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Holders — by stockHoldings — by fund

Pacer Advisors, Inc.

Everything this manager disclosed owning in US-listed stocks — its complete Form 13F portfolio · as of 2026-06-30 · filed with the SEC up to 45 days after quarter end · CIK 0001616667

$39.3M

disclosed book value

2,614

positions

1.5%

largest position share

Positions, as of 2026-06-30

top 100 of 2,614 · 13F covers long US-listed positions only — cash, bonds, private and foreign stakes are not disclosed · PUT/CALL tags = options positions (share-equivalents), not shares held

#IssuerSharesValue% of book
1NVDANVIDIA Corp2.9M$574,0781.5%
2BMYBristol-Myers Squibb Co8.0M$460,7131.2%
3MOAltria Group Inc6.4M$457,6691.2%
4CMCSAComcast Corp18.4M$451,1481.1%
5AAPLApple Inc1.5M$436,7021.1%
6BKNGBooking Holdings Inc2.4M$427,4721.1%
7VZVerizon Communications Inc9.7M$411,1941%
8PFEPfizer Inc16.8M$404,3971%
9TAT&T Inc19.3M$398,6171%
10QCOMQUALCOMM Inc2.1M$393,9991%
11GILDGilead Sciences Inc3.1M$392,9171%
12HCAHCA Healthcare Inc998,912$389,4661%
13LOWLowe's Cos Inc1.8M$387,3921%
14UBERUber Technologies Inc5.4M$387,0721%
15NEMNewmont Corp4.0M$377,6291%
16GDGeneral Dynamics Corp1.0M$366,4410.9%
17EXPEExpedia Group Inc1.4M$361,9510.9%
18TMUST-Mobile US Inc2.1M$356,8660.9%
19FFord Motor Co24.5M$341,1030.9%
20INTUIntuit Inc1.3M$334,7760.9%
21CRMSalesforce Inc2.1M$324,6950.8%
22MPCMarathon Petroleum Corp1.3M$320,2520.8%
23EQTEQT Corp6.0M$318,9690.8%
24ADBEAdobe Inc1.5M$316,5560.8%
25ABNBAirbnb Inc2.1M$307,4330.8%
26MCKMcKesson Corp403,595$304,9560.8%
27Accenture PLC2.4M$304,3660.8%
28Anglogold Ashanti Plc3.7M$302,8660.8%
29CAHCardinal Health Inc1.2M$291,0480.7%
30ADPAutomatic Data Processing Inc1.2M$277,6560.7%
31AVGOBroadcom Inc729,373$275,5210.7%
32FANGDiamondback Energy Inc1.6M$273,7490.7%
33VLOValero Energy Corp1.0M$270,7350.7%
34MSFTMicrosoft Corp724,498$270,2520.7%
35DALDelta Air Lines Inc2.9M$268,4990.7%
36MUMicron Technology Inc224,073$258,6450.7%
37ADMArcher-Daniels-Midland Co3.4M$258,6210.7%
38BIIBBiogen Inc1.1M$242,6310.6%
39UALUnited Airlines Holdings Inc1.8M$239,6040.6%
40KHCKraft Heinz Co/The10.0M$236,4840.6%
41SNDKSandisk Corp103,383$235,0650.6%
42EXEExpand Energy Corp2.6M$232,8840.6%
43OMCOmnicom Group Inc3.2M$230,9380.6%
44REGNRegeneron Pharmaceuticals Inc369,451$230,3670.6%
45AMZNAmazon.com Inc962,718$229,4540.6%
46CLColgate-Palmolive Co2.5M$227,0570.6%
47DHIDR Horton Inc1.4M$224,4760.6%
48HPEHewlett Packard Enterprise Co4.9M$219,3990.6%
49SLBSLB Ltd4.7M$216,5580.6%
50EOGEOG Resources Inc1.7M$216,4150.6%
51GOOGLAlphabet Inc568,954$203,3270.5%
52AMDAdvanced Micro Devices Inc331,013$192,2890.5%
53PCARPACCAR Inc1.6M$188,8370.5%
54Carnival Corp Ltd6.5M$186,7970.5%
55HPQHP Inc8.4M$184,8260.5%
56WDCWestern Digital Corp284,546$181,7450.5%
57ZMZoom Communications Inc2.1M$178,3950.5%
58BDXBecton Dickinson & Co1.2M$176,9140.5%
59LRCXLam Research Corp407,570$176,6120.4%
60OXYOccidental Petroleum Corp3.6M$175,9300.4%
61KRKroger Co/The3.1M$169,7370.4%
62GOOGAlphabet Inc472,854$167,0740.4%
63INCYIncyte Corp1.4M$162,2660.4%
64ROPRoper Technologies Inc469,454$158,8590.4%
65WDAYWorkday Inc1.3M$155,2320.4%
66OVVOvintiv Inc2.8M$146,5220.4%
67CFCF Industries Holdings Inc1.4M$146,3690.4%
68ADSKAutodesk Inc743,555$144,5620.4%
69NTAPNetApp Inc917,026$141,9190.4%
70DGDollar General Corp1.2M$140,0500.4%
71INTCIntel Corp981,292$137,0180.3%
72TSLATesla Inc321,571$135,2530.3%
73KLACKLA CORP441,800$133,2950.3%
74METAMeta Platforms Inc235,429$132,6150.3%
75IQVIQVIA Holdings Inc668,811$129,2280.3%
76PAYXPaychex Inc1.3M$128,7730.3%
77PHMPulteGroup Inc894,118$122,6820.3%
78LVSLas Vegas Sands Corp2.6M$121,0250.3%
79ALABAstera Labs Inc246,675$119,1490.3%
80IRDMIridium Communications Inc2.2M$118,9300.3%
81KMBKimberly-Clark Corp1.1M$118,2000.3%
82PANWPalo Alto Networks Inc340,616$116,1570.3%
83TPRTapestry Inc764,187$111,8620.3%
84ZTSZoetis Inc1.6M$111,8360.3%
85PMPhilip Morris International Inc609,606$110,2840.3%
86RMDResMed Inc565,871$110,2770.3%
87OKTAOkta Inc807,713$110,2120.3%
88CSCOCisco Systems Inc930,189$109,2600.3%
89VEEVVeeva Systems Inc606,049$107,5560.3%
90FFIVF5 Inc257,896$107,2740.3%
91FSLRFirst Solar Inc447,493$105,5900.3%
92CTSHCognizant Technology Solutions Corp2.7M$102,9730.3%
932SPY US 09/30/26 C7.39 FLXCALL1,384$101,9830.3%
94STZConstellation Brands Inc729,281$101,4360.3%
95DXCMDexcom Inc1.5M$100,6130.3%
96DLTRDollar Tree Inc824,118$99,6770.3%
97Sanofi SA1.2M$99,2060.3%
98GISGeneral Mills Inc2.9M$99,1960.3%
99Vinci SA674,430$98,4830.3%
100OTISOtis Worldwide Corp1.4M$97,9490.2%

Source: SEC Form 13F-HR, reporting period 2026-06-30. Values are the manager's filed June-30-style quarter-end marks, not live prices. Research, not investment advice.

EvidInvest is an independent research and information tool. Figures are calculated from public SEC filings and third-party market data and are provided for informational and educational purposes only. EvidInvest does not provide investment advice, brokerage, or financial services, and is not affiliated with any company it covers. Verify all figures against primary sources before making any decision.