0001145549-22-049979.txt : 20220824 0001145549-22-049979.hdr.sgml : 20220824 20220824162657 ACCESSION NUMBER: 0001145549-22-049979 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220630 FILED AS OF DATE: 20220824 DATE AS OF CHANGE: 20220824 PERIOD START: 20230331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN CENTURY CAPITAL PORTFOLIOS INC CENTRAL INDEX KEY: 0000908186 IRS NUMBER: 431646043 STATE OF INCORPORATION: MD FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07820 FILM NUMBER: 221191896 BUSINESS ADDRESS: STREET 1: 4500 MAIN STREET STREET 2: 9TH FLOOR 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: TWENTIETH CENTURY CAPITAL PORTFOLIOS INC DATE OF NAME CHANGE: 19930624 0000908186 S000005779 MID CAP VALUE FUND C000015878 INVESTOR CLASS ACMVX C000015879 A CLASS ACLAX C000015880 I CLASS AVUAX C000015881 R CLASS AMVRX C000087957 C CLASS ACCLX C000131604 R6 CLASS AMDVX C000189828 R5 CLASS AMVGX C000189829 Y CLASS AMVYX C000236301 G Class ACIPX NPORT-P 1 primary_doc.xml NPORT-P false 0000908186 XXXXXXXX S000005779 C000015880 C000015878 C000015879 C000015881 C000189828 C000131604 C000189829 C000236301 C000087957 American Century Capital Portfolios, Inc. 811-07820 0000908186 54930011K8R4RJDCY258 4500 Main St Kansas City 64111 816-531-5575 Mid Cap Value Fund S000005779 EJWSPPM3JS2TXIBHG537 2023-03-31 2022-06-30 N 8925503837.180000000000 41303827.030000000000 8884200010.150000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 9145776.980000000000 UST BANK OF AMERICA, N.A. 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Amy R. Bitter Amy R. Bitter Assistant Treasurer XXXX NPORT-EX 2 acci_midcapvalue.htm PART F Document

American Century Investments®
Quarterly Portfolio Holdings
Mid Cap Value Fund
June 30, 2022



Mid Cap Value - Schedule of Investments
JUNE 30, 2022 (UNAUDITED)
Shares/
Principal Amount ($)
Value ($)
COMMON STOCKS — 97.7%
Aerospace and Defense — 1.1%
Huntington Ingalls Industries, Inc.442,839 96,459,191 
Airlines — 1.8%
Southwest Airlines Co.(1)
4,378,784 158,161,678 
Auto Components — 2.0%
Aptiv PLC(1)
347,877 30,985,404 
BorgWarner, Inc.3,711,906 123,866,303 
Bridgestone Corp.(2)
743,100 27,092,958 
181,944,665 
Banks — 5.4%
Commerce Bancshares, Inc.200,591 13,168,799 
First Hawaiian, Inc.5,636,411 128,002,894 
Prosperity Bancshares, Inc.1,985,126 135,524,552 
Truist Financial Corp.3,072,489 145,728,153 
Westamerica Bancorporation1,023,147 56,948,362 
479,372,760 
Building Products — 0.9%
Cie de Saint-Gobain1,758,676 75,991,033 
Capital Markets — 8.2%
Ameriprise Financial, Inc.420,353 99,909,501 
Bank of New York Mellon Corp.5,185,809 216,300,093 
Northern Trust Corp.2,342,010 225,957,125 
State Street Corp.538,352 33,189,401 
T. Rowe Price Group, Inc.1,328,740 150,958,151 
726,314,271 
Chemicals — 1.5%
Akzo Nobel NV1,026,995 67,163,287 
Axalta Coating Systems Ltd.(1)
3,143,677 69,506,698 
136,669,985 
Commercial Services and Supplies — 0.5%
Republic Services, Inc.329,141 43,074,683 
Communications Equipment — 1.4%
F5, Inc.(1)
594,538 90,988,096 
Juniper Networks, Inc.1,042,509 29,711,506 
120,699,602 
Construction and Engineering — 0.6%
Vinci SA549,708 49,342,569 
Containers and Packaging — 2.4%
Amcor PLC2,211,950 27,494,539 
Packaging Corp. of America704,737 96,901,337 
Sonoco Products Co.1,611,271 91,906,898 
216,302,774 
Electric Utilities — 4.0%
Edison International2,949,709 186,539,597 
Evergy, Inc.436,448 28,478,232 
Eversource Energy430,146 36,334,433 
Pinnacle West Capital Corp.1,422,013 103,977,590 
355,329,852 
Electrical Equipment — 4.5%
Atkore, Inc.(1)
505,105 41,928,766 



