0001145549-24-003306.txt : 20240126 0001145549-24-003306.hdr.sgml : 20240126 20240125194024 ACCESSION NUMBER: 0001145549-24-003306 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20231130 FILED AS OF DATE: 20240126 DATE AS OF CHANGE: 20240125 PERIOD START: 20240831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN CENTURY ETF TRUST CENTRAL INDEX KEY: 0001710607 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23305 FILM NUMBER: 24563719 BUSINESS ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 BUSINESS PHONE: (816) 531-5575 MAIL ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 FORMER COMPANY: FORMER CONFORMED NAME: American Century ETF Trust DATE OF NAME CHANGE: 20170628 0001710607 S000069309 Avantis Short-Term Fixed Income Fund C000221283 Institutional Class AVSFX C000226124 G 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0.4781368762 Long DBT CORP JP N 2 2027-07-12 Fixed 3.364000000000000 N N N N N N Energy Transfer LP MTLVN9N7JE8MIBIJ1H73 Energy Transfer LP 3.90 07/15/2026 86765BAT6 70000.0000000000 PA USD 67218.8700000000 0.5288483189 Long DBT CORP US N 2 2026-07-15 Fixed 3.900000000000000 N N N N N N Sysco Corp 5RGWIFLMGH3YS7KWI652 Sysco Corp 3.30 07/15/2026 871829BC0 45000.0000000000 PA USD 42830.3700000000 0.3369703950 Long DBT CORP US N 2 2026-07-15 Fixed 3.300000000000000 N N N N N N TJX Cos Inc/The V167QI9I69W364E2DY52 TJX Cos Inc/The 2.25 09/15/2026 872540AQ2 110000.0000000000 PA USD 102659.0700000000 0.8076761272 Long DBT CORP US N 2 2026-09-15 Fixed 2.250000000000000 N N N N N N Tennessee Valley Authority 549300HE1ISW43LNKM54 Tennessee Valley Authority 0.75 05/15/2025 880591EW8 48000.0000000000 PA USD 45127.3800000000 0.3550422530 Long DBT USGA US N 2 2025-05-15 Fixed 0.750000000000000 N N N N N N 3M Co LUZQVYP4VS22CLWDAR65 3M Co 2.65 04/15/2025 88579YBM2 100000.0000000000 PA USD 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U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 0.63 12/31/2027 91282CBB6 175000.0000000000 PA USD 150739.2600000000 1.1859497824 Long DBT UST US N 2 2027-12-31 Fixed 0.625000000000000 N N N N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 1.25 03/31/2028 91282CBS9 210000.0000000000 PA USD 184434.9600000000 1.4510526367 Long DBT UST US N 2 2028-03-31 Fixed 1.250000000000000 N N N N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 0.38 04/15/2024 91282CBV2 190000.0000000000 PA USD 186589.3400000000 1.4680023450 Long DBT UST US N 2 2024-04-15 Fixed 0.375000000000000 N N N N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 1.25 04/30/2028 91282CBZ3 250000.0000000000 PA USD 219106.4500000000 1.7238325749 Long DBT UST US N 2 2028-04-30 Fixed 1.250000000000000 N N N N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 1.25 06/30/2028 91282CCH2 550000.0000000000 PA USD 479832.0300000000 3.7751060444 Long DBT UST US N 2 2028-06-30 Fixed 1.250000000000000 N N N N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 0.38 07/15/2024 91282CCL3 400000.0000000000 PA USD 388074.2600000000 3.0531965209 Long DBT UST US N 2 2024-07-15 Fixed 0.375000000000000 N N N N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 1.00 07/31/2028 91282CCR0 500000.0000000000 PA USD 430029.3000000000 3.3832802069 Long DBT UST US N 2 2028-07-31 Fixed 1.000000000000000 N N N N N N BP Capital Markets America Inc 5493009NTB34VXE1T760 BP Capital Markets America Inc 3.02 01/16/2027 10373QAV2 25000.0000000000 PA USD 23623.5400000000 0.1858595572 Long DBT CORP US N 2 2027-01-16 Fixed 3.017000000000000 N N N N N N Brookfield Finance Inc 549300XH8D8K6OYWGD17 Brookfield Finance Inc 3.90 01/25/2028 11271LAC6 75000.0000000000 PA USD 70534.1900000000 0.5549317894 Long DBT CORP CA N 2 2028-01-25 Fixed 3.900000000000000 N N N N N N Bunge Ltd Finance Corp 549300QHC068L40NNM71 Bunge Ltd Finance Corp 1.63 08/17/2025 120568BB5 29000.0000000000 PA USD 27161.7100000000 0.2136963129 Long DBT CORP US N 2 2025-08-17 Fixed 1.630000000000000 N N N N N N CME Group Inc LCZ7XYGSLJUHFXXNXD88 CME Group Inc 3.00 03/15/2025 12572QAG0 35000.0000000000 PA USD 34097.5200000000 0.2682641962 Long DBT CORP US N 2 2025-03-15 Fixed 3.000000000000000 N N N N N N Capital One Financial Corp ZUE8T73ROZOF6FLBAR73 Capital One Financial Corp 4.25 04/30/2025 14040HBZ7 66000.0000000000 PA USD 64285.0600000000 0.5057664003 Long DBT CORP US N 2 2025-04-30 Fixed 4.250000000000000 N N N N N N Cardinal Health Inc CCU46N3GJMF4OK4N7U60 Cardinal Health Inc 3.50 11/15/2024 14149YBA5 69000.0000000000 PA USD 67574.7300000000 0.5316480679 Long DBT CORP US N 2 2024-11-15 Fixed 3.500000000000000 N N N N N N DTE Electric Co 9N0FWODEJVKHC2DYLO03 DTE Electric Co 1.90 04/01/2028 23338VAN6 65000.0000000000 PA USD 57128.9700000000 0.4494654514 Long DBT CORP US N 2 2028-04-01 Fixed 1.900000000000000 N N N N N N John Deere Capital Corp E0KSF7PFQ210NWI8Z391 John Deere Capital Corp 3.45 01/10/2024 24422EUR8 69000.0000000000 PA USD 68822.8500000000 0.5414677237 Long DBT CORP US N 2 2024-01-10 Fixed 3.450000000000000 N N N N N N John Deere Capital Corp E0KSF7PFQ210NWI8Z391 John Deere Capital Corp 4.95 07/14/2028 24422EXB0 25000.0000000000 PA USD 25063.7000000000 0.1971900987 Long DBT CORP US N 2 2028-07-14 Fixed 4.950000000000000 N N N N N N Digital Realty Trust LP CD4SPTZ3YBTHY0C1AH38 Digital Realty Trust LP 4.45 07/15/2028 25389JAT3 75000.0000000000 PA USD 71529.0400000000 0.5627588289 Long DBT CORP US N 2 2028-07-15 Fixed 4.450000000000000 N N N N N N Discovery Communications LLC L2Z2MO2EQURH3BREWI15 Discovery Communications LLC 4.90 03/11/2026 25470DAL3 60000.0000000000 PA USD 59301.7900000000 0.4665602375 Long DBT CORP US N 2 2026-03-11 Fixed 4.900000000000000 N N N N N N Dollar Tree Inc 549300PMSTQITB1WHR43 Dollar Tree Inc 4.00 05/15/2025 256746AG3 66000.0000000000 PA USD 64284.5100000000 0.5057620732 Long DBT CORP US N 2 2025-05-15 Fixed 4.000000000000000 N N N N N N DUKE ENERGY PROGRESS LLC 0NIFZ782LS46WOC9QK20 Duke Energy Progress LLC 3.25 08/15/2025 26442UAA2 24000.0000000000 PA USD 23252.1200000000 0.1829373891 Long DBT CORP US N 2 2025-08-15 Fixed 3.250000000000000 N N N N N N Ecolab Inc 82DYEISM090VG8LTLS26 Ecolab Inc 2.70 11/01/2026 278865AV2 95000.0000000000 PA USD 89785.6500000000 0.7063937562 Long DBT CORP US N 2 2026-11-01 Fixed 2.700000000000000 N N N N N N Edison International 549300I7ROF15MAEVP56 Edison International 4.13 03/15/2028 281020AM9 75000.0000000000 PA USD 70539.3300000000 0.5549722286 Long DBT CORP US N 2 2028-03-15 Fixed 4.125000000000000 N N N N N N Emera US Finance LP N/A Emera US Finance LP 3.55 06/15/2026 29103DAJ5 62000.0000000000 PA USD 