Pacer Advisors, Inc. Portfolio Stock Holdings

According to the SEC 13F filed on August 13, 2026, Pacer Advisors, Inc. disclosed 1381 stock positions valued at approximately $38.51B as of quarter-end June 30, 2026. The largest holdings include NVIDIA Corp, Bristol-Myers Squibb Co, and Altria Group Inc.

Report Period
June 30, 2026
No. of Stocks
1381
Portfolio Value
$38.51B
Holdings by Sector
Pacer Advisors, Inc. Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
NVIDIA CorpNVDATechnology1.49%2,869,099+2,869,099+100.00%$574,078,000
Bristol-Myers Squibb CoBMYHealthcare1.20%7,995,711+7,995,711+100.00%$460,713,000
Altria Group IncMOConsumer Defensive1.19%6,360,931+6,360,931+100.00%$457,669,000
Comcast CorpCMCSACommunication Services1.17%18,376,694+18,376,694+100.00%$451,148,000
Apple IncAAPLTechnology1.13%1,509,200+1,509,200+100.00%$436,702,000
Booking Holdings IncBKNGConsumer Cyclical1.11%2,398,293+2,398,293+100.00%$427,472,000
Verizon Communications IncVZCommunication Services1.07%9,711,714+837,591+9.44%$411,194,000
Pfizer IncPFEHealthcare1.05%16,793,903+16,793,903+100.00%$404,397,000
AT&T IncTCommunication Services1.04%19,256,850+19,256,850+100.00%$398,617,000
QUALCOMM IncQCOMTechnology1.02%2,132,146+2,132,146+100.00%$393,999,000
Gilead Sciences IncGILDHealthcare1.02%3,110,000+3,110,000+100.00%$392,917,000
HCA Healthcare IncHCAHealthcare1.01%998,912+998,912+100.00%$389,466,000
Lowe's Cos IncLOWConsumer Cyclical1.01%1,756,958+1,756,958+100.00%$387,392,000
Uber Technologies IncUBERTechnology1.01%5,364,079+211,284+4.10%$387,072,000
Newmont CorpNEMBasic Materials0.98%4,043,139+4,043,139+100.00%$377,629,000
General Dynamics CorpGDIndustrials0.95%1,034,444+1,034,444+100.00%$366,441,000
Expedia Group IncEXPEConsumer Cyclical0.94%1,414,534+1,414,534+100.00%$361,951,000
T-Mobile US IncTMUSCommunication Services0.93%2,127,619+372,333+21.21%$356,866,000
Ford Motor CoFConsumer Cyclical0.89%24,539,773+24,539,773+100.00%$341,103,000
Intuit IncINTUTechnology0.87%1,282,667+1,282,667+100.00%$334,776,000
Salesforce IncCRMTechnology0.84%2,072,610+2,072,610+100.00%$324,695,000
Marathon Petroleum CorpMPCEnergy0.83%1,252,598+1,252,598+100.00%$320,252,000
EQT CorpEQTEnergy0.83%5,999,039+5,999,039+100.00%$318,969,000
Adobe IncADBETechnology0.82%1,544,026+1,544,026+100.00%$316,556,000
Airbnb IncABNBConsumer Cyclical0.80%2,148,378+2,148,378+100.00%$307,433,000
McKesson CorpMCKHealthcare0.79%403,595+403,595+100.00%$304,956,000
Accenture PLCACNTechnology0.79%2,445,883+2,445,883+100.00%$304,366,000
Anglogold Ashanti PlcAUOther0.79%3,744,168+3,744,168+100.00%$302,866,000
Cardinal Health IncCAHHealthcare0.76%1,225,154+1,225,154+100.00%$291,048,000
Automatic Data Processing IncADPTechnology0.72%1,239,812+1,239,812+100.00%$277,656,000
Showing 30 of 1,381 holdings in the latest reporting period.