AMERICAN CENTURY ETF TRUST (AHYB)

Société de gestion · ARCX · Série S000074150 · Voir sur SEC EDGAR ↗

Actifs nets
$60.3M
Portefeuille
611
Au
31 mai 2026
Poids des 10 principales participations
10,38%
Nombre effectif de positions
238,0
Positions supérieures à 1%
2
Sur cette page

Flux de fonds (rapportés par la SEC)

Mois dernier (Mai 2026)
+$0
Trimestre clos le Mai 2026
+$2.3M
12 derniers mois
+$23.2M

Jui 2025 – Mai 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Composition complète 611 participations

NomCUSIP Valeur % Solde Catégorie Pays
Medline Borrower LP 62482BAA0 $146K 0,24 150 000 DBT US
Sunoco LP / Sunoco Finance Corp 86765LAZ0 $146K 0,24 150 000 DBT US
PennyMac Financial Services Inc 70932MAH0 $144K 0,24 150 000 DBT US
RLJ Lodging Trust LP 74965LAB7 $143K 0,24 150 000 DBT US
OI European Group BV 67777LAD5 $143K 0,24 150 000 DBT NL
Carvana Co 146869AM4 $142K 0,24 128 500 DBT US
Wynn Las Vegas LLC / Wynn Las Vegas Capital Corp 983130AX3 $141K 0,23 141 000 DBT US
Lamb Weston Holdings Inc 513272AE4 $140K 0,23 150 000 DBT US
Paramount Global 92556HAB3 $140K 0,23 150 000 DBT US
Crocs Inc 227046AB5 $140K 0,23 150 000 DBT US
MPT Operating Partnership LP / MPT Finance Corp 55342UAH7 $140K 0,23 143 000 DBT US
JetBlue Airways Corp / JetBlue Loyalty LP 476920AA1 $138K 0,23 150 000 DBT US
Builders FirstSource Inc 12008RAP2 $138K 0,23 150 000 DBT US
Hertz Corp/The 428040DC0 $137K 0,23 150 000 DBT US
EchoStar Corp 278768AC0 $136K 0,23 125 000 DBT US
APLD ComputeCo LLC 00202DAA5 $135K 0,22 125 000 DBT US
Rain Carbon Inc 75079LAB7 $133K 0,22 125 000 DBT US
SM Energy Co 17888HAC7 $132K 0,22 125 000 DBT US
OAK-Eagle Acquireco Inc 67124CAB9 $132K 0,22 125 000 DBT US
CCO Holdings LLC / CCO Holdings Capital Corp 1248EPCN1 $132K 0,22 150 000 DBT US
Genesis Energy LP / Genesis Energy Finance Corp 37185LAR3 $131K 0,22 125 000 DBT US
Vistra Operations Co LLC 92840VAP7 $131K 0,22 125 000 DBT US
Taseko Mines Ltd 876511AG1 $131K 0,22 125 000 DBT CA
CoreWeave Inc 21873SAG3 $129K 0,21 125 000 DBT US
Crescent Energy Finance LLC 45344LAD5 $128K 0,21 125 000 DBT US
EMRLD Borrower LP / Emerald Co-Issuer Inc 29103CAA6 $128K 0,21 125 000 DBT US
Neptune Bidco US Inc 640695AA0 $128K 0,21 125 000 DBT US
Venture Global LNG Inc 92332YAA9 $128K 0,21 125 000 DBT US
Chemours Co/The 163851AJ7 $128K 0,21 125 000 DBT US
Navient Corp 63938CAN8 $127K 0,21 125 000 DBT US
Tenet Healthcare Corp 88033GDK3 $127K 0,21 127 000 DBT US
EquipmentShare.com Inc 29450YAB5 $127K 0,21 121 000 DBT US
Moss Creek Resources Holdings Inc 61965RAC9 $127K 0,21 125 000 DBT US
Life Time Fitness Inc 53190FAE5 $127K 0,21 125 000 DBT US
Quikrete Holdings Inc 74843PAB6 $127K 0,21 125 000 DBT US
Noble Finance II LLC 65505PAA5 $127K 0,21 122 000 DBT US
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC 01309QAA6 $126K 0,21 125 000 DBT US
Univision Communications Inc 914906AZ5 $126K 0,21 125 000 DBT US
Greystar Real Estate Partners LLC 39807UAD8 $126K 0,21 121 000 DBT US
Teine Energy Ltd 879068AB0 $126K 0,21 125 000 DBT CA
Hilcorp Energy I LP / Hilcorp Finance Co 431318AS3 $126K 0,21 125 000 DBT US
Royal Caribbean Cruises Ltd 780153BK7 $125K 0,21 125 000 DBT US
NRG Energy Inc 629377CY6 $125K 0,21 125 000 DBT US
Churchill Downs Inc 12511VAA6 $125K 0,21 125 000 DBT US
Builders FirstSource Inc 12008RAS6 $125K 0,21 125 000 DBT US
American Airlines Inc/AAdvantage Loyalty IP Ltd 00253XAB7 $125K 0,21 125 000 DBT US
PG&E Corp 69331CAH1 $124K 0,21 125 000 DBT US
Vodafone Group PLC 92857WBQ2 $124K 0,21 120 000 DBT GB
1011778 BC ULC / New Red Finance Inc 68245XAJ8 $124K 0,21 125 000 DBT CA
JELD-WEN Holding Inc 47580PAA1 $124K 0,21 200 000 DBT US