59362.9700000000 0.4670415747 Long DBT CORP US N 2 2026-06-15 Fixed 3.550000000000000 N N N N N N Energy Transfer LP MTLVN9N7JE8MIBIJ1H73 Energy Transfer LP 5.55 02/15/2028 29273VAP5 75000.0000000000 PA USD 75368.2500000000 0.5929640340 Long DBT CORP US N 2 2028-02-15 Fixed 5.550000000000000 N N N N N N Entergy Louisiana LLC 0V5453U14HDZO63CGH17 Entergy Louisiana LLC 5.59 10/01/2024 29365PAP7 58000.0000000000 PA USD 57838.9200000000 0.4550510238 Long DBT CORP US N 2 2024-10-01 Fixed 5.590000000000000 N N N N N N Enterprise Products Operating LLC 5493004LGN656HWLDA30 Enterprise Products Operating LLC 3.90 02/15/2024 29379VBB8 65000.0000000000 PA USD 64747.8300000000 0.5094072699 Long DBT CORP US N 2 2024-02-15 Fixed 3.900000000000000 N N N N N N Estee Lauder Cos Inc/The 549300VFZ8XJ9NUPU221 Estee Lauder Cos Inc/The 2.00 12/01/2024 29736RAN0 36000.0000000000 PA USD 34798.1600000000 0.2737765217 Long DBT CORP US N 2 2024-12-01 Fixed 2.000000000000000 N N N N N N European Bank for Reconstruction & Development 549300HTGDOVDU6OGK19 European Bank for Reconstruction & Development 0.50 05/19/2025 29874QEG5 35000.0000000000 PA USD 32772.8800000000 0.2578425150 Long DBT CORP GB N 2 2025-05-19 Fixed 0.500000000000000 N N N N N N European Investment Bank 5493006YXS1U5GIHE750 European Investment Bank 0.38 07/24/2024 298785JM9 100000.0000000000 PA USD 96915.9700000000 0.7624919582 Long DBT CORP LU N 2 2024-07-24 Fixed 0.375000000000000 N N N N N N European Investment Bank 5493006YXS1U5GIHE750 European Investment Bank 1.38 03/15/2027 298785JQ0 50000.0000000000 PA USD 45279.1900000000 0.3562366269 Long DBT CORP LU N 2 2027-03-15 Fixed 1.375000000000000 N N N N N N Export Development Canada Z6MHCSLXHKYG4B6PHW02 Export Development Canada 2.63 02/21/2024 30216BHH8 50000.0000000000 PA USD 49686.1300000000 0.3909084804 Long DBT NUSS CA N 2 2024-02-21 Fixed 2.625000000000000 N N N N N N Export Development Canada Z6MHCSLXHKYG4B6PHW02 Export Development Canada 3.88 02/14/2028 30216BJW3 100000.0000000000 PA USD 97685.1700000000 0.7685436833 Long DBT NUSS CA N 2 2028-02-14 Fixed 3.875000000000000 N N N N N N Exxon Mobil Corp J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corp 2.71 03/06/2025 30231GAF9 72000.0000000000 PA USD 69927.5800000000 0.5501592504 Long DBT CORP US N 2 2025-03-06 Fixed 2.709000000000000 N N N N N N Federal Home Loan Banks 2549001DPIFGXC1TOL40 Federal Home Loan Banks 2.38 03/14/2025 3130A4CH3 50000.0000000000 PA USD 48276.4700000000 0.3798178994 Long DBT USGA US N 2 2025-03-14 Fixed 2.375000000000000 N N N N N N Federal Home Loan Banks 2549001DPIFGXC1TOL40 Federal Home Loan Banks 0.38 09/04/2025 3130AK5E2 25000.0000000000 PA USD 23152.3600000000 0.1821525215 Long DBT USGA US N 2 2025-09-04 Fixed 0.375000000000000 N N N N N N Federal Home Loan Banks 2549001DPIFGXC1TOL40 Federal Home Loan Banks 1.25 12/21/2026 3130AQF65 100000.0000000000 PA USD 90759.2000000000 0.7140532167 Long DBT USGA US N 2 2026-12-21 Fixed 1.250000000000000 N N N N N N State Street Institutional US Government Money Market Fund 549300BZ5TGIFZUZDZ37 State Street Institutional US Government Money Market Fund 857492706 107974.1900000000 NS USD 107974.1900000000 0.8494931389 Long STIV RF US N 1 N N N U.S. TREASURY 254900HROIFWPRGM1V77 United States Treasury Note/Bond 0.38 09/15/2024 91282CCX7 300000.0000000000 PA USD 288749.3700000000 2.2717522463 Long DBT UST US N 2 2024-09-15 Fixed 0.375000000000000 N N N N N N UnitedHealth Group Inc 549300GHBMY8T5GXDE41 UnitedHealth Group Inc 2.38 08/15/2024 91324PDR0 100000.0000000000 PA USD 97908.7200000000 0.7703024758 Long DBT CORP US N 2 2024-08-15 Fixed 2.375000000000000 N N N N N N Universal Health Services Inc 549300YGMGQDO0NMJD09 Universal Health Services Inc 1.65 09/01/2026 913903AZ3 30000.0000000000 PA USD 26961.2700000000 0.2121193396 Long DBT CORP US N 2 2026-09-01 Fixed 1.650000000000000 N N N N N N Ventas Realty LP 32SXKSJ72K64GM3HOU64 Ventas Realty LP 3.85 04/01/2027 92277GAL1 65000.0000000000 PA USD 61227.2400000000 0.4817088259 Long DBT CORP US N 2 2027-04-01 Fixed 3.850000000000000 N N N N N N Wells Fargo & Co PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 3.00 10/23/2026 949746SH5 25000.0000000000 PA USD 23421.1500000000 0.1842672423 Long DBT CORP US N 2 2026-10-23 Fixed 3.000000000000000 N N N N N N Wells Fargo & Co PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 3.55 09/29/2025 94974BGP9 36000.0000000000 PA USD 34804.9700000000 0.2738300997 Long DBT CORP US N 2 2025-09-29 Fixed 3.550000000000000 N N N N N N Westpac Banking Corp EN5TNI6CI43VEPAMHL14 Westpac Banking Corp 5.46 11/18/2027 961214FK4 85000.0000000000 PA USD 86188.2500000000 0.6780910052 Long DBT CORP AU N 2 2027-11-18 Fixed 5.457000000000000 N N N N N N Williams Cos Inc/The D71FAKCBLFS2O0RBPG08 Williams Cos Inc/The 4.00 09/15/2025 96949LAB1 66000.0000000000 PA USD 64206.1900000000 0.5051458861 Long DBT CORP US N 2 2025-09-15 Fixed 4.000000000000000 N N N N N N Xilinx Inc 6EY4K7ZMF9UX1CU6KC79 Xilinx Inc 2.95 06/01/2024 983919AJ0 50000.0000000000 PA USD 49356.0000000000 0.3883111637 Long DBT CORP US N 2 2024-06-01 Fixed 2.950000000000000 N N N N N N Aon Global Ltd VVT2B79I2Z4U3R6BY589 Aon Global Ltd 3.88 12/15/2025 00185AAK0 50000.0000000000 PA USD 48601.4000000000 0.3823743048 Long DBT CORP GB N 2 2025-12-15 Fixed 3.875000000000000 N N N N N N Chubb INA Holdings Inc CZCBJZWDMLTHWJDXU843 Chubb INA Holdings Inc 3.35 05/15/2024 00440EAR8 90000.0000000000 PA USD 89070.9000000000 0.7007704195 Long DBT CORP US N 2 2024-05-15 Fixed 3.350000000000000 N N N N N N Air Lease Corp 5493004NW4M4P8TMMK63 Air Lease Corp 2.88 01/15/2026 00914AAJ1 20000.0000000000 PA USD 18825.9500000000 0.1481142425 Long DBT CORP US N 2 2026-01-15 Fixed 2.875000000000000 N N N N N N American Honda Finance Corp B6Q2VFHD1797Q7NZ3E43 American Honda Finance Corp 2.90 02/16/2024 02665WBP5 60000.0000000000 PA USD 59648.4500000000 0.4692876049 Long DBT CORP US N 2 2024-02-16 Fixed 2.900000000000000 N N N N N N American Honda Finance Corp B6Q2VFHD1797Q7NZ3E43 American Honda Finance Corp 1.00 09/10/2025 02665WDN8 78000.0000000000 PA USD 72539.1900000000 0.5707062420 Long DBT CORP US N 2 2025-09-10 Fixed 1.000000000000000 N N N N N N American International Group Inc ODVCVCQG2BP6VHV36M30 American International Group Inc 4.20 04/01/2028 026874DK0 75000.0000000000 PA USD 71492.5500000000 0.5624717417 Long DBT CORP US N 2 2028-04-01 Fixed 4.200000000000000 N N N N N N 2024-01-25 American Century ETF Trust Amy R. Bitter Amy R. Bitter Assistant Treasurer XXXX NPORT-EX 2 adw8_q1holdings052.htm PART F Document

