Pacer Advisors, Inc. has filed its 13F form on August 12, 2025 for Q2 2025 where it was disclosed a total value porftolio of $34.2 Billion distributed in 3427 stocks.
Among their holdings, we can observe that their the top five positions include companies like: Exxon Mobil Corp with a value of $506M, Cisco Systems, Inc. with a value of $503M, At&T Inc. with a value of $485M, Comcast Corp with a value of $486M, and Altria Group, Inc. with a value of $483M.
Examining the 13F form we can see an decrease of $1.28B in the current position value, from $35.5B to 34.2B .
Pacer Advisors, Inc. is based out at Malvern, PA
Below you can find more details about Pacer Advisors, Inc. portfolio as well as his latest detailed transactions.
Portfolio value
$34.2 Billion
Technology: $7.9 Billion
Healthcare: $5.68 Billion
Energy: $4.81 Billion
Consumer Cyclical: $4.51 Billion
Communication Services: $3.34 Billion
Consumer Defensive: $2.73 Billion
Industrials: $2.46 Billion
Basic Materials: $893 Million
Other: $1.9 Billion
Stock
Market Cap.
Holding Value (Reported)
# of Shares.
Last Trade
Trade History
-
$0
0.0% of portfolio
-
Q2 2025
Added 7.17%
Pan Pacific International Holdings Corp
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 3.75%
-
$0
0.0% of portfolio
-
Q2 2025
Added 18.68%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.4%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 6.9%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 1.46%
Fisher & Paykel Healthcare Corp LTD
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.93%
-
$0
0.0% of portfolio
-
Q2 2025
Added 11.09%
-
$0
0.0% of portfolio
-
Q2 2025
Added 11.77%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.92%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 3.22%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 5.35%
-
$0
0.0% of portfolio
-
Q2 2025
Added 10.29%
Kansai Electric Power CO Inc/The
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 99.43%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 97.84%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 10.27%
Boc Hong Kong Holdings LTD
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.51%
-
$0
0.0% of portfolio
-
Q2 2025
New
Mizuho Financial Group Inc
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.49%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 2.41%
-
$0
0.0% of portfolio
-
Q2 2025
Added 11.71%
Mitsubishi Heavy Industries LTD
-
$0
0.0% of portfolio
-
Q2 2025
Added 12.17%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.26%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 5.47%
Murata Manufacturing CO LTD
-
$0
0.0% of portfolio
-
Q2 2025
Added 12.85%
National Australia Bank LTD
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 3.77%
Nippon Sanso Holdings Corp
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 1.7%
Nissin Foods Holdings CO LTD
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 6.7%
-
$0
0.0% of portfolio
-
Q2 2025
Added 15.86%
-
$0
0.0% of portfolio
-
Q2 2025
Added 90,953.33%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 3.88%
-
$0
0.0% of portfolio
-
Q2 2025
Added 5,387.68%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.39%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 5.09%
Shin Etsu Chemical CO LTD
-
$0
0.0% of portfolio
-
Q2 2025
Added 11.4%
-
$0
0.0% of portfolio
-
Q2 2025
Added 5.58%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 61.45%
-
$0
0.0% of portfolio
-
Q2 2025
Added 9.04%
Sumitomo Metal Mining CO LTD
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 5.91%
Sumitomo Realty & Development CO LTD
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 4.11%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 7.61%
-
$0
0.0% of portfolio
-
Q2 2025
Added 11.66%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 7.37%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 5.35%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 7.54%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 97.92%
-
$0
0.0% of portfolio
-
Q2 2025
Added 9.94%
Groupe Bruxelles Lambert Nv
-
$0
0.0% of portfolio
-
Q2 2025
Added 7.09%
-
$0
0.0% of portfolio
-
Q2 2025
Reduced 1.02%
-
$0
0.0% of portfolio
-
Q2 2025
Added 1.06%