PALC Holdings — Pacer Lunt Large Cap Multi-Factor Alternator ETF

All 193 reported holdings of Pacer Lunt Large Cap Multi-Factor Alternator ETF (PALC) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Exxon Mobil Corp2.87%$6.61M
Costco Wholesale Corp2.48%$5.71M
Visa Inc2.42%$5.56M
UnitedHealth Group Inc2.35%$5.41M
Apple Inc2.32%$5.35M
Chevron Corp2.30%$5.30M
Mastercard Inc2.23%$5.13M
Bank of America Corp2.20%$5.06M
Berkshire Hathaway Inc2.15%$4.95M
General Electric Co2.14%$4.93M
Lam Research Corp2.10%$4.85M
Caterpillar Inc1.95%$4.48M
Verizon Communications Inc1.92%$4.42M
Citigroup Inc1.84%$4.24M
Cisco Systems Inc1.82%$4.19M
Procter & Gamble Co/The1.78%$4.10M
AT&T Inc1.77%$4.07M
Coca-Cola Co/The1.72%$3.96M
KLA Corp1.68%$3.88M
GE Vernova Inc1.62%$3.74M
Wells Fargo & Co1.55%$3.58M
Merck & Co Inc1.47%$3.40M
Applied Materials Inc1.44%$3.31M
Mount Vernon Liquid Assets Portfolio, LLC1.17%$2.70M
Gilead Sciences Inc1.17%$2.69M
Comcast Corp1.17%$2.69M
Western Digital Corp1.11%$2.55M
QUALCOMM Inc1.04%$2.41M
ConocoPhillips1.03%$2.38M
CVS Health Corp0.98%$2.26M
Cigna Group/The0.97%$2.24M
Elevance Health Inc0.96%$2.21M
Allstate Corp/The0.93%$2.15M
TJX Cos Inc/The0.92%$2.12M
EOG Resources Inc0.88%$2.04M
Chubb Ltd0.87%$2.01M
General Motors Co0.87%$2.01M
Eaton Corp PLC0.85%$1.95M
AppLovin Corp0.80%$1.85M
McKesson Corp0.77%$1.77M
Cencora Inc0.76%$1.75M
Adobe Inc0.74%$1.71M
Progressive Corp/The0.72%$1.67M
Trane Technologies PLC0.67%$1.54M
Target Corp0.65%$1.49M
Ford Motor Co0.64%$1.48M
US Bancorp0.63%$1.46M
FedEx Corp0.63%$1.45M
Newmont Corp0.63%$1.44M
Marathon Petroleum Corp0.62%$1.44M
Valero Energy Corp0.61%$1.40M
3M Co0.60%$1.38M
Phillips 660.59%$1.35M
PNC Financial Services Group I0.58%$1.35M
Parker-Hannifin Corp0.56%$1.29M
Johnson Controls International0.54%$1.25M
Truist Financial Corp0.54%$1.24M
Accenture PLC0.54%$1.23M
Travelers Cos Inc/The0.53%$1.23M
Constellation Energy Corp0.51%$1.17M
SLB Ltd0.50%$1.16M
Arch Capital Group Ltd0.50%$1.15M
Illinois Tool Works Inc0.48%$1.12M
Moody's Corp0.44%$1.02M
Fortinet Inc0.44%$1.01M
United Parcel Service Inc0.44%$1.01M
Monster Beverage Corp0.42%$976.55K
Kroger Co/The0.41%$948.62K
Archer-Daniels-Midland Co0.41%$947.93K
Mondelez International Inc0.41%$943.78K
Delta Air Lines Inc0.41%$942.34K
Motorola Solutions Inc0.38%$873.67K
Colgate-Palmolive Co0.37%$842.33K
MetLife Inc0.36%$839.29K
American International Group I0.35%$798.04K
eBay Inc0.34%$778.48K
Zoetis Inc0.34%$776.39K
PG&E Corp0.33%$763.06K
Cardinal Health Inc0.33%$748.95K
Prudential Financial Inc0.33%$748.58K
Diamondback Energy Inc0.32%$744.59K
Cintas Corp0.32%$730.99K
IDEXX Laboratories Inc0.32%$725.68K
Ameriprise Financial Inc0.31%$720.73K
Exelon Corp0.31%$710.59K
Airbnb Inc0.31%$708.12K
Nucor Corp0.31%$707.19K
Hartford Insurance Group Inc/T0.30%$689.25K
DR Horton Inc0.30%$687.14K
State Street Corp0.30%$683.35K
Fiserv Inc0.29%$670.67K
Devon Energy Corp0.29%$662.21K
Corteva Inc0.29%$657.32K
Humana Inc0.29%$657.07K
WW Grainger Inc0.28%$656.16K
United Airlines Holdings Inc0.27%$630.09K
AMETEK Inc0.27%$628.78K
Fastenal Co0.27%$622.73K
