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ESGA | American Century Sustainable Equity ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
MSFT Microsoft Corporation 3.27T 6.73%
439.60 2.04% 21.85% 18.47%
AAPL Apple Inc. 3.48T 5.16%
228.84 3.69% 24.86% 30.14%
AMZN Amazon.com, Inc. 1.99T 4.09%
189.27 1.52% 27.95% 15.90%
GOOGL Alphabet Inc. 2.01T 3.91%
162.90 1.93% 27.45% 26.67%
HD The Home Depot, Inc. 385.46B 2.41%
388.07 1.06% 24.77% 25.35%
DIS The Walt Disney Company 171.38B 2.32%
94.50 0.98% 25.84% 17.48%
JPM JPMorgan Chase & Co. 595.93B 1.97%
209.46 0.93% 27.55% 52.63%
NEE NextEra Energy, Inc. 168.13B 1.89%
81.80 -2.94% 32.76% 37.67%
PLD Prologis, Inc. 119.67B 1.88%
129.25 1.76% 29.94% 45.44%
MS Morgan Stanley 163.03B 1.58%
100.77 1.48% 31.73% 56.56%
PYPL PayPal Holdings, Inc. 79.08B 1.55%
77.36 5.79% 32.67% 12.08%
BAC Bank of America Corporation 314.92B 1.54%
40.59 2.44% 29.08% 45.80%
NVDA NVIDIA Corporation 2.92T 1.53%
119.00 4.96% 48.67% 26.30%
TSLA Tesla, Inc. 774.28B 1.51%
242.37 6.68% 68.17% 76.60%
MA Mastercard Incorporated 452.07B 1.47%
493.14 -0.33% 21.05% 32.31%
HON Honeywell International Inc. 131.88B 1.42%
203.00 0.67% 21.47% 45.11%
V Visa Inc. 565.85B 1.40%
286.38 -0.73% 21.29% 30.87%
FB 1.38%
UNH UnitedHealth Group Incorporated 532.54B 1.37%
576.70 -0.68% 30.51% 81.43%
PEP PepsiCo, Inc. 240.37B 1.31%
175.00 -0.12% 23.41% 66.14%
NKE NIKE, Inc. 123.25B 1.30%
82.20 1.60% 43.78% 84.46%
RF Regions Financial Corporation 21.24B 1.25%
23.21 2.13% 37.12% 52.41%
LIN Linde plc 225.32B 1.22%
471.87 1.04% 20.86% 30.26%
PG The Procter & Gamble Company 401.82B 1.18%
171.01 -1.67% 24.60% 83.16%
PH Parker-Hannifin Corporation 79.91B 1.18%
621.40 2.03% 24.79% 25.17%
ACN Accenture plc 209.77B 1.17%
334.90 -0.38% 32.28% 68.59%
JCI Johnson Controls International plc 49.62B 1.17%
74.28 2.08% 31.53% 73.35%
TMO Thermo Fisher Scientific Inc. 236.54B 1.16%
619.22 1.49% 20.99% 15.27%
TJX The TJX Companies, Inc. 133.57B 1.07%
118.43 1.01% 20.28% 19.66%
APTV Aptiv PLC 18.79B 1.06%
70.72 1.51% 41.62% 54.98%
ASML ASML Holding N.V. 327.34B 1.05%
832.02 5.61% 44.93% 69.06%
SPGI S&P Global Inc. 164.01B 1.05%
524.00 0.86% 19.45% 55.92%
COP ConocoPhillips 128.95B 1.04%
111.04 2.23% 26.79% 40.27%
EXPE Expedia Group, Inc. 17.77B 1.04%
142.54 2.06% 34.20% 20.45%
ABBV AbbVie Inc. 341.65B 1.03%
193.42 0.25% 26.55% 60.70%
MRK Merck & Co., Inc. 297.26B 1.01%
117.27 -1.15% 21.19% 30.70%
SYY Sysco Corporation 36.39B 1.01%
74.03 -0.68% 22.84% 37.66%
TXN Texas Instruments Incorporated 189.96B 0.97%
208.06 3.66% 29.36% 40.95%
BMY Bristol-Myers Squibb Company 100.05B 0.96%
49.35 -0.78% 31.12% 70.51%
CMI Cummins Inc. 42.21B 0.96%
307.99 2.44% 25.65% 36.96%
AMGN Amgen Inc. 180.59B 0.95%
336.09 0.95% 26.21% 30.95%
AMAT Applied Materials, Inc. 161.50B 0.94%
195.90 5.24% 43.52% 44.31%
BLK BlackRock, Inc. 138.85B 0.92%
937.34 1.59% 25.07% 36.96%
A Agilent Technologies, Inc. 40.91B 0.91%
142.40 2.44% 24.33% 22.33%
ADBE Adobe Inc. 232.39B 0.90%
524.12 3.15% 29.43% 10.10%
KEYS Keysight Technologies, Inc. 26.90B 0.87%
155.01 3.20% 28.67% 31.42%
MDT Medtronic plc 115.20B 0.86%
89.82 1.92% 25.19% 24.04%
CVS CVS Health Corporation 73.23B 0.85%
58.22 -0.35% 37.87% 49.84%
LMT Lockheed Martin Corporation 134.41B 0.80%
