COWZ Holdings — Pacer US Cash Cows 100 ETF

All 102 reported holdings of Pacer US Cash Cows 100 ETF (COWZ) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
QUALCOMM Inc2.67%$485.32M
Altria Group Inc2.20%$400.56M
ConocoPhillips2.17%$393.99M
CVS Health Corp2.16%$391.98M
Bristol-Myers Squibb Co2.03%$368.53M
Ford Motor Co2.01%$364.59M
Uber Technologies Inc2.00%$364.17M
Pfizer Inc1.99%$361.96M
Diamondback Energy Inc1.98%$360.49M
Newmont Corp1.93%$350.31M
Verizon Communications Inc1.90%$344.54M
Booking Holdings Inc1.87%$339.21M
AT&T Inc1.84%$334.57M
Gilead Sciences Inc1.83%$333.35M
SLB Ltd1.83%$333.12M
McKesson Corp1.79%$325.24M
T-Mobile US Inc1.78%$323.56M
Marathon Petroleum Corp1.78%$323.40M
Salesforce Inc1.76%$320.31M
Adobe Inc1.75%$318.21M
Comcast Corp1.71%$310.74M
United Parcel Service Inc1.68%$306.22M
Accenture PLC1.68%$304.82M
HCA Healthcare Inc1.64%$299.02M
Intuit Inc1.63%$296.09M
Cardinal Health Inc1.62%$294.84M
Airbnb Inc1.62%$293.83M
Archer-Daniels-Midland Co1.55%$280.93M
Occidental Petroleum Corp1.53%$277.46M
Valero Energy Corp1.47%$267.92M
Delta Air Lines Inc1.47%$267.71M
Automatic Data Processing Inc1.30%$237.03M
EOG Resources Inc1.23%$223.13M
DR Horton Inc1.21%$219.62M
Regeneron Pharmaceuticals Inc1.17%$211.85M
Kraft Heinz Co/The1.12%$204.39M
Colgate-Palmolive Co1.10%$200.45M
Devon Energy Corp1.09%$197.95M
Target Corp1.07%$195.03M
Cencora Inc1.03%$187.41M
Expedia Group Inc1.03%$186.71M
HP Inc1.02%$186.15M
PACCAR Inc0.99%$180.30M
Corteva Inc0.98%$178.79M
Mount Vernon Liquid Assets Portfolio, LLC0.92%$166.68M
EQT Corp0.92%$166.35M
ON Semiconductor Corp0.84%$152.07M
Omnicom Group Inc0.84%$151.98M
United Airlines Holdings Inc0.83%$150.82M
Zoom Communications Inc0.80%$145.50M
Roper Technologies Inc0.78%$142.19M
Workday Inc0.75%$135.79M
Autodesk Inc0.72%$130.20M
Halliburton Co0.69%$125.33M
Cognizant Technology Solutions0.69%$125.01M
Biogen Inc0.67%$121.64M
Viatris Inc0.65%$118.09M
CF Industries Holdings Inc0.64%$116.57M
Tenet Healthcare Corp0.63%$114.11M
Coterra Energy Inc0.63%$114.10M
Constellation Brands Inc0.63%$113.91M
IQVIA Holdings Inc0.62%$112.33M
Dollar General Corp0.61%$111.77M
Flex Ltd0.59%$107.38M
NetApp Inc0.59%$106.64M
Paychex Inc0.58%$106.30M
TechnipFMC PLC0.58%$104.96M
PulteGroup Inc0.58%$104.89M
Jabil Inc0.55%$100.31M
Tapestry Inc0.55%$99.94M
Expand Energy Corp0.52%$94.41M
ResMed Inc0.50%$90.82M
General Mills Inc0.47%$85.36M
Leidos Holdings Inc0.45%$81.88M
Dollar Tree Inc0.45%$80.93M
Quest Diagnostics Inc0.44%$79.59M
Incyte Corp0.44%$79.30M
SS&C Technologies Holdings Inc0.44%$79.20M
First Solar Inc0.42%$76.10M
United Therapeutics Corp0.41%$74.38M
Copart Inc0.41%$74.30M
CDW Corp/DE0.40%$72.50M
VeriSign Inc0.39%$70.73M
Labcorp Holdings Inc0.38%$69.02M
JB Hunt Transport Services Inc0.37%$67.10M
Twilio Inc0.36%$65.66M
DuPont de Nemours Inc0.36%$65.38M
Veeva Systems Inc0.36%$64.74M
Williams-Sonoma Inc0.35%$64.47M
Church & Dwight Co Inc0.35%$63.29M
Snap-on Inc0.34%$62.28M
Fortive Corp0.34%$61.21M
NVR Inc0.33%$60.70M
Zimmer Biomet Holdings Inc0.32%$58.91M
F5 Inc0.32%$58.54M
Expeditors International of Wa0.32%$57.67M
Textron Inc0.31%$56.39M
Illumina Inc0.31%$56.27M
Lululemon Athletica Inc0.30%$54.85M
Jacobs Solutions Inc0.27%$49.74M
PTC Inc0.25%$44.63M
U.S. Bank Money Market Deposit Account0.10%$19.08M

COWZ overview: performance, fees, allocation and SEC filings