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Explore Our Funds

Showing 38 Funds

CUMULATIVEAVERAGE ANNUALEXPENSE RATIO

AVGE

19.21
1.52
4.92
13.80
15.52
-
-
20.47
09/27/2022

0.25

0.23

AVGV

19.81
2.69
4.47
13.62
-
-
-
18.02
06/27/2023

0.28

0.26

AVNM

34.35
1.50
6.10
31.02
-
-
-
19.33
06/27/2023

0.33

0.31

AVNV

35.89
2.20
6.12
32.69
-
-
-
20.37
06/27/2023

0.36

0.34

AVIG

8.11
0.75
2.29
6.36
5.13
-0.21
-
-0.10
10/13/2020

0.15

-

AVIGX

8.12
0.83
2.30
6.34
5.07
-
-
0.14
02/24/2021

0.15

-

AVMU

3.61
0.26
4.68
2.61
3.50
-
-
0.66
12/08/2020

0.15

-

AVGB

-
0.45
1.61
-
-
-
-
5.07
04/15/2025

0.18

-

AVEM

31.59
-1.02
7.75
29.98
16.78
8.71
-
9.65
09/17/2019

0.33

-

AVEEX

29.27
-0.86
7.39
27.55
16.24
8.38
-
9.42
12/04/2019

0.33

-

AVEE

18.98
-1.54
0.56
16.64
-
-
-
13.59
11/07/2023

0.42

-

AVES

26.66
-0.29
4.06
23.53
14.69
-
-
6.93
09/28/2021

0.36

-

AVXC

26.65
-0.55
9.80
23.45
-
-
-
15.56
03/19/2024

0.33

-

AVIE

11.64
5.55
6.19
2.68
6.13
-
-
12.29
09/27/2022

0.25

-

AVDE

34.23
1.87
5.36
30.23
17.52
11.34
-
10.81
09/24/2019

0.23

-

AVDEX

33.25
2.04
5.15
29.16
17.18
11.01
-
10.17
12/04/2019

0.23

-

AVIV

37.20
2.61
6.19
33.64
18.45
-
-
11.57
09/28/2021

0.25

-

AVDS

34.40
2.42
4.71
31.09
-
-
-
16.52
07/18/2023

0.30

-

AVDV

45.42
3.83
8.21
43.16
22.16
15.41
-
13.62
09/24/2019

0.36

-

AVDVX

43.83
3.84
8.25
41.66
21.68
15.10
-
13.06
12/04/2019

0.36

-

AVMA

15.50
1.28
3.97
11.43
-
-
-
14.16
06/27/2023

0.23

0.21

AVRE

9.82
1.52
0.58
1.17
5.14
-
-
0.45
09/28/2021

0.17

-

AVSE

30.11
-0.67
7.56
28.41
17.04
-
-
10.14
03/28/2022

0.33

-

AVSD

32.65
1.04
4.37
28.87
18.03
-
-
12.97
03/15/2022

0.23

-

AVSU

15.55
1.38
5.73
10.94
17.19
-
-
12.93
03/15/2022

0.15

-

AVSF

6.23
0.55
1.25
5.97
5.11
1.70
-
1.70
10/13/2020

0.15

-

AVUS

16.03
1.03
5.33
10.96
16.95
14.63
-
15.36
09/24/2019

0.15

-

AVUSX

15.60
0.95
5.28
10.52
16.60
14.02
-
14.65
12/04/2019

0.15

-

AVLC

17.07
0.57
5.71
12.64
-
-
-
24.80
09/26/2023

0.15

-

AVLV

13.06
2.78
4.48
6.55
13.71
-
-
11.89
09/21/2021

0.15

-

AVLVX

13.11
3.08
5.52
6.16
13.29
-
-
16.12
06/21/2022

0.15

-

AVMC

9.59
2.29
2.09
1.92
-
-
-
20.00
11/07/2023

0.18

-

AVMV

8.68
3.37
1.85
0.27
-
-
-
20.29
11/07/2023

0.20

-

AVUQ

-
-1.40
6.13
-
-
-
-
20.98
03/25/2025

0.15

-

AVSC

8.65
2.17
2.90
0.35
9.48
-
-
5.33
01/11/2022

0.25

-

AVSCX

10.94
3.05
4.11
2.65
-
-
-
14.90
06/20/2024

0.25

-

AVUV

6.15
3.38
1.73
-2.37
9.85
15.72
-
13.85
09/24/2019

0.25

-

AVUVX

7.50
3.38
2.06
-1.33
10.34
15.73
-
14.34
12/04/2019

0.25

-

Funds and ETFs with the same name have the same management team and investment policies. The fees and expenses of the funds are similar, and they are managed with substantially the same investment objective and strategies. Notwithstanding these general similarities, the funds and the ETFs are separate funds that have different investment performance. Differences in cash flows into the two funds, the size of their portfolios, and the specific investments held by two funds with the same name can cause performance to differ. Please consult the appropriate prospectus for a description of each fund and ETF, details on how they are offered, and their associated fees.

Performance data quoted represents past performance and is no guarantee of future results. Current performance may be lower or higher than the performance data quoted. Investment return and principal value will fluctuate so that the investor's shares, when redeemed, may be worth more or less than the original cost. Returns less than one year are not annualized. Net asset value (NAV) prices are used to calculate market price performance prior to the date when the fund first traded on an exchange. Effective July 1, 2025, market performance is determined using the official closing price as reported by the ETF's primary exchange. Prior to July 1, 2025, market performance was determined using the bid/ask midpoint at 4:00 p.m. Eastern time, when the NAV is typically calculated. Market performance does not represent the returns you would receive if you traded shares at other times. Index performance does not represent the fund's performance. It is not possible to invest directly in an index.

Footnotes

8.

Returns or yields for the fund would have been lower if .02% of the fund's management fee had not been waived. The advisor expects this waiver to continue until December 31, 2025, and cannot terminate it prior to such date without the approval of the Board of Trustees. Review the annual or semiannual report for the most current information.

Exchange Traded Funds (ETFs) are bought and sold through exchange trading at market price (not NAV), and are not individually redeemed from the fund. Shares may trade at a premium or discount to their NAV in the secondary market. Brokerage commissions will reduce returns.

Mutual Funds: American Century Investment Services, Inc., Distributor.

Exchange Traded Funds (ETFs): Foreside Fund Services, LLC – Distributor, not affiliated with American Century Investment Services, Inc.