PAMC Holdings — Pacer Lunt MidCap Multi-Factor Alternator ETF

All 153 reported holdings of Pacer Lunt MidCap Multi-Factor Alternator ETF (PAMC) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Mount Vernon Liquid Assets Portfolio, LLC10.72%$6.76M
TD SYNNEX Corp2.12%$1.34M
Curtiss-Wright Corp2.09%$1.31M
Alcoa Corp1.96%$1.23M
TechnipFMC PLC1.92%$1.21M
HF Sinclair Corp1.67%$1.05M
Fabrinet1.53%$961.64K
RenaissanceRe Holdings Ltd1.49%$936.26K
ATI Inc1.40%$885.03K
TTM Technologies Inc1.39%$877.96K
Reinsurance Group of America I1.39%$875.66K
Arrow Electronics Inc1.39%$874.72K
Royal Gold Inc1.39%$873.54K
Woodward Inc1.38%$867.91K
Flex Ltd1.36%$859.38K
Performance Food Group Co1.35%$851.17K
nVent Electric PLC1.24%$780.09K
MasTec Inc1.21%$760.12K
Nextpower Inc1.18%$744.56K
BWX Technologies Inc1.18%$743.52K
Sterling Infrastructure Inc1.15%$724.96K
Permian Resources Corp1.14%$718.17K
Mueller Industries Inc1.13%$711.68K
API Group Corp1.08%$681.41K
Toll Brothers Inc1.05%$661.66K
Ovintiv Inc1.04%$654.58K
Hecla Mining Co1.03%$648.45K
Unum Group1.03%$646.50K
Fluor Corp1.02%$645.05K
Roivant Sciences Ltd1.02%$644.84K
MKS Inc1.02%$644.68K
Lithia Motors Inc1.01%$637.10K
Kratos Defense & Security Solu0.99%$625.08K
Advanced Energy Industries Inc0.98%$615.41K
Avnet Inc0.96%$607.19K
RBC Bearings Inc0.95%$596.69K
Carpenter Technology Corp0.93%$584.49K
Lear Corp0.91%$576.41K
Arrowhead Pharmaceuticals Inc0.88%$552.57K
Webster Financial Corp0.88%$552.18K
Albertsons Cos Inc0.86%$541.39K
WP Carey Inc0.85%$537.71K
Dycom Industries Inc0.85%$537.09K
RB Global Inc0.80%$504.71K
MACOM Technology Solutions Hol0.80%$500.98K
WESCO International Inc0.78%$490.51K
Five Below Inc0.73%$462.84K
Matador Resources Co0.73%$461.15K
Southstate Bank Corp.0.73%$458.37K
Oshkosh Corp0.73%$457.65K
Annaly Capital Management Inc0.72%$454.73K
NOV Inc0.72%$454.66K
Taylor Morrison Home Corp0.71%$445.95K
Zions Bancorp NA0.70%$443.62K
Ryder System Inc0.69%$436.99K
American Healthcare REIT Inc0.69%$433.56K
Somnigroup International Inc0.67%$421.63K
Elanco Animal Health Inc0.66%$418.39K
Macy's Inc0.65%$411.82K
American Airlines Group Inc0.65%$408.50K
CACI International Inc0.65%$406.80K
Voya Financial Inc0.64%$405.70K
Columbia Banking System Inc0.64%$404.34K
Chord Energy Corp0.64%$402.00K
PVH Corp0.63%$395.11K
Talen Energy Corp0.62%$391.04K
Omega Healthcare Investors Inc0.62%$389.57K
BorgWarner Inc0.62%$389.39K
Western Alliance Bancorp0.61%$385.28K
DT Midstream Inc0.60%$380.78K
AutoNation Inc0.60%$375.70K
Ormat Technologies Inc0.60%$375.03K
Old National Bancorp/IN0.59%$370.22K
First American Financial Corp0.58%$366.43K
Lincoln Electric Holdings Inc0.58%$365.96K
