Was steckt im Fonds Pacer Aristotle Pacific Floating Rate High Income ETF?

Welche Aktien und Anleihen hält dieser ETF/Fonds? Alle gemeldeten Bestände der Gesellschaft Pacer Funds Trust zum Stichtag 2026-04-30, jeweils mit Wert und Anteil am Portfolio. Datenquelle ist SEC Form N-PORT — der Bericht, mit dem US-Fonds ihre Portfolios gegenüber der US-Börsenaufsicht offenlegen. Erfasst sind Wertpapiere der Klassen Aktie und Anleihe — nicht Derivate, Repos oder Cash. Keine Anlageberatung.
Fonds-Verzeichnis
EmittentGattungTypCUSIP/ISINRichtungBestand ($)% NAVStück / Nennwert
58.219.335 $9,6953.653.347
VENTURE GLOBAL LNG INCVenture Global LNG IncDBT92332YAD3Long3.219.558 $0,543.000.000
BARCLAYS PLCBarclays PLCDBT06738EDC6Long3.160.956 $0,533.000.000
XPLR INFRAST OPERATINGXPLR Infrastructure Operating Partners LPDBT65342QAM4Long3.121.431 $0,523.000.000
EQUIPMENTSHARE.COM INCEquipmentShare.com IncDBT29450YAA7Long3.114.240 $0,523.000.000
ENERGY TRANSFER LPEnergy Transfer LPDBT29273VBC3Long3.083.127 $0,513.000.000
UBS GROUP AGUBS Group AGDBT225401BJ6Long3.071.832 $0,513.000.000
OLYMPUS WTR US HLDG CORPOlympus Water US Holding CorpDBT681639AD2Long3.020.271 $0,503.000.000
RIVIAN HLD/AUTO LLCRivian Holdings LLC/Rivian LLC/Rivian Automotive LLCDBT76954LAD1Long2.996.684 $0,503.000.000
GFL ENVIRONMENTAL INCGFL Environmental IncDBT36168QAP9Long2.934.459 $0,493.000.000
SEAWORLD PARKS & ENTERTASeaWorld Parks & Entertainment IncDBT81282UAG7Long2.902.379 $0,483.000.000
CCO HLDGS LLC/CAP CORPCCO Holdings LLC / CCO Holdings Capital CorpDBT1248EPCK7Long2.721.562 $0,453.000.000
ORACLE CORPOracle CorpDBT68389XCU7Long2.315.535 $0,393.000.000
iShares iBoxx USD High Yield CiShares iBoxx USD High Yield Corporate Bond ETFEC464288513Long2.170.421 $0,3627.002
iShares 0-5 Year High Yield CoiShares 0-5 Year High Yield Corporate Bond ETFEC46434V407Long2.004.637 $0,3346.980
State Street SPDR Bloomberg ShState Street SPDR Bloomberg Short Term High Yield Bond ETFEC78468R408Long2.000.792 $0,3379.365
ANTERO MIDSTREAM PART/FIAntero Midstream Partners LP / Antero Midstream Finance CorpDBT03690AAH9Long1.999.351 $0,332.000.000
BWX TECHNOLOGIES INCBWX Technologies IncDBT05605HAC4Long1.949.350 $0,322.000.000
CAESARS ENTERTAIN INCCaesars Entertainment IncDBT12769GAA8Long1.933.460 $0,322.000.000
1011778 BC / NEW RED FIN1011778 BC ULC / New Red Finance IncDBT68245XAM1Long1.904.046 $0,322.000.000
DISCOVERY COMMUNICATIONSDiscovery Communications LLCDBT25470DCC1Long1.882.680 $0,312.000.000
MAJORDRIVE HOLDINGS IV LMajorDrive Holdings IV LLCDBT56085RAA8Long1.696.937 $0,282.000.000
MERLIN ENTERTAINMENTS GRMerlin Entertainments Group US Holdings IncDBT59010UAA5Long1.650.562 $0,272.000.000
UKG INCUKG IncDBT90279XAA0Long1.460.034 $0,241.500.000
NRG ENERGY INCNRG Energy IncDBT629377CR1Long1.393.454 $0,231.500.000
SWORD PURCHASER LLCSword Purchaser LLCDBT87110CAB3Long511.577 $0,09500.000
58.219.335 $9,6953.653.347
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