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Pacer Lunt Large Cap Alternator ETF

Pacer Funds Trust

Assets: $273M Net: $258M Series: S000062277 EDGAR ↗
+36
New
-32
Exited
134
Positions
Period:
vs
Compare:
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# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Mount Vernon Liquid Assets Portfolio, LLC N/A Jan 2023 13,275,746 +13,230,608 $13.3M +29.3% 5.14% STIV
2 Coca-Cola Co/The KO Jan 2023 59,765 -133,529 $3.7M -68.9% 1.43% EC
3 Republic Services Inc RSG Jan 2023 18,058 -58,292 $3.5M -63.7% 1.34% EC
4 Berkshire Hathaway Inc BRK/B Jan 2023 8,528 -28,267 $3.4M -70.5% 1.31% EC
5 Colgate-Palmolive Co CL Jan 2023 36,450 -115,573 $3.4M -70.4% 1.30% EC
6 Kimberly-Clark Corp KMB Jan 2023 24,475 -59,474 $3.3M -69.4% 1.29% EC
7 Waste Management Inc WM Jan 2023 15,843 -50,874 $3.3M -68.1% 1.28% EC
8 McDonald's Corp MCD Jan 2023 11,961 -29,495 $3.3M -70.5% 1.26% EC
9 PepsiCo Inc PEP Jan 2023 18,243 -47,222 $3.2M -71.3% 1.24% EC
10 Walmart Inc WMT Jan 2023 53,504 -9,697 $3.2M -65.1% 1.23% EC
11 Yum! Brands Inc YUM Jan 2023 22,228 -54,854 $3.1M -68.8% 1.22% EC
12 Procter & Gamble Co/The PG Jan 2023 19,206 -57,681 $3.1M -71.4% 1.21% EC
13 Kroger Co/The KR Apr 2024 54,914 New $3.0M 1.18% EC
14 Visa Inc V Apr 2024 11,072 New $3.0M 1.15% EC
15 Kraft Heinz Co/The KHC Apr 2024 76,738 New $3.0M 1.15% EC
16 Kinder Morgan Inc KMI Apr 2024 159,186 New $2.9M 1.13% EC
17 Marsh & McLennan Cos Inc MMC Jan 2023 14,392 -43,460 $2.9M -71.6% 1.11% EC
18 Amphenol Corp APH Apr 2024 23,751 New $2.9M 1.11% EC
19 Philip Morris International In PM Jan 2023 30,080 -70,749 $2.9M -72.8% 1.11% EC
20 Kellanova K Jan 2023 49,056 -104,060 $2.8M -73.0% 1.10% EC
21 TJX Cos Inc/The TJX Apr 2024 30,035 New $2.8M 1.09% EC
22 General Mills Inc GIS Jan 2023 39,977 -88,962 $2.8M -72.1% 1.09% EC
23 Public Service Enterprise Grou PEG Jan 2023 40,641 -133,351 $2.8M -73.9% 1.09% EC
24 Mastercard Inc MA Apr 2024 6,207 New $2.8M 1.08% EC
25 Roper Technologies Inc ROP Jan 2023 5,446 -16,277 $2.8M -70.0% 1.08% EC
26 Keurig Dr Pepper Inc KDP Jan 2023 81,776 -211,276 $2.8M -73.3% 1.07% EC
27 Southern Co/The SO Jan 2023 37,373 -126,309 $2.7M -75.2% 1.06% EC
28 Lockheed Martin Corp LMT Jan 2023 5,897 -12,889 $2.7M -68.5% 1.06% EC
29 AMETEK Inc AME Jan 2023 15,676 -54,720 $2.7M -73.2% 1.06% EC
30 Altria Group Inc MO Jan 2023 62,291 -140,009 $2.7M -70.0% 1.06% EC
31 Quest Diagnostics Inc DGX Jan 2023 19,663 -40,525 $2.7M -69.6% 1.05% EC
32 Church & Dwight Co Inc CHD Jan 2023 25,166 -102,907 $2.7M -73.8% 1.05% EC
33 Loews Corp L Jan 2023 36,024 -142,170 $2.7M -75.3% 1.05% EC
34 General Dynamics Corp GD Jan 2023 9,424 -29,551 $2.7M -70.2% 1.05% EC
35 Cencora Inc COR Jan 2023 11,305 -50,240 $2.7M -74.0% 1.05% EC
36 Consolidated Edison Inc ED Jan 2023 28,582 -93,272 $2.7M -76.8% 1.04% EC
37 Conagra Brands Inc CAG Jan 2023 87,198 -173,342 $2.7M -72.3% 1.04% EC
38 Constellation Brands Inc STZ Jan 2023 10,520 -31,933 $2.7M -72.9% 1.03% EC
