ANOIX
Small Cap Growth Fund
American Century Mutual Funds, 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.

Oct 31, 2025 → Jan 31, 2026

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

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
Fixed Income Clearing Corp 3.66 02/02/2026 0 66,737,000 66,737,000 1.34% $66.74M
KARMAN HOLDINGS INC 0 488,486 488,486 1.02% $50.70M
PBF ENERGY INC CL A 0 1,312,135 1,312,135 0.88% $43.90M
CHIME FINANCIAL INC 0 1,182,686 1,182,686 0.61% $30.06M
ALASKA AIR GROUP INC 0 577,050 577,050 0.59% $29.33M
LATTICE SEMICONDUCTOR CORP 0 359,912 359,912 0.58% $28.98M
PRAXIS PRECISION MEDICINES INC 0 85,913 85,913 0.54% $26.98M
COGENT BIOSCIENCES INC 0 691,448 691,448 0.50% $24.83M
BRUNSWICK CORP 0 296,508 296,508 0.48% $23.79M
TOPGOLF CALLAWAY BRANDS CORP 0 1,486,128 1,486,128 0.43% $21.33M
DESCARTES SYS 0 233,153 233,153 0.35% $17.43M
OKLO INC 0 192,097 192,097 0.31% $15.29M
PACS GROUP INC 0 435,285 435,285 0.30% $14.70M
OMADA HEALTH INC 0 921,607 921,607 0.28% $13.78M
FLOWSERVE CORP 0 150,825 150,825 0.24% $11.79M
ENOVA INTL INC 0 53,900 53,900 0.18% $8.90M
EVOMMUNE INC 0 395,834 395,834 0.14% $7.16M
NOVO NORDISK CVR 0 527,407 527,407 0.01% $342.81K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
Fixed Income Clearing Corp 4.15 11/03/2025 72,531,000 0 -72,531,000 0.00% -$72.53M
TRANSOCEAN LTD 12,117,031 0 -12,117,031 0.00% -$46.53M
TD SYNNEX CORP 296,919 0 -296,919 0.00% -$46.46M
ALBANY INTL CORP 741,733 0 -741,733 0.00% -$41.97M
NUSCALE POWER CORP 868,418 0 -868,418 0.00% -$38.97M
STUBHUB HOLDINGS INC A 1,527,315 0 -1,527,315 0.00% -$29.25M
AKERO THERAPEUTICS INC 527,407 0 -527,407 0.00% -$28.59M
URBAN OUTFITTERS 388,861 0 -388,861 0.00% -$25.12M
LIFE360 INC 242,526 0 -242,526 0.00% -$23.94M
EXTREME NETWORKS INC 1,197,555 0 -1,197,555 0.00% -$22.78M
VITA COCO CO INC/THE 509,039 0 -509,039 0.00% -$20.96M
CARGOJET INC 348,356 0 -348,356 0.00% -$20.30M
RAMACO RESOURCES INC 567,394 0 -567,394 0.00% -$17.23M
KOSMOS ENERGY LTD 10,868,906 0 -10,868,906 0.00% -$17.06M
AVANTOR INC 1,210,260 0 -1,210,260 0.00% -$14.31M
BIOHAVEN LTD 522,572 0 -522,572 0.00% -$8.99M
STRIDE INC 129,610 0 -129,610 0.00% -$8.82M
INTEGER HOLDINGS CORP 121,532 0 -121,532 0.00% -$7.85M
VARONIS SYSTEMS INC 197,435 0 -197,435 0.00% -$6.96M
FIREFLY AEROSPACE INC 258,585 0 -258,585 0.00% -$6.27M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PLEXUS CORP 420,162 450,193 30,031 1.81% $30.96M
STERLING INFRASTRUCTURE INC 214,981 234,159 19,178 1.69% $2.57M
CONSTRUCTION PARTNERS INC CL A 662,764 700,007 37,243 1.55% $1.13M
OPENLANE INC 1,774,398 2,010,757 236,359 1.22% $13.52M
NOVANTA INC 166,780 437,338 270,558 1.19% $37.66M
ASTRONICS CORP 590,092 729,119 139,027 1.11% $26.21M
MKS INSTRUMENTS INC 168,276 231,298 63,022 1.10% $30.27M
Q2 HOLDINGS INC 792,360 844,842 52,482 1.04% $2.81M
LIFE TIME GROUP HOLDINGS INC 1,584,779 1,717,072 132,293 1.01% $10.90M
WAYFAIR INC- A 376,220 475,703 99,483 0.99% $10.29M
TALEN ENERGY CORP 128,514 141,318 12,804 0.99% -$2.15M
AGILYSYS INC 371,848 566,418 194,570 0.99% $2.48M
TRANSALTA CORP 3,078,007 3,738,019 660,012 0.96% -$6.64M
ARGAN INC 111,139 131,044 19,905 0.92% $11.45M
BANCORP INC/THE 656,591 737,228 80,637 0.88% $899.48K