Emerson Electric Co.2,301,018 183,022,972 
Hubbell, Inc.183,180 32,712,284 
nVent Electric PLC4,555,465 142,722,719 
400,386,741 
Electronic Equipment, Instruments and Components — 1.0%
TE Connectivity Ltd.812,253 91,906,427 
Energy Equipment and Services — 0.9%
Baker Hughes Co.2,686,328 77,554,289 
Equity Real Estate Investment Trusts (REITs) — 8.2%
Equinix, Inc.180,403 118,528,379 
Essex Property Trust, Inc.300,486 78,580,094 
Healthcare Trust of America, Inc., Class A3,443,033 96,095,051 
Healthpeak Properties, Inc.5,205,159 134,865,670 
Realty Income Corp.1,100,165 75,097,263 
Regency Centers Corp.1,859,263 110,272,889 
VICI Properties, Inc.2,699,571 80,420,220 
Weyerhaeuser Co.943,796 31,258,523 
725,118,089 
Food and Staples Retailing — 1.8%
Koninklijke Ahold Delhaize NV6,268,261 163,156,604 
Food Products — 4.5%
Conagra Brands, Inc.5,584,623 191,217,491 
General Mills, Inc.412,673 31,136,178 
J.M. Smucker Co.681,713 87,266,081 
Kellogg Co.427,002 30,462,323 
Orkla ASA7,108,744 56,945,982 
397,028,055 
Gas Utilities — 2.0%
Atmos Energy Corp.302,380 33,896,798 
Spire, Inc.1,907,349 141,849,545 
175,746,343 
Health Care Equipment and Supplies — 5.8%
Baxter International, Inc.678,707 43,593,351 
Becton Dickinson and Co.185,371 45,699,513 
DENTSPLY SIRONA, Inc.1,611,689 57,585,648 
Embecta Corp.(1)
2,098,119 53,124,373 
Koninklijke Philips NV, NY Shares1,751,286 37,705,187 
Zimmer Biomet Holdings, Inc.2,637,133 277,057,193 
514,765,265 
Health Care Providers and Services — 6.9%
AmerisourceBergen Corp.741,981 104,975,472 
Cardinal Health, Inc.1,199,455 62,695,513 
Henry Schein, Inc.(1)
1,813,001 139,129,697 
Quest Diagnostics, Inc.1,309,082 174,081,724 
Universal Health Services, Inc., Class B1,341,759 135,128,549 
616,010,955 
Hotels, Restaurants and Leisure — 1.4%
Cracker Barrel Old Country Store, Inc.(2)
391,113 32,654,024 
Sodexo SA1,266,332 89,573,089 
122,227,113 
Household Products — 2.2%
Henkel AG & Co. KGaA, Preference Shares785,501 48,607,242 
Kimberly-Clark Corp.1,086,056 146,780,468 
195,387,710 
Insurance — 6.5%
Aflac, Inc.2,054,990 113,702,597 



