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Fund Holdings of AMERICAN CENTURY COMPANIES INC Filed on 2012-02-08

Link to Original SEC 13F filings sorted on filing date: 2012-02-08 | 2011-11-10 | 2011-08-05 | 2011-05-11 | 2011-02-04 | 2010-11-12 | 2010-08-11 | 2010-05-12 | 2010-02-11 | 2009-11-10 | 2009-08-11 | 2009-05-13 | 2009-02-09 | 2008-11-13 | 2008-08-13 | 2008-05-13 |

1. Fund Information

Fund NameAMERICAN CENTURY COMPANIES INC
Fund Manager
Address4500 MAIN STREET,
KANSAS CITY, MO, 64111
::Google Map
Phone(816) 531-5575
13F Asset Last Qtr$55,150,176,422
13F Asset This Qtr$60,732,674,439
Asset Change10.12%

2. Comparison of Holdings by Sectors with Last Quarter

3. Top 20 Holdings (Value) of This Quarter

No.SecurityPut/CallStockSharesValue(x$1000)Activity(Shr)% Port.
1.)APPLE INC.AAPL4,981,404$2,017,469Cut -0.60%3.32%
2.)EXXON MOBIL CORP.XOM18,048,982$1,529,832Cut -7.12%2.52%
3.)GOOGLE INC.GOOG1,729,808$1,117,283Added 2.42%1.84%
4.)SCHLUMBERGER LTD.SLB9,939,724$678,983Added 4.46%1.12%
5.)PHILIP MORRIS INTERNATIONAL INC COMMON STOCKPM7,760,075$609,011Added 2.86%1.00%
6.)AT&T INCT18,325,553$554,165Cut -0.91%0.91%
7.)JOHNSON & JOHNSONJNJ8,045,986$527,656Added 21.44%0.87%
8.)QUALCOMM INCORPORATEDQCOM9,242,780$505,580Cut -4.01%0.83%
9.)PFIZER INCPFE23,008,492$497,904Added 19.97%0.82%
10.)PROCTER & GAMBLE CO.PG7,292,517$486,484Added 1.55%0.80%
11.)ORACLE CORPORATIONORCL18,873,671$484,110Cut -13.41%0.80%
12.)OCCIDENTAL PETROLEUM CORPOXY5,151,037$482,652Added 5.20%0.79%
13.)CHEVRON CORPORATIONCVX4,531,794$482,183Cut -8.43%0.79%
14.)EMC CORP. (MA)EMC22,110,576$476,262Added 15.93%0.78%
15.)UNITED PARCEL SERVICE INCUPS6,482,569$474,459Cut -3.75%0.78%
16.)COCA-COLA CO (THE)KO6,514,567$455,824Added 0.52%0.75%
17.)MCDONALD CORPMCD4,474,439$448,920Cut -14.34%0.74%
18.)MASTERCARD INCMA1,195,737$445,795Cut -7.11%0.73%
19.)COSTCO WHOLESALE CORPORATIONCOST5,326,040$443,766Cut -1.65%0.73%
20.)ABBOTT LABORATORIESABT7,798,863$438,530Added 0.97%0.72%

4. Top 20 (Value) Holdings BOUGHT NEW in This Quarter

No.SecurityPut/CallStockShares NEWValue(x$1000)% Port.
1.)NOBLE ENERGY, INC.NBL1,360,890$128,4540.21%
2.)ISHARE RUS 1000 VALUIWD2,006,811$127,3920.21%
3.)CBRE GROUP INCCBG6,714,674$102,1970.17%
4.)F5 NETWORKS, INC.FFIV848,646$90,0580.15%
5.)ISHARE RS MC VAL FDIWS2,047,709$88,8710.15%
6.)DOLLAR GENERAL CORPDG2,030,149$83,5200.14%
7.)ECOLAB, INC.ECL1,072,754$62,0160.10%
8.)URBAN OUTFITTERS, INC.URBN2,098,928$57,8460.10%
9.)FMC CORP.FMC604,838$52,0400.09%
10.)BROWN & BROWN, INC.BRO2,271,616$51,4070.08%
11.)SM ENERGY CO.SM619,534$45,2880.07%
12.)QUANTA SERVICES, INC.PWR1,656,357$35,6780.06%
13.)MICHAEL KORS HOLDINGS LTDKORS1,274,235$34,7230.06%
14.)CARPENTER TECHNOLOGY CORP.CRS628,359$32,3480.05%
15.)MEDIVATION, INC.MDVN578,735$26,6850.04%
16.)ITT CORPORATION NEWITT1,375,202$26,5830.04%
17.)GNC HOLDINGS INCGNC845,414$24,4750.04%
18.)SNAP-ON, INC.SNA454,155$22,9890.04%
19.)ANNALY CAP MGMT INC NOTE 4.000% 2/120,178,000$22,9270.04%
20.)THE FRESH MARKET, INC.TFM535,032$21,3480.04%

5. Top 20 (Value) Holdings Totally SOLD OUT in This Quarter

No.SecurityPut/CallStockShares SOLDValue(x$1000)% Port. Last Qtr
1.)NICOR INC.GAS2,399,136$131,9760.24%
2.)NALCO HOLDING CONLC1,628,580$56,9680.10%
3.)CB RICHARD ELLIS GROUP INCCBG3,773,028$50,7850.09%
4.)ITT CORPORATIONITT986,699$41,4410.08%
5.)CREE, INC.CREE1,473,612$38,2840.07%
6.)EXPEDITORS INTERNATIONAL OF WASHINGTON, INC.EXPD880,663$35,7110.07%
7.)BARD (C.R.), INC.BCR375,802$32,8980.06%
8.)VERTEX PHARMACEUTICALS INCORPORATEDVRTX715,400$31,8640.06%
9.)OMNICARE INC.OCR989,400$25,1600.05%
10.)IPG PHOTONICS CORPORATIONIPGP552,255$23,9900.04%
11.)KBR INCKBR967,198$22,8550.04%
12.)EXPEDIA, INC.EXPE783,732$20,1810.04%
13.)FEDEX CORPFDX262,965$17,7970.03%
14.)SENSATA TECHNOLOGIES HOLDING N.V. ORDINARY SHARESST649,800$17,1940.03%
15.)BRIGHAM EXPLORATION COMPANYBEXP660,601$16,6870.03%
16.)AMERICAN CAPITAL, LTD.ACAS1,898,566$12,9480.02%
17.)SPREADTRUM COMMUNICATIONS, INC. - AMERICAN DEPOSITORY SHARESSPRD706,943$12,6900.02%
18.)NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INCEDU543,820$12,4920.02%
19.)BLOCK (H & R), INC.HRB926,541$12,3320.02%
20.)THOR INDUSTRIES, INC.THO492,506$10,9090.02%