ENCOMPASS HEALTH CORP 276,097 462,084 185,987 0.88% $12.25M
PLANET FITNESS INC CL A 192,278 433,286 241,008 0.79% $22.01M
DAVE INC 143,595 231,299 87,704 0.76% $3.50M
IMPINJ INC 263,627 274,119 10,492 0.76% -$15.44M
CORE SCIENTIFIC INC 989,190 1,935,033 945,843 0.70% $13.50M
KLAVIYO INC-A 1,414,216 1,505,158 90,942 0.67% -$3.34M
MIAMI INTERNATIONAL HOLDINGS INC 623,451 744,478 121,027 0.63% $3.82M
CELSIUS HOLDINGS INC 444,679 542,151 97,472 0.57% $1.67M
FIRSTSERVICE-WI 128,676 157,189 28,513 0.49% $3.87M
RIOT PLATFORMS INC 921,740 1,539,924 618,184 0.48% $5.59M
ONESTREAM INC 764,819 983,467 218,648 0.47% $8.77M
US PHYSICAL THERAPY INC 205,785 260,174 54,389 0.44% $4.07M
UROGEN PHARMA LTD COMMON STOCK USD.01 437,799 918,067 480,268 0.36% $9.04M
State Street Navigator Securities Lending Portfolio II 114,370 228,070 113,700 0.00% $113.70K
SOLD ZAR/BOUGHT USD 7 8 1 -0.01% -$1.78M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
RBC BEARINGS INC 162,949 161,033 -1,916 1.62% $10.63M
CECO ENVIRONMNTL 1,181,194 1,167,302 -13,892 1.59% $20.96M
HEXCEL CORPORATION 1,087,790 947,259 -140,531 1.58% $774.31K
CREDO TECHNOLOGY 768,992 617,016 -151,976 1.56% -$66.98M
HAYWARD HOLDINGS INC 4,674,241 4,619,266 -54,975 1.50% -$4.77M
ALPHATEC HOLDINGS INC 5,059,459 4,999,954 -59,505 1.49% -$21.93M
BRIDGEBIO PHARMA INC 850,978 840,970 -10,008 1.31% $11.68M
SITIME CORP 203,750 177,984 -25,766 1.30% $5.61M
ATI INC 699,857 531,680 -168,177 1.29% -$5.30M
MADRIGAL PHARMACEUTICALS INC 130,976 129,436 -1,540 1.28% $8.47M
AAR CORP 593,213 586,236 -6,977 1.25% $12.13M
SILICON LABS 428,251 423,214 -5,037 1.21% $4.15M
HERC HOLDINGS INC 425,303 420,301 -5,002 1.21% -$168.35K
FABRINET 121,401 119,973 -1,428 1.18% $5.23M
CARPENTER TECHNOLOGY CORP 212,011 175,820 -36,191 1.13% -$11.09M
BOOT BARN HOLDINGS INC 380,694 309,067 -71,627 1.11% -$17.04M
ADMA BIOLOGICS INC 3,163,788 3,126,578 -37,210 1.09% $5.11M
FIVE BELOW INC 284,988 281,636 -3,352 1.09% $9.15M
ENSIGN GROUP INC 343,325 294,514 -48,811 1.02% -$11.28M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 314,000 227,911 -86,089 1.01% $3.41M
State Street Navigator Securities Lending Government Money Market Portfolio 128,662,132 49,225,686 -79,436,446 0.99% -$79.44M
HEALTHEQUITY INC 578,832 572,024 -6,808 0.99% -$5.74M
HAMILTON LANE INC - A 331,399 327,501 -3,898 0.93% $8.49M
NATIONAL VISION HOLDINGS INC 1,758,355 1,737,675 -20,680 0.92% $510.10K
MAGNITE INC 2,999,145 2,963,872 -35,273 0.86% -$10.74M
UFP TECHNOLOGIES INC 193,754 165,948 -27,806 0.84% $4.35M
LITTELFUSE INC 147,813 122,230 -25,583 0.80% $3.61M
MIRION TECHNOLOGIES INC-A 1,808,294 1,537,597 -270,697 0.77% -$14.92M
BLACKLINE INC 1,021,616 696,160 -325,456 0.65% -$26.14M
SI-BONE INC 2,272,347 1,933,829 -338,518 0.65% -$1.64M
GLOBALSTAR INC 552,396 487,590 -64,806 0.61% -$10.57K
REALREAL INC/THE 2,342,565 1,831,524 -511,041 0.54% -$1.73M
VERRA MOBILITY CORP 1,725,872 1,381,905 -343,967 0.54% -$13.39M
PEDIATRIX MEDICAL GROUP INC 1,321,798 1,210,230 -111,568 0.52% $3.44M
ONTO INNOVATION INC 154,087 127,809 -26,278 0.52% $5.03M
EXPRO GROUP HOLD 2,631,827 1,442,573 -1,189,254 0.47% -$12.64M
ACI WORLDWIDE INC 778,056 515,543 -262,513 0.45% -$14.70M
FIRST ADVANTAGE CORP 1,711,363 1,613,075 -98,288 0.44% $162.00K
