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Pacer Lunt Large Cap Alternator ETF

Pacer Funds Trust

Assets: $135M Net: $129M Series: S000062277 EDGAR ↗
+40
New
-37
Exited
139
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Mount Vernon Liquid Assets Portfolio, LLC N/A Jan 2023 5,906,002 +5,898,276 $5.9M +171.1% 4.57% STIV
2 Coca-Cola Co/The KO Jan 2023 24,418 -35,347 $1.8M -52.0% 1.37% EC
3 Berkshire Hathaway Inc BRK/B Jan 2023 3,275 -5,253 $1.7M -48.4% 1.35% EC
4 Republic Services Inc RSG Jan 2023 6,777 -11,281 $1.7M -50.9% 1.32% EC
5 Marsh & McLennan Cos Inc MMC Jan 2023 7,216 -7,176 $1.6M -43.3% 1.26% EC
6 Atmos Energy Corp ATO Jan 2023 10,045 -12,299 $1.6M -38.8% 1.25% EC
7 Consolidated Edison Inc ED Jan 2023 13,819 -14,763 $1.6M -42.3% 1.21% EC
8 FirstEnergy Corp FE Jan 2023 35,997 -27,452 $1.5M -36.5% 1.20% EC
9 CME Group Inc CME Jan 2023 5,521 -6,665 $1.5M -40.1% 1.18% EC
10 Evergy Inc EVRG Apr 2025 22,007 New $1.5M 1.18% EC
11 Linde PLC LIN Jan 2023 3,337 New $1.5M 1.17% EC
12 Colgate-Palmolive Co CL Jan 2023 16,201 -20,249 $1.5M -55.4% 1.16% EC
13 Cencora Inc COR Jan 2023 5,092 -6,213 $1.5M -44.9% 1.15% EC
14 VeriSign Inc VRSN Apr 2024 5,242 -7,045 $1.5M -29.0% 1.14% EC
15 CMS Energy Corp CMS Jan 2023 19,995 -21,118 $1.5M -40.9% 1.14% EC
16 PPL Corp PPL Jan 2023 40,229 -55,603 $1.5M -44.2% 1.14% EC
17 Duke Energy Corp DUK Jan 2023 11,833 -14,673 $1.4M -44.6% 1.12% EC
18 Procter & Gamble Co/The PG Jan 2023 8,865 -10,341 $1.4M -54.0% 1.12% EC
19 Automatic Data Processing Inc ADP Apr 2024 4,792 -4,557 $1.4M -36.3% 1.12% EC
20 Mondelez International Inc MDLZ Jan 2023 20,993 -14,678 $1.4M -44.3% 1.11% EC
21 WEC Energy Group Inc WEC Jan 2023 12,914 -16,445 $1.4M -41.7% 1.09% EC
22 Keurig Dr Pepper Inc KDP Jan 2023 40,800 -40,976 $1.4M -48.8% 1.09% EC
23 Yum! Brands Inc YUM Jan 2023 9,375 -12,853 $1.4M -55.1% 1.09% EC
24 Johnson & Johnson JNJ Jan 2023 9,002 -9,384 $1.4M -47.1% 1.09% EC
25 NiSource Inc NI Apr 2025 35,947 New $1.4M 1.09% EC
26 TJX Cos Inc/The TJX Apr 2024 10,791 -19,244 $1.4M -50.9% 1.08% EC
27 Realty Income Corp O Jan 2023 23,894 -20,055 $1.4M -41.2% 1.07% EC
28 General Dynamics Corp GD Jan 2023 5,044 -4,380 $1.4M -49.3% 1.06% EC
29 Loews Corp L Jan 2023 15,795 -20,229 $1.4M -49.3% 1.06% EC
30 Intercontinental Exchange Inc ICE Apr 2024 8,158 -11,886 $1.4M -46.9% 1.06% EC
31 DTE Energy Co DTE Jan 2023 9,927 -12,740 $1.4M -45.6% 1.05% EC
32 Chubb Ltd CB Jan 2023 4,738 New $1.4M 1.05% EC
33 Southern Co/The SO Jan 2023 14,725 -22,648 $1.4M -50.7% 1.05% EC
34 Pinnacle West Capital Corp PNW Apr 2025 14,197 New $1.4M 1.05% EC
35 Exelon Corp EXC Apr 2025 28,793 New $1.4M 1.05% EC
36 Illinois Tool Works Inc ITW Jan 2023 5,622 -3,499 $1.3M -39.4% 1.04% EC
37 Brown & Brown Inc BRO Apr 2024 12,077 -16,873 $1.3M -43.4% 1.03% EC
38 Altria Group Inc MO Jan 2023 22,542 -39,749 $1.3M -51.1% 1.03% EC
39 McDonald's Corp MCD Jan 2023 4,152 -7,809 $1.3M -59.4% 1.03% EC
