ALPAX
Focused Large Cap Value Fund
American Century Capital Portfolios, Inc.

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
57
Top-10 weight
32.53%
Effective holdings ?
43
Crowding ?
1108.4

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 MARSH & MCLENNAN 732,204 $127.00M 4.57%
2 DUKE ENERGY CORP NEW 767,337 $100.48M 3.62%
3 BERKSHIRE HATH-B 197,700 $94.74M 3.41%
4 BLACKROCK INC 92,523 $88.98M 3.20%
5 JOHNSON&JOHNSON 354,031 $86.54M 3.12%
6 JPMORGAN CHASE and CO 290,933 $85.58M 3.08%
7 BECTON DICKINSON and CO 537,146 $84.46M 3.04%
8 CHEVRON CORP 386,070 $79.88M 2.88%
9 Enterprise Products Partners LP 2,100,964 $79.50M 2.86%
10 NORFOLK SOUTHERN CORP 257,765 $73.98M 2.66%
11 PEPSICO INC 464,756 $72.17M 2.60%
12 UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT UL 1,241,610 $70.73M 2.55%
13 MEDTRONIC PLC 804,875 $69.74M 2.51%
14 TRUIST FINL CORP 1,472,648 $67.70M 2.44%
15 MONDELEZ INTL INC 1,168,625 $67.36M 2.43%
16 KIMBERLY CLARK CORP 669,943 $64.63M 2.33%
17 PACKAGING CORP OF AMERICA 295,183 $62.64M 2.26%
18 ALPHABET INC CL A 214,977 $61.82M 2.23%
19 ANALOG DEVICES INC 191,312 $60.86M 2.19%
20 F5 INC 196,037 $56.72M 2.04%
21 SMITH (AO) CORP 848,637 $55.96M 2.02%
22 MICROSOFT CORP 151,024 $55.90M 2.01%
23 SCHWAB CHARLES CORP 568,477 $53.43M 1.92%
24 REINSURANCE GROUP OF AMERICA 237,315 $48.45M 1.75%
25 CISCO SYSTEMS INC 623,591 $48.38M 1.74%
26 ATMOS ENERGY CORP 257,911 $47.64M 1.72%
27 Amrize Ltd. USD0.01 AMRZ US 844,282 $47.30M 1.70%
28 PACCAR INC 403,493 $46.60M 1.68%
29 BAKER HUGHES CO 762,375 $46.54M 1.68%
30 Total S.A. TTE US 509,517 $46.36M 1.67%
31 INFINEON TECH 977,072 $44.33M 1.60%
32 IQVIA HOLDINGS INC 259,718 $44.29M 1.60%
33 HONEYWELL INTL INC 188,140 $42.53M 1.53%
34 Fixed Income Clearing Corp 3.66 04/01/2026 41,364,000 $41.36M 1.49%
35 HENRY SCHEIN INC 541,592 $39.92M 1.44%
36 RTX CORP 202,218 $39.01M 1.40%
37 COMMERCE BCSHS 780,409 $38.40M 1.38%
38 ROCHE HOLDING AG 96,148 $38.37M 1.38%
39 PPG INDUSTRIES INC 358,566 $38.32M 1.38%
40 QUALCOMM INC 276,846 $35.65M 1.28%
41 VERIZON COMMUNICATIONS INC 702,281 $35.25M 1.27%
42 COLGATE-PALMOLIVE CO 409,306 $34.89M 1.26%
43 SIEMENS AG-REG 140,701 $34.28M 1.23%
44 ZIMMER BIOMET HO 362,989 $32.82M 1.18%
45 UNITEDHEALTH GRP 114,524 $30.99M 1.12%
46 TARGET CORP 254,119 $30.80M 1.11%
47 PULTEGROUP INC 251,496 $29.58M 1.07%
48 AMERIPRISE FINANCIAL INC 66,046 $29.35M 1.06%
49 OWENS CORNING INC 264,184 $28.59M 1.03%
50 SYSCO CORP 379,791 $27.09M 0.98%
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