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Portfolio (Quarterly) Guide ↗

Pacer Advisors, Inc.

· CIK 0001616667
13F Portfolio $39.1B AUM 3,829 positions Filed Feb 4, 2026 EDGAR ↗ ← All Funds
Q4 2025 Q3 2025 · All 331 New 1872 Added 292 Reduced 1676 Exited
Page 21 of 130  ·  2,587 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
401 Insight Enterprises Inc 313,268.0 $13.6M 0.04% +130K +71.1% $43.46
402 Atlassian Corp 98,158.0 $13.5M 0.03% +82K +517.6% $137.56
403 Bentley Systems Inc 353,336.0 $13.5M 0.03% +353K +10000.0% $38.16
404 PSFM Pacer Swan SOS Flex April ETF 422,641.0 $13.5M 0.03% -25K -5.5% $31.83 +9.3%
405 VC Visteon Corp Consumer Cyclical 141,188.0 $13.4M 0.03% +13K +10.1% $95.10 +19.7%
406 Motorola Solutions Inc 182,639.0 $13.4M 0.03% +30K +19.9% $73.13
407 OLED Universal Display Corp Technology 113,207.0 $13.2M 0.03% +107K +1820.1% $116.78 -23.8%
408 MARVELL TECHNOLOGY INC 172,349.0 $13.2M 0.03% +153K +792.6% $76.38
409 Charles Schwab Corp/The 297,390.0 $13.1M 0.03% +209K +237.9% $44.19
410 G-III Apparel Group Ltd 1,199,057.0 $13.1M 0.03% NEW $10.92
411 United States Treasury Note/Bond 13,000,000.0 $13.1M 0.03% +7.0M +116.7% $1.01
412 Itron Inc 141,941.0 $12.9M 0.03% +138K +3909.6% $91.05
413 Magnolia Oil & Gas Corp 589,516.0 $12.9M 0.03% NEW $21.89
414 O'Reilly Automotive Inc 140,163.0 $12.7M 0.03% -799K -85.1% $90.69
415 CNO Financial Group Inc 282,424.0 $12.7M 0.03% +51K +22.1% $44.84
416 Flowers Foods Inc 1,161,283.0 $12.6M 0.03% +1.2M +10000.0% $10.88
417 VEEV Veeva Systems Inc Healthcare 56,568.0 $12.6M 0.03% -57K -50.3% $223.23 -31.3%
418 Mondelez International Inc 237,477.0 $12.6M 0.03% +229K +2646.0% $53.07
419 Supernus Pharmaceuticals Inc 154,665.0 $12.6M 0.03% +155K +10000.0% $81.20
420 Blackrock Inc 25,744.0 $12.5M 0.03% +14K +116.2% $486.05
Page 21 of 130  ·  2,587 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Communication Services 28.6%
Technology 20.2%
Industrials 18.6%
Real Estate 11.6%
Healthcare 6.7%
Energy 5.1%
Consumer Cyclical 3.3%
Financial Services 2.9%
Consumer Defensive 2.4%
Utilities 0.4%