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ESGY - American Century Sustainable Growth ETF

Expense Ratio: 0.39%

ESGY ETF Stock Chart

ESGY Profile

American Century Sustainable Growth ETF logo

The American Century Sustainable Growth ETF is an actively managed exchange-traded fund (ETF) designed to invest primarily in large-capitalization companies that exhibit sustainable business practices. The fund utilizes a proprietary multi-factor model developed by the Advisor, which integrates both fundamental analysis and environmental, social, and governance (ESG) criteria to identify stocks with strong growth and value potential. This dual-focus approach aims to capture companies that not only demonstrate financial resilience and growth but also adhere to sustainable and responsible business practices.

Under normal market conditions, the fund is committed to allocating at least 80% of its assets to securities deemed sustainable. This includes companies that meet specific ESG criteria, ensuring that investments align with broader environmental and social goals while maintaining robust financial performance. The proprietary model used by the Advisor combines traditional financial metrics with ESG factors to evaluate potential investments, providing a comprehensive assessment of each company's overall sustainability.

The ETF focuses on large-cap companies, which are typically established firms with substantial market capitalization and stability. By concentrating on these companies, the fund aims to balance growth potential with lower volatility compared to smaller or more speculative investments. The investment strategy seeks to identify firms that are not only financially sound but also lead in sustainable practices and corporate governance, reflecting a commitment to long-term value creation and responsible investing.

As a non-diversified fund, the American Century Sustainable Growth ETF may have concentrated positions in certain sectors or industries that align with its sustainability criteria. The fund's active management approach allows for dynamic adjustments based on evolving market conditions and sustainability trends, enabling it to adapt to changes and capitalize on emerging opportunities in the sustainable investment landscape.


 

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