40 Mastercard Inc MA Apr 2024 2,414 -3,793 $1.3M -52.8% 1.02% EC
41 Jack Henry & Associates Inc JKHY Apr 2025 7,628 New $1.3M 1.02% EC
42 Northrop Grumman Corp NOC Apr 2025 2,706 New $1.3M 1.02% EC
43 Visa Inc V Apr 2024 3,810 -7,262 $1.3M -55.7% 1.02% EC
44 Ameren Corp AEE Apr 2025 13,183 New $1.3M 1.01% EC
45 S&P Global Inc SPGI Apr 2025 2,611 New $1.3M 1.01% EC
46 Honeywell International Inc HON Jan 2023 6,150 -7,396 $1.3M -50.4% 1.00% EC
47 O'Reilly Automotive Inc ORLY Apr 2024 912 -1,239 $1.3M -40.8% 1.00% EC
48 American Electric Power Co Inc AEP Apr 2025 11,867 New $1.3M 1.00% EC
49 Arthur J Gallagher & Co AJG Jan 2023 3,997 -6,340 $1.3M -47.2% 0.99% EC
50 Kimberly-Clark Corp KMB Jan 2023 9,720 -14,755 $1.3M -61.7% 0.99% EC
51 Boston Scientific Corp BSX Apr 2024 12,432 -23,034 $1.3M -49.8% 0.99% EC
52 L3Harris Technologies Inc LHX Apr 2025 5,800 New $1.3M 0.99% EC
53 Alliant Energy Corp LNT Jan 2023 20,722 -27,417 $1.3M -47.2% 0.98% EC
54 VICI Properties Inc VICI Apr 2024 39,455 -41,194 $1.3M -45.1% 0.98% EC
55 Regency Centers Corp REG Apr 2025 17,468 New $1.3M 0.98% EC
56 Church & Dwight Co Inc CHD Jan 2023 12,692 -12,474 $1.3M -53.6% 0.98% EC
57 Lockheed Martin Corp LMT Jan 2023 2,636 -3,261 $1.3M -54.1% 0.97% EC
58 Welltower Inc WELL Apr 2025 8,188 New $1.2M 0.97% EC
59 Verizon Communications Inc VZ Apr 2025 28,353 New $1.2M 0.97% EC
60 RTX Corp RTX Apr 2025 9,880 New $1.2M 0.96% EC
61 PepsiCo Inc PEP Jan 2023 9,181 -9,062 $1.2M -61.2% 0.96% EC
62 Broadridge Financial Solutions BR Apr 2024 5,122 -7,078 $1.2M -47.4% 0.96% EC
63 Fidelity National Information FIS Apr 2025 15,718 New $1.2M 0.96% EC
64 Willis Towers Watson PLC WTW Jan 2023 4,017 New $1.2M 0.96% EC
65 Otis Worldwide Corp OTIS Jan 2023 12,824 -14,292 $1.2M -50.1% 0.96% EC
66 Motorola Solutions Inc MSI Apr 2024 2,788 -4,764 $1.2M -52.1% 0.95% EC
67 Sysco Corp SYY Apr 2024 17,036 -13,638 $1.2M -46.6% 0.94% EC
68 Waste Management Inc WM Jan 2023 5,212 -10,631 $1.2M -63.1% 0.94% EC
69 Paychex Inc PAYX Apr 2025 8,234 New $1.2M 0.94% EC
70 Roper Technologies Inc ROP Jan 2023 2,152 -3,294 $1.2M -56.7% 0.93% EC
71 Walmart Inc WMT Jan 2023 12,348 -41,156 $1.2M -62.2% 0.93% EC
72 Abbott Laboratories ABT Jan 2023 9,130 -11,414 $1.2M -45.2% 0.92% EC
73 AvalonBay Communities Inc AVB Apr 2025 5,663 New $1.2M 0.92% EC
74 Verisk Analytics Inc VRSK Jan 2023 3,979 -5,539 $1.2M -43.1% 0.91% EC
75 Becton Dickinson & Co BDX Jan 2023 5,682 -4,085 $1.2M -48.6% 0.91% EC
76 T-Mobile US Inc TMUS Apr 2024 4,761 -10,928 $1.2M -54.4% 0.91% EC
77 Hologic Inc HOLX Jan 2023 20,116 -12,122 $1.2M -52.1% 0.91% EC
78 Nasdaq Inc NDAQ Apr 2025 15,324 New $1.2M 0.90% EC
79 Exxon Mobil Corp XOM Apr 2025 11,040 New $1.2M 0.90% EC
80 UDR Inc UDR Apr 2025 27,622 New $1.2M 0.90% EC
81 General Mills Inc GIS Jan 2023 20,326 -19,651 $1.2M -59.1% 0.89% EC
82 Veralto Corp VLTO Apr 2025 12,012 New $1.2M 0.89% EC
83 Expeditors International of Wa EXPD Apr 2025 10,438 New $1.1M 0.89% EC
