Pacer Advisors, Inc. Q2 2021 Filing

Filed July 21, 2021

Portfolio Value

$7.0T

Holdings

1,396

Report Date

Q2 2021

Filing Type

13F-HR

All Holdings (1,396 positions)

#StockSharesValue% PortfolioType
1
UNITED STATES TREAS BILLS
354,548,000$354.5B5.07%
2
EQIXEQUINIX INC
235,358$188.9B2.70%
3
AMTAMERICAN TOWER CORP
688,731$186.1B2.66%
4
8CWCROWN CASTLE INTL CORP NEW
925,007$180.5B2.58%
5
AAPLAPPLE INC
1,183,325$162.1B2.32%
6
MSFTMICROSOFT CORP
557,145$150.9B2.16%
7
UNITED STATES TREAS BILLS
149,400,000$149.4B2.14%
8
AMZNAMAZON COM INC
33,019$113.6B1.63%
9
METAFACEBOOK INC
175,916$61.2B0.88%
10
SBACSBA COMMUNICATIONS CORP NEW
176,770$56.3B0.81%
11
GOOGALPHABET INC
21,716$54.4B0.78%
12
GOOGLALPHABET INC
21,997$53.7B0.77%
13
FQIDIGITAL RLTY TR INC
351,602$52.9B0.76%
14
LAMRLAMAR ADVERTISING CO NEW
495,713$51.8B0.74%
15
GDSGDS HLDGS LTD
654,538$51.4B0.74%
16
CYRUSONE INC
704,292$50.4B0.72%
17
IRMIRON MTN INC NEW
1,186,996$50.2B0.72%
18
TSLATESLA INC
65,554$44.6B0.64%
19
NVDANVIDIA CORPORATION
52,956$42.4B0.61%
20
COR1EURCORESITE RLTY CORP
270,276$36.4B0.52%
21
CSCOCISCO SYS INC
668,526$35.4B0.51%
22
PLDPROLOGIS INC.
292,602$35.0B0.50%
23
QTS RLTY TR INC
434,199$33.6B0.48%
24
DREUSDDUKE REALTY CORP
686,679$32.5B0.47%
25
INTCINTEL CORP
570,468$32.0B0.46%
26
BRK/BBERKSHIRE HATHAWAY INC DEL
113,993$31.7B0.45%
27
TAT&T INC
1,004,671$28.9B0.41%
28
PYPLPAYPAL HLDGS INC
98,914$28.8B0.41%
29
JPMJPMORGAN CHASE & CO.
176,193$27.4B0.39%
30
BMYBRISTOL-MYERS SQUIBB CO
389,365$26.0B0.37%
31
GILDGILEAD SCIENCES INC
367,490$25.3B0.36%
32
JNJJOHNSON & JOHNSON
150,790$24.8B0.36%
33
ADBEADOBE SYSTEMS INCORPORATED
41,834$24.5B0.35%
34
DIGITALBRIDGE GROUP INC
3,018,717$23.8B0.34%
35
OUTOUTFRONT MEDIA INC
980,546$23.6B0.34%
36
VVISA INC
98,491$23.0B0.33%
37
CMCSACOMCAST CORP NEW
402,386$22.9B0.33%
38
IBMINTERNATIONAL BUSINESS MACHS COM
155,203$22.8B0.33%
39
MOALTRIA GROUP INC
462,535$22.1B0.32%
40
COLDAMERICOLD RLTY TR
582,176$22.0B0.32%
41
UNHUNITEDHEALTH GROUP INC
53,230$21.3B0.31%
42
PGPROCTER AND GAMBLE CO
157,887$21.3B0.30%
43
DYHTARGET CORP
84,906$20.5B0.29%
44
CVSCVS HEALTH CORP
245,773$20.5B0.29%
45
COSTCOSTCO WHSL CORP NEW
51,425$20.3B0.29%
46
NFLXNETFLIX INC
37,744$19.9B0.29%
47
PEPPEPSICO INC
134,124$19.9B0.28%
48
BACBK OF AMERICA CORP
480,072$19.8B0.28%
49
