PALC vs. CGDV ETF Comparison

Comparison of Pacer Lunt Large Cap Multi-Factor Alternator ETF (PALC) to Capital Group Dividend Value ETF (CGDV)
PALC

Pacer Lunt Large Cap Multi-Factor Alternator ETF

PALC Description

The investment seeks to track the total return performance, before fees and expenses, of the Lunt Capital U.S. Large Cap Multi-Factor Rotation Index. Under normal circumstances, at least 80% of the fund’s total assets (exclusive of collateral held from securities lending) will be invested in the component securities of its underlying index or in one or more ETFs that track the performance of all or a portion of such component securities in the same approximate proportion as in the fund’s underlying index. The index uses an objective, rules-based methodology to provide exposure to large-capitalization U.S. companies. It is non-diversified.

Grade (RS Rating)

Last Trade

$52.39

Average Daily Volume

19,012

Number of Holdings *

181

* may have additional holdings in another (foreign) market
CGDV

Capital Group Dividend Value ETF

CGDV Description Capital Group Dividend Value ETF is an exchange traded fund launched and managed by Capital Research and Management Company. The fund invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. It invests in dividend paying stocks of companies. The fund employs fundamental analysis to create its portfolio. Capital Group Dividend Value ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$36.58

Average Daily Volume

1,685,227

Number of Holdings *

48

* may have additional holdings in another (foreign) market
Performance
Period PALC CGDV
30 Days 4.42% 0.08%
60 Days 6.04% 0.94%
90 Days 8.35% 3.70%
12 Months 36.24% 31.86%
19 Overlapping Holdings
Symbol Grade Weight in PALC Weight in CGDV Overlap
ABBV D 0.38% 2.01% 0.38%
ABT B 0.45% 1.6% 0.45%
AIG B 0.47% 3.88% 0.47%
AMGN D 1.64% 1.52% 1.52%
BA F 0.7% 0.92% 0.7%
EIX B 0.18% 0.79% 0.18%
GD F 0.46% 1.73% 0.46%
ITW B 0.55% 1.16% 0.55%
JPM A 3.26% 1.8% 1.8%
KO D 0.56% 0.77% 0.56%
LIN D 0.51% 1.74% 0.51%
MCD D 2.85% 1.63% 1.63%
MDLZ F 0.43% 0.69% 0.43%
MDT D 0.44% 1.04% 0.44%
ORCL B 2.07% 0.69% 0.69%
PCG A 0.24% 1.47% 0.24%
PM B 2.49% 3.46% 2.49%
RCL A 0.25% 2.58% 0.25%
UNP C 0.46% 1.89% 0.46%
PALC Overweight 162 Positions Relative to CGDV
Symbol Grade Weight
TSLA B 3.78%
BAC A 1.98%
GS A 1.96%
LOW D 1.55%
WFC A 1.42%
MO A 1.39%
MS A 1.36%
BKNG A 1.25%
MCK B 1.17%
SBUX A 1.13%
OKE A 1.07%
HLT A 1.04%
AON A 1.03%
C A 1.01%
NEE D 0.92%
PFE D 0.9%
YUM B 0.89%
BK A 0.88%
OTIS C 0.87%
AMT D 0.86%
AME A 0.79%
MET A 0.77%
TDG D 0.76%
TMUS B 0.72%
HCA F 0.69%
BRK.A B 0.69%
ORLY B 0.69%
MSCI C 0.65%
MAR B 0.65%
V A 0.65%
VRTX F 0.64%
FI A 0.64%
VRSN F 0.63%
AMP A 0.62%
KMI A 0.61%
RSG A 0.6%
L A 0.6%
WMB A 0.59%
WMT A 0.59%
MA C 0.58%
HON B 0.58%
FTNT C 0.57%
FICO B 0.57%
MMC B 0.56%
MSI B 0.56%
ATO A 0.55%
AZO C 0.55%
CSCO B 0.55%
CMS C 0.55%
TJX A 0.55%
ETR B 0.54%
FE C 0.54%
PG A 0.54%
IEX B 0.53%
ROP B 0.53%
ADP B 0.52%
CB C 0.51%
PKG A 0.51%
CME A 0.51%
HIG B 0.5%
ICE C 0.5%
PRU A 0.5%
JNJ D 0.49%
COR B 0.49%
PFG D 0.49%
EA A 0.49%
WM A 0.49%
PAYX C 0.49%
CTAS B 0.49%
CL D 0.49%
SRE A 0.49%
CSX B 0.48%
WELL A 0.48%
CHD B 0.48%
COST B 0.48%
DRI B 0.48%
PPL B 0.48%
AJG B 0.47%
DUK C 0.47%
PEG A 0.47%
OMC C 0.47%
BRO B 0.47%
SPGI C 0.47%
AVY D 0.46%
BR A 0.46%
AFL B 0.46%
WEC A 0.45%
AVB B 0.45%
SO D 0.45%
PEP F 0.45%
LNT A 0.45%
LH C 0.45%
EVRG A 0.44%
STZ D 0.44%
ECL D 0.44%
DGX A 0.44%
LMT D 0.44%
PPG F 0.43%
KDP D 0.42%
ED D 0.42%
KMB D 0.42%
APD A 0.42%
SYY B 0.41%
HOLX D 0.41%
CBOE B 0.4%
NEM D 0.39%
GIS D 0.39%
LYB F 0.37%
DOW F 0.35%
TFC A 0.34%
CPRT A 0.34%
SPG B 0.34%
CCI D 0.33%
REGN F 0.33%
ELV F 0.32%
SBAC D 0.31%
LHX C 0.31%
HPQ B 0.3%
CHTR C 0.29%
CAH B 0.26%
F C 0.26%
TTWO A 0.24%
TRGP B 0.23%
MTD D 0.23%
XYL D 0.23%
RMD C 0.22%
LYV A 0.2%
STT A 0.18%
MAS D 0.17%
BIIB F 0.15%
HUBB B 0.15%
WAT B 0.15%
UAL A 0.15%
DPZ C 0.14%
VTR C 0.14%
PTC A 0.13%
TRMB B 0.13%
STX D 0.13%
EQT B 0.13%
AES F 0.12%
ES D 0.12%
CCL B 0.12%
NDSN B 0.11%
KEY B 0.11%
NTRS A 0.11%
EL F 0.1%
WYNN D 0.1%
AKAM D 0.09%
NI A 0.09%
MGM D 0.08%
BXP D 0.08%
MTCH D 0.08%
ALB C 0.08%
LKQ D 0.07%
KMX B 0.07%
LW C 0.07%
HSIC B 0.06%
NCLH B 0.06%
TECH D 0.06%
CZR F 0.05%
CTLT B 0.05%
FMC D 0.04%
PALC Underweight 29 Positions Relative to CGDV
Symbol Grade Weight
MSFT F -4.52%
CARR D -4.17%
RTX C -4.15%
META D -3.96%
AAPL C -3.91%
GE D -3.7%
UNH C -2.78%
TXN C -2.46%
COF B -2.43%
AVGO D -2.42%
URI B -2.38%
LVS C -2.31%
GEHC F -2.29%
DHI D -1.58%
GOOGL C -1.56%
GILD C -1.54%
FCNCA A -1.53%
CE F -1.43%
CRM B -1.39%
IP B -1.17%
HAS D -1.03%
BLD D -0.93%
DHR F -0.88%
CVS D -0.86%
FCX D -0.82%
AMZN C -0.75%
EOG A -0.73%
XOM B -0.68%
UBER D -0.65%
Compare ETFs