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Institutional Investment Manager
AMERICAN CENTURY COMPANIES INC
AMERICAN CENTURY COMPANIES INC (CIK: 0000748054), located at 4500 Main Street, Kansas City, MO. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 1,289 holdings with a total value of $85,707,952,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BANK AMER CORP 12,041,367 162,799,000 0.19%
152 LENNOX INTL INC 1,203,518 162,704,000 0.19%
153 TEXTRON INC 4,457,928 162,536,000 0.19%
154 NXP SEMICONDUCTORS N V 1,974,066 160,038,000 0.19%
155 HALLIBURTON CO 4,464,254 159,463,000 0.19%
156 SPDR S&P 500 ETF TR 770,035 158,288,000 0.18%
157 UNITED TECHNOLOGIES CORP 1,578,180 157,976,000 0.18%
158 SALESFORCE COM INC 2,135,953 157,697,000 0.18%
159 AMERISOURCEBERGEN CORP 1,815,924 157,168,000 0.18%
160 AUTOZONE INC 196,568 156,604,000 0.18%
161 REINSURANCE GROUP AMER INC 1,614,982 155,442,000 0.18%
162 BARD C R INC 761,197 154,272,000 0.18%
163 KEYSIGHT TECHNOLOGIES INC COM 5,559,875 154,231,000 0.18%
164 FRANKLIN RESOURCES INC 3,889,252 151,875,000 0.18%
165 SHERWIN WILLIAMS CO 531,344 151,258,000 0.18%
166 CST BRANDS INC 3,927,822 150,396,000 0.18%
167 LIBERTY GLOBAL PLC 3,998,621 150,188,000 0.18%
168 SYMANTEC CORP 8,078,056 148,475,000 0.17%
169 HEARTLAND EXPRESS INC COM 7,961,745 147,690,000 0.17%
170 BAIDU INC 773,726 147,689,000 0.17%
171 HD SUPPLY HLDGS INCORPORATED 4,395,914 145,373,000 0.17%
172 PPG INDS INC 1,301,366 145,089,000 0.17%
173 ACUITY BRANDS INC 662,882 144,601,000 0.17%
174 TESLA INC 629,012 144,528,000 0.17%
175 Corrections Cp Amer Ne 4,509,201 144,520,000 0.17%
176 VCA INCORPORATED 2,480,860 143,121,000 0.17%
177 ATMOS ENERGY CORP 1,909,051 141,766,000 0.17%
178 TERADYNE INC 6,545,265 141,312,000 0.16%
179 COMERICA INC 3,707,541 140,405,000 0.16%
180 ZIONS BANCORPORATION 5,798,817 140,389,000 0.16%
181 VERTEX PHARMACEUTICALS INC 1,756,022 139,586,000 0.16%
182 TEVA PHARMACEUTICAL INDS LTD 2,596,813 138,955,000 0.16%
183 PRICE T ROWE GROUP INC 1,884,087 138,405,000 0.16%
184 VERISK ANALYTICS INC 1,729,386 138,213,000 0.16%
185 FMC TECHNOLOGIES INC 5,042,553 137,964,000 0.16%
186 SNAP ON INC 874,245 137,248,000 0.16%
187 Intuit Inc 1,186,082 135,628,000 0.16%
188 CIMAREX ENERGY 1,391,849 135,385,000 0.16%
189 MARSH & MCLENNAN COS INC 2,220,263 134,970,000 0.16%
190 AFFILIATED MANAGERS GROUP 830,936 134,944,000 0.16%
191 CSX CORP 5,214,076 134,262,000 0.16%
192 KROGER CO 3,495,245 133,693,000 0.16%
193 HOST HOTELS & RESORTS INC 7,985,695 133,361,000 0.16%
194 BALL CORP 1,859,400 132,557,000 0.15%
195 CARDINAL HEALTH INC 1,605,974 131,610,000 0.15%
196 FISERV INC 1,282,199 131,528,000 0.15%
197 ALASKA AIR GROUP INC 1,591,472 130,533,000 0.15%
198 MONSANTO CO NEW 1,475,370 129,449,000 0.15%
199 M & T BK CORP 1,147,446 127,367,000 0.15%
200 EMERSON ELEC CO 2,332,943 126,865,000 0.15%
Page 4 of 26

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000748054-16-000035, filed 2016.05.02).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.