ALTL Holdings — Pacer Lunt Large Cap Alternator ETF

All 102 reported holdings of Pacer Lunt Large Cap Alternator ETF (ALTL) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Mount Vernon Liquid Assets Portfolio, LLC12.98%$12.49M
CenterPoint Energy Inc1.36%$1.31M
Pinnacle West Capital Corp1.35%$1.30M
WEC Energy Group Inc1.35%$1.30M
Atmos Energy Corp1.35%$1.30M
Southern Co/The1.35%$1.30M
Ameren Corp1.34%$1.29M
DTE Energy Co1.34%$1.29M
Alliant Energy Corp1.32%$1.27M
Evergy Inc1.32%$1.27M
Duke Energy Corp1.30%$1.25M
CMS Energy Corp1.28%$1.24M
American Electric Power Co Inc1.25%$1.21M
PPL Corp1.22%$1.18M
Realty Income Corp1.22%$1.17M
Exelon Corp1.19%$1.14M
TJX Cos Inc/The1.18%$1.14M
VICI Properties Inc1.18%$1.14M
Coca-Cola Co/The1.17%$1.13M
Entergy Corp1.16%$1.12M
Linde PLC1.16%$1.12M
Xcel Energy Inc1.13%$1.09M
NiSource Inc1.13%$1.09M
Loews Corp1.13%$1.09M
Intercontinental Exchange Inc1.11%$1.07M
Regency Centers Corp1.10%$1.06M
Consolidated Edison Inc1.10%$1.06M
Waste Management Inc1.07%$1.03M
Berkshire Hathaway Inc1.07%$1.03M
Cboe Global Markets Inc1.06%$1.02M
Altria Group Inc1.05%$1.02M
FirstEnergy Corp1.05%$1.01M
Chubb Ltd1.05%$1.01M
Johnson & Johnson1.04%$1.00M
CME Group Inc1.04%$998.74K
O'Reilly Automotive Inc1.03%$993.40K
Republic Services Inc1.03%$988.77K
Welltower Inc1.02%$979.99K
McDonald's Corp1.02%$979.42K
Invitation Homes Inc1.01%$974.70K
Procter & Gamble Co/The1.01%$970.65K
Public Service Enterprise Grou1.01%$969.39K
Bank of New York Mellon Corp/T1.00%$967.20K
Ventas Inc0.99%$954.34K
Automatic Data Processing Inc0.99%$953.73K
Kimco Realty Corp0.98%$946.88K
Aflac Inc0.98%$945.28K
Costco Wholesale Corp0.98%$939.45K
Travelers Cos Inc/The0.98%$938.92K
CSX Corp0.97%$931.13K
Mid-America Apartment Communit0.96%$919.89K
Dominion Energy Inc0.95%$916.67K
General Dynamics Corp0.95%$915.49K
Hartford Insurance Group Inc/T0.95%$912.11K
Aon PLC0.95%$911.58K
Roper Technologies Inc0.95%$910.09K
AvalonBay Communities Inc0.94%$909.33K
Union Pacific Corp0.94%$908.69K
Marsh & McLennan Cos Inc0.94%$907.65K
Public Storage0.94%$904.33K
Edwards Lifesciences Corp0.94%$900.13K
Federal Realty Investment Trus0.93%$897.62K
Motorola Solutions Inc0.93%$897.38K
Kinder Morgan Inc0.92%$886.77K
Willis Towers Watson PLC0.92%$885.68K
American Water Works Co Inc0.92%$884.43K
Mondelez International Inc0.92%$884.31K
Camden Property Trust0.91%$878.60K
Equity Residential0.91%$878.18K
AMETEK Inc0.90%$870.88K
Norfolk Southern Corp0.90%$870.74K
Visa Inc0.90%$863.52K
Veralto Corp0.90%$862.86K
Church & Dwight Co Inc0.88%$851.31K
Tyson Foods Inc0.88%$847.20K
Cincinnati Financial Corp0.88%$846.47K
AutoZone Inc0.87%$840.81K
Ecolab Inc0.86%$826.36K
Broadridge Financial Solutions0.86%$825.64K
PepsiCo Inc0.86%$825.10K
L3Harris Technologies Inc0.85%$822.21K
Monster Beverage Corp0.85%$817.94K
W R Berkley Corp0.85%$814.06K
Cintas Corp0.84%$809.43K
Healthpeak Properties Inc0.84%$808.03K
Colgate-Palmolive Co0.84%$804.35K
AT&T Inc0.83%$802.95K
Jack Henry & Associates Inc0.83%$801.65K
Mastercard Inc0.83%$801.15K
UDR Inc0.83%$800.57K
Stryker Corp0.82%$786.25K
Quest Diagnostics Inc0.82%$785.93K
Rollins Inc0.81%$783.17K
Steris PLC0.79%$761.25K
Cencora Inc0.79%$761.09K
Illinois Tool Works Inc0.78%$749.00K
McKesson Corp0.78%$748.35K
Medtronic PLC0.77%$742.09K
Sysco Corp0.75%$721.70K
Home Depot Inc/The0.74%$712.84K
General Mills Inc0.64%$611.50K
U.S. Bank Money Market Deposit Account0.11%$110.24K

ALTL overview: performance, fees, allocation and SEC filings