205887CL4 Conagra Brands Inc 5.75% 08/01/2035

Held by MILK ยท Pacer US Cash Cows Bond ETF

Shares
158,000
Price
$101.66
Market Value
$160.6K
Weight
1.02%
Last trade: NEW + 158,000 shares on 2026-03-06

Shares Over Time

Shares held Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000 Shares held: 158,000

Price Over Time

Share price Share price: 102.463 Share price: 102.161 Share price: 101.939 Share price: 101.345 Share price: 100.718 Share price: 99.991 Share price: 100.411 Share price: 100.816 Share price: 100.321 Share price: 99.439 Share price: 99.891 Share price: 99.76 Share price: 100.309 Share price: 99.03 Share price: 99.629 Share price: 100.254 Share price: 100.415 Share price: 100.778 Share price: 100.812 Share price: 100.806 Share price: 101.523 Share price: 101.421 Share price: 101.432 Share price: 101.735 Share price: 101.323 Share price: 101.664

Weight Over Time

Portfolio weight % Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.02 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.03 Portfolio weight %: 1.02 Portfolio weight %: 1.03 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02 Portfolio weight %: 1.02

Trade History

NEW 2026-03-06
+ 158,000
+100.0%