$3.8M
0%
Reduced by 24%
$RIVNAIRivian Automotive185,692$2.8M
0%
Reduced by 10%