39 Johnson & Johnson JNJ Jan 2023 18,386 -56,708 $2.7M -78.3% 1.03% EC
40 Costco Wholesale Corp COST Apr 2024 3,676 New $2.7M 1.03% EC
41 Cintas Corp CTAS Apr 2024 4,032 New $2.7M 1.03% EC
42 Williams Cos Inc/The WMB Apr 2024 69,040 New $2.6M 1.03% EC
43 Hershey Co/The HSY Jan 2023 13,615 -35,632 $2.6M -76.1% 1.02% EC
44 Atmos Energy Corp ATO Jan 2023 22,344 -79,426 $2.6M -78.0% 1.02% EC
45 PPL Corp PPL Jan 2023 95,832 -283,479 $2.6M -76.6% 1.02% EC
46 Linde PLC LIN Jan 2023 5,928 New $2.6M 1.01% EC
47 Honeywell International Inc HON Jan 2023 13,546 -30,702 $2.6M -71.7% 1.01% EC
48 Duke Energy Corp DUK Jan 2023 26,506 -88,929 $2.6M -78.0% 1.01% EC
49 Ecolab Inc ECL Apr 2024 11,505 New $2.6M 1.01% EC
50 Intercontinental Exchange Inc ICE Apr 2024 20,044 New $2.6M 1.00% EC
51 T-Mobile US Inc TMUS Apr 2024 15,689 New $2.6M 1.00% EC
52 Mondelez International Inc MDLZ Jan 2023 35,671 -137,179 $2.6M -77.3% 0.99% EC
53 Motorola Solutions Inc MSI Apr 2024 7,552 New $2.6M 0.99% EC
54 CME Group Inc CME Jan 2023 12,186 -41,669 $2.6M -73.1% 0.99% EC
55 Boston Scientific Corp BSX Apr 2024 35,466 New $2.5M 0.99% EC
56 Merck & Co Inc MRK Jan 2023 19,438 -79,275 $2.5M -76.3% 0.97% EC
57 DTE Energy Co DTE Jan 2023 22,667 -73,607 $2.5M -77.7% 0.97% EC
58 CenterPoint Energy Inc CNP Jan 2023 85,660 -271,669 $2.5M -76.8% 0.97% EC
59 CMS Energy Corp CMS Jan 2023 41,113 -138,200 $2.5M -78.0% 0.96% EC
60 Cboe Global Markets Inc CBOE Jan 2023 13,749 -62,005 $2.5M -73.2% 0.96% EC
61 Otis Worldwide Corp OTIS Jan 2023 27,116 -93,003 $2.5M -75.0% 0.96% EC
62 Aflac Inc AFL Jan 2023 29,534 -113,587 $2.5M -76.5% 0.96% EC
63 JPMorgan Chase & Co JPM Apr 2024 12,846 New $2.5M 0.95% EC
64 Hologic Inc HOLX Jan 2023 32,238 -88,733 $2.4M -75.2% 0.95% EC
65 FirstEnergy Corp FE Jan 2023 63,449 -208,066 $2.4M -78.1% 0.94% EC
66 WEC Energy Group Inc WEC Jan 2023 29,359 -82,937 $2.4M -77.0% 0.94% EC
67 Arthur J Gallagher & Co AJG Jan 2023 10,337 -36,021 $2.4M -73.3% 0.94% EC
68 Sempra SRE Jan 2023 33,846 -32,160 $2.4M -77.1% 0.94% EC
69 McKesson Corp MCK Jan 2023 4,491 -20,716 $2.4M -74.7% 0.93% EC
70 Darden Restaurants Inc DRI Apr 2024 15,650 New $2.4M 0.93% EC
71 Alliant Energy Corp LNT Jan 2023 48,139 -133,661 $2.4M -75.6% 0.93% EC
72 Brown & Brown Inc BRO Apr 2024 28,950 New $2.4M 0.91% EC
73 Broadridge Financial Solutions BR Apr 2024 12,200 New $2.4M 0.91% EC
74 Realty Income Corp O Jan 2023 43,949 -120,481 $2.4M -78.9% 0.91% EC
75 Chubb Ltd CB Jan 2023 9,431 New $2.3M 0.91% EC
76 VICI Properties Inc VICI Apr 2024 80,649 New $2.3M 0.89% EC
77 Becton Dickinson & Co BDX Jan 2023 9,767 -35,357 $2.3M -79.9% 0.89% EC
78 Sysco Corp SYY Apr 2024 30,674 New $2.3M 0.88% EC
79 IBM IBM Jan 2023 13,625 -58,168 $2.3M -76.6% 0.88% EC
80 Automatic Data Processing Inc ADP Apr 2024 9,349 New $2.3M 0.88% EC
81 IDEX Corp IEX Jan 2023 10,235 -29,544 $2.3M -76.3% 0.87% EC
82 PTC Inc PTC Apr 2024 12,588 New $2.2M 0.86% EC