TRIUMPH FINANCIAL INC 514,829 332,064 -182,765 0.42% -$7.09M
PEGASYSTEMS INC 769,532 403,850 -365,682 0.36% -$31.34M
TWIST BIOSCIENCE CORP 661,450 411,456 -249,994 0.34% -$4.86M
SCHRODINGER INC 837,089 206,346 -630,743 0.06% -$14.73M
COURSERA INC 2,386,560 442,553 -1,944,007 0.05% -$17.41M
TALKSPACE INC CL A 5,126,642 379,033 -4,747,609 0.03% -$15.03M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ELEMENT SOLUTIONS INC 1,519,869 1,519,869 0 0.89% $3.62M
SITEONE LANDSCAPE SUPPLY INC 294,307 294,307 0 0.85% $4.05M
TREX CO INC 1,014,133 1,014,133 0 0.85% -$7.00M
REGAL REXNORD CORP 255,247 255,247 0 0.83% $5.26M
COLLIERS-SUBORD 279,295 279,295 0 0.77% -$6.38M
PIPER SANDLER COS 106,895 106,895 0 0.75% $2.90M
NEW YORK TIMES CO CL A 501,882 501,882 0 0.74% $8.19M
CRINETICS PHARMACEUTICALS INC 733,114 733,114 0 0.74% $4.72M
RADNET INC 492,811 492,811 0 0.70% -$2.90M
APPLIED INDU TEC 131,663 131,663 0 0.69% $437.12K
PROTAGONIST THERAPEUTICS INC 414,868 414,868 0 0.68% $1.32M
PRICESMART INC 235,839 235,839 0 0.68% $6.43M
REVOLUTION MEDICINES INC 336,989 336,989 0 0.66% $12.84M
TITAN AMERICA SA COMMON STOCK 1,863,026 1,863,026 0 0.65% $4.84M
SSR MINING INC 1,389,051 1,389,051 0 0.64% $375.04K
FORTUNE BRANDS INNOVATIONS INC 568,655 568,655 0 0.62% $1.88M
AMERICAN HEALTHCARE REIT INC 639,607 639,607 0 0.60% $1.02M
NUVALENT INC-A 286,954 286,954 0 0.59% $1.02M
COASTAL FINANCIAL CORP/WA 306,033 306,033 0 0.59% -$3.28M
KINSALE CAPITAL GROUP INC 74,040 74,040 0 0.59% -$265.80K
ARCUTIS BIOTHERAPEUTICS INC 1,136,843 1,136,843 0 0.58% $68.21K
ALKERMES PLC 829,339 829,339 0 0.57% $2.65M
CENTRUS ENERGY CORP CL A 96,119 96,119 0 0.54% -$8.57M
IONIS PHARMACEUTICALS INC 318,102 318,102 0 0.53% $2.66M
COGNEX CORP 667,808 667,808 0 0.52% -$1.77M
HCI GROUP INC 157,937 157,937 0 0.50% -$7.16M
BOWHEAD SPECIALTY HOLDINGS INC 1,017,655 1,017,655 0 0.50% $610.59K
EDGEWISE THERAPEUTICS INC 873,318 873,318 0 0.50% $8.62M
VERA THERAPEUTICS INC 564,153 564,153 0 0.49% $8.35M
OneSpaWorld Holdings Ltd. COM USD0.0001 1,221,583 1,221,583 0 0.48% -$4.42M
SCHOLAR ROCK HOLDING CORP 539,891 539,891 0 0.48% $7.95M
MINERALYS THERAPEUTICS INC 713,061 713,061 0 0.44% -$7.11M
RIDGEPOST CAPITAL INC 2,035,782 2,035,782 0 0.44% $1.26M
CYTOKINETICS INC 340,949 340,949 0 0.43% -$136.38K
VITAL FARMS INC 754,599 754,599 0 0.43% -$3.32M
XENON PHARMACEUTICALS INC 520,439 520,439 0 0.43% -$473.60K
CENTESSA PHARMACEUTICALS LTD ADR 864,159 864,159 0 0.43% -$285.17K
ITRON INC 203,855 203,855 0 0.41% -$254.82K
ARCELLX INC 284,300 284,300 0 0.39% -$6.24M
OLLIES BARGAIN OUTLET HOLDINGS INC 168,181 168,181 0 0.37% -$1.77M
ETORO GROUP LTD A COMMON STOCK NPV 619,838 619,838 0 0.37% -$4.75M
ELASTIC NV 268,607 268,607 0 0.36% -$6.26M
GRAPHIC PACKAGING HOLDING CO 1,131,869 1,131,869 0 0.33% -$1.52M
VEECO INSTRUMENT 456,513 456,513 0 0.29% $1.13M
NEWAMSTERDAM PHARMA CO NV COMMON STOCK 453,541 453,541 0 0.28% -$3.10M
VAXCYTE INC 260,324 260,324 0 0.28% $2.16M
CELLDEX THERAPEUTICS INC 558,969 558,969 0 0.28% -$1.19M
PHREESIA INC 777,003 777,003 0 0.21% -$7.16M
VIKING THERAPEUTICS INC 234,663 234,663 0 0.14% -$2.12M
NETSKOPE INC-A 184,145 184,145 0 0.06% -$1.62M

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