563.88 -0.28% 23.53% 39.00%
EW Edwards Lifesciences Corporation 40.91B 0.79%
67.92 0.57% 36.58% 57.61%
NSC Norfolk Southern Corporation 56.97B 0.78%
251.96 1.07% 23.16% 14.85%
AVGO Broadcom Inc. 787.18B 0.77%
168.54 4.59% 42.11% 39.13%
UPS United Parcel Service, Inc. 113.30B 0.77%
132.27 1.24% 26.99% 40.55%
AXP American Express Company 191.13B 0.76%
268.85 2.54% 31.46% 69.58%
MDLZ Mondelez International, Inc. 100.02B 0.73%
74.88 -0.23% 20.37% 43.11%
MAS Masco Corporation 18.07B 0.71%
82.78 1.33% 26.08% 39.60%
ETN Eaton Corporation plc 129.52B 0.69%
325.35 3.40% 33.19% 40.87%
BKNG Booking Holdings Inc. 135.29B 0.66%
4,035.62 0.18% 23.70% 44.67%
CI Cigna Corporation 99.19B 0.66%
354.84 -0.16% 22.63% 27.54%
UNP Union Pacific Corporation 151.08B 0.62%
248.00 -1.28% 24.70% 47.05%
BLL 0.59%
SHW The Sherwin-Williams Company 95.53B 0.59%
378.69 0.90% 20.46% 22.55%
AMP Ameriprise Financial, Inc. 45.08B 0.58%
459.16 1.73% 23.38% 29.07%
CRM Salesforce, Inc. 255.51B 0.58%
267.27 5.88% 28.88% 17.00%
EL The Estée Lauder Companies Inc. 31.94B 0.57%
89.02 1.16% 39.19% 26.35%
CMCSA Comcast Corporation 156.55B 0.54%
40.53 1.77% 39.28% 52.31%
APD Air Products and Chemicals, Inc. 64.51B 0.52%
290.16 0.99% 24.40% 41.86%
CMG Chipotle Mexican Grill, Inc. 78.96B 0.52%
57.66 1.28% 33.77% 52.08%
CSCO Cisco Systems, Inc. 205.44B 0.52%
51.48 1.80% 20.25% 19.89%
ECL Ecolab Inc. 71.45B 0.52%
251.11 1.04% 18.77% 44.52%
ATVI 0.51%
CGNX Cognex Corporation 6.80B 0.51%
39.63 2.99% 67.25% 62.05%
ZTS Zoetis Inc. 89.36B 0.51%
197.23 0.38% 22.50% 13.33%
COST Costco Wholesale Corporation 399.26B 0.50%
900.59 0.90% 30.62% 72.04%
ICE Intercontinental Exchange, Inc. 91.05B 0.50%
158.59 -1.63% 20.10% 19.20%
VFC V.F. Corporation 7.51B 0.50%
19.31 1.02% 52.20% 25.89%
AMD Advanced Micro Devices, Inc. 253.91B 0.47%
156.88 5.79% 47.04% 40.83%
CL Colgate-Palmolive Company 83.84B 0.47%
102.61 -0.56% 23.60% 68.56%
TGT Target Corporation 71.99B 0.47%
156.26 1.73% 24.58% 13.68%
HUM Humana Inc. 37.99B 0.46%
315.56 0.09% 40.55% 86.03%
VZ Verizon Communications Inc. 183.62B 0.46%
43.62 -0.59% 20.60% 26.02%
MMC Marsh & McLennan Companies, Inc. 110.18B 0.44%
224.05 -0.95% 26.22% 67.76%
SLB Schlumberger Limited 61.07B 0.42%
43.01 3.84% 33.15% 46.19%
EXPD Expeditors International of Washington, ... 17.68B 0.41%
125.28 1.53% 21.84% 30.13%
PRU Prudential Financial, Inc. 43.36B 0.39%
121.46 1.69% 23.67% 27.14%
NVO Novo Nordisk A/S 592.28B 0.37%
134.55 1.89% 34.71% 37.92%
VRTX Vertex Pharmaceuticals Incorporated 123.67B 0.35%
479.14 1.05% 25.67% 48.32%
AFL Aflac Incorporated 60.51B 0.34%
108.05 -0.84% 23.50% 55.42%
ROK Rockwell Automation, Inc. 30.51B 0.34%
268.86 2.33% 29.58% 35.07%
CDW CDW Corporation 30.32B 0.33%
227.00 2.43% 24.49% 40.03%
INFO 0.28%
WDAY Workday, Inc. 66.34B 0.25%
249.40 0.37% 26.95% 12.01%
TRV The Travelers Companies, Inc. 54.17B 0.23%
237.68 -0.86% 28.95% 82.26%
0.21%
PGR The Progressive Corporation 148.55B 0.18%
253.64 -1.56% 30.69% 70.27%
RMD ResMed Inc. 35.70B 0.18%
242.99 2.08% 37.43% 26.67%
VITL Vital Farms, Inc. 1.39B 0.10%
32.20 0.69% 64.11% 46.46%
BYND Beyond Meat, Inc. 412.99M 0.03%
6.35 0.95% 124.15% 49.86%
Total holdings: 98 Recognized Stocks: 93 Others: 5
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