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Saturday, October 3, 2026The Morning Brief →Sign in
ODDSPacerACTIVE

Pacer BlueStar Digital Entertainment ETF

$23.35+0.19% vs prior close
233452-WK

Price through Oct 2 · Flows through unavailable. Figures use the latest available records, not a live quote. Fund details retrieved Oct 3. Holdings snapshot retrieved Oct 3.

The fund employs a “passive management” investment approach designed to track the total return performance of the index. The index is a rules-based index that consists of globally-listed stocks and depositary receipts of digital entertainment companies. Under normal circumstances, at least 80% of the fund’s net assets (plus any borrowings for investment purposes) will be invested in companies that derive at least 50% of their revenues from Digital Entertainment. The fund is non-diversified.

Price & daily flows
25.624.723.823.35DAILY NET FLOWApr 1Jun 2Aug 3Oct 2

SOURCE: MARKET TAPE & DAILY CREATION/REDEMPTION RECORDS · 6M SHOWN

The desk’s read

Recent fund-flow records are unavailable, while the price has returned -19.9% so far this year. At 0.60% a year it is not the cheapest way in — TMDV has a reported fee of 0.35%.

COMPOSED FROM THE FUND’S OWN DAILY RECORDS · UPDATED WITH EACH REFRESH

$921.00Tassets under management
0.60%expense ratio · $60 per $10,000 a year
—net flow, trailing month
228avg daily volume, 30 days
52holdings
2022listed April 8, 2022 · beta 0.90
Sector weights
Consumer Cyclical52.72%
Consumer Discretionary51.9%
Technology Services41.3%
Consumer Services37.78%
Communication Services36.6%
Other24.08%
Hotels, Restaurants & Leisure11.26%
Information Technology11.05%
Technology10.68%
Electronic Technology8.59%
PORTFOLIO COMPOSITION, LATEST DISCLOSURE
Country weights
United States27.79%
China12.54%
United Kingdom12.27%
Japan11.16%
Sweden10.28%
Other5.77%
France4.93%
Australia4.15%
PORTFOLIO COMPOSITION, LATEST DISCLOSURE
Performance
1 week-3.6%
1 month-9.2%
3 months-5.4%
6 months-1.6%
YTD-19.9%
1 year-30.5%
3 years—

PRICE RETURN, DISTRIBUTIONS NOT REINVESTED

Net flows
1 week—
1 month—
3 months—
YTD—
1 year—

CREATION/REDEMPTION DOLLARS, DAILY RECORDS

The risk read
19%realized volatility, 30 days (annualized)
22%realized volatility, 1 year
-32.5%deepest fall from a peak, 1 year
-30.5%latest close versus that peak

VOLATILITY & DRAWDOWN FROM THE DAILY TAPE · CONCENTRATION FROM THE LATEST DISCLOSED BOOK

Options tape
—calls · latest snapshot
—puts · latest snapshot
—put/call ratio
170shares traded
The case against ODDS

Due diligence cuts both ways. These funds sit on the same shelf and beat ODDS on at least one dimension that matters — the fee, the asset base, or where the money is going.

FundFeeAssetsFlow, 1MThe case
SPDW State Street SPDR Portfolio Developed World ex-US ETF0.03%$41.5B+$286M-57bp on fee · +$286M in over the monthHead-to-head
SPMD State Street SPDR Portfolio S&P 400 Mid Cap ETF0.03%$18.2B+$199M-57bp on fee · +$199M in over the monthHead-to-head
IDEV iShares Core MSCI International Developed Markets ETF0.04%$32.9B+$497M-56bp on fee · +$497M in over the monthHead-to-head
IGSB iShares 1-5 Year Investment Grade Corporate Bond ETF0.04%$23.7B+$575M-56bp on fee · +$575M in over the monthHead-to-head
IGIB iShares 5-10 Year Investment Grade Corporate Bond ETF0.04%$18.6B+$412M-56bp on fee · +$412M in over the monthHead-to-head
Sign in to save this to The RecordA timestamped copy for the file — documentation, not advice.
InstrumentsHarvest substitutesTrade cost at $1MClient tearsheetStress this fund
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