American Century Investments®
Quarterly Portfolio Holdings
Avantis® Short-Term Fixed Income Fund
November 30, 2023



Avantis Short-Term Fixed Income Fund - Schedule of Investments
NOVEMBER 30, 2023 (UNAUDITED)
Principal
Amount ($)/Shares
Value ($)
CORPORATE BONDS — 73.4%  
Aerospace and Defense — 0.3%  
Huntington Ingalls Industries, Inc., 3.84%, 5/1/2536,000 35,047 
Air Freight and Logistics — 0.7%  
United Parcel Service, Inc., 3.05%, 11/15/27100,000 94,046 
Automobiles — 2.5%  
American Honda Finance Corp., 2.90%, 2/16/2460,000 59,649 
American Honda Finance Corp., 1.00%, 9/10/2578,000 72,539 
General Motors Financial Co., Inc., 4.00%, 1/15/2520,000 19,573 
General Motors Financial Co., Inc., 5.25%, 3/1/2645,000 44,497 
Toyota Motor Corp., 1.34%, 3/25/26100,000 92,089 
Toyota Motor Credit Corp., 2.50%, 3/22/2435,000 34,689 
 323,036 
Banks — 12.5%  
Asian Development Bank, 1.50%, 10/18/24100,000 96,822 
Asian Development Bank, 0.50%, 2/4/26100,000 91,419 
Asian Infrastructure Investment Bank, 4.00%, 1/18/2850,000 48,880 
Bank of Montreal, 1.85%, 5/1/2572,000 68,385 
Bank of Nova Scotia, 5.25%, 6/12/2875,000 74,602 
Citigroup, Inc., 3.70%, 1/12/2675,000 72,519 
Council Of Europe Development Bank, 2.50%, 2/27/2425,000 24,828 
European Bank for Reconstruction & Development, 0.50%, 5/19/2535,000 32,773 
European Investment Bank, 0.375%, 7/24/24100,000 96,916 
European Investment Bank, 1.375%, 3/15/2750,000 45,279 
Export Development Canada, 2.625%, 2/21/2450,000 49,686 
Export Development Canada, 3.875%, 2/14/28100,000 97,685 
Inter-American Development Bank, 2.625%, 1/16/24150,000 149,490 
International Bank for Reconstruction & Development, 0.875%, 7/15/2610,000 9,089 
Mitsubishi UFJ Financial Group, Inc., 3.29%, 7/25/2765,000 60,769 
PNC Financial Services Group, Inc., 2.20%, 11/1/2490,000 87,232 
Royal Bank of Canada, 6.00%, 11/1/2775,000 77,084 
Santander Holdings USA, Inc., 4.50%, 7/17/2566,000 64,414 
Sumitomo Mitsui Financial Group, Inc., 3.36%, 7/12/2765,000 60,773 
Toronto-Dominion Bank, 1.20%, 6/3/26105,000 94,873 
US Bancorp, 2.40%, 7/30/2435,000 34,232 
Wells Fargo & Co., 3.55%, 9/29/2536,000 34,805 
Wells Fargo & Co., 3.00%, 10/23/2625,000 23,421 
Westpac Banking Corp., 5.46%, 11/18/2785,000 86,188 
 1,582,164 
Building Products — 0.2%  
Owens Corning, 3.40%, 8/15/2628,000 26,531 
Capital Markets — 6.4%  
Ameriprise Financial, Inc., 2.875%, 9/15/2698,000 92,502 
Bank of New York Mellon Corp., 3.25%, 9/11/2498,000 96,081 
BlackRock, Inc., 3.20%, 3/15/27100,000 95,376 
Brookfield Finance, Inc., 3.90%, 1/25/2875,000 70,534 
Charles Schwab Corp., 3.85%, 5/21/2566,000 64,299 
CME Group, Inc., 3.00%, 3/15/2535,000 34,098 
Goldman Sachs Group, Inc., 3.75%, 5/22/2566,000 64,178 
Lazard Group LLC, 3.75%, 2/13/2566,000 64,199 



