PACER FDS TR - US EXPORT LEAD (PEXL)

Historical Holders from Q4 2018 to Q3 2025

Type / Class
Equity / US EXPORT LEAD
Symbol
PEXL
Price per share
$57.35
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
323,974
Total reported value
$18,571,905
% of total 13F portfolios
0%
Share change
+106,846
Value change
+$6,127,279
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
20
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, PACER FDS TR - US EXPORT LEAD (PEXL) has 20 institutional shareholders filing 13F forms. They hold 323,974 shares. .

Institutional Holders of PACER FDS TR - US EXPORT LEAD (PEXL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 323,974 $18,571,905 +$6,127,279 5,734.53% 20
2025 Q2 217,128 $11,276,380 -$10,260,344 5,193.26% 19
2025 Q1 431,944 $19,742,837 -$8,743,371 4,562.16% 25
2024 Q4 623,009 $29,990,958 -$3,253,612 4,812% 24
2024 Q3 682,002 $34,397,558 +$2,091,228 5,044.05% 23
2024 Q2 641,227 $31,430,085 +$1,492,707 4,901.76% 25
2024 Q1 610,476 $30,031,591 +$1,828,902 4,951.13% 26
2023 Q4 574,449 $26,252,162 +$11,977,245 4,570.04% 18
2023 Q3 315,230 $13,129,081 -$104,894 4,165% 16
2023 Q2 316,211 $13,831,287 +$6,375,902 4,374.23% 15
2023 Q1 172,536 $7,167,142 +$4,401,993 4,154.22% 8
2022 Q4 66,573 $2,458,378 +$911,194 3,692.85% 6
2022 Q3 41,859 $1,367,000 -$693,015 3,265.12% 3
2022 Q2 60,921 $2,147,000 +$804,761 3,512.27% 4
2022 Q1 38,084 $1,636,000 +$1,145,933 4,397.35% 2
2021 Q4 11,411 $533,000 -$273,409 4,670.93% 1
2021 Q3 17,264 $715,000 -$46,661 4,451.36% 2
2021 Q2 18,394 $771,000 -$159,951 4,191.58% 1
2021 Q1 22,210 $859,000 -$104,121 3,867.63% 1
2020 Q4 24,926 $896,000 -$9,422 3,602.76% 2
2020 Q3 25,560 $763,000 -$142,098 2,984.03% 3
2020 Q2 30,315 $832,000 +$23,799 2,744.6% 3
2020 Q1 29,442 $638,000 -$3,779 2,167.54% 3
2019 Q4 29,486 $853,000 -$84,387 2,839.37% 2
2019 Q3 32,385 $841,000 +$53,158 2,596.88% 1
2019 Q2 30,338 $774,000 -$195,171 2,551.26% 1
2019 Q1 37,988 $949,000 -$144,144 2,498.16% 1
2018 Q4 43,758 $910,000 +$910,000 2,079.62% 1