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American Century Diversified Municipal Bond ETF

YTD TOTAL RETURN

As of 05/21/2025

NAV

Market Price

-1.23%

-1.97%

EXPENSE RATIO

As of 1/1/2025

Net

Gross

--

0.29%

NAV

Prices as of 05/21/2025

$48.93

-0.31% (-$0.15)

Market Price

$48.56

-0.54% (-$0.27)
Morningstar Overall Rating
As of 04/30/2025 for Muni National Interm category
Based on risk-adjusted return out of 262 funds.

Total Holdings

American Century Diversified Municipal Bond ETF

As of 05/21/2025

All Holdings
Daily Pricing Basket
Company
Ticker Cusip ISIN SEDOL Shares/Principal/ Notional Amount Market Value ($) Weight
US 2YR NOTE (CBT) JUN25 XCBT 20250630 TUM25 ADI2RHWZ0 -- -- 25,600,000 -68,034.31 5.35%
PUBLIC FIN AUTH WI REVENUE PUBGEN 12/44 FIXED 5.5 -- 74442PN84 US74442PN840 -- 6,715,000 6,725,605.67 1.36%
BLACKROCK CASH SWEEP BLACKROCK LIQ FD MUNICASH IN -- 09199J9T9 -- -- 4,631,277 4,631,739.8 0.94%
S E ALABAMA ST GAS SPLY DIST G SOUUTL 08/54 ADJUSTABLE VAR -- 84131TBA9 US84131TBA97 BSHRLJ5 3,500,000 3,651,919.6 0.74%
BUCKEYE OH TOBACCO SETTLEMENT BUCGEN 06/55 FIXED 5 -- 118217CZ9 US118217CZ97 BLP4RX5 3,135,000 2,677,893.8 0.54%
WORTHINGTON OH CITY SCH DIST WORSCD 12/54 FIXED 5.5 -- 982038TL5 US982038TL58 -- 2,255,000 2,380,909.5 0.48%
SPRINGFIELD IL ELEC REVENUE SPRPWR 03/33 FIXED 5 -- 850578UD5 US850578UD50 -- 2,000,000 2,195,242.4 0.44%
SOUTHEAST ENERGY AUTH AL COOPE SEEPWR 01/54 ADJUSTABLE VAR -- 84136GAK1 US84136GAK13 -- 2,100,000 2,185,152.48 0.44%
MASSACHUSETTS ST WTR RESOURCES MASWTR 08/37 FIXED 5 -- 576051L46 US576051L464 -- 1,845,000 2,047,333.03 0.41%
SALT RIVER AZ PROJ AGRIC IMPT SALAGR 01/48 FIXED 5 -- 79574CFQ1 US79574CFQ15 -- 2,000,000 2,044,236.4 0.41%
SALT RIVER AZ PROJ AGRIC IMPT SALAGR 01/50 FIXED 5 -- 79574CFM0 US79574CFM01 BNHSY72 2,000,000 2,043,664.8 0.41%
NEW JERSEY ST HGR EDU ASSISTAN NJSHGR 12/56 ADJUSTABLE VAR -- 646080YZ8 US646080YZ87 -- 2,000,000 2,023,260 0.41%
BLACK BELT ENERGY GAS DIST AL BBEUTL 03/55 ADJUSTABLE VAR -- 09182TEN3 US09182TEN37 BS2CSJ4 1,655,000 1,997,945.14 0.40%
MAIN STREET NATURAL GAS INC GA MAIUTL 05/54 ADJUSTABLE VAR -- 56035DGT3 US56035DGT37 BPLQFD9 1,910,000 1,995,273.86 0.40%
WASHINGTON ST HSG FIN COMMISSI WASHSG 07/55 FIXED OID 5.25 -- 93978LJN7 US93978LJN73 -- 2,000,000 1,983,787.8 0.40%
ARIZONA ST INDL DEV AUTH NATIO AZSEDU 11/29 FIXED 5 -- 04052FEN1 US04052FEN15 -- 1,780,000 1,868,030.61 0.38%
WEST VIRGINIA ST HOSP FIN AUTH WVSMED 09/48 FIXED 5.5 -- 956622W91 US956622W915 -- 1,750,000 1,845,929.75 0.37%
STHRN UTE INDIAN TRIBE OF STHR STH 04/35 FIXED 5 -- 844090AD2 US844090AD23 -- 1,750,000 1,836,748.9 0.37%
ILLINOIS ST FIN AUTH REVENUE ILSGEN 10/34 FIXED 5 -- 45204FYS8 US45204FYS81 -- 1,770,000 1,807,893.4 0.37%
SOUTH CAROLINA ST JOBS ECON DE SCSMED 11/31 FIXED 5 -- 837032CN9 US837032CN99 -- 1,650,000 1,799,644.44 0.36%
MONTGOMERY CNTY MD MON 08/30 FIXED 5 -- 61334PDV2 US61334PDV22 -- 1,640,000 1,799,441.78 0.36%
TEXAS ST MUNI GAS ACQUISITION TXSUTL 01/55 ADJUSTABLE VAR -- 88256RAK2 US88256RAK23 -- 1,650,000 1,735,953.29 0.35%
MICHIGAN ST TRUNK LINE MISTRN 11/46 FIXED 5 -- 5946954P0 US5946954P04 -- 1,650,000 1,715,338.19 0.35%
KING CNTY WA SCH DIST 210 FED KINSCD 12/26 FIXED 5 -- 494890E93 US494890E931 -- 1,635,000 1,685,501.23 0.34%
MASSACHUSETTS ST DEV FIN AGY R MASDEV 07/32 FIXED 5 -- 57585BHB7 US57585BHB71 -- 1,500,000 1,675,957.5 0.34%
