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American Century Diversified Municipal Bond ETF

YTD TOTAL RETURN

As of 12/09/2025

NAV

Market Price

3.80%

3.99%

EXPENSE RATIO

As of 8/1/2025

Net

Gross

0.27%

0.29%

NAV

Prices as of 12/09/2025

$50.32

0.05% ($0.02)

Market Price

$50.40

-0.06% (-$0.03)

Total Holdings

American Century Diversified Municipal Bond ETF

As of 12/08/2025

All Holdings
Daily Pricing Basket
Company
Ticker Cusip ISIN SEDOL Shares/Principal/ Notional Amount Market Value ($) Weight
PUBLIC FIN AUTH WI REVENUE PUBGEN 12/44 FIXED 5.5 -- 74442PN84 US74442PN840 -- 5,715,000 5,811,962.4 1.09%
S E ALABAMA ST GAS SPLY DIST G SOUUTL 08/54 ADJUSTABLE VAR -- 84131TBA9 US84131TBA97 BSHRLJ5 3,500,000 3,740,517.2 0.70%
BLACKROCK CASH SWEEP BLACKROCK LIQ FD MUNICASH IN -- 09199J9T9 -- -- 3,248,353 3,248,677.74 0.61%
ORLANDO FL UTILITIES COMMISSIO ORLUTL 10/48 FIXED 5 -- 686507LE2 US686507LE21 -- 3,000,000 3,117,501.3 0.58%
SOUTHEAST ENERGY AUTHORITY A C SEEPWR 10/30 FIXED 5 -- 84136HCT8 US84136HCT86 -- 2,500,000 2,687,001.25 0.50%
BUCKEYE OH TOBACCO SETTLEMENT BUCGEN 06/55 FIXED 5 -- 118217CZ9 US118217CZ97 BLP4RX5 3,235,000 2,682,126.21 0.50%
WORTHINGTON OH CITY SCH DIST WORSCD 12/54 FIXED 5.5 -- 982038TL5 US982038TL58 -- 2,255,000 2,403,529.86 0.45%
SOUTH DAKOTA ST HLTH EDUCTNL SDSMED 09/30 FIXED 3.25 -- 83755VZ23 US83755VZ234 -- 2,350,000 2,336,723.68 0.44%
DEER PARK TX INDEP SCH DIST DEESCD 08/43 FIXED 4 -- 244127Q66 US244127Q661 -- 2,420,000 2,335,302.66 0.44%
SPRINGFIELD IL ELEC REVENUE SPRPWR 03/33 FIXED 5 -- 850578UD5 US850578UD50 -- 2,000,000 2,253,532.4 0.42%
SOUTHEAST ENERGY AUTH AL COOPE SEEPWR 01/54 ADJUSTABLE VAR -- 84136GAK1 US84136GAK13 -- 2,100,000 2,226,640.92 0.42%
FLORIDA ST MID BAY BRIDGE AUTH FLSTRN 10/30 FIXED 5 -- 342814EG1 US342814EG18 -- 2,000,000 2,187,046.4 0.41%
STHRN UTE INDIAN TRIBE OF STHR STH 04/35 FIXED 5 -- 844090AD2 US844090AD23 -- 2,000,000 2,186,424 0.41%
DALLAS FORT WORTH TX INTERNATI DALAPT 11/50 ADJUSTABLE VAR -- 23503CFL6 US23503CFL63 -- 2,000,000 2,186,381.4 0.41%
MASSACHUSETTS ST WTR RESOURCES MASWTR 08/37 FIXED 5 -- 576051L46 US576051L464 -- 1,845,000 2,119,644.3 0.40%
SALT RIVER AZ PROJ AGRIC IMPT SALAGR 01/48 FIXED 5 -- 79574CFQ1 US79574CFQ15 -- 2,000,000 2,098,437.4 0.39%
MIAMI DADE CNTY FL HSG FIN AUT MIAMFH 11/41 FIXED 4.95 -- 593344DE1 US593344DE18 -- 2,000,000 2,089,784.2 0.39%
SALT RIVER AZ PROJ AGRIC IMPT SALAGR 01/50 FIXED 5 -- 79574CFM0 US79574CFM01 BNHSY72 2,000,000 2,080,370 0.39%
PUBLIC FIN AUTH WI TOLL REVENU PUBTRN 12/65 FIXED OID 5.75 -- 74448UAD0 US74448UAD00 BTPP7D4 2,000,000 2,058,616.2 0.39%
BLACK BELT ENERGY GAS DIST AL BBEUTL 03/55 ADJUSTABLE VAR -- 09182TEN3 US09182TEN37 BS2CSJ4 1,655,000 2,053,742.78 0.39%
MAIN STREET NATURAL GAS INC GA MAIUTL 05/54 ADJUSTABLE VAR -- 56035DGT3 US56035DGT37 BPLQFD9 1,910,000 2,048,949.44 0.38%
BROOKS DEV AUTH TX REVENUE BRKDEV 08/42 ADJUSTABLE VAR -- 114390AL1 US114390AL10 -- 2,000,000 2,040,800 0.38%
ATLANTA GA ARPT PASSENGER FAC ATLAPT 07/36 FIXED 4 -- 04780TDK7 US04780TDK79 -- 2,015,000 2,031,676.95 0.38%
