ETF Components for GLBL - Pacer MSCI World Industry Advantage ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
AMZN B -1.97 5.62
NVDA A -2.62 5.39
MSFT D -0.82 4.69
AAPL C -1.11 4.65
META C -2.66 3.94
GOOGL B -6.26 3.27
GOOG B -6.08 2.84
AVGO D -0.90 2.40
BRK.A B -0.47 1.98
UNH B -0.15 1.71
V A 0.47 1.52
MA B 0.73 1.35
COST A 1.98 1.31
HD C 1.48 1.25
WMT A 1.06 1.18
NFLX A 0.39 1.17
CRM B 3.05 1.04
ORCL A 1.55 0.98
ADBE D -0.46 0.75
NOW B 1.50 0.74
CSCO B -0.08 0.74
MCD D -1.66 0.70
AMD F -1.71 0.69
ACN B 1.24 0.69
ABT B -0.24 0.62
IBM C 1.65 0.59
DIS B 0.02 0.58
TXN C -0.56 0.58
INTU B 2.74 0.58
ISRG A 0.50 0.57
GS B 1.67 0.56
QCOM F -0.10 0.56
TM F 0.40 0.55
CMCSA B -0.03 0.54
AXP B 0.93 0.54
LOW C 0.29 0.51
MS B 1.90 0.50
SPGI D 1.15 0.48
BLK B 0.81 0.48
AMAT F 0.98 0.47
MELI C -0.65 0.45
UL D 0.01 0.44
TJX A -0.66 0.43
SYK A 0.48 0.41
BSX A 0.95 0.40
FI A 0.13 0.40
PANW A -1.43 0.38
BX A 2.46 0.38
PLTR B -1.09 0.38
SCHW A 0.35 0.37
LRCX F 1.48 0.35
ADI D -0.03 0.35
MDT D 0.54 0.35
SBUX B 1.00 0.35
MU D 0.24 0.35
INTC C 0.40 0.33
PLD D -0.25 0.33
ANET D 3.61 0.32
CI D 0.72 0.31
KLAC F 0.67 0.30
TD D -0.54 0.30
KKR B 1.62 0.29
CDNS B -0.86 0.29
ELV F 0.95 0.29
ORLY B 1.12 0.29
ICE D 0.92 0.29
MCK A 0.59 0.29
PYPL B -0.43 0.27
CME A -0.02 0.27
APH B 2.96 0.27
AMT D 0.23 0.27
SNPS C 0.95 0.26
HCA F -1.89 0.25
CMG C 1.33 0.25
WELL A 0.00 0.25
CRWD B 1.17 0.24
MRVL B 0.57 0.23
MSI A 0.23 0.23
CVS D -0.67 0.22
BDX F -0.09 0.22
COF B 1.49 0.22
TGT F 0.96 0.22
ADSK A 1.26 0.22
MCO B 0.53 0.22
FTNT B 0.16 0.21
EQIX A 0.45 0.21
AMP A 0.92 0.20
APP B -4.54 0.20
COIN B -8.81 0.20
ROP C 0.25 0.20
MAR B 0.99 0.20
ABNB C -1.88 0.19
APO B -0.03 0.19
WDAY C 1.65 0.19
HLT A 0.69 0.18
TTD B -0.83 0.18
BK B 0.40 0.18
CNI F 0.43 0.18
NXPI F 0.41 0.18
DLR A 0.22 0.17
SPG A 0.22 0.17
PSA D 0.70 0.16
O D 0.11 0.16
HUBS A 2.04 0.16
DASH B 0.03 0.16
RCL A 0.27 0.16
FIS C -1.20 0.15
MSTR B -5.56 0.15
CTSH B 0.81 0.14
HUM C 0.19 0.14
SQ A 0.88 0.14
MPWR F -0.85 0.14
MSCI C 0.16 0.14
CCI C 0.11 0.14
TYL B 0.36 0.14
KR B 1.18 0.13
SYY D 1.20 0.13
DELL C 0.57 0.13
YUM D 0.43 0.13
IT C 0.87 0.13
ROST D 0.99 0.13
EXR C 0.73 0.12
COR B -0.05 0.12
HMC F 0.19 0.12
GEHC C -0.66 0.12
TEAM B 1.58 0.12
DDOG A 4.86 0.12
GLW B 0.06 0.12
SNOW C 30.00 0.12
DFS B 1.64 0.12
EW C 0.60 0.12
IRM C 1.63 0.11
MCHP F 0.80 0.11
AVB B 1.00 0.11
VEEV C 1.07 0.11
RMD C -0.16 0.11
HPQ B 1.17 0.11
NDAQ A 0.22 0.11
RJF A 0.44 0.11
EA A -0.15 0.11
CHTR B -0.79 0.10
