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AMERICAN CENTURY COMPANIES INC 13F 持仓明细(2026-03-31) · 小隐寺数据中心
AMERICAN CENTURY COMPANIES INC
报告期 2026-03-31 · CIK 0000748054
持仓数
2,830
前50大市值合计
$77.08B
报告期
2026-03-31
当前持仓
调仓
前 50 大持仓
标的
类型
市值
股数
占比*
NVDA
NVIDIA CORPORATION
COM
$10.65B
61,043,097
13.8%
AAPL
APPLE INC
COM
$6.40B
25,211,083
8.3%
MSFT
MICROSOFT CORP
COM
$5.98B
16,151,639
7.8%
AMZN
AMAZON COM INC
COM
$5.05B
24,268,620
6.6%
GOOGL
ALPHABET INC
CAP STK CL A
$5.03B
17,490,949
6.5%
AVGO
BROADCOM INC
COM
$2.95B
9,541,206
3.8%
META
META PLATFORMS INC
CL A
$2.86B
4,992,476
3.7%
GOOG
ALPHABET INC
CAP STK CL C
$2.69B
9,380,500
3.5%
MA
MASTERCARD INCORPORATED
CL A
$2.68B
5,361,694
3.5%
TSLA
TESLA INC
COM
$2.51B
6,762,692
3.3%
TSM
TAIWAN SEMICONDUCTOR MANUFAC
SPONSORED ADS
$2.15B
6,348,986
2.8%
NFLX
NETFLIX INC.
COM
$1.87B
19,401,508
2.4%
COST
COSTCO WHOLESALE CORPORATION
COM
$1.80B
1,806,389
2.3%
LLY
ELI LILLY & CO
COM
$1.70B
1,845,922
2.2%
AMAT
APPLIED MATLS INC
COM
$1.21B
3,543,844
1.6%
JPM
JPMORGAN CHASE & CO
COM
$1.10B
3,731,520
1.4%
ADI
ANALOG DEVICES INC
COM
$1.01B
3,167,395
1.3%
ISRG
INTUITIVE SURGICAL INC
COM NEW
$972.5M
2,109,524
1.3%
—
EXXON MOBIL CORP
COM
$891.8M
5,256,636
1.2%
VRT
VERTIV HOLDINGS CO
COM CL A
$833.5M
3,326,325
1.1%
HWM
HOWMET AEROSPACE INC
COM
$829.4M
3,599,070
1.1%
NET
CLOUDFLARE INC
CL A COM
$748.4M
3,627,255
1.0%
MRSH
MARSH & MCLENNAN COS INC
COM
$734.4M
4,234,327
1.0%
ABBV
ABBVIE INC
COM
$717.6M
3,299,346
0.9%
JNJ
JOHNSON & JOHNSON
COM
$703.5M
2,877,878
0.9%
LRCX
LAM RESEARCH CORP
COM NEW
$701.4M
3,282,745
0.9%
APH
AMPHENOL CORP
CL A
$670.6M
5,307,856
0.9%
MRK
MERCK & CO INC
COM
$667.4M
5,547,858
0.9%
PLTR
PALANTIR TECHNOLOGIES INC
CL A
$626.1M
4,280,120
0.8%
ALNY
ALNYLAM PHARMACEUTICALS INC
COM
$596.3M
1,802,363
0.8%
NSC
NORFOLK SOUTHN CORP
COM
$582.3M
2,028,936
0.8%
TJX
TJX COS INC NEW
COM
$580.2M
3,632,947
0.8%
VZ
VERIZON COMMUNICATIONS INC
COM
$554.9M
11,053,143
0.7%
GILD
GILEAD SCIENCES INC
COM
$554.5M
3,978,823
0.7%
MU
MICRON TECHNOLOGY INC
COM
$553.9M
1,639,439
0.7%
BDX
BECTON DICKINSON & CO
COM
$535.5M
3,405,917
0.7%
GEV
GE VERNOVA INC
COM
$507.7M
581,605
0.7%
—
MEDTRONIC PLC
SHS
$477.0M
5,504,355
0.6%
ORCL
ORACLE CORP
COM
$476.5M
3,239,249
0.6%
—
ASML HLDG NV
N Y REGISTRY SHS
$475.7M
360,140
0.6%
WMB
WILLIAMS COS INC
COM
$469.9M
6,456,552
0.6%
CAT
CATERPILLAR INC
COM
$464.3M
655,375
0.6%
AVUS
AMERICAN CENTY ETF TR
US EQT ETF
$460.6M
4,143,011
0.6%
DDOG
DATADOG INC
CL A COM
$449.1M
3,804,623
0.6%
BKR
BAKER HUGHES COMPANY
CL A
$444.1M
7,274,970
0.6%
PKG
PACKAGING CORP AMER
COM
$438.6M
2,066,537
0.6%
CVX
CHEVRON CORPORATION
COM
$436.4M
2,109,310
0.6%
REGN
REGENERON PHARMACEUTICALS
COM
$434.3M
562,097
0.6%
WMT
WALMART INC
COM
$431.1M
3,468,512
0.6%
DUK
DUKE ENERGY CORP NEW
COM NEW
$431.0M
3,291,616
0.6%
* 占比按本页前 50 大持仓市值合计计算
持仓集中度
按前 50 大市值
47%
前 6 大占比
NVDA
13.8%
AAPL
8.3%
MSFT
7.8%
AMZN
6.6%
GOOGL
6.5%
AVGO
3.8%
其他
53.2%