Morgan Stanley, 3.875%, 1/27/2675,000 72,883 
Nasdaq, Inc., 5.35%, 6/28/2875,000 75,383 
State Street Corp., 3.55%, 8/18/2586,000 83,591 
 813,124 
Chemicals — 0.7%  
Ecolab, Inc., 2.70%, 11/1/2695,000 89,786 
Consumer Finance — 0.5%  
Capital One Financial Corp., 4.25%, 4/30/2566,000 64,285 
Consumer Staples Distribution & Retail — 2.3%  
Costco Wholesale Corp., 2.75%, 5/18/24(1)
100,000 98,908 
Dollar Tree, Inc., 4.00%, 5/15/2566,000 64,285 
Sysco Corp., 3.30%, 7/15/2645,000 42,830 
Target Corp., 1.95%, 1/15/27(1)
100,000 91,975 
 297,998 
Containers and Packaging — 0.1%  
Packaging Corp. of America, 3.65%, 9/15/2413,000 12,785 
Diversified REITs — 3.0%  
Digital Realty Trust LP, 4.45%, 7/15/2875,000 71,529 
Mid-America Apartments LP, 3.60%, 6/1/2750,000 47,501 
Prologis LP, 3.25%, 10/1/26100,000 95,062 
Simon Property Group LP, 3.375%, 6/15/2765,000 60,966 
Spirit Realty LP, 4.45%, 9/15/2642,000 40,710 
Ventas Realty LP, 3.85%, 4/1/2765,000 61,227 
 376,995 
Electric Utilities — 4.9%  
Baltimore Gas & Electric Co., 2.40%, 8/15/2664,000 59,719 
Berkshire Hathaway Energy Co., 4.05%, 4/15/2536,000 35,370 
Berkshire Hathaway Energy Co., 3.25%, 4/15/28100,000 92,355 
Cleco Corporate Holdings LLC, 3.74%, 5/1/2661,000 58,181 
DTE Electric Co., Series A, 1.90%, 4/1/2865,000 57,129 
Duke Energy Progress LLC, 3.25%, 8/15/2524,000 23,252 
Edison International, 4.125%, 3/15/2875,000 70,539 
Emera US Finance LP, 3.55%, 6/15/2662,000 59,363 
Entergy Louisiana LLC, 5.59%, 10/1/2458,000 57,839 
Florida Power & Light Co., 5.05%, 4/1/2850,000 50,125 
Public Service Electric & Gas Co., 2.25%, 9/15/2664,000 59,452 
 623,324 
Electronic Equipment, Instruments and Components — 1.0%  
Avnet, Inc., 6.25%, 3/15/2850,000 50,864 
Flex Ltd., 3.75%, 2/1/2647,000 44,964 
Keysight Technologies, Inc., 4.55%, 10/30/2436,000 35,538 
 131,366 
Energy Equipment and Services — 0.8%  
Schlumberger Finance Canada Ltd., 1.40%, 9/17/25104,000 97,445 
Financial Services — 1.1%  
Global Payments, Inc., 4.95%, 8/15/2750,000 49,032 
National Rural Utilities Cooperative Finance Corp., 3.40%, 2/7/2850,000 46,711 
National Rural Utilities Cooperative Finance Corp., Series D, 1.00%, 10/18/2450,000 48,091 
 143,834 
Food Products — 1.3%  
Bunge Ltd. Finance Corp., 1.63%, 8/17/2529,000 27,162 
Hershey Co., 2.05%, 11/15/2436,000 34,898 
Hormel Foods Corp., 0.65%, 6/3/2460,000 58,548 
Tyson Foods, Inc., 4.00%, 3/1/2645,000 43,723 
 164,331 