Allstate Corp.1,495,719 189,552,469 
Chubb Ltd.226,004 44,427,866 
Hanover Insurance Group, Inc.485,271 70,970,884 
Reinsurance Group of America, Inc.1,396,573 163,804,047 
582,457,863 
IT Services — 0.9%
Amdocs Ltd.924,981 77,060,167 
Leisure Products — 0.6%
Polaris, Inc.558,039 55,402,112 
Machinery — 3.9%
Cummins, Inc.464,775 89,947,906 
IMI PLC2,917,059 41,838,464 
Oshkosh Corp.1,656,449 136,060,721 
PACCAR, Inc.488,238 40,201,517 
Stanley Black & Decker, Inc.349,382 36,636,196 
344,684,804 
Media — 1.4%
Fox Corp., Class B4,221,884 125,389,955 
Multi-Utilities — 1.4%
NorthWestern Corp.2,153,372 126,898,212 
Multiline Retail — 1.8%
Dollar Tree, Inc.(1)
1,037,156 161,640,763 
Oil, Gas and Consumable Fuels — 4.1%
Devon Energy Corp.1,492,256 82,238,228 
Diamondback Energy, Inc.370,825 44,925,449 
Enterprise Products Partners LP4,305,435 104,923,451 
Phillips 66876,539 71,867,433 
Pioneer Natural Resources Co.257,077 57,348,737 
361,303,298 
Paper and Forest Products — 0.7%
Mondi PLC3,658,702 64,942,519 
Road and Rail — 0.6%
Heartland Express, Inc.(3)
4,103,800 57,083,858 
Semiconductors and Semiconductor Equipment — 0.4%
Applied Materials, Inc.353,355 32,148,238 
Software — 1.0%
Open Text Corp.2,313,488 87,542,386 
Specialty Retail — 1.8%
Advance Auto Parts, Inc.943,574 163,323,224 
Technology Hardware, Storage and Peripherals — 0.9%
HP, Inc.2,563,542 84,032,907 
Thrifts and Mortgage Finance — 0.4%
Capitol Federal Financial, Inc.4,099,524 37,633,630 
Trading Companies and Distributors — 2.3%
Beacon Roofing Supply, Inc.(1)
1,099,537 56,472,220 
MSC Industrial Direct Co., Inc., Class A1,958,838 147,128,321 
203,600,541 
TOTAL COMMON STOCKS
(Cost $8,209,548,034)
8,684,095,131 
SHORT-TERM INVESTMENTS — 2.5%
Discount Notes(4) — 1.0%
Federal Home Loan Bank Discount Notes, 1.02%, 7/1/2285,000,000 85,000,000 
Money Market Funds
State Street Institutional U.S. Government Money Market Fund, Premier Class141,299 141,299 
State Street Navigator Securities Lending Government Money Market Portfolio(5)
635,795 635,795 
777,094 



Repurchase Agreements — 1.2%
BMO Capital Markets Corp., (collateralized by various U.S. Treasury obligations, 0.125% - 4.25%, 5/15/23 - 11/15/43, valued at $15,996,293), in a joint trading account at 1.43%, dated 6/30/22, due 7/1/22 (Delivery value $15,621,805)15,621,184 
Fixed Income Clearing Corp., (collateralized by various U.S. Treasury obligations, 1.25% - 3.625%, 3/31/28 - 4/15/28, valued at $95,804,586), at 1.44%, dated 6/30/22, due 7/1/22 (Delivery value $93,929,757)93,926,000 
109,547,184 
Treasury Bills(4) — 0.3%
U.S. Treasury Bills, 0.61%, 7/7/2225,000,000 24,996,896 
TOTAL SHORT-TERM INVESTMENTS
(Cost $220,321,778)
220,321,174 
TOTAL INVESTMENT SECURITIES — 100.2%
(Cost $8,429,869,812)
8,904,416,305 
OTHER ASSETS AND LIABILITIES — (0.2)%
(17,397,911)
TOTAL NET ASSETS — 100.0%
$8,887,018,394 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS
Currency PurchasedCurrency SoldCounterpartySettlement Date
Unrealized Appreciation
(Depreciation)
USD11,165,822 EUR10,526,703 JPMorgan Chase Bank N.A.9/30/22$65,502 
USD448,055,052 EUR423,740,805 JPMorgan Chase Bank N.A.9/30/221,223,975 
GBP2,573,026 USD3,161,889 Bank of America N.A.9/30/22(24,467)
USD2,375,426 GBP1,954,954 Bank of America N.A.9/30/22(8,349)
USD2,800,740 GBP2,292,006 Bank of America N.A.9/30/225,980 
USD93,857,718 GBP76,397,771 Bank of America N.A.9/30/22702,035 
JPY110,536,125 USD818,295 Bank of America N.A.9/30/221,465 
USD24,294,016 JPY3,259,236,600 Bank of America N.A.9/30/22122,791 
USD1,650,988 NOK16,193,719 UBS AG9/30/223,715 
USD45,165,037 NOK449,556,971 UBS AG9/30/22(565,250)
$1,527,397 