NEW YORK ST PWR AUTH REVENUE NYSPWR 11/30 FIXED 5 -- 64989KLR5 US64989KLR58 -- 1,500,000 1,662,762 0.34%
NEVADA ST NVS 08/30 FIXED 5 -- 641462GY6 US641462GY63 -- 1,530,000 1,645,240.06 0.33%
MARYLAND ST MDS 06/36 FIXED 5 -- 574193VN5 US574193VN58 -- 1,500,000 1,630,870.8 0.33%
NEW YORK ST ENVRNMNTL FACS COR NYSWTR 06/45 FIXED 5.25 -- 64986DPG4 US64986DPG42 -- 1,500,000 1,606,759.05 0.33%
GEORGIA ST GAS 07/29 FIXED 5 -- 373385HM8 US373385HM86 -- 1,465,000 1,583,311.64 0.32%
HILLSBOROUGH CNTY FLA INDL DEV HILMEC 11/54 FIXED 5.5 -- 43233KAW4 US43233KAW45 -- 1,500,000 1,578,913.2 0.32%
PHILADELPHIA PA WTR WSTWTR R PHIUTL 09/54 FIXED 5.25 -- 7178933X7 US7178933X73 -- 1,500,000 1,559,549.4 0.32%
COLORADO ST HLTH FACS AUTH REV COSMED 05/62 ADJUSTABLE VAR -- 19648FVK7 US19648FVK73 -- 1,530,000 1,559,383.04 0.32%
GEORGIA ST PORTS AUTH GASTRN 07/52 FIXED 5.25 -- 373586HW9 US373586HW99 -- 1,500,000 1,555,668.3 0.31%
MAIN STREET NATURAL GAS INC GA MAIUTL 12/54 ADJUSTABLE VAR -- 56035DHT2 US56035DHT28 -- 1,500,000 1,554,636 0.31%
COLUMBUS OH REGL ARPT AUTH REV COLAPT 01/38 FIXED 5 -- 199546CU4 US199546CU45 -- 1,500,000 1,548,291 0.31%
NEW JERSEY ST TURNPIKE AUTH TU NJSTRN 01/35 FIXED 5 -- 646140CP6 US646140CP67 -- 1,490,000 1,542,449.34 0.31%
CENTRL TX REGL MOBILITY AUTH R CTXGEN 01/27 FIXED 5 -- 155498LY2 US155498LY24 -- 1,525,000 1,538,958.02 0.31%
TEXAS ST TRANSPRTN COMMISSION TXSTRN 08/42 ADJUSTABLE VAR -- 88283KBQ0 US88283KBQ04 -- 1,460,000 1,537,994.22 0.31%
SAINT JOHNS CNTY FL WTR SWRR STJUTL 06/52 FIXED 5 -- 790420QW6 US790420QW69 -- 1,465,000 1,509,342.03 0.31%
MONTGOMERY CNTY PA INDL DEV AU MONDEV 11/42 FIXED 5 -- 61360PCY4 US61360PCY43 -- 1,500,000 1,502,997.75 0.30%
BURKE CNTY GA DEV AUTH POLL CO BURPOL 01/40 ADJUSTABLE VAR -- 121342NR6 US121342NR62 -- 1,500,000 1,490,317.35 0.30%
FOREST GROVE OR REVENUE FORGEN 05/31 FIXED 5 -- 345648EC9 US345648EC90 -- 1,450,000 1,483,042.46 0.30%
HILLSBOROUGH CNTY FL HSG FIN A HILMFH 02/42 FIXED 4.55 -- 43232EDC0 US43232EDC03 -- 1,500,000 1,474,670.25 0.30%
BURKE CNTY GA DEV AUTH POLL CO BURPOL 11/48 ADJUSTABLE VAR -- 121342QP7 US121342QP79 -- 1,500,000 1,467,165.75 0.30%
HARRIS CNTY TX TOLL ROAD REVEN HARTRN 08/34 FIXED 5 -- 41423PDA2 US41423PDA21 -- 1,330,000 1,462,730.01 0.30%
MIAMI DADE CNTY FL HSG FIN AUT MIAMFH 03/46 FIXED 4.88 -- 593344BZ6 US593344BZ64 -- 1,500,000 1,456,409.4 0.29%
ROUND ROCK TX INDEP SCH DIST ROUSCD 08/44 ADJUSTABLE VAR -- 779240RD4 US779240RD47 -- 1,350,000 1,448,298.9 0.29%
CMNTY DEV ADMIN MD MF DEV REVE COMMFH 02/44 FIXED 4.35 -- 20364NCJ4 US20364NCJ46 -- 1,500,000 1,441,545.75 0.29%
PARK CREEK MET DIST CO LIMITED PKCGEN 12/43 FIXED 5 -- 700385BK2 US700385BK21 -- 1,400,000 1,431,672.34 0.29%
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ETFs: NAV prices are used to calculate market price performance prior to the date when the fund first traded on the New York Stock Exchange, Cboe BZX Exchange, Inc, or Nasdaq. Market performance is determined using the bid/ask midpoint at 4:00 p.m. Eastern time, when the NAV is typically calculated. Market performance does not represent the returns you would receive if you traded shares at other times. Index performance does not represent the fund's performance. It is not possible to invest directly in an index.

Exchange Traded Funds (ETFs): Foreside Fund Services, LLC - Distributor, not affiliated with American Century Investment Services, Inc.

Mutual Funds: American Century Investment Services, Inc., Distributor.