QFHD Holdings — Pacer S&P 500 Quality FCF High Dividend ETF

All 101 reported holdings of Pacer S&P 500 Quality FCF High Dividend ETF (QFHD) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
United Parcel Service Inc2.31%$12.29K
LyondellBasell Industries NV2.11%$11.19K
Campbell's Company/The2.09%$11.08K
T Rowe Price Group Inc2.03%$10.80K
Skyworks Solutions Inc2.02%$10.74K
Pfizer Inc1.99%$10.55K
Altria Group Inc1.93%$10.24K
Prudential Financial Inc1.90%$10.11K
Best Buy Co Inc1.80%$9.56K
General Mills Inc1.72%$9.15K
Truist Financial Corp1.57%$8.34K
Paychex Inc1.52%$8.06K
Kimberly-Clark Corp1.50%$7.97K
KeyCorp1.42%$7.56K
Regions Financial Corp1.37%$7.28K
Bristol-Myers Squibb Co1.36%$7.21K
Comcast Corp1.34%$7.11K
Eversource Energy1.33%$7.07K
Huntington Bancshares Inc/OH1.32%$7.01K
US Bancorp1.29%$6.86K
Automatic Data Processing Inc1.28%$6.78K
Microchip Technology Inc1.22%$6.50K
QUALCOMM Inc1.22%$6.46K
Omnicom Group Inc1.21%$6.44K
AT&T Inc1.21%$6.43K
Clorox Co/The1.18%$6.27K
Coterra Energy Inc1.16%$6.18K
Fifth Third Bancorp1.16%$6.14K
Williams Cos Inc/The1.13%$6.03K
MetLife Inc1.13%$6.01K
Chevron Corp1.13%$5.99K
Brown-Forman Corp1.08%$5.75K
PNC Financial Services Group I1.05%$5.58K
PepsiCo Inc1.04%$5.55K
Fidelity National Information1.03%$5.49K
Evergy Inc1.03%$5.47K
FirstEnergy Corp1.02%$5.42K
Citizens Financial Group Inc1.02%$5.40K
Northern Trust Corp1.00%$5.32K
Duke Energy Corp1.00%$5.31K
Coca-Cola Co/The0.98%$5.20K
NIKE Inc0.98%$5.19K
WEC Energy Group Inc0.98%$5.19K
Hasbro Inc0.97%$5.18K
Public Service Enterprise Grou0.95%$5.06K
EOG Resources Inc0.95%$5.06K
M&T Bank Corp0.95%$5.03K
Southern Co/The0.95%$5.03K
Darden Restaurants Inc0.94%$5.01K
DTE Energy Co0.94%$5.01K
Packaging Corp of America0.92%$4.91K
Consolidated Edison Inc0.92%$4.91K
Accenture PLC0.91%$4.83K
Devon Energy Corp0.88%$4.67K
PPL Corp0.87%$4.61K
CMS Energy Corp0.87%$4.60K
ConocoPhillips0.85%$4.53K
Amgen Inc0.85%$4.50K
Procter & Gamble Co/The0.83%$4.41K
Constellation Brands Inc0.83%$4.38K
DuPont de Nemours Inc0.82%$4.34K
Exxon Mobil Corp0.81%$4.32K
Gilead Sciences Inc0.81%$4.32K
Merck & Co Inc0.80%$4.26K
Snap-on Inc0.79%$4.22K
NiSource Inc0.76%$4.06K
Pool Corp0.76%$4.05K
Union Pacific Corp0.76%$4.04K
NetApp Inc0.75%$3.99K
Illinois Tool Works Inc0.73%$3.87K
Cisco Systems Inc0.72%$3.84K
American International Group I0.69%$3.67K
FactSet Research Systems Inc0.69%$3.64K
Colgate-Palmolive Co0.67%$3.59K
Valero Energy Corp0.67%$3.54K
Hershey Co/The0.66%$3.53K
Johnson & Johnson0.65%$3.45K
Avery Dennison Corp0.65%$3.44K
Broadridge Financial Solutions0.64%$3.39K
Synchrony Financial0.63%$3.35K
A O Smith Corp0.62%$3.28K
Abbott Laboratories0.62%$3.27K
3M Co0.61%$3.22K
Marsh & McLennan Cos Inc0.60%$3.19K
Lockheed Martin Corp0.58%$3.11K
Fastenal Co0.58%$3.10K
Honeywell International Inc0.56%$3.00K
Occidental Petroleum Corp0.55%$2.91K
eBay Inc0.55%$2.90K
Allegion plc0.54%$2.89K
Zoetis Inc0.54%$2.87K
IDEX Corp0.53%$2.83K
Quest Diagnostics Inc0.51%$2.72K
Capital One Financial Corp0.50%$2.68K
Estee Lauder Cos Inc/The0.49%$2.61K
CF Industries Holdings Inc0.49%$2.61K
CME Group Inc0.49%$2.59K
CH Robinson Worldwide Inc0.48%$2.55K
Linde PLC0.47%$2.51K
Rockwell Automation Inc0.46%$2.45K
U.S. Bank Money Market Deposit Account0.12%$614

QFHD overview: performance, fees, allocation and SEC filings