NT Emerging Markets - TF

Schedule of Investments as of 2021-06-30 (Unaudited)

Holding Shares/Principal Amount Market Value ($) Taiwan Semiconductor Manufacturing Co Ltd 3,115,774 66,536,941 Holdings Ltd 647,300 48,677,633 Samsung Electronics Co Ltd 564,193 40,430,116 Holding Ltd 169,783 38,503,389 Naspers Ltd 108,112 22,700,889 Vale SA 829,493 18,920,735 HDFC Bank Ltd 878,084 17,695,170 Chailease Holding Co Ltd 2,387,819 17,354,270 Biologics Cayman Inc 936,000 17,151,091 Cemex SAB de CV 1,864,108 15,658,507 Hyundai Motor Co 65,301 13,887,661 NAVER Corp 37,423 13,873,909 Yandex NV 176,482 12,486,102 ICICI Bank Ltd 724,175 12,383,392 Samsung Electro-Mechanics Co Ltd 76,446 12,015,222 MediaTek Inc 347,000 11,980,763 Li Ning Co Ltd 962,000 11,743,415 SK Hynix Inc 103,316 11,697,190 277,600 11,453,098 Ltd 531,806 11,268,969 OTP Bank Nyrt 207,852 11,203,529 Samsung SDI Co Ltd 18,029 11,174,570 Group Holdings Ltd 437,600 11,050,092 Tourism Group Duty Free Corp Ltd 229,787 10,672,384 Corp 13,309,000 10,471,229 Gerdau SA 1,760,000 10,361,091 Grupo Financiero Banorte SAB de CV 1,576,923 10,166,185 UltraTech Cement Ltd 109,921 10,020,513 Banco BTG Pactual SA 385,300 9,351,752 Sberbank of Russia PJSC 557,105 9,250,729 Ganfeng Lithium Co Ltd 610,000 9,111,688 Bank Rakyat Indonesia Persero Tbk PT 33,523,500 9,109,144 Services Holdings Co Ltd 843,000 9,107,528 Contemporary Amperex Technology Co Ltd 108,698 8,996,694 Mando Corp 146,565 8,654,773 Globant SA 38,658 8,473,060 Co Ltd 25,900 8,244,052 Al Rajhi Bank 277,619 8,216,646 PTT Exploration & Production PCL 2,146,500 7,866,929 Capitec Bank Holdings Ltd 65,663 7,755,534 Jubilant Foodworks Ltd 184,066 7,627,608 LG Chem Ltd 9,920 7,487,457 Novatek PJSC 33,751 7,401,594 Kumba Iron Ore Ltd 163,564 7,338,000 Tata Consultancy Services Ltd 162,660 7,321,670 CIFI Holdings Group Co Ltd 9,235,557 7,206,871 Formosa Plastics Corp 1,924,000 7,112,499 Kasikornbank PCL 1,892,300 6,994,309 ASPEED Technology Inc 96,000 6,925,437 NT Emerging Markets - TF

Holding Shares/Principal Amount Market Value ($) CJ Logistics Corp 43,713 6,870,489 Ltd 83,146 6,729,367 GDS Holdings Ltd 79,643 6,251,179 Embraer SA 404,900 6,130,186 Group Co of China Ltd 617,000 6,042,204 Samsung Biologics Co Ltd 7,753 5,789,880 China Education Group Holdings Ltd 2,421,000 5,399,502 Merida Industry Co Ltd 477,000 5,358,493 Suzano SA 433,100 5,170,081 Locaweb Servicos de Internet SA 950,240 5,116,830 Magazine Luiza SA 1,164,252 4,907,267 Ternium SA 127,223 4,892,997 TCS Group Holding PLC 55,312 4,839,800 CP ALL PCL 2,552,800 4,757,636 Ltd 117,276 4,721,807 Cosmax Inc 39,510 4,596,022 Sea Ltd 16,018 4,398,543 Win Semiconductors Corp 325,000 4,374,159 Wal-Mart de Mexico SAB de CV 1,333,853 4,361,878 Yantai Jereh Oilfield Services Group Co Ltd 623,700 4,314,727 Ayala Land Inc 5,736,280 4,236,257 Ltd 516,779 3,877,754 Nine Dragons Paper Holdings Ltd 2,910,000 3,732,186 Bata Ltd 170,708 3,667,133 Industrial & Commercial Ltd 6,173,095 3,624,756 Telkom Indonesia Persero Tbk PT 15,772,800 3,426,505 BIM Birlesik Magazalar AS 476,148 3,406,342 President Chain Store Corp 358,000 3,379,237 Holdings Ltd 1,064,000 3,247,140 New Oriental Education & Technology Group Inc 383,638 3,141,995 Baoshan Iron & Steel Co Ltd 1,982,900 2,344,575 Huazhu Group Ltd 43,769 2,311,441 TAL Education Group 80,953 2,042,444

This schedule of investments provides information about the fund's portfolio holdings as of the date on the schedule. It is unaudited, and American Century assumes no obligation to update or supplement the schedule to reflect subsequent changes. information is available in the fund's most recent annual or semiannual shareholder report.