AMAHX
Small Cap Dividend Fund
American Century Capital Portfolios, Inc.

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
State Street Navigator Securities Lending Portfolio II 0 1,590,279 1,590,279 1.59% $1.59M
MAGNOLIA OIL and GAS CORPO CL A 0 45,288 45,288 1.43% $1.43M
EQUIPMENTSHARE-A 0 52,427 52,427 1.07% $1.07M
CACTUS INC CL A 0 12,250 12,250 0.58% $580.28K
HUB GROUP INC CL A 0 16,084 16,084 0.58% $579.67K
VISTEON CORP 0 5,621 5,621 0.51% $512.13K
ZURN ELKAY WATER SOLUTIONS CORP 0 3 3 0.01% $8.31K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PROFICIENT AUTO LOGISTICS INC 128,720 0 -128,720 0.00% -$1.24M
FNB CORP PA 53,942 0 -53,942 0.00% -$922.41K
INFINITY NATURAL RESOURCES INC 46,788 0 -46,788 0.00% -$689.19K
SMARTSTOP SELF STORAGE REIT INC 9,445 0 -9,445 0.00% -$292.23K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
EVERTEC INC 105,006 105,952 946 2.98% -$64.66K
MAREX GRP. PLC 48,969 52,308 3,339 2.33% $453.44K
Mach Natural Resources LP COM UNIT LTD PAR 119,088 135,786 16,698 1.90% $586.27K
BRINK'S CO/THE 16,987 17,805 818 1.84% -$137.76K
LTC PROPERTIES INC REIT 40,051 49,361 9,310 1.83% $457.30K
Tecnoglass Inc COM USD0.0001 24,172 39,447 15,275 1.75% $541.03K
EDGEWELL PERSONAL CARE CO 55,401 73,504 18,103 1.56% $623.99K
OPPENHEIMER HO-A 13,537 16,337 2,800 1.45% $478.51K
KORN FERRY 18,548 22,285 3,737 1.40% $178.30K
Opera Ltd. (Norway) 56,292 58,104 1,812 0.83% $31.47K
TURNING POINT BRANDS INC 5,259 9,378 4,119 0.81% $243.84K
HEARTLAND EXPRESS INC 50,409 58,143 7,734 0.60% $149.49K
MARTEN TRANSPORT LTD 40,003 45,347 5,344 0.59% $140.17K
UNIFIRST CORP/MA 1,470 1,570 100 0.39% $111.43K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
COLUMBIA BANKING SYSTEMS INC 104,789 100,168 -4,621 2.74% -$181.24K
INTL BANCSHARES 37,186 35,067 -2,119 2.35% -$110.98K
HOME BANCSHARES INC 88,590 83,199 -5,391 2.23% -$220.48K
OLD NATL BANCORP 99,354 93,691 -5,663 2.07% -$146.02K
AXIS CAPITAL 29,122 20,405 -8,717 2.06% -$1.05M
HESS MIDSTREAM LP - CLASS A COMMON STOCK 58,053 52,069 -5,984 2.02% $21.09K
CRESCENT ENERGY INC A 260,813 147,744 -113,069 1.99% -$193.68K
TXO Partners LP COM UNIT 172,025 154,295 -17,730 1.94% $105.52K
RYMAN HOSPITALITY PPTYS INC 21,022 19,287 -1,735 1.77% -$209.49K
Americold Realty Trust Inc 172,927 155,104 -17,823 1.77% -$446.35K
Bath & Body Works Inc 93,008 91,593 -1,415 1.71% -$157.56K
ASHLAND INC 33,725 30,249 -3,476 1.68% -$296.50K
ALBANY INTL CORP 34,314 30,777 -3,537 1.60% -$132.85K
ATLANTIC UNION B 53,771 44,504 -9,267 1.59% -$307.54K
FLOWCO HOLDINGS INC 94,709 74,469 -20,240 1.53% -$240.79K
CHORD ENERGY CORP 15,620 10,491 -5,129 1.49% $43.64K
VAIL RESORTS INC 12,717 11,434 -1,283 1.46% -$221.61K
EPR PROPERTIES 30,360 28,034 -2,326 1.40% -$114.39K
KULICKE and SOFFA INDUSTRIES INC 28,656 21,096 -7,560 1.38% $80.86K
TITAN AMERICA SA COMMON STOCK 102,184 91,652 -10,532 1.37% -$311.05K