CNC F 0.03 0.10
ON F -0.61 0.10
IDXX F -1.49 0.10
EBAY D 0.98 0.10
VICI C 0.47 0.10
DXCM C -1.08 0.09
TTWO A 0.46 0.09
CPAY A 0.90 0.09
HPE B 1.20 0.09
CDW F 1.29 0.09
EQR C 0.45 0.09
CAH B 0.98 0.09
NET B 5.99 0.09
GDDY A 0.49 0.09
STT A 0.80 0.09
ULTA F -2.60 0.09
PTC B 0.00 0.09
ZBRA B 1.56 0.09
NTRS A 0.10 0.08
VTR B -0.09 0.08
MAA B 0.17 0.08
SYF B 0.85 0.08
ZBH C -0.12 0.08
ARES A 0.49 0.08
DRI C 0.28 0.08
ANSS B 0.76 0.08
GPN C 0.89 0.08
TROW B -0.36 0.08
NTAP C 2.37 0.08
EXPE B 0.93 0.08
TSCO D 0.84 0.07
MANH D 0.79 0.07
STX D 0.69 0.07
MDB C 11.83 0.07
WBD B 1.51 0.07
ESS B 0.97 0.07
WY D 0.20 0.07
MOH F -0.86 0.07
OMC D 0.80 0.07
KEYS A 0.24 0.07
LPLA A 2.12 0.07
RBLX B -3.24 0.07
CCL A 0.46 0.07
HOLX D 0.72 0.06
PINS F -2.05 0.06
TDY B 1.98 0.06
FDS B 1.75 0.06
DOCU B -0.22 0.06
LH B 0.30 0.06
FFIV A 0.50 0.06
LVS B -0.32 0.06
GPC F 0.92 0.06
EPAM C 2.61 0.06
WDC F 1.66 0.06
DKNG B 0.02 0.06
SUI C 0.00 0.06
LYV A 0.94 0.06
TW A -1.91 0.06
ZM B 1.64 0.06
WSM C -2.40 0.06
BURL B 0.07 0.06
PODD B -1.00 0.06
INVH D 0.00 0.06
BBY D 0.60 0.06
TFX F 0.00 0.05
DOC D 0.05 0.05
DLTR F 2.31 0.05
GLPI C -0.36 0.05
CBOE C 0.37 0.05
DKS D 0.84 0.05
PSTG F 1.47 0.05
TOST A -0.39 0.05
TWLO A 2.06 0.05
UHS D -2.21 0.05
SMCI F 4.53 0.05
ENTG F 1.57 0.05
ZS C 1.60 0.05
TER F 0.24 0.05
GEN B 0.66 0.05
DT D 1.94 0.05
ALGN D 0.71 0.05
ARE F 0.76 0.05
TRMB B 1.84 0.05
SBAC D 0.00 0.05
DPZ C 0.98 0.05
STE D 0.03 0.05
KIM A 0.48 0.05
HOOD B -3.63 0.05
BAX F 0.64 0.05
DG F 0.92 0.05
ROKU D 0.04 0.04
AMH C 0.35 0.04
JNPR D -0.29 0.04
CG B 1.45 0.04
LKQ F 0.79 0.04
KMX C 4.29 0.04
SNAP D -1.09 0.04
OKTA D 1.85 0.04
DVA C 0.85 0.04
IOT A 2.36 0.04
BXP D 1.28 0.04
H B 0.68 0.04
DGX A 0.56 0.04
HST D 0.00 0.04
WPC C 0.00 0.04
SWKS F 0.25 0.04
JKHY D 0.68 0.04
POOL D 1.37 0.04
AKAM F 2.00 0.04
UDR C 0.70 0.04
FSLR F 0.91 0.04
VRSN D 0.87 0.04
EQH B 0.01 0.04
MGM D 0.24 0.03
ENPH F 2.48 0.03
CRBG B 1.14 0.03
CPT C 0.27 0.03
JBL C 1.37 0.03
MKTX D -1.56 0.03
HSIC C -1.98 0.03
FOXA B -0.07 0.03
SOLV F 1.79 0.03
NWSA A -0.15 0.03
ELS B 0.00 0.03
IPG D 0.00 0.03
ALLY C 3.04 0.03
REG A 0.00 0.03
QRVO F 0.35 0.02
SEIC B 0.00 0.02
WYNN D -0.08 0.02
BEN C 0.25 0.02
FOX A -0.14 0.02
PARA D 0.71 0.02
WBA F -0.42 0.02
AGCO F 4.85 0.02
MTCH F 0.33 0.02
BBWI C -1.29 0.02
ACI C -0.63 0.02
BSY D 0.00 0.02

Recent News for Pacer MSCI World Industry Advantage ETF & its Holdings

Date Stock Title
Nov 21 NVDA Major companies that are also popular short-selling stocks
