QQWZ Holdings — Pacer Cash Cowz 100-Nasdaq 100 Rotator ETF

All 101 reported holdings of Pacer Cash Cowz 100-Nasdaq 100 Rotator ETF (QQWZ) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
QUALCOMM Inc2.67%$1.25M
Altria Group Inc2.20%$1.03M
ConocoPhillips2.17%$1.01M
CVS Health Corp2.15%$1.01M
Bristol-Myers Squibb Co2.03%$946.90K
Ford Motor Co2.00%$937.25K
Uber Technologies Inc2.00%$935.76K
Pfizer Inc1.99%$930.01K
Diamondback Energy Inc1.98%$924.72K
Newmont Corp1.92%$898.27K
Verizon Communications Inc1.89%$885.24K
Booking Holdings Inc1.87%$875.47K
AT&T Inc1.84%$860.02K
SLB Ltd1.83%$856.33K
Gilead Sciences Inc1.83%$855.17K
T-Mobile US Inc1.77%$827.94K
Marathon Petroleum Corp1.77%$825.81K
McKesson Corp1.76%$824.17K
Salesforce Inc1.75%$820.51K
Adobe Inc1.74%$815.08K
Comcast Corp1.71%$798.90K
United Parcel Service Inc1.68%$786.08K
Accenture PLC1.67%$780.78K
HCA Healthcare Inc1.64%$765.50K
Intuit Inc1.63%$761.46K
Cardinal Health Inc1.62%$757.25K
Airbnb Inc1.61%$751.91K
Archer-Daniels-Midland Co1.54%$720.80K
Occidental Petroleum Corp1.53%$713.03K
Delta Air Lines Inc1.47%$686.70K
Valero Energy Corp1.46%$682.47K
Automatic Data Processing Inc1.30%$608.90K
EOG Resources Inc1.23%$572.96K
DR Horton Inc1.21%$563.44K
Regeneron Pharmaceuticals Inc1.16%$544.44K
Kraft Heinz Co/The1.12%$525.64K
Colgate-Palmolive Co1.10%$515.15K
Devon Energy Corp1.09%$508.61K
Target Corp1.07%$501.74K
HP Inc1.03%$479.63K
Cencora Inc1.02%$478.96K
Expedia Group Inc1.02%$477.37K
PACCAR Inc0.99%$462.37K
Corteva Inc0.98%$460.46K
EQT Corp0.91%$426.93K
Omnicom Group Inc0.84%$392.04K
ON Semiconductor Corp0.83%$389.13K
United Airlines Holdings Inc0.83%$387.27K
Zoom Communications Inc0.80%$375.10K
Roper Technologies Inc0.77%$359.07K
Workday Inc0.74%$347.62K
Autodesk Inc0.71%$333.46K
Halliburton Co0.69%$321.10K
Cognizant Technology Solutions0.68%$320.10K
Biogen Inc0.66%$309.66K
Viatris Inc0.65%$302.48K
CF Industries Holdings Inc0.64%$297.96K
Coterra Energy Inc0.63%$292.52K
Tenet Healthcare Corp0.62%$291.19K
Constellation Brands Inc0.62%$289.36K
IQVIA Holdings Inc0.62%$288.39K
Dollar General Corp0.61%$285.88K
Flex Ltd0.58%$272.91K
NetApp Inc0.58%$272.60K
Paychex Inc0.58%$272.42K
PulteGroup Inc0.57%$267.60K
TechnipFMC PLC0.57%$267.29K
Tapestry Inc0.55%$255.27K
Jabil Inc0.54%$251.43K
Expand Energy Corp0.51%$239.75K
ResMed Inc0.49%$230.91K
General Mills Inc0.47%$220.16K
Leidos Holdings Inc0.45%$210.40K
Dollar Tree Inc0.44%$207.04K
Quest Diagnostics Inc0.44%$204.88K
SS&C Technologies Holdings Inc0.44%$204.16K
Incyte Corp0.43%$202.93K
First Solar Inc0.42%$197.85K
Copart Inc0.41%$191.11K
CDW Corp/DE0.40%$185.24K
United Therapeutics Corp0.39%$181.12K
VeriSign Inc0.38%$177.58K
Labcorp Holdings Inc0.37%$173.08K
Twilio Inc0.36%$168.05K
DuPont de Nemours Inc0.36%$167.75K
JB Hunt Transport Services Inc0.36%$167.77K
Williams-Sonoma Inc0.35%$165.81K
Veeva Systems Inc0.35%$165.80K
Church & Dwight Co Inc0.35%$163.16K
Snap-on Inc0.34%$161.03K
Fortive Corp0.34%$156.77K
Zimmer Biomet Holdings Inc0.32%$151.26K
Expeditors International of Wa0.32%$147.30K
F5 Inc0.31%$146.73K
Illumina Inc0.31%$143.98K
Textron Inc0.31%$143.84K
Lululemon Athletica Inc0.30%$139.08K
Jacobs Solutions Inc0.27%$127.73K
PTC Inc0.25%$114.90K
NVR Inc0.23%$107.37K
U.S. Bank Money Market Deposit Account0.06%$26.50K

QQWZ overview: performance, fees, allocation and SEC filings