83 Illinois Tool Works Inc ITW Jan 2023 9,121 -33,559 $2.2M -77.9% 0.86% EC
84 AbbVie Inc ABBV Jan 2023 13,588 -54,904 $2.2M -78.2% 0.86% EC
85 Laboratory Corp of America Hol LH Apr 2024 10,848 New $2.2M 0.85% EC
86 Xcel Energy Inc XEL Jan 2023 40,606 -114,191 $2.2M -79.5% 0.84% EC
87 O'Reilly Automotive Inc ORLY Apr 2024 2,151 New $2.2M 0.84% EC
88 Aon PLC AON Jan 2023 7,726 New $2.2M 0.84% EC
89 Abbott Laboratories ABT Jan 2023 20,544 -67,633 $2.2M -77.7% 0.84% EC
90 Bristol-Myers Squibb Co BMY Jan 2023 49,400 -93,017 $2.2M -79.0% 0.84% EC
91 Cisco Systems Inc CSCO Apr 2024 45,325 New $2.1M 0.82% EC
92 Moody's Corp MCO Apr 2024 5,723 New $2.1M 0.82% EC
93 Electronic Arts Inc EA Apr 2024 16,571 New $2.1M 0.81% EC
94 CSX Corp CSX Apr 2024 62,775 New $2.1M 0.81% EC
95 VeriSign Inc VRSN Apr 2024 12,287 New $2.1M 0.81% EC
96 Verisk Analytics Inc VRSK Jan 2023 9,518 -42,823 $2.1M -78.2% 0.80% EC
97 Apple Inc AAPL Apr 2024 12,051 New $2.1M 0.79% EC
98 LKQ Corp LKQ Apr 2024 47,317 New $2.0M 0.79% EC
99 J M Smucker Co/The SJM Jan 2023 17,704 -44,963 $2.0M -78.8% 0.79% EC
100 FactSet Research Systems Inc FDS Apr 2024 4,789 New $2.0M 0.77% EC
101 Globe Life Inc GL Jan 2023 20,410 -58,618 $1.6M -83.7% 0.60% EC
102 U.S. Bank Money Market Deposit Account USBFS03 Jan 2023 362,656 -434,757 $363K -54.5% 0.14% STIV
Verizon Communications Inc 92343V104 274,775 Exited $11.4M
Ameren Corp 023608102 131,061 Exited $11.4M
Dominion Energy Inc 25746U109 178,220 Exited $11.3M
Eversource Energy 30040W108 132,972 Exited $10.9M
Evergy Inc 30034W106 174,326 Exited $10.9M
American Electric Power Co Inc 025537101 116,166 Exited $10.9M
Edison International 281020107 157,656 Exited $10.9M
NiSource Inc 65473P105 390,821 Exited $10.8M
Henry Schein Inc 806407102 121,971 Exited $10.5M
Camden Property Trust 133131102 83,560 Exited $10.3M
Exelon Corp 30161N101 243,989 Exited $10.3M
Pinnacle West Capital Corp 723484101 135,474 Exited $10.1M
Campbell Soup Co 134429109 194,466 Exited $10.1M
Hormel Foods Corp 440452100 220,453 Exited $10.0M
Jack Henry & Associates Inc 426281101 55,391 Exited $10.0M
AvalonBay Communities Inc 053484101 56,131 Exited $10.0M
Travelers Cos Inc/The 89417E109 52,094 Exited $10.0M
Mid-America Apartment Communit 59522J103 58,964 Exited $9.8M
American Water Works Co Inc 030420103 62,753 Exited $9.8M
Brown-Forman Corp 115637209 141,647 Exited $9.4M
Entergy Corp 29364G103 86,685 Exited $9.4M
Amgen Inc 031162100 37,028 Exited $9.3M
Gilead Sciences Inc 375558103 111,279 Exited $9.3M
Public Storage 74460D109 30,680 Exited $9.3M
Equity Residential 29476L107 146,294 Exited $9.3M
Union Pacific Corp 907818108 45,254 Exited $9.2M
UnitedHealth Group Inc 91324P102 17,956 Exited $9.0M
Genuine Parts Co 372460105 52,094 Exited $8.7M
W R Berkley Corp 084423102 123,797 Exited $8.7M
McCormick & Co Inc/MD 579780206 113,526 Exited $8.5M
Huntington Ingalls Industries 446413106 37,794 Exited $8.3M
Leidos Holdings Inc 525327102 83,670 Exited $8.3M