Nov 21 NVDA Nvidia: Blackwell Ramp Hit Gross Margin, Expecting Low 70s
Nov 21 NVDA A Recap of Nvidia's Recent Developments
Nov 21 NTAP Dell Q3 results should provide optimism heading into 2025
Nov 21 NVDA Tesla Stock Is Down After Nvidia Earnings, European EV Sales
Nov 21 NVDA Consumer sector will 'rule sentiment' in 2025: Strategist
Nov 21 NVDA Nvidia Pops, Then Drops. But This Cheap Stock May Be A 'Wise' Pick.
Nov 21 NVDA Nvidia Sales Grew in China. Chip-Rival Huawei Is Aiming to Eat Its Lunch.
Nov 21 NVDA The 2 reasons why Nvidia will keep outperforming: Analyst
Nov 21 NVDA Nvidia Beat Q3 Estimates But Still Falls, Momentum Is Dying
Nov 21 NFLX Netflix Faces Lawsuit Over Contract Breach in Boxing Match Glitches
Nov 21 NVDA Nvidia stock continues post-earnings fall after slight recovery
Nov 21 NVDA Stocks Are Waffling, With Nvidia Setting the Tone
Nov 21 NVDA Dow Jones Rises On Surprise Jobless Claims; Nvidia Reverses From Record Highs
Nov 21 PANW Dow Jones Rises On Surprise Jobless Claims; Nvidia Reverses From Record Highs
Nov 21 GOOG DOJ calls for Google to divest Chrome in antitrust push
Nov 21 NVDA 'Finally Able to Retire' – Dividend Investor Earning $5,130 Per Month on $622K Investment Shares Portfolio: Top 9 Stocks, ETFs
Nov 21 NVDA Nvidia Just Delivered a Beat-and-Raise Quarter. There's 1 Red Flag Investors Shouldn't Ignore.
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 PANW Palo Alto Networks beats Q1 estimates, while guidance disappoints
GLBL tracks an index that aims to invest in firms that lead the industry from the country with the most active weight in each of the GICS Industry Groups. First, the fund determines which country has the highest active weight in each of the twenty-five GICS Industry Groups as measured against the MSCI World Index, its parent index. Only large- and midcap companies from developed market countries are considered. Then, all securities with a 3-month ADTV greater than or equal to USD 5 Million become eligible. Finally, at each quarterly review and initial construction, the eligible securities that meet the liquidity criteria are grouped by country, and each group is weighted in proportion to their aggregate free-float market cap and the corresponding country's GDP. The weights are then normalized to sum to 100%, with each security having a cap of 5%.
Midcap Morgan Stanley Global Industry Classification Standard Msci World
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