Gas Utilities — 0.5%  
Southern California Gas Co., 3.15%, 9/15/2463,000 61,803 
Ground Transportation — 1.0%  
Ryder System, Inc., 2.50%, 9/1/2436,000 35,126 
Ryder System, Inc., 3.35%, 9/1/2518,000 17,317 
Union Pacific Corp., 3.15%, 3/1/2475,000 74,511 
 126,954 
Health Care Equipment and Supplies — 1.5%  
DH Europe Finance II Sarl, 2.20%, 11/15/24100,000 96,927 
Medtronic Global Holdings SCA, 4.25%, 3/30/28100,000 98,005 
 194,932 
Health Care Providers and Services — 2.3%  
Cardinal Health, Inc., 3.50%, 11/15/2469,000 67,575 
HCA, Inc., 5.00%, 3/15/2436,000 35,901 
Humana, Inc., 3.95%, 3/15/2765,000 62,569 
UnitedHealth Group, Inc., 2.375%, 8/15/24100,000 97,909 
Universal Health Services, Inc., 1.65%, 9/1/2630,000 26,961 
 290,915 
Health Care REITs — 0.1%  
Omega Healthcare Investors, Inc., 4.95%, 4/1/2415,000 14,938 
Hotels, Restaurants and Leisure — 1.6%  
Booking Holdings, Inc., 3.65%, 3/15/2597,000 95,007 
Hyatt Hotels Corp., 4.85%, 3/15/2645,000 44,199 
Marriott International, Inc., 5.00%, 10/15/2760,000 59,696 
 198,902 
Household Products — 0.2%  
Colgate-Palmolive Co., 3.25%, 3/15/2420,000 19,859 
Industrial Conglomerates — 0.8%  
3M Co., 2.65%, 4/15/25100,000 96,256 
Insurance — 3.7%  
American International Group, Inc., 4.20%, 4/1/2875,000 71,493 
Aon Global Ltd., 3.875%, 12/15/2550,000 48,601 
Chubb INA Holdings, Inc., 3.35%, 5/15/2490,000 89,071 
MetLife, Inc., 3.60%, 11/13/2534,000 33,048 
Progressive Corp., 2.50%, 3/15/27100,000 92,626 
Prudential Financial, Inc., 1.50%, 3/10/2675,000 69,020 
Reinsurance Group of America, Inc., 3.95%, 9/15/2675,000 71,941 
 475,800 
IT Services — 0.8%  
International Business Machines Corp., 3.00%, 5/15/24100,000 98,861 
Machinery — 2.7%  
Caterpillar Financial Services Corp., 3.30%, 6/9/2439,000 38,528 
Caterpillar Financial Services Corp., 1.45%, 5/15/2536,000 34,153 
John Deere Capital Corp., 3.45%, 1/10/2469,000 68,823 
John Deere Capital Corp., 4.95%, 7/14/2825,000 25,064 
PACCAR Financial Corp., 4.95%, 8/10/28100,000 100,450 
Stanley Black & Decker, Inc., 6.00%, 3/6/2875,000 76,838 
 343,856 
Media — 0.8%  
Comcast Corp., 3.375%, 8/15/2542,000 40,757 
Discovery Communications LLC, 4.90%, 3/11/2660,000 59,302 
 100,059 
Metals and Mining — 1.2%  
ArcelorMittal SA, 4.55%, 3/11/2620,000 19,559 
BHP Billiton Finance USA Ltd., 6.42%, 3/1/2630,000 30,756 