84 Stryker Corp SYK Apr 2025 3,059 New $1.1M 0.89% EC
85 Avery Dennison Corp AVY Apr 2025 6,678 New $1.1M 0.88% EC
86 Medtronic PLC MDT Jan 2023 13,384 New $1.1M 0.88% EC
87 Blackrock Inc BLK Apr 2025 1,234 New $1.1M 0.87% EC
88 Ecolab Inc ECL Apr 2024 4,486 -7,019 $1.1M -56.6% 0.87% EC
89 Cisco Systems Inc CSCO Apr 2024 19,537 -25,788 $1.1M -47.0% 0.87% EC
90 Costco Wholesale Corp COST Apr 2024 1,131 -2,545 $1.1M -57.7% 0.87% EC
91 PPG Industries Inc PPG Apr 2025 10,291 New $1.1M 0.87% EC
92 Bank of New York Mellon Corp/T BK Apr 2025 13,878 New $1.1M 0.86% EC
93 Aon PLC AON Jan 2023 3,011 New $1.1M 0.83% EC
94 Assurant Inc AIZ Apr 2025 5,498 New $1.1M 0.82% EC
95 Federal Realty Investment Trus FRT Apr 2025 11,220 New $1.1M 0.82% EC
96 Chevron Corp CVX Apr 2025 7,630 New $1.0M 0.80% EC
97 Fiserv Inc FI Apr 2025 5,487 New $1.0M 0.78% EC
98 Hilton Worldwide Holdings Inc HLT Apr 2025 4,452 New $1.0M 0.78% EC
99 Union Pacific Corp UNP Apr 2025 4,620 New $996K 0.77% EC
100 Cognizant Technology Solutions CTSH Apr 2025 12,920 New $951K 0.74% EC
101 LyondellBasell Industries NV LYB Jan 2023 15,536 New $904K 0.70% EC
102 U.S. Bank Money Market Deposit Account USBFS03 Jan 2023 107,337 -255,319 $107K -70.4% 0.08% STIV
Kroger Co/The 501044101 54,914 Exited $3.0M
Kraft Heinz Co/The 500754106 76,738 Exited $3.0M
Kinder Morgan Inc 49456B101 159,186 Exited $2.9M
Amphenol Corp 032095101 23,751 Exited $2.9M
Philip Morris International In 718172109 30,080 Exited $2.9M
Kellanova 487836108 49,056 Exited $2.8M
Public Service Enterprise Grou 744573106 40,641 Exited $2.8M
AMETEK Inc 031100100 15,676 Exited $2.7M
Quest Diagnostics Inc 74834L100 19,663 Exited $2.7M
Conagra Brands Inc 205887102 87,198 Exited $2.7M
Constellation Brands Inc 21036P108 10,520 Exited $2.7M
Cintas Corp 172908105 4,032 Exited $2.7M
Williams Cos Inc/The 969457100 69,040 Exited $2.6M
Hershey Co/The 427866108 13,615 Exited $2.6M
Merck & Co Inc 58933Y105 19,438 Exited $2.5M
CenterPoint Energy Inc 15189T107 85,660 Exited $2.5M
Cboe Global Markets Inc 12503M108 13,749 Exited $2.5M
Aflac Inc 001055102 29,534 Exited $2.5M
JPMorgan Chase & Co 46625H100 12,846 Exited $2.5M
Sempra 816851109 33,846 Exited $2.4M
McKesson Corp 58155Q103 4,491 Exited $2.4M
Darden Restaurants Inc 237194105 15,650 Exited $2.4M
IBM 459200101 13,625 Exited $2.3M
IDEX Corp 45167R104 10,235 Exited $2.3M
PTC Inc 69370C100 12,588 Exited $2.2M
AbbVie Inc 00287Y109 13,588 Exited $2.2M
Laboratory Corp of America Hol 50540R409 10,848 Exited $2.2M
Xcel Energy Inc 98389B100 40,606 Exited $2.2M
Bristol-Myers Squibb Co 110122108 49,400 Exited $2.2M
Moody's Corp 615369105 5,723 Exited $2.1M
Electronic Arts Inc 285512109 16,571 Exited $2.1M
CSX Corp 126408103 62,775 Exited $2.1M
Apple Inc 037833100 12,051 Exited $2.1M
LKQ Corp 501889208 47,317 Exited $2.0M
J M Smucker Co/The 832696405 17,704 Exited $2.0M
FactSet Research Systems Inc 303075105 4,789 Exited $2.0M
Globe Life Inc 37959E102 20,410 Exited $1.6M