CF Industries Holdings Inc0.26%$609.95K
VICI Properties Inc0.26%$606.16K
Edison International0.26%$604.98K
M&T Bank Corp0.26%$602.11K
Hewlett Packard Enterprise Co0.26%$595.88K
Sysco Corp0.26%$591.55K
Bunge Global SA0.25%$587.06K
EMCOR Group Inc0.25%$568.89K
Rockwell Automation Inc0.24%$543.03K
Electronic Arts Inc0.23%$537.09K
Dow Inc0.22%$507.06K
Centene Corp0.21%$486.49K
Halliburton Co0.21%$486.11K
Fifth Third Bancorp0.21%$477.85K
Citizens Financial Group Inc0.21%$477.40K
Kimberly-Clark Corp0.21%$474.92K
Synchrony Financial0.20%$467.26K
Coterra Energy Inc0.20%$454.26K
Huntington Bancshares Inc/OH0.20%$452.30K
Tyson Foods Inc0.20%$451.76K
PulteGroup Inc0.19%$443.07K
Lennar Corp0.19%$441.30K
Smurfit Westrock PLC0.19%$438.41K
Regions Financial Corp0.19%$430.05K
Cincinnati Financial Corp0.18%$418.82K
HP Inc0.18%$414.57K
Biogen Inc0.18%$411.68K
Charter Communications Inc0.17%$392.28K
ResMed Inc0.17%$385.29K
NetApp Inc0.17%$381.93K
Best Buy Co Inc0.16%$376.67K
Expedia Group Inc0.16%$375.54K
Kenvue Inc0.16%$371.74K
Dollar General Corp0.16%$371.51K
Loews Corp0.16%$369.70K
Global Payments Inc0.16%$361.02K
General Mills Inc0.15%$355.57K
Principal Financial Group Inc0.15%$350.86K
DuPont de Nemours Inc0.15%$343.96K
Hubbell Inc0.14%$331.84K
Williams-Sonoma Inc0.14%$329.08K
Dover Corp0.14%$327.62K
Everest Group Ltd0.14%$321.08K
APA Corp0.14%$316.64K
Solventum Corp0.14%$316.73K
Church & Dwight Co Inc0.13%$298.75K
LyondellBasell Industries NV0.13%$294.67K
Steris PLC0.13%$293.44K
PPG Industries Inc0.12%$284.92K
Constellation Brands Inc0.12%$283.72K
Lennox International Inc0.12%$274.40K
Ulta Beauty Inc0.12%$269.28K
T Rowe Price Group Inc0.11%$263.99K
CH Robinson Worldwide Inc0.11%$253.81K
Incyte Corp0.11%$248.08K
Dollar Tree Inc0.11%$242.97K
Expeditors International of Wa0.10%$238.25K
Waters Corp0.10%$230.69K
Snap-on Inc0.10%$228.89K
Jacobs Solutions Inc0.10%$226.34K
Globe Life Inc0.10%$224.35K
Mosaic Co/The0.10%$223.58K
NVR Inc0.10%$221.06K
Stanley Black & Decker Inc0.10%$218.93K
Trimble Inc0.09%$216.30K
Leidos Holdings Inc0.09%$215.03K
AES Corp/The0.09%$214.18K
Assurant Inc0.09%$213.82K
Broadridge Financial Solutions0.09%$211.41K
Invesco Ltd0.09%$202.52K
JB Hunt Transport Services Inc0.09%$197.70K
Deckers Outdoor Corp0.08%$193.77K
U.S. Bank Money Market Deposit Account0.08%$192.76K
Conagra Brands Inc0.08%$192.25K
F5 Inc0.08%$191.42K
Universal Health Services Inc0.08%$186.95K
Tyler Technologies Inc0.08%$185.58K
Ralph Lauren Corp0.08%$180.75K
Lululemon Athletica Inc0.08%$173.50K
Franklin Resources Inc0.07%$160.67K
Generac Holdings Inc0.07%$160.46K
Fox Corp0.07%$159.55K
Gartner Inc0.07%$155.77K
Jack Henry & Associates Inc0.06%$132.84K
Zebra Technologies Corp0.06%$128.29K
Revvity Inc0.06%$127.50K
Norwegian Cruise Line Holdings0.05%$122.90K
Skyworks Solutions Inc0.05%$121.89K
Bio-Techne Corp0.05%$107.87K
Hormel Foods Corp0.04%$103.68K
FactSet Research Systems Inc0.04%$102.41K
Pool Corp0.04%$99.19K
Erie Indemnity Co0.04%$92.17K
Campbell's Company/The0.03%$71.91K
Paramount Skydance Corp0.03%$57.85K

PALC overview: performance, fees, allocation and SEC filings