BHP Billiton Finance USA Ltd., 4.75%, 2/28/28100,000 99,084 
 149,399 
Oil, Gas and Consumable Fuels — 5.0%  
BP Capital Markets America, Inc., 3.02%, 1/16/2725,000 23,624 
BP Capital Markets PLC, 3.28%, 9/19/27100,000 94,916 
Energy Transfer LP, 3.90%, 7/15/2670,000 67,219 
Energy Transfer LP, 5.55%, 2/15/2875,000 75,368 
Enterprise Products Operating LLC, 3.90%, 2/15/2465,000 64,748 
Equinor ASA, 7.25%, 9/23/27100,000 108,050 
Exxon Mobil Corp., 2.71%, 3/6/2572,000 69,928 
Shell International Finance BV, 3.25%, 5/11/2566,000 64,326 
Williams Cos., Inc., 4.00%, 9/15/2566,000 64,206 
 632,385 
Passenger Airlines — 0.6%  
Southwest Airlines Co., 5.125%, 6/15/2775,000 74,188 
Personal Care Products — 0.9%  
Estee Lauder Cos., Inc., 2.00%, 12/1/2436,000 34,798 
Kenvue, Inc., 5.50%, 3/22/2575,000 75,223 
 110,021 
Pharmaceuticals — 2.4%  
Astrazeneca Finance LLC, 1.75%, 5/28/28100,000 88,102 
Novartis Capital Corp., 1.75%, 2/14/2529,000 27,877 
Novartis Capital Corp., 3.00%, 11/20/2527,000 26,062 
Pfizer, Inc., 3.40%, 5/15/2497,000 96,233 
Royalty Pharma PLC, 1.20%, 9/2/2578,000 72,026 
 310,300 
Retail REITs — 1.0%  
Federal Realty OP LP, 3.25%, 7/15/2765,000 60,073 
Kimco Realty OP LLC, 3.30%, 2/1/2566,000 64,145 
 124,218 
Semiconductors and Semiconductor Equipment — 2.9%  
Intel Corp., 4.875%, 2/10/28100,000 100,059 
KLA Corp., 4.65%, 11/1/24100,000 99,238 
Lam Research Corp., 3.80%, 3/15/2560,000 58,871 
Marvell Technology, Inc., 1.65%, 4/15/2667,000 61,573 
Xilinx, Inc., 2.95%, 6/1/2450,000 49,356 
 369,097 
Specialized REITs — 0.5%  
American Tower Corp., 3.55%, 7/15/2765,000 61,193 
Specialty Retail — 2.1%  
Home Depot, Inc., 3.75%, 2/15/2466,000 65,771 
Home Depot, Inc., 2.125%, 9/15/2640,000 37,204 
Ross Stores, Inc., 4.60%, 4/15/2566,000 65,205 
TJX Cos., Inc., 2.25%, 9/15/26110,000 102,659 
 270,839 
Technology Hardware, Storage and Peripherals — 0.8%  
Apple, Inc., 3.00%, 2/9/245,000 4,975 
Apple, Inc., 2.45%, 8/4/2671,000 66,959 
Hewlett Packard Enterprise Co., 4.90%, 10/15/2536,000 35,655 
 107,589 
Textiles, Apparel and Luxury Goods — 1.5%  
NIKE, Inc., 2.75%, 3/27/27100,000 93,951 
Ralph Lauren Corp., 3.75%, 9/15/25100,000 97,153 
 191,104 



