GCOW Holdings — Pacer Global Cash Cows Dividend ETF

All 103 reported holdings of Pacer Global Cash Cows Dividend ETF (GCOW) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Equinor ASA2.56%$85.91M
TotalEnergies SE2.48%$83.03M
Rio Tinto PLC2.38%$79.86M
Exxon Mobil Corp2.32%$77.61M
Bp PLC2.30%$77.06M
BHP Group Ltd2.27%$75.92M
Chevron Corp2.25%$75.53M
Altria Group Inc2.19%$73.43M
ConocoPhillips2.19%$73.33M
Shell PLC2.15%$72.04M
Eni SpA2.11%$70.74M
Bristol-Myers Squibb Co2.03%$68.10M
Canadian Natural Resources Ltd2.02%$67.82M
Verizon Communications Inc2.02%$67.52M
United Parcel Service Inc2.01%$67.21M
Enel SpA1.99%$66.63M
Philip Morris International In1.95%$65.45M
Novartis AG1.94%$65.13M
Merck & Co Inc1.92%$64.17M
PepsiCo Inc1.91%$64.13M
AT&T Inc1.81%$60.65M
Nestle SA1.81%$60.57M
British American Tobacco PLC1.80%$60.40M
Pfizer Inc1.80%$60.19M
Deutsche Telekom AG1.77%$59.15M
Comcast Corp1.73%$58.10M
Unilever PLC1.70%$56.92M
Sanofi SA1.66%$55.52M
Gsk PLC1.55%$51.99M
Novo Nordisk A/S1.55%$51.97M
Mercedes-Benz Group AG1.42%$47.59M
Vinci SA1.31%$44.01M
TC Energy Corp1.30%$43.64M
Suncor Energy Inc1.29%$43.11M
Orange SA1.20%$40.07M
SoftBank Corp1.19%$39.77M
AP Moller - Maersk A/S1.17%$39.33M
Deutsche Post AG1.06%$35.65M
Takeda Pharmaceutical Co Ltd1.05%$35.12M
Japan Tobacco Inc1.02%$34.25M
Kia Corp0.95%$31.98M
Fortescue Ltd0.89%$29.82M
Diageo PLC0.87%$29.17M
Holcim AG0.81%$27.10M
KDDI Corp0.80%$26.76M
Daimler Truck Holding AG0.77%$25.69M
Imperial Brands PLC0.72%$24.11M
TELUS Corp0.71%$23.63M
Telstra Group Ltd0.70%$23.32M
Telefonica SA0.67%$22.42M
Swisscom AG0.67%$22.38M
Komatsu Ltd0.66%$22.06M
Cenovus Energy Inc0.65%$21.66M
Endesa SA0.64%$21.47M
Vodafone Group PLC0.62%$20.67M
Naturgy Energy Group SA0.59%$19.83M
Reckitt Benckiser Group PLC0.59%$19.69M
Ooil0.58%$19.42M
Koninklijke Ahold Delhaize NV0.57%$19.02M
Nutrien Ltd0.57%$18.93M
Veolia Environnement SA0.56%$18.88M
Tesco PLC0.55%$18.53M
Aena SME SA0.55%$18.50M
CK Hutchison Holdings Ltd0.53%$17.81M
Kuehne + Nagel International A0.53%$17.74M
Michelin0.49%$16.50M
WH Group Ltd0.47%$15.82M
SITC International Holdings Co0.47%$15.73M
Pernod Ricard SA0.45%$14.97M
Nippon Yusen KK0.43%$14.37M
CK Infrastructure Holdings Ltd0.43%$14.30M
Astellas Pharma Inc0.43%$14.27M
Mount Vernon Liquid Assets Portfolio, LLC0.42%$13.92M
Inpex Corp0.40%$13.55M
Power Assets Holdings Ltd0.40%$13.45M
Publicis Groupe SA0.38%$12.79M
Bridgestone Corp0.38%$12.71M
Koninklijke Philips NV0.36%$11.98M
Canon Inc0.35%$11.68M
Swire Pacific Ltd0.31%$10.52M
Lenovo Group Ltd0.31%$10.35M
Budweiser Brewing Co APAC Ltd0.30%$10.13M
Coles Group Ltd0.28%$9.44M
DSM-Firmenich AG0.28%$9.42M
Jardine Matheson Holdings Ltd0.28%$9.31M
U.S. Bank Money Market Deposit Account0.25%$8.33M
Kawasaki Kisen Kaisha Ltd0.24%$8.20M
Galaxy Entertainment Group Ltd0.24%$7.89M
Cathay Pacific Airways Ltd0.23%$7.77M
Chow Tai Fook0.22%$7.48M
LG Corp0.22%$7.41M
Asahi Group Holdings Ltd0.20%$6.77M
Subaru Corp0.18%$6.11M
Jardine Cycle & Carriage Ltd0.18%$6.03M
Asahi Kasei Corp0.18%$6.00M
HMM Co Ltd0.18%$5.91M
Shenzhou Intl0.16%$5.33M
PRADA SpA0.16%$5.23M
Genting Singapore Ltd0.15%$4.95M
Sonic Healthcare Ltd0.13%$4.44M
Lottery Corp Ltd/The0.12%$3.85M
Versant Media Group Inc0.10%$3.44M
JB Hi-Fi Ltd0.10%$3.36M

GCOW overview: performance, fees, allocation and SEC filings