Legacy Large Cap - TF

Schedule of Investments as of 2016-09-30 (Unaudited)

Holding Shares/Principal Amount Market Value ($) Apple Inc 6,605 746,695 VMware Inc 6,883 504,868 Lowe's Cos Inc 6,117 441,709 Corp 11,047 417,024 Inc 4,138 411,607 Boeing Co/The 3,104 408,921 PepsiCo Inc 3,741 406,909 Wal-Mart Stores Inc 5,610 404,593 UnitedHealth Group Inc 2,856 399,840 International Business Machines Corp 2,485 394,742 Inc 2,323 387,500 Facebook Inc 2,953 378,781 Accenture PLC 2,980 364,067 CSX Corp 10,877 331,748 Sherwin-Williams Co/The 1,197 331,162 AbbVie Inc 5,147 324,621 ABIOMED Inc 2,479 318,750 Synchrony Financial 10,410 291,480 Corp 4,883 281,261 Walt Disney Co/The 2,739 254,344 Visa Inc 3,067 253,641 United Parcel Service Inc 2,274 248,685 Burlington Stores Inc 3,054 247,435 Expedia Inc 2,117 247,096 HCA Holdings Inc 3,201 242,092 Target Corp 3,493 239,899 DexCom Inc 2,725 238,874 eBay Inc 7,241 238,229 Inc 3,480 212,210 Tyson Foods Inc 2,809 209,748 Broadcom Ltd 1,214 209,439 Inc 2,790 201,801 Delphi Automotive PLC 2,803 199,910 CVS Health Corp 2,225 198,003 Vornado Realty Trust 1,831 185,316 Aetna Inc 1,562 180,333 Pfizer Inc 5,043 170,806 Ulta Salon Cosmetics & Fragrance Inc 711 169,204 L Brands Inc 2,295 162,417 NVR Inc 99 162,347 Norfolk Southern Corp 1,634 158,596 McDonald's Corp 1,358 156,659 Enterprise Products Partners LP 5,602 154,783 Inc 1,747 138,223 Post Holdings Inc 1,745 134,662 Edwards Lifesciences Corp 1,072 129,240 GoDaddy Inc 3,443 118,887 Verizon Communications Inc 2,044 106,247 Blue Buffalo Pet Products Inc 4,429 105,233 Legacy Large Cap - TF

Holding Shares/Principal Amount Market Value ($) Inc 5,146 91,496 LyondellBasell Industries NV 1,098 88,565 Travelers Cos Inc 695 79,612 Royal Gold Inc 991 76,733 Aon PLC 438 49,271 .com Inc 50 41,866

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. More information is available in the fund's most recent annual or semiannual shareholder report or Form N-Q.