Trading Companies and Distributors — 0.2%  
Air Lease Corp., 2.875%, 1/15/2620,000 18,826 
TOTAL CORPORATE BONDS
(Cost $9,611,612)
 9,318,391 
U.S. TREASURY SECURITIES — 22.4%  
U.S. Treasury Notes, 0.375%, 4/15/24190,000 186,589 
U.S. Treasury Notes, 0.375%, 7/15/24400,000 388,074 
U.S. Treasury Notes, 0.375%, 9/15/24300,000 288,750 
U.S. Treasury Notes, 1.75%, 12/31/24(2)
350,000 337,586 
U.S. Treasury Notes, 0.625%, 11/30/27200,000 172,738 
U.S. Treasury Notes, 0.625%, 12/31/27175,000 150,739 
U.S. Treasury Notes, 1.25%, 3/31/28210,000 184,435 
U.S. Treasury Notes, 1.25%, 4/30/28250,000 219,107 
U.S. Treasury Notes, 1.25%, 6/30/28550,000 479,832 
U.S. Treasury Notes, 1.00%, 7/31/28500,000 430,029 
TOTAL U.S. TREASURY SECURITIES
(Cost $2,875,661)
 2,837,879 
U.S. GOVERNMENT AGENCY SECURITIES — 3.1%  
FHLB, 2.375%, 3/14/2550,000 48,277 
FHLB, 0.375%, 9/4/2525,000 23,152 
FHLB, 1.25%, 12/21/26100,000 90,759 
FNMA, 1.625%, 10/15/2475,000 72,726 
FNMA, 0.375%, 8/25/2525,000 23,169 
FNMA, 1.875%, 9/24/26100,000 93,052 
Tennessee Valley Authority, 0.75%, 5/15/2548,000 45,127 
TOTAL U.S. GOVERNMENT AGENCY SECURITIES
(Cost $415,417)
 396,262 
SHORT-TERM INVESTMENTS — 2.4%  
Money Market Funds — 2.4%  
State Street Institutional U.S. Government Money Market Fund, Premier Class107,974 107,974 
State Street Navigator Securities Lending Government Money Market Portfolio(3)
195,750 195,750 
TOTAL SHORT-TERM INVESTMENTS
(Cost $303,724)
 303,724 
TOTAL INVESTMENT SECURITIES — 101.3%
(Cost $13,206,414)
 12,856,256 
OTHER ASSETS AND LIABILITIES — (1.3)% (160,109)
TOTAL NET ASSETS — 100.0% $12,696,147 

