ETF:GCOW | ETF Holdings | Pacer Global Cash Cows Dividend ETF

Companies included in GCOW

This is GCOW's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1–100 of 103.

TickerIssuerShares ownedUnitReported weight
EQNREquinor ASA2,140,701NS2.564697%
TTETotalEnergies SE892,204NS2.478703%
RIORio Tinto PLC798,689NS2.384111%
XOMExxon Mobil Corp502,861NS2.316863%
BP/BP PLC9,700,706NS2.300631%
BHPBHP Group Ltd1,963,012NS2.266532%
CVXChevron Corp390,694NS2.254722%
MOAltria Group Inc1,010,729NS2.19216%
COPConocoPhillips582,972NS2.189078%
SHELShell PLC1,591,640NS2.150536%
ENIEni SpA2,511,337NS2.111826%
BMYBristol-Myers Squibb Co1,123,894NS2.032957%
CNQCanadian Natural Resources Ltd1,420,747NS2.02465%
VZVerizon Communications Inc1,405,891NS2.015887%
UPSUnited Parcel Service Inc617,739NS2.006485%
ENELEnel SpA5,720,786NS1.989227%
PMPhilip Morris International In396,479NS1.953846%
NOVNNovartis AG439,073NS1.944359%
MRKMerck & Co Inc587,741NS1.915716%
PEPPepsiCo Inc404,632NS1.914538%
TAT&T Inc2,321,164NS1.810703%
NESNNestle SA598,716NS1.808336%
BATSBritish American Tobacco PLC1,026,815NS1.803255%
PFEPfizer Inc2,254,280NS1.796888%
DTEDeutsche Telekom AG1,827,896NS1.765754%
CMCSAComcast Corp2,148,651NS1.734501%
ULVRUnilever PLC973,386NS1.699144%
SANSanofi SA592,605NS1.657368%
GSKGSK PLC1,981,344NS1.552241%
NOVOBNovo Nordisk A/S1,215,335NS1.551389%
MBGMercedes-Benz Group AG817,734NS1.420706%
DGVinci SA291,816NS1.313875%
TRPTC Energy Corp650,820NS1.302789%
SUSuncor Energy Inc629,070NS1.286902%
ORAOrange SA1,921,431NS1.196339%
9434SoftBank Corp28,060,586NS1.187378%
MAERSKBAP Moller - Maersk A/S16,601NS1.174185%
DHLDeutsche Post AG602,842NS1.064152%
4502Takeda Pharmaceutical Co Ltd1,043,160NS1.048326%
2914Japan Tobacco Inc914,168NS1.022419%
000270Kia Corp312,450NS0.954673%
FMGFortescue Ltd2,107,565NS0.890116%
DGEDiageo PLC1,457,418NS0.870916%
HOLNHolcim AG292,184NS0.809154%
KDDIFKDDI Corp1,622,240NS0.798896%
DTGDaimler Truck Holding AG509,714NS0.766886%
IMBImperial Brands PLC632,490NS0.719692%
TTELUS Corp1,886,839NS0.70539%
TLSTelstra Group Ltd6,089,610NS0.696312%
TEFTelefonica SA4,950,421NS0.669185%
SCMNSwisscom AG26,434NS0.668112%
6301Komatsu Ltd526,730NS0.65861%
CVECenovus Energy Inc740,302NS0.646587%
ELEEndesa SA479,057NS0.641031%
VODVodafone Group PLC12,957,865NS0.6172%
NTGYNaturgy Energy Group SA631,000NS0.592082%
RKTReckitt Benckiser Group PLC309,341NS0.587865%
316OOIL1,114,444NS0.579819%
ADKoninklijke Ahold Delhaize NV404,953NS0.567837%
NTRNutrien Ltd249,104NS0.565277%
VIEVeolia Environnement SA447,623NS0.56368%
TSCOTesco PLC2,825,193NS0.553248%
AENAAena SME SA678,101NS0.55217%
1CK Hutchison Holdings Ltd2,143,963NS0.531577%
KNINKuehne + Nagel International A75,870NS0.529621%
MLMichelin455,877NS0.492611%
288WH Group Ltd13,018,463NS0.472387%
1308SITC International Holdings Co3,769,157NS0.469492%
RIPernod Ricard SA202,950NS0.446856%
9101Nippon Yusen KK396,968NS0.429138%
1038CK Infrastructure Holdings Ltd1,704,889NS0.426936%
4503Astellas Pharma Inc1,001,098NS0.426094%
Mount Vernon Liquid Assets Portfolio, LLCMount Vernon Liquid Assets Portfolio, LLC13,919,943.5NS0.415565%
1605Inpex Corp511,283NS0.404617%
6Power Assets Holdings Ltd1,631,966NS0.401522%
PUBPublicis Groupe SA137,282NS0.381827%
5108Bridgestone Corp609,612NS0.379552%
PHIAKoninklijke Philips NV455,750NS0.357538%
7751Canon Inc456,444NS0.348772%
19Swire Pacific Ltd971,237NS0.313923%
992Lenovo Group Ltd6,940,835NS0.308998%
1876Budweiser Brewing Co APAC Ltd10,342,220NS0.30235%
COLColes Group Ltd592,938NS0.281774%
DSFIRDSM-Firmenich AG126,234NS0.281127%
JMJardine Matheson Holdings Ltd137,080NS0.277832%
USBFS03U.S. Bank Money Market Deposit Account8,328,761.02NS0.248647%
9107Kawasaki Kisen Kaisha Ltd501,106NS0.244866%
27Galaxy Entertainment Group Ltd1,862,807NS0.235442%
293Cathay Pacific Airways Ltd5,252,920NS0.231852%
1929CHOW TAI FOOK5,510,914NS0.223284%
003550LG Corp110,863NS0.221138%
2502Asahi Group Holdings Ltd684,204NS0.201972%
7270Subaru Corp406,970NS0.182336%
JCNCJardine Cycle & Carriage Ltd235,739NS0.180146%
3407Asahi Kasei Corp611,889NS0.179108%
011200HMM Co Ltd427,381NS0.176348%
2313SHENZHOU INTL892,648NS0.159231%
1913PRADA SpA1,180,803NS0.156174%
GENSGenting Singapore Ltd9,262,143NS0.147728%
SHLSonic Healthcare Ltd312,230NS0.132673%

SEC N-PORT snapshot as of .

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.