Donaldson Co Inc0.57%$359.65K
New York Times Co/The0.56%$354.21K
Ingredion Inc0.56%$353.10K
EnerSys0.55%$349.53K
Pinnacle Financial Partners In0.54%$339.07K
Rambus Inc0.54%$337.50K
Prosperity Bancshares Inc0.53%$335.02K
Affiliated Managers Group Inc0.53%$334.75K
Valley National Bancorp0.53%$331.57K
FirstCash Holdings Inc0.52%$329.08K
FNB Corp/PA0.51%$322.50K
Brighthouse Financial Inc0.50%$314.10K
Essent Group Ltd0.50%$313.55K
Bank OZK0.49%$311.50K
Valaris Ltd0.48%$305.12K
MP Materials Corp0.48%$301.21K
United Bankshares Inc/WV0.46%$292.78K
MGIC Investment Corp0.46%$291.52K
Penumbra Inc0.43%$269.35K
SPX Technologies Inc0.43%$268.60K
UGI Corp0.42%$267.07K
Watts Water Technologies Inc0.42%$264.44K
Harley-Davidson Inc0.41%$259.37K
Graham Holdings Co0.41%$257.05K
Post Holdings Inc0.40%$254.54K
Selective Insurance Group Inc0.40%$254.45K
Gap Inc/The0.40%$254.48K
Amkor Technology Inc0.40%$254.31K
Sonoco Products Co0.40%$254.10K
Hancock Whitney Corp0.40%$252.69K
Commercial Metals Co0.39%$247.15K
KB Home0.39%$243.65K
Murphy Oil Corp0.38%$242.21K
IDACORP Inc0.38%$239.78K
Vornado Realty Trust0.38%$239.12K
Valmont Industries Inc0.37%$235.22K
PBF Energy Inc0.36%$227.64K
Alaska Air Group Inc0.36%$225.20K
Medpace Holdings Inc0.35%$222.31K
Thor Industries Inc0.34%$211.75K
Penske Automotive Group Inc0.32%$202.05K
Science Applications Internati0.32%$201.57K
CNO Financial Group Inc0.32%$201.36K
National Fuel Gas Co0.32%$199.98K
Graphic Packaging Holding Co0.30%$191.46K
Olin Corp0.30%$189.11K
Associated Banc-Corp0.29%$185.57K
Autoliv Inc0.29%$184.91K
Celsius Holdings Inc0.29%$181.01K
Weatherford International PLC0.29%$180.42K
Bath & Body Works Inc0.28%$179.24K
Terex Corp0.28%$179.14K
Black Hills Corp0.28%$179.11K
Kilroy Realty Corp0.28%$178.61K
Portland General Electric Co0.28%$177.65K
Silgan Holdings Inc0.28%$177.08K
TXNM Energy Inc0.27%$172.40K
Antero Midstream Corp0.26%$165.87K
Nexstar Media Group Inc0.26%$165.47K
Visteon Corp0.26%$160.86K
Abercrombie & Fitch Co0.25%$159.78K
CNX Resources Corp0.25%$155.80K
Spire Inc0.25%$154.91K
NewMarket Corp0.24%$149.99K
Whirlpool Corp0.23%$143.51K
Kyndryl Holdings Inc0.23%$143.45K
Federated Hermes Inc0.23%$142.15K
AeroVironment Inc0.21%$132.03K
Sabra Health Care REIT Inc0.19%$119.56K
Brink's Co/The0.19%$117.21K
Flowers Foods Inc0.19%$117.15K
Goodyear Tire & Rubber Co/The0.18%$115.47K
Concentrix Corp0.17%$108.62K
Park Hotels & Resorts Inc0.17%$104.72K
EPR Properties0.17%$104.70K
Travel + Leisure Co0.14%$89.04K
Pilgrim's Pride Corp0.14%$88.05K
U.S. Bank Money Market Deposit Account0.09%$55.24K

PAMC overview: performance, fees, allocation and SEC filings