ICOW Holdings — Pacer Developed Markets International Cash Cows 100 ETF

All 101 reported holdings of Pacer Developed Markets International Cash Cows 100 ETF (ICOW) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Equinor ASA2.97%$53.11M
Suncor Energy Inc2.68%$47.90M
Prysmian SpA2.61%$46.73M
HD Hyundai Co Ltd2.54%$45.47M
TotalEnergies SE2.45%$43.72M
Canadian Natural Resources Ltd2.38%$42.57M
Bp PLC2.27%$40.58M
Vodafone Group PLC2.20%$39.30M
Anheuser-Busch InBev SA/NV2.13%$38.00M
Shell PLC2.12%$37.94M
Takeda Pharmaceutical Co Ltd2.04%$36.51M
CK Hutchison Holdings Ltd1.99%$35.50M
AP Moller - Maersk A/S1.98%$35.36M
Kia Corp1.95%$34.90M
Deutsche Post AG1.92%$34.38M
Koninklijke Ahold Delhaize NV1.92%$34.31M
Vinci SA1.85%$33.15M
Imperial Oil Ltd1.85%$33.08M
Telefonica SA1.83%$32.70M
HD Korea Shipbuilding & Offsho1.82%$32.62M
Deutsche Telekom AG1.74%$31.12M
Bouygues SA1.73%$30.97M
Sumitomo Corp1.73%$30.87M
Sanofi SA1.63%$29.21M
HD Hyundai Heavy Industries Co1.59%$28.34M
ENEOS Holdings Inc1.44%$25.81M
Holcim AG1.41%$25.25M
Mercedes-Benz Group AG1.40%$25.04M
Ericsson1.36%$24.39M
Sony Group Corp1.23%$21.95M
Eiffage SA1.19%$21.21M
Fortescue Ltd1.16%$20.81M
Carrefour SA1.15%$20.53M
Inpex Corp1.13%$20.17M
Imperial Brands PLC1.03%$18.40M
ACS Actividades de Construccio1.01%$18.07M
JX Advanced Metals Corp1.00%$17.85M
Tenaris SA1.00%$17.83M
International Consolidated Air0.97%$17.31M
Vestas Wind Systems A/S0.96%$17.19M
LY Corp0.95%$17.04M
Astellas Pharma Inc0.94%$16.82M
Kinross Gold Corp0.89%$15.84M
Samsung Heavy Industries Co Lt0.88%$15.65M
Nippon Yusen KK0.86%$15.46M
Hyundai Mobis Co Ltd0.83%$14.89M
Otsuka Holdings Co Ltd0.83%$14.77M
Magna International Inc0.81%$14.49M
adidas AG0.80%$14.39M
Bridgestone Corp0.80%$14.33M
Publicis Groupe SA0.79%$14.18M
Samsung C&T Corp0.79%$14.13M
WH Group Ltd0.79%$14.07M
Henkel AG & Co KGaA0.75%$13.48M
Ryanair Holdings PLC0.74%$13.29M
Kuehne + Nagel International A0.73%$13.13M
Fresnillo PLC0.73%$13.00M
Fresenius Medical Care AG0.71%$12.72M
Continental AG0.71%$12.67M
Techtronic Industries Co Ltd0.69%$12.36M
LG Innotek Co Ltd0.65%$11.64M
Capgemini SE0.62%$11.16M
Wartsila OYJ Abp0.60%$10.74M
LG Electronics Inc0.59%$10.53M
Shionogi & Co Ltd0.53%$9.55M
Norsk Hydro ASA0.53%$9.53M
Kingfisher PLC0.51%$9.10M
Evolution AB0.50%$8.99M
Subaru Corp0.45%$8.11M
NAVER Corp0.45%$8.08M
ARC Resources Ltd0.42%$7.57M
Kawasaki Kisen Kaisha Ltd0.42%$7.57M
MMG Ltd0.42%$7.44M
Bunzl PLC0.41%$7.38M
Tele2 AB0.41%$7.37M
Galaxy Entertainment Group Ltd0.39%$6.92M
Genmab A/S0.38%$6.73M
CGI Inc0.35%$6.28M
Pearson PLC0.35%$6.27M
Shimizu Corp0.35%$6.25M
Dentsu Group Inc0.32%$5.64M
Wpp PLC0.31%$5.55M
Bandai Namco Holdings Inc0.30%$5.29M
Hitachi Construction Machinery0.29%$5.25M
Japan Airlines Co Ltd0.29%$5.12M
Niterra Co Ltd0.27%$4.88M
Modec Inc0.27%$4.85M
U.S. Bank Money Market Deposit Account0.26%$4.65M
Nexon Co Ltd0.26%$4.63M
ANA Holdings Inc0.26%$4.61M
Buzzi SpA0.23%$4.17M
Open Text Corp0.23%$4.07M
Unicharm Corp0.22%$3.97M
Pandora A/S0.21%$3.82M
Burberry Group PLC0.20%$3.66M
NGK Corp0.19%$3.47M
Isetan Mitsukoshi Holdings Ltd0.19%$3.40M
Zalando SE0.15%$2.62M
Autotrader Group PLC0.13%$2.24M
LG CNS Co Ltd0.10%$1.86M
Johnson Electric Holdings Ltd0.08%$1.43M

ICOW overview: performance, fees, allocation and SEC filings