13F Filings for Pacer Advisors, Inc. (CIK: 1616667)
View the most recent portfolio holdings disclosed by Pacer Advisors, Inc. in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
XOM - Exxon Mobil Corp(Class: Common Stock - Domestic) | 4.70M | $506.21M | 1.26% | Decreased | 332.84K (6.0%, $91.85M) |
CSCO - Cisco Systems Inc(Class: Common Stock - Domestic) | 7.25M | $503.25M | 1.25% | Decreased | 867.33K (10.0%, $2.11M) |
CMCSA - Comcast Corp(Class: Common Stock - Domestic) | 13.63M | $486.42M | 1.21% | Increased | 400.21K (3.0%, $1.72M) |
T - ATT Inc(Class: Common Stock - Domestic) | 16.77M | $485.29M | 1.21% | Decreased | 3.19M (15.0%, $79.25M) |
MO - Altria Group Inc(Class: Common Stock - Domestic) | 8.23M | $482.69M | 1.20% | Decreased | 1.18M (12.0%, $82.48M) |
PFE - Pfizer Inc(Class: Common Stock - Domestic) | 19.86M | $481.39M | 1.20% | Decreased | 194.53K (0.0%, $26.77M) |
CVX - Chevron Corp(Class: Common Stock - Domestic) | 3.36M | $481.27M | 1.20% | Decreased | 85.36K (2.0%, $95.28M) |
AMGN - Amgen Inc(Class: Common Stock - Domestic) | 1.72M | $479.77M | 1.19% | Increased | 140.55K (8.0%, $11.78M) |
BKNG - Booking Holdings Inc(Class: Common Stock - Domestic) | 82.76K | $479.14M | 1.19% | Decreased | 29.44K (26.0%, $37.76M) |
QCOM - QUALCOMM Inc(Class: Common Stock - Domestic) | 3.01M | $478.63M | 1.19% | Decreased | 142.80K (4.0%, $4.95M) |
MRK - Merck Co Inc(Class: Common Stock - Domestic) | 6.04M | $478.27M | 1.19% | Increased | 754.96K (14.0%, $3.72M) |
JNJ - Johnson Johnson(Class: Common Stock - Domestic) | 3.13M | $477.69M | 1.19% | Increased | 97.17K (3.0%, $24.82M) |
COP - ConocoPhillips(Class: Common Stock - Domestic) | 5.30M | $475.18M | 1.18% | Decreased | 99.90K (1.0%, $91.40M) |
NVDA - NVIDIA Corp(Class: Common Stock - Domestic) | 3M | $473.97M | 1.18% | Increased | 1.02M (51.0%, $258.86M) |
VZ - Verizon Communications Inc(Class: Common Stock - Domestic) | 10.71M | $463.35M | 1.15% | Decreased | 988.63K (8.0%, $67.22M) |
DIS - Walt Disney Co/The(Class: Common Stock - Domestic) | 3.72M | $461.61M | 1.15% | Increased | 3.63M (3923.0%, $452.48M) |
GILD - Gilead Sciences Inc(Class: Common Stock - Domestic) | 4.12M | $456.75M | 1.14% | Decreased | 765.41K (15.0%, $90.63M) |
EOG - EOG Resources Inc(Class: Common Stock - Domestic) | 3.78M | $451.87M | 1.12% | Decreased | 178.14K (4.0%, $55.45M) |
BMY - Bristol-Myers Squibb Co(Class: Common Stock - Domestic) | 9.72M | $449.73M | 1.12% | Increased | 772.45K (8.0%, $95.71M) |
UPS - United Parcel Service Inc(Class: Common Stock - Domestic) | 4.42M | $445.94M | 1.11% | Increased | 81.69K (1.0%, $31M) |
CRM - Salesforce Inc(Class: Common Stock - Domestic) | 1.61M | $438.84M | 1.09% | Decreased | 210.98K (11.0%, $49.65M) |
MSFT - Microsoft Corp(Class: Common Stock - Domestic) | 879.59K | $437.52M | 1.09% | Increased | 313.95K (55.0%, $225.18M) |
NKE - NIKE Inc(Class: Common Stock - Domestic) | 6.12M | $435.08M | 1.08% | Increased | 565.67K (10.0%, $82.21M) |
F - Ford Motor Co(Class: Common Stock - Domestic) | 40.03M | $434.29M | 1.08% | Decreased | 9.05M (18.0%, $57.97M) |
N/A - United States Treasury Bill(Class: Treasury Bill) | 0 | $426.27M | 1.06% | New | 0 ($426.27M) |