MCOW Holdings — Pacer S&P MidCap 400 Quality FCF Aristocrats ETF

All 81 reported holdings of Pacer S&P MidCap 400 Quality FCF Aristocrats ETF (MCOW) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Everpure Inc4.86%$47.87K
Lattice Semiconductor Corp3.81%$37.54K
Docusign Inc3.22%$31.69K
Rambus Inc3.09%$30.39K
Manhattan Associates Inc2.81%$27.72K
Medpace Holdings Inc2.81%$27.63K
Sterling Infrastructure Inc2.77%$27.33K
Mueller Industries Inc2.53%$24.92K
DT Midstream Inc2.46%$24.27K
Exelixis Inc2.38%$23.47K
Curtiss-Wright Corp2.34%$23.05K
Neurocrine Biosciences Inc2.17%$21.33K
Jazz Pharmaceuticals PLC2.16%$21.32K
Graco Inc2.08%$20.47K
InterDigital Inc1.96%$19.28K
Carlisle Cos Inc1.95%$19.18K
RB Global Inc1.92%$18.88K
nVent Electric PLC1.83%$18.01K
Antero Midstream Corp1.70%$16.72K
Lincoln Electric Holdings Inc1.70%$16.70K
Dropbox Inc1.58%$15.55K
New York Times Co/The1.53%$15.09K
Onto Innovation Inc1.53%$15.05K
Essent Group Ltd1.40%$13.80K
MGIC Investment Corp1.38%$13.56K
Watsco Inc1.33%$13.14K
Cirrus Logic Inc1.32%$13.05K
Advanced Drainage Systems Inc1.32%$12.98K
Commvault Systems Inc1.31%$12.85K
Doximity Inc1.30%$12.78K
Qualys Inc1.30%$12.78K
Paylocity Holding Corp1.21%$11.92K
Coca-Cola Consolidated Inc1.21%$11.89K
Cognex Corp1.13%$11.10K
TopBuild Corp1.12%$11.07K
Okta Inc1.11%$10.97K
Bentley Systems Inc0.99%$9.79K
Chemed Corp0.99%$9.77K
Eagle Materials Inc0.98%$9.67K
Landstar System Inc0.97%$9.57K
Crocs Inc0.95%$9.38K
Donaldson Co Inc0.95%$9.35K
HealthEquity Inc0.94%$9.27K
Owens Corning0.94%$9.25K
Grand Canyon Education Inc0.89%$8.79K
Acuity Inc0.88%$8.69K
Wyndham Hotels & Resorts Inc0.87%$8.54K
Globus Medical Inc0.82%$8.12K
Watts Water Technologies Inc0.82%$8.10K
Littelfuse Inc0.82%$8.08K
Tetra Tech Inc0.80%$7.85K
Exponent Inc0.76%$7.49K
Voya Financial Inc0.73%$7.21K
H&R Block Inc0.73%$7.17K
UL Solutions Inc0.72%$7.06K
Nexstar Media Group Inc0.70%$6.87K
Dolby Laboratories Inc0.66%$6.54K
Simpson Manufacturing Co Inc0.66%$6.48K
Appfolio Inc0.61%$6.02K
Lantheus Holdings Inc0.59%$5.84K
Wingstop Inc0.58%$5.74K
Gentex Corp0.58%$5.73K
Bath & Body Works Inc0.57%$5.58K
NewMarket Corp0.55%$5.40K
Genpact Ltd0.54%$5.35K
ExlService Holdings Inc0.53%$5.20K
Boyd Gaming Corp0.49%$4.87K
Universal Display Corp0.49%$4.79K
Morningstar Inc0.43%$4.22K
Vontier Corp0.42%$4.13K
BellRing Brands Inc0.39%$3.84K
Vail Resorts Inc0.39%$3.82K
Synaptics Inc0.38%$3.74K
Choice Hotels International In0.37%$3.67K
Olin Corp0.35%$3.45K
YETI Holdings Inc0.34%$3.35K
Warner Music Group Corp0.34%$3.34K
Euronet Worldwide Inc0.33%$3.26K
Crane NXT Co0.25%$2.50K
Blackbaud Inc0.22%$2.16K
U.S. Bank Money Market Deposit Account0.06%$619

MCOW overview: performance, fees, allocation and SEC filings