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SCOW
US Multi-Factor
Passive

Pacer S&P SmallCap 600 Quality FCF Aristocrats ETF

This ETF provides exposure to Other Small Cap US Equities

SCOW performance and flow charts

Last price
N/A
N/A

Performance

0246810%Mar 27Apr 6Apr 13Apr 20Apr 27

Flows

0100,000200,000300,000400,000500,000
1 day price range
N/A
52 week price range
$18.69
$20.79
1W perf
+0.40%
YTD perf
+4.94%
YTD flows
+$507K
AuM
$2M
E/R
0.59%
TTM yield
-
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Historic performance and flows

Data as of April 27, 2026
1M3MYTD1Y3Y5Y
Perf.+9.49%+2.01%+4.94%
Flows-$5K+$507K+$507K---
Data as of April 27, 2026
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Daily, global ETF data for advanced analysis or integration into apps (API), from our partner Trackinsight.

Characteristics

The Pacer S&P SmallCap 600 Quality FCF Aristocrats ETF is built to track the S&P SmallCap 600 Quality FCF Aristocrats NTR Index - USD. This ETF provides physical exposure - by owning its shares you earn the return of the securities composing the index (as the ETF holds them directly). This share class generates a stream of income by distributing dividends.

Management strategyPassive
StrategyLong Only
ProviderPACER ETFs
N° of holdings72
Replication methodDirect (Physical)
Asset classEquity
Dividend policyDistributing
Inception dateAugust 27, 2025
ESGNo
TrackinsightTrackinsight

More data and info about SCOW on Trackinsight

Exposure

Data as of March 31, 2026

Diversification

49.78%

Total weight of top 15 holdings out of 72

Top 15 Holdings

JACKSON FINANCIAL INC
6.26%
MAGNOLIA OIL AND GAS CORP
5.23%
MARKETAXESS
5.21%
ENOVA INTERNATIONAL
3.85%
ETSY INC
3.73%
ALLIANCE DATA SYSTEMS
3.2%
ENPHASE ENERGY
3.16%
BOX INC
2.87%
NMI HOLDINGS/D
2.69%
CORCEPT THERAPEUTICS
2.64%
US2189371006
2.38%
US00676P1075
2.29%
QORVO INC.
2.22%
ZURN WATER SOLUTIONS CORP
2.07%
BADGER METER
1.98%

Sectors

Information Technology
24.92%
Financials
20.53%
Consumer Discretionary
16.14%
Health Care
9.56%
Industrials
9.44%
Energy
7.62%
Other
11.79%

Countries

USA
96.68%
Other
3.32%
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Trading data

Last sale
N/A
Previous close
N/A
Consolidated volume
04/27/2026
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Average volume
30 days
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Average discount or premium
30 days
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Average Bid/Ask spread
30 days
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Volatility and drawdown

3M1Y3Y5Y
Volatility+17.66%
Max drawdown
-8.51%
Max drawdown duration
66dN/AN/AN/A
Time to recover
19dN/AN/AN/A

Replication quality

Data as of March 31, 2026
1-year trailing difference

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Tracking error
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Tracking difference
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1 year cumulative return difference
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daily return difference
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Frequently asked questions about SCOW

What type of ETF is SCOW?

SCOW is a Passive ETF that provides exposure to Equity assets. It is managed by PACER ETFs.

What index does SCOW track?

SCOW tracks the S&P SmallCap 600 Quality FCF Aristocrats NTR Index - USD, aiming to replicate its performance through full replication.

What does SCOW invest in?

This ETF provides exposure to Other Small Cap US Equities. It is part of the segment: US Multi-Factor.

What is the expense ratio of SCOW?

The total expense ratio (TER) of SCOW is 0.59%, representing the annual fee charged by the fund manager.

When was SCOW launched?

SCOW was launched on August 27, 2025, marking its entry into the ETF market.

Who is the issuer of SCOW?

SCOW is issued by PACER ETFs.

What is the AUM of SCOW?

As of April 27, 2026, SCOW manages $1.54 M, reflecting the total assets held in the fund.

How has SCOW performed recently?

As of April 27, 2026, SCOW delivered a return of 9.49% over the past month (1M performance), 2.01% over the past three months (3M), and 4.94% year-to-date (YTD).

What are the recent fund flows for SCOW?

As of April 27, 2026, SCOW has seen net flows of -$5K in the past month (1M flow) and +$507K year-to-date (YTD).

How many holdings are in SCOW

As of March 31, 2026, SCOW holds 72 securities in its portfolio. This level of diversification can influence the fund’s risk profile and exposure to individual assets.

How diversified is SCOW?

As of March 31, 2026, SCOW holds 72 securities, with 49.78% of its assets concentrated in its top 15 holdings.

What are the top holdings of SCOW?

As of March 31, 2026, SCOW holds a portfolio of 72 underlyings, with its largest positions including JACKSON FINANCIAL INC, MAGNOLIA OIL AND GAS CORP and MARKETAXESS. These top holdings play a significant role in shaping the fund’s performance and exposure.

What countries or regions does SCOW invest in?

As of March 31, 2026, SCOW has its largest geographic exposures in USA.

What sectors or themes does SCOW focus on?

As of March 31, 2026, SCOW is primarily exposed to Information Technology, Financials and Consumer Discretionary.

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