$31.50
Closed
-(-)

At close

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About

PWS was created on 2017-12-11 by Pacer. The fund's investment portfolio concentrates primarily on target outcome asset allocation. PWS tracks an index that toggles between equity and Treasurys, or a combination of both, on a monthly basis depending on monthly moving averages.
Company

Pacer

Asset class

Asset Allocation

Inception date

2017

Investment segment

Target Outcome

ISIN

US69374H8401

Key stats

Open

$32.01

Volume

465.00

AUM

$23.93M

Prev. close

$32.13

Expense ratio

0.60%

P/E

0.00

$32.01

Day’s Range

$32.07

$31.18

52W Range

$33.68

What’s in the fund

8
Total sectors
Information Technology
27.11%
Industrials
20.36%
Utilities
20.19%
Financials
17.68%
Communication Services
5.68%
Consumer Discretionary
5.31%
Health Care
0.33%
Others
3.34%

Returns

Performance
_
Difference
_
Pacer WealthShield ETF

Mar

9

Dividends

The last payment date was Mar 9, 2026

Div. per Share

$0.02

Div. Yield

0.05%

Div. Growth YoY

-93.69%

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