Components Pacer Trendpilot 100 ETF - USD

ETF

PTNQ

US69374H3030

Market Closed - Nasdaq 21:15:00 15/05/2024 BST 5-day change 1st Jan Change
69.66 USD +0.99% Intraday chart for Pacer Trendpilot 100 ETF - USD +1.74% +6.63%

Composition of Pacer Trendpilot 100 ETF - USD

Weight
189.7 USD +1.22%+3.82%-1.46%4.90%
423.1 USD +1.75%+3.05%+12.51%4.54%
186 USD -0.58%-1.07%+22.41%2.58%
1,436 USD +4.07%+8.36%+28.66%2.20%
481.5 USD +2.05%+1.89%+36.04%2.06%
946.3 USD +3.58%+4.67%+91.09%1.99%
174 USD -2.01%-0.42%-29.98%1.98%
172.5 USD +1.27%+1.85%+23.49%1.35%
787 USD +1.17%+3.10%+19.23%1.23%
485.4 USD +1.97%-0.56%-18.65%1.14%
159.7 USD +4.25%+3.94%+8.32%1.01%
179.5 USD -0.23%+1.16%+5.66%0.98%
613.5 USD -0.02%+0.66%+26.01%0.90%
31.27 USD +0.71%+4.23%-37.77%0.89%
49.67 USD +1.47%+3.48%-1.68%0.86%
162.7 USD +0.17%-0.09%+1.47%0.77%
655.1 USD +3.10%+3.59%+4.82%0.74%
39.25 USD -1.13%+0.51%-10.49%0.74%
194.6 USD +2.98%+7.79%+34.56%0.68%
195.5 USD +2.30%+6.30%+14.71%0.66%
319 USD +2.45%+3.82%+10.77%0.65%
217.5 USD +3.66%+4.89%+34.20%0.58%
205.1 USD +0.91%+3.54%-2.22%0.58%
3,793 USD +0.52%+3.62%+6.92%0.52%
399.4 USD +3.96%+5.00%+18.39%0.51%
75.7 USD +0.09%+2.99%-21.15%0.46%
437.5 USD +2.08%+4.46%+7.52%0.45%
947.8 USD +3.86%+3.77%+21.00%0.44%
67.01 USD -0.95%+3.22%-17.28%0.43%
215.8 USD +1.80%+5.32%+8.66%0.42%
71.33 USD -0.83%+1.28%-1.52%0.42%
141.3 USD +1.88%+1.54%-3.42%0.41%
246.6 USD +0.46%+1.51%+5.86%0.41%
312.3 USD +3.57%+3.07%+5.91%0.40%
978.2 USD -0.65%+2.35%+11.38%0.40%
127.8 USD +2.40%+7.12%+49.77%0.40%
759.7 USD +4.08%+5.94%+30.69%0.34%
1,718 USD +2.05%+0.10%+9.35%0.34%
580.2 USD +3.68%+5.40%+12.68%0.33%
293.1 USD +3.45%+3.73%+7.61%0.32%
33.84 USD -0.27%-1.11%-2.39%0.29%
63.9 USD -1.05%+0.14%+4.05%0.29%
236 USD +0.06%+0.28%+4.65%0.28%
692.4 USD +0.68%+0.27%+14.89%0.26%
346.8 USD -1.56%+0.36%-32.16%0.26%
272 USD +1.62%+4.53%+18.43%0.25%
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Description

US69374H3030
Total Expense Ratio 0.65%
Asset Class
Sector
Size
Currency
Provider
Underlying Pacer NASDAQ-100 Trendpilot Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
09/06/2015
Dividend Policy
Credit Rating
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 1,108 M€
AuM 1M 1,114 M€
AuM 3 months 1,048 M€
AuM 6 months 909 M€
AuM 12 months 683 M€
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