NOTES TO SCHEDULE OF INVESTMENTS
EUR-Euro
GBP-British Pound
JPY-Japanese Yen
NOK-Norwegian Krone
USD-United States Dollar
Category is less than 0.05% of total net assets.
(1)Non-income producing.
(2)Security, or a portion thereof, is on loan. At the period end, the aggregate value of securities on loan was $27,172,381. 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.
(3)Affiliated Company: the fund’s holding represents ownership of 5% or more of the voting securities of the company; therefore, the company is affiliated as defined in the Investment Company Act of 1940.
(4)The rate indicated is the yield to maturity at purchase for non-interest bearing securities. For interest bearing securities, the stated coupon rate is shown.
(5)Investment of cash collateral from securities on loan. At the period end, the aggregate value of the collateral held by the fund was $29,762,232, which includes securities collateral of $29,126,437.



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 Board of Directors has adopted valuation policies and procedures to guide the investment advisor in the fund’s investment valuation process and to provide methodologies for the oversight of the fund’s pricing function.
Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price. Equity securities initially expressed in local currencies are translated into U.S. dollars at the mean of the appropriate currency exchange rate at the close of the NYSE as provided by an independent pricing service.
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. 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. Repurchase agreements are valued at cost, which approximates fair value. Forward foreign currency exchange contracts are valued at the mean of the appropriate forward exchange rate at the close of the NYSE as provided by an independent pricing service.
If the fund determines that the market price for an investment is not readily available or the valuation methods mentioned above do not reflect an investment’s fair value, such investment is valued as determined in good faith by the Board of Directors or its delegate, in accordance with policies and procedures adopted by the Board of Directors. In its determination of fair value, the fund may review several factors including, but not limited to, market information regarding the specific investment or comparable investments and correlation with other investment types, futures indices or general market indicators. Circumstances that may cause the fund to use these procedures to value an investment include, but are not limited to: an investment has been declared in default or is distressed; trading in a security has been suspended during the trading day or a security is not actively trading on its principal exchange; prices received from a regular pricing source are deemed unreliable; or there is a foreign market holiday and no trading occurred.
The fund 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; 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. The fund also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that the Board of Directors, or its delegate, deems appropriate. The fund may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

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 1 ($)Level 2 ($)Level 3 ($)
Assets
Investment Securities
Common Stocks
Auto Components154,851,707 27,092,958 — 
Building Products— 75,991,033 — 
Chemicals69,506,698 67,163,287 — 
Construction and Engineering— 49,342,569 — 
Food and Staples Retailing— 163,156,604 — 
Food Products340,082,073 56,945,982 — 
Hotels, Restaurants and Leisure32,654,024 89,573,089 — 
Household Products146,780,468 48,607,242 — 
Machinery302,846,340 41,838,464 — 
Paper and Forest Products— 64,942,519 — 
Other Industries6,952,720,074 — — 
Short-Term Investments777,094 219,544,080 — 
8,000,218,478 904,197,827 — 
Other Financial Instruments
Forward Foreign Currency Exchange Contracts— 2,125,463 — 
Liabilities
Other Financial Instruments
Forward Foreign Currency Exchange Contracts— 598,066 — 

3. Affiliated Company Transactions

If a fund's holding represents ownership of 5% or more of the voting securities of a company, the company is affiliated as defined in the 1940 Act. A summary of transactions for each company which is or was an affiliate at or during the period ended June 30, 2022 follows (amounts in thousands):
CompanyBeginning
Value
Purchase
Cost
Sales CostChange in Net
Unrealized
Appreciation
(Depreciation)
Ending
Value
Ending
Shares
Net Realized
Gain (Loss)
Income
Heartland Express, Inc.$57,740 — — $(656)$57,084 4,104 — $82 
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.