PACER FDS TR - TRENDP US MID CP (PTMC)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / TRENDP US MID CP
Shares, excl. options Q1 2024
6.29 M
Holdings value Q1 2024
$226 M
Value change Q1 2024
+$8.58 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
69
Number of buys Q1 2024
32
Number of sells Q1 2024
-33
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
69374H204
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 6.29 M $226 M +$8.58 M $36.03 69
2023 Q4 6.09 M $200 M -$15 M $32.86 73
2023 Q3 7.58 M $239 M +$371 K $31.55 68
2023 Q2 7.56 M $249 M +$1.75 M $32.94 68
2023 Q1 7.51 M $238 M -$13 M $31.75 66
2022 Q4 7.79 M $243 M -$21.2 M $31.21 70
2022 Q3 8.32 M $267 M -$472 K $32.16 67
2022 Q2 7.91 M $273 M +$24.9 M $34.54 71
2022 Q1 7.33 M $253 M +$19.5 M $34.49 70
2021 Q4 6.57 M $240 M +$726 K $36.58 67
2021 Q3 6.86 M $241 M +$7.74 M $35.11 65
2021 Q2 6.56 M $233 M -$19 M $35.49 61
2021 Q1 7.19 M $249 M -$5.77 M $34.80 62
2020 Q4 7.3 M $238 M -$12.6 M $32.58 64
2020 Q3 7.54 M $206 M -$29.3 M $27.30 54
2020 Q2 8.6 M $235 M -$65.8 M $27.38 59
2020 Q1 10.8 M $305 M -$4.51 M $28.33 68
2019 Q4 11.2 M $344 M -$24.8 M $30.73 69
2019 Q3 11.9 M $348 M -$27.8 M $29.18 64
2019 Q2 12.9 M $376 M -$6.33 M $29.15 61
2019 Q1 13 M $395 M +$31.4 M $30.36 58
2018 Q4 12.1 M $373 M +$48.4 M $30.84 52
2018 Q3 9.88 M $329 M +$42.7 M $33.35 47
2018 Q2 8.49 M $274 M +$21.7 M $32.22 42
2018 Q1 7.89 M $244 M +$30.7 M $30.86 40
2017 Q4 6.89 M $215 M +$18.4 M $31.11 36
2017 Q3 6.28 M $186 M +$22 M $29.58 26
2017 Q2 5.55 M $157 M +$13.9 M $28.38 26
2017 Q1 5.06 M $141 M +$29.9 M $27.79 21
2016 Q4 3.99 M $106 M +$8.86 M $26.59 22
2016 Q3 3.66 M $93.2 M +$6.59 M $25.51 20
2016 Q2 3.4 M $83.3 M -$2.51 M $24.50 17
2016 Q1 3.42 M $79.3 M +$16.6 M $23.17 17
2015 Q4 2.71 M $62.7 M +$19.6 M $23.17 14
2015 Q3 1.86 M $43.2 M +$28.5 M $23.21 11
2015 Q2 631 K $15.4 M +$15.4 M $24.48 7