OGM1COGENT COMMUNICATIONS HOLDIN
252,892$19.4B0.28%
50
HDHOME DEPOT INC
60,450$19.3B0.28%
51
AVGOBROADCOM INC
40,271$19.2B0.27%
52
BIIBBIOGEN INC
55,146$19.1B0.27%
53
SWCHEURSWITCH INC
859,375$18.1B0.26%
54
TJXTJX COS INC NEW
267,523$18.0B0.26%
55
MAMASTERCARD INCORPORATED
49,169$18.0B0.26%
56
MRNAMODERNA INC
75,538$17.8B0.25%
57
XOMEXXON MOBIL CORP
271,998$17.2B0.25%
58
DISDISNEY WALT CO
94,866$16.7B0.24%
59
PFEPFIZER INC
422,786$16.6B0.24%
60
KRKROGER CO
421,581$16.2B0.23%
61
HCAHCA HEALTHCARE INC
78,098$16.1B0.23%
62
KOCOCA COLA CO
295,913$16.0B0.23%
63
FFORD MTR CO DEL
1,076,568$16.0B0.23%
64
TXNTEXAS INSTRS INC
81,189$15.6B0.22%
65
AMGNAMGEN INC
63,342$15.4B0.22%
66
ORLYOREILLY AUTOMOTIVE INC
27,086$15.3B0.22%
67
LENLENNAR CORP
154,053$15.3B0.22%
68
7HPHP INC
503,941$15.2B0.22%
69
MCKMCKESSON CORP
78,770$15.1B0.22%
70
ALXNALEXION PHARMACEUTICALS INC
81,332$14.9B0.21%
71
WMTWALMART INC
105,754$14.9B0.21%
72
ABBVABBVIE INC
131,151$14.8B0.21%
73
FORD MTR CO DEL
10,250,000$14.7B0.21%
74
UNITUNITI GROUP INC
1,384,761$14.7B0.21%
75
BBYBEST BUY INC
126,919$14.6B0.21%
76
0VVBVIACOMCBS INC
321,752$14.5B0.21%
77
QCOMQUALCOMM INC
97,597$13.9B0.20%
78
VNET21VIANET GROUP INC
593,653$13.6B0.20%
79
BACVERIZON COMMUNICATIONS INC
242,302$13.6B0.19%
80
4I1PHILIP MORRIS INTL INC
133,769$13.3B0.19%
81
ABTABBOTT LABS
114,158$13.2B0.19%
82
AZOAUTOZONE INC
8,734$13.0B0.19%
83
CVXCHEVRON CORP NEW
124,306$13.0B0.19%
84
LABORATORY CORP AMER HLDGS
45,869$12.7B0.18%
85
CTSHCOGNIZANT TECHNOLOGY SOLUTIONS CL A
180,468$12.5B0.18%
86
MRKMERCK & CO INC
158,934$12.4B0.18%
87
DELLDELL TECHNOLOGIES INC
123,894$12.3B0.18%
88
TSNTYSON FOODS INC
166,856$12.3B0.18%
89
WFCWELLS FARGO CO NEW
265,699$12.0B0.17%
90
SCI 5.125 06/01/29SERVICE CORP INTL
11,050,000$12.0B0.17%
91
L BRANDS INC
9,440,000$11.8B0.17%
92
RADIAN GROUP INC
10,370,000$11.7B0.17%
93
CRMSALESFORCE COM INC
47,929$11.7B0.17%
94
VECTOR GROUP LTD
11,450,000$11.7B0.17%
95
UNITED STATES CELLULAR CORP
9,516,000$11.7B0.17%
96
LUMNLUMEN TECHNOLOGIES INC
856,136$11.6B0.17%
97
AMATAPPLIED MATLS INC
81,385$11.6B0.17%
98
SBGI 5.5 03/01/30 144ASINCLAIR TELEVISION GROUP
11,370,000$11.6B0.17%
99
IHEARTCOMMUNICATIONS INC
11,170,000$11.5B0.17%
100
TMOTHERMO FISHER SCIENTIFIC INC COM
22,774$11.5B0.16%
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