MID

Fund Description
American Century Mid Cap Growth Impact ETF (MID) invests in high-quality mid-cap growth-oriented companies. It uses a top-down and bottom-up stock selection process utilizing proprietary fundamental research to invest in a portfolio of primarily U.S. mid cap companies exhibiting durable business improvement underpinned by long-term thematic drivers. It constructs a portfolio that emphasizes stock selection and alignment with UN Sustainable Development Goals (SDGs). The initial research process begins by analyzing the United Nations Sustainable Development Goals (SDG) to identify companies that generate, or could generate, social and environmental impact alongside a financial return.
Fund Profile
Fund Name American Century Mid Cap Growth Impact ETF
Fund Exchange Ticker MID
Fund Sponsor American Century Investments
Fund ISIN US0250727601
Net Expense Ratio 0.45 %
Fund Inception Date 13 July 2020
Fund Legal Structure NYSE Periodically Disclosed Active ETF
Exchange NYSE Arca
Listing Country Code US
Fund Investment Objective
ETF Type Specific US Equities - Factor & Thematic
Asset Class Equities (Stocks)
Index Linked Active
Index Name Not Applicable
Index Provider Not Applicable
Currency Hedged No
Inverse / Leveraged Not Applicable
Developed / Emerging Developed Market Funds
Market Capitalization Range Mid Cap
Growth Value Growth
Continent North America
Key Statistics
Return As of Date 26 November 2021
Asset Under Management 24.97 Million (USD)
1 Month Total Return -1.88 %
Year To Date Return 15.87 %
1 Year Total Return 25.24 %
3 Year Annualized Total Return
NAV 59.46
Share Outstanding 420,000
Top 10 Holdings (30 September 2021)
Constituent Name Constituent Ticker Constituent Type Weighting
PALO ALTO NETWORKS INC PANW EQUI 0.0559000000
DOCUSIGN INC DOCU EQUI 0.0487000000
CHIPOTLE MEXICAN GRILL INC CMG EQUI 0.0484000000
CADENCE DESIGN SYS INC CDNS EQUI 0.0461000000
KEYSIGHT TECHNOLOGIES IN KEYS EQUI 0.0444000000
MARVELL TECHNOLOGY INC MRVL EQUI 0.0433000000
APTIV PLC APTV EQUI 0.0427000000
US DOLLARS CASH 0.0420000000
ALBEMARLE CORP ALB EQUI 0.0400000000
DEXCOM INC DXCM EQUI 0.0396000000