NOTES TO SCHEDULE OF INVESTMENTS
FHLBFederal Home Loan Bank
FNMAFederal National Mortgage Association
(1)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $190,883. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(2)Security, or a portion thereof, has been pledged at the custodian bank or with a broker for collateral requirements on futures contract. At the period end, the aggregate value of securities pledged was $156,254.
(3)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $195,750.



SUPPLEMENTARY NOTES TO SCHEDULE OF INVESTMENTS

1. Investment Valuations

The fund determines the fair value of its investments and computes its net asset value (NAV) per share at the close of regular trading (usually 4 p.m. Eastern time) on the New York Stock Exchange (NYSE) on each day the NYSE is open. The value of investments of the fund is determined by American Century Investment Management, Inc. (ACIM) (the investment advisor), as the valuation designee, pursuant to its valuation policies and procedures. The Board of Trustees oversees the valuation designee and reviews its valuation policies and procedures at least annually.

Fixed income securities are valued at the evaluated mean as provided by independent pricing services or at the mean of the most recent bid and asked prices as provided by investment dealers. Corporate bonds and U.S. Treasury and Government Agency securities are valued using market models that consider trade data, quotations from dealers and active market makers, relevant yield curve and spread data, creditworthiness, trade data or market information on comparable securities, and other relevant security specific information.

Open-end management investment companies are valued at the reported NAV per share. Exchange-traded futures contracts are valued at the settlement price as provided by the appropriate exchange.

If the valuation designee determines that the market price for a portfolio security is not readily available or is believed by the valuation designee to be unreliable, such security is valued at fair value as determined in good faith by the valuation designee, in accordance with its policies and procedures. Circumstances that may cause the fund to determine that market quotations are not available or reliable include, but are not limited to: when there is a significant event subsequent to the market quotation; trading in a security has been halted during the trading day; or trading in a security is insufficient or did not take place due to a closure or holiday.

The valuation designee monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; regulatory news, governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region.

2. Fair Value Measurements

The fund's investments valuation process is based on several considerations and may use multiple inputs to determine the fair value of the investments held by the fund. In conformity with accounting principles generally accepted in the United States of America, the inputs used to determine a valuation are classified into three broad levels. 

Level 1 valuation inputs consist of unadjusted quoted prices in an active market for identical investments.

Level 2 valuation inputs consist of direct or indirect observable market data (including quoted prices for comparable investments, evaluations of subsequent market events, interest rates, prepayment speeds, credit risk, etc.). These inputs also consist of quoted prices for identical investments initially expressed in local currencies that are adjusted through translation into U.S. dollars. 

Level 3 valuation inputs consist of unobservable data (including a fund’s own assumptions).

The level classification is based on the lowest level input that is significant to the fair valuation measurement. The valuation inputs are not necessarily an indication of the risks associated with investing in these securities or other financial instruments.

The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund's portfolio holdings.
Level 1Level 2Level 3
Assets
Investment Securities
Corporate Bonds— $9,318,391 — 
U.S. Treasury Securities— 2,837,879 — 
U.S. Government Agency Securities— 396,262 — 
Short-Term Investments$303,724 — — 
$303,724 $12,552,532 — 
This schedule of investments provides information about the fund’s portfolio holdings as of the date on the schedule. It is unaudited, and American Century Investments assumes no obligation to update or supplement the schedule to reflect subsequent changes. More information is available in the fund’s most recent annual or semiannual shareholder report.