WASHINGTON ST HSG FIN COMMISSI WASHSG 07/55 FIXED OID 5.25 -- 93978LJN7 US93978LJN73 BPSMHB2 2,000,000 2,021,845.2 0.38%
NEW JERSEY ST HGR EDU ASSISTAN NJSHGR 12/56 ADJUSTABLE VAR -- 646080YZ8 US646080YZ87 -- 2,000,000 2,014,783 0.38%
CMWLTH FING AUTH PA TOBACCO MA CMNGEN 06/39 FIXED OID 4 -- 20282EAS5 US20282EAS54 BFX0VZ3 2,000,000 1,967,998.2 0.37%
CHARLOTTE NC ARPT REVENUE CHAAPT 07/41 FIXED 5.25 -- 161036YB8 US161036YB80 -- 1,765,000 1,943,537.52 0.36%
CMWLTH FING AUTH PA TOBACCO MA CMNGEN 06/31 FIXED 5 -- 20282EAM8 US20282EAM84 BJHN4V3 1,850,000 1,939,445.28 0.36%
ARIZONA ST INDL DEV AUTH NATIO AZSEDU 11/29 FIXED 5 -- 04052FEN1 US04052FEN15 -- 1,780,000 1,886,890.07 0.35%
WEST VIRGINIA ST HOSP FIN AUTH WVSMED 09/48 FIXED 5.5 -- 956622W91 US956622W915 -- 1,750,000 1,872,946.08 0.35%
ILLINOIS ST FIN AUTH REVENUE ILSGEN 10/34 FIXED 5 -- 45204FYS8 US45204FYS81 -- 1,770,000 1,865,887.8 0.35%
MONTGOMERY CNTY MD MON 08/30 FIXED 5 -- 61334PDV2 US61334PDV22 -- 1,640,000 1,823,720.34 0.34%
TEXAS ST MUNI GAS ACQUISITION TXSUTL 01/55 ADJUSTABLE VAR -- 88256RAK2 US88256RAK23 -- 1,650,000 1,810,413.99 0.34%
FLORIDA LOC GOVT FIN COMMISSIO FLSFAC 11/31 FIXED 4.7 -- 34077UAK6 US34077UAK60 -- 1,780,000 1,797,066.11 0.34%
OHIO ST WTR DEV AUTH REVENUE OHSWTR 12/33 FIXED 5 -- 67765QMW3 US67765QMW32 -- 1,500,000 1,744,365.75 0.33%
MICHIGAN ST TRUNK LINE MISTRN 11/46 FIXED 5 -- 5946954P0 US5946954P04 -- 1,650,000 1,733,609.3 0.33%
NEW JERSEY ST TURNPIKE AUTH TU NJSTRN 01/33 FIXED 5 -- 646140FS7 US646140FS79 -- 1,500,000 1,721,525.25 0.32%
MARYLAND ST MDS 06/36 FIXED 5 -- 574193VN5 US574193VN58 -- 1,500,000 1,681,174.95 0.32%
FLORIDA ST DEV FIN CORP EDUCTN FLSDEV 06/54 FIXED 5.25 -- 34061UMW5 US34061UMW52 -- 1,660,000 1,669,712 0.31%
NEVADA ST NVS 08/30 FIXED 5 -- 641462GY6 US641462GY63 -- 1,530,000 1,664,616.29 0.31%
COLUMBUS OH REGL ARPT AUTH REV COLAPT 01/38 FIXED 5 -- 199546CU4 US199546CU45 -- 1,500,000 1,634,772.15 0.31%
JOLIET IL WTRWKS SEWAGE REVE JOLUTL 01/37 FIXED 5 -- 479790KN6 US479790KN68 -- 1,450,000 1,622,292.77 0.30%
TEXAS ST TRANSPRTN COMMISSION TXSTRN 08/42 ADJUSTABLE VAR -- 88283KBQ0 US88283KBQ04 -- 1,500,000 1,621,975.35 0.30%
NEW YORK ST ENVRNMNTL FACS COR NY ENVRNMNTL FACS C -- 64986DQG3 US64986DQG33 -- 1,500,000 1,619,041.2 0.30%
MAIN STREET NATURAL GAS INC GA MAIUTL 12/54 ADJUSTABLE VAR -- 56035DHT2 US56035DHT28 -- 1,500,000 1,607,998.95 0.30%
BLACK BELT ENERGY GAS DIST AL BBEUTL 05/30 FIXED 5 -- 09182TFW2 US09182TFW27 -- 1,500,000 1,600,556.1 0.30%
PHILADELPHIA PA WTR WSTWTR R PHIUTL 09/54 FIXED 5.25 -- 7178933X7 US7178933X73 -- 1,500,000 1,596,955.8 0.30%
HILLSBOROUGH CNTY FLA INDL DEV HILMEC 11/49 FIXED 5.25 -- 43233KAU8 US43233KAU88 -- 1,500,000 1,591,103.7 0.30%
GEORGIA ST PORTS AUTH GASTRN 07/52 FIXED 5.25 -- 373586HW9 US373586HW99 -- 1,500,000 1,575,983.4 0.30%
MIAMI BEACH FL REDEV AGY MMBDEV 02/44 FIXED 5 -- 593237GL8 US593237GL81 -- 1,500,000 1,564,491.15 0.29%
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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.