HAMMOND POWER SOLUTIONS INC COMMON STOCK 12,528 10,761 -1,767 1.35% -$99.07K
MINERALS TECHNOLOGIES INC 27,569 19,080 -8,489 1.35% -$327.18K
VISHAY INTERTECHNOLOGY INC 78,247 75,047 -3,200 1.35% $217.05K
BRUNSWICK CORP 26,744 18,423 -8,321 1.34% -$645.02K
WILEY JOHN&SON-A 37,885 35,057 -2,828 1.33% $175.25K
KB HOME 27,255 24,446 -2,809 1.26% -$272.37K
SCIENCE APPLICATIONS INTERNATIONAL CORP 14,732 13,213 -1,519 1.25% -$228.75K
BANK7 CORP 33,646 31,335 -2,311 1.25% -$129.17K
TERRENO REALTY CORP 22,251 19,958 -2,293 1.22% -$80.54K
GRAPHIC PACKAGING HOLDING CO 199,701 120,712 -78,989 1.20% -$1.81M
SPECTRUM BRANDS HOLDINGS INC 37,163 16,034 -21,129 1.18% -$1.01M
TIMKEN CO 29,004 11,490 -17,514 1.15% -$1.28M
LUXFER HOLDINGS 138,990 94,243 -44,747 1.14% -$732.65K
AVIENT CORP 33,097 29,686 -3,411 1.07% $43.65K
GCM GROSVENOR INC - CLASS A 109,742 108,075 -1,667 1.06% -$183.14K
PROVIDENT FINANCIAL SVCS INC 60,532 48,724 -11,808 1.03% -$164.51K
APPLIED INDU TEC 4,554 3,768 -786 1.00% -$169.60K
AMKOR TECHNOLOGY INC 23,398 21,325 -2,073 0.96% $36.51K
INGRAM MICRO HOL 59,625 41,117 -18,508 0.96% -$313.96K
PAPA JOHNS INTL INC 32,120 29,474 -2,646 0.95% -$281.05K
State Street Navigator Securities Lending Government Money Market Portfolio 4,599,337 863,520 -3,735,816 0.86% -$3.74M
EMBECTA CORP 158,390 91,256 -67,134 0.80% -$1.07M
NORTHWESTERN ENERGY GROUP INC 12,432 11,422 -1,010 0.75% -$49.19K
LIBERTY ENERGY INC CL A 27,005 25,172 -1,833 0.72% $226.44K
POPULAR INC 10,205 5,296 -4,909 0.71% -$560.16K
SOUTHWEST GAS HOLDINGS INC 8,828 8,111 -717 0.70% -$1.57K
KENNAMETAL INC 35,947 18,672 -17,275 0.67% -$346.63K
XENIA HOTELS & R 48,900 44,930 -3,970 0.66% -$25.13K
ENTRAVISION COMMUN CRP CL A 230,246 211,551 -18,695 0.63% -$46.31K
UNITED BANKSHS 25,714 14,917 -10,797 0.62% -$369.56K
LAKELAND FINL 12,424 10,025 -2,399 0.57% -$133.68K
UMH PROPERTIES INC 43,239 39,080 -4,159 0.56% -$124.01K
COMPASS DIV HOLDINGS FIXED FLTG RA 30,468 28,637 -1,831 0.56% $17.60K
TOWNSQUARE MEDIA INC 113,354 102,682 -10,672 0.56% -$25.08K
AVNET INC 13,130 8,623 -4,507 0.53% -$99.94K
CENTRAL BANCOMPA 22,942 21,733 -1,209 0.52% -$32.86K
WEBSTER FINL 34,345 7,448 -26,897 0.52% -$1.64M
NORTHPOINTE BANCSHARES INC 35,313 29,328 -5,985 0.50% -$86.35K
CVB FINANCIAL CORP 27,887 25,369 -2,518 0.49% -$26.79K
FIRST MERCHANTS CORP 12,092 10,472 -1,620 0.40% -$47.63K
AMERICAN HEALTHCARE REIT INC 18,817 7,369 -11,448 0.35% -$538.01K
ESQUIRE FINL HLDGS INC 4,323 3,053 -1,270 0.33% -$113.05K
PATRICK INDUSTRIES INC 3,561 2,931 -630 0.32% -$60.57K
CITY HOLDING CO 2,868 2,501 -367 0.30% -$42.95K
ENACT HOLDINGS INC 7,856 7,320 -536 0.30% -$12.68K
FIDELIS INSURANCE HOLDINGS LTD COMMON STOCK USD.01 15,401 14,349 -1,052 0.27% -$27.19K
MERITAGE HOMES CORP 22,623 3,273 -19,350 0.20% -$1.29M
SOLD ZAR/BOUGHT USD 6 3 -3 0.01% $11.94K

No positions in this category.

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