Répartition sectorielle

Autre/Non mappé
100,0%

Détenteurs institutionnels (13F) 9 déclarants

Institutions qui déclarent détenir cet ETF dans leur formulaire SEC 13F trimestriel. Uniquement les positions longues ; un même déclarant peut apparaître deux fois pour des options distinctes. Les jambes put/call compensatoires importantes reflètent généralement la tenue de marché ou un inventaire couvert, pas une conviction directionnelle.

Institution Valeur % de 13F suivies Actions Type Au
ENVESTNET ASSET MANAGEMENT INC $48 653 163 92,27% 1 051 058 Actions 30 juin 2026
Networth Advisors, LLC $2 540 304 4,82% 54 878 Actions 30 juin 2026
AE Wealth Management LLC $879 531 1,67% 19 001 Actions 30 juin 2026
MML INVESTORS SERVICES, LLC $316 081 0,60% 6 828 Actions 30 juin 2026
HighTower Advisors, LLC $273 202 0,52% 5 902 Actions 30 juin 2026
Lloyd Advisory Services, LLC. $61 339 0,12% 1 325 Actions 30 juin 2026
Kingdom Financial Group LLC. $3 523 0,01% 76 Actions 30 juin 2026
Quest 10 Wealth Builders, Inc. $2 916 0,01% 63 Actions 30 juin 2026
Cambridge Investment Research Advisors, Inc. $331 0,00% 7 156 Actions 30 juin 2026

Fonds comparables

Plus de cet émetteur

Fonds Actifs sous gestion
AVUV AMERICAN CENTURY ETF TRUST $27.1B
AVEM AMERICAN CENTURY ETF TRUST $26.0B
AVDV AMERICAN CENTURY ETF TRUST $19.9B
AVDE AMERICAN CENTURY ETF TRUST $16.9B
AVUS AMERICAN CENTURY ETF TRUST $13.3B
AVLV AMERICAN CENTURY ETF TRUST $12.9B
AVSC AMERICAN CENTURY ETF TRUST $2.8B
QGRO AMERICAN CENTURY ETF TRUST $2.2B
AVIG AMERICAN CENTURY ETF TRUST $1.9B
AVIV AMERICAN CENTURY ETF TRUST $1.8B

Similaire par la taille

Fonds Actifs sous gestion
SEMG EA Series Trust $60.5M
PSCW Pacer Funds Trust $60.6M
QMAG First Trust Exchange-Traded Fun… $60.6M
MDPL Northern Lights Fund Trust IV $60.8M
OVT Listed Funds Trust $61.0M
STBF Trust for Professional Managers $60.2M
PRNT ARK ETF Trust $60.1M
JUNW AIM ETF Products Trust $59.9M
GXPS Global X Funds $59.9M
INDL Direxion Shares ETF Trust $59.8M