NT Equity Growth - TF

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

Holding Shares/Principal Amount Market Value ($) Corp 251,572 68,150,855 Apple Inc 410,790 56,261,798 Alphabet Inc 16,199 39,554,556 .com Inc 10,990 37,807,358 Facebook Inc 79,927 27,791,417 PLC 82,804 24,409,791 Corp 311,210 17,745,194 Target Corp 67,477 16,311,890 Home Depot Inc/The 50,024 15,952,153 HCA Healthcare Inc 76,378 15,790,388 Inc 108,391 15,434,878 Bristol-Myers Squibb Co 230,227 15,383,768 Broadcom Inc 31,677 15,104,861 PayPal Holdings Inc 51,059 14,882,677 FedEx Corp 49,854 14,872,944 Tesla Inc 21,464 14,589,081 Bank of America Corp 344,745 14,213,836 Ford Motor Co 954,714 14,187,050 Tyson Foods Inc 190,746 14,069,425 Berkshire Hathaway Inc 50,331 13,987,992 AbbVie Inc 121,930 13,734,195 Oracle Corp 171,137 13,321,304 NXP Semiconductors NV 64,588 13,287,043 Chevron Corp 123,003 12,883,334 Danaher Corp 47,238 12,676,790 Inc 87,153 12,456,778 Prologis Inc 103,073 12,320,316 UnitedHealth Group Inc 30,735 12,307,523 Inc 16,854 12,159,318 Inc 50,612 11,892,808 Akamai Technologies Inc 101,544 11,840,030 Morgan Stanley 128,025 11,738,612 Wells Fargo & Co 257,590 11,666,251 International Business Machines Corp 78,904 11,566,537 Inc 132,346 11,246,763 Lowe's Cos Inc 56,239 10,908,679 Altice USA Inc 310,089 10,586,438 Corp 187,134 10,505,703 Best Buy Co Inc 91,027 10,466,284 Eaton Corp PLC 70,072 10,383,269 3M Co 52,136 10,355,774 Northrop Corp 28,423 10,329,771 Owens Corning 100,905 9,878,600 salesforce.com Inc 40,371 9,861,424 Humana Inc 22,212 9,833,697 Qorvo Inc 48,651 9,518,568 McKesson Corp 49,737 9,511,704 Holdings PLC 106,853 9,395,584 Inc 45,899 9,254,615 NT Equity Growth - TF

Holding Shares/Principal Amount Market Value ($) Pfizer Inc 235,582 9,225,391 Mohawk Industries Inc 46,683 8,972,006 Synchrony Financial 183,257 8,891,630 MasTec Inc 76,794 8,147,843 Amdocs Ltd 101,842 7,878,497 AMN Healthcare Services Inc 78,913 7,652,983 Inc/Delaware 142,774 7,567,022 Magna International Inc 81,584 7,557,942 Fortinet Inc 29,891 7,119,737 Molina Healthcare Inc 27,874 7,053,794 JPMorgan Chase & Co 45,108 7,016,098 Eastman Chemical Co 59,602 6,958,534 SYNNEX Corp 54,219 6,601,705 Sherwin-Williams Co/The 24,138 6,576,398 Dropbox Inc 210,746 6,387,711 Simon Property Group Inc 48,924 6,383,604 System Inc 85,764 6,374,838 Corp 7,955 6,364,796 Waste Management Inc 45,160 6,327,368 Timken Co/The 77,400 6,237,666 CVS Health Corp 74,611 6,225,542 Charles Schwab Corp/The 83,542 6,082,693 Walmart Inc 40,081 5,652,223 Westrock Co 106,113 5,647,334 Synaptics Inc 35,998 5,600,569 Co 94,133 5,569,850 Inc 38,712 5,567,947 HP Inc 181,069 5,466,473 Inc 78,549 5,401,815 Regal Beloit Corp 39,958 5,334,793 Huntington Ingalls Industries Inc 25,141 5,298,466 Chemours Co/The 150,997 5,254,696 Lumen Technologies Inc 378,055 5,137,767 Cboe Global Markets Inc 43,044 5,124,388 Walt Disney Co/The 29,091 5,113,325 Exelixis Inc 270,658 4,931,389 Technology Solutions Corp 71,036 4,919,953 A O Smith Corp 67,969 4,897,846 Take-Two Interactive Inc 27,495 4,867,165 Inc 16,662 4,863,638 nVent Electric PLC 153,318 4,789,654 NetApp Inc 58,361 4,775,097 Johnson & Johnson 28,968 4,772,188 Citigroup Inc 66,364 4,695,253 HubSpot Inc 8,056 4,694,392 Goldman Sachs Group Inc/The 11,932 4,528,552 International SA 37,076 4,483,230 Incyte Corp 52,906 4,450,982 Corp 55,975 4,375,006 Masco Corp 73,873 4,351,858 NT Equity Growth - TF

Holding Shares/Principal Amount Market Value ($) Palo Alto Networks Inc 11,637 4,317,909 Lithia Motors Inc 12,445 4,276,600 EMCOR Group Inc 34,697 4,274,323 Yum! Brands Inc 36,505 4,199,170 AGCO Corp 32,025 4,175,420 Boeing Co/The 15,431 3,696,650 STMicroelectronics NV 96,779 3,520,820 AutoNation Inc 36,158 3,428,140 LKQ Corp 69,033 3,397,804 L Brands Inc 47,082 3,392,729 RH 4,425 3,004,575 Polaris Inc 21,644 2,964,362 Robert Half International Inc 32,414 2,883,874 AMC Networks Inc 41,521 2,773,603 Crocs Inc 23,233 2,707,109 Motorola Solutions Inc 11,145 2,416,793 Williams-Sonoma Inc 13,880 2,215,942 Louisiana-Pacific Corp 33,817 2,038,827 Inc 12,761 2,016,493 Adobe Inc 2,064 1,208,761 Iron Mountain Inc 10,064 425,908 Laboratory Corp of America Holdings 710 195,854

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.