68622FAB7 Organon & Co / Organon Foreign Debt Co-Issuer BV 7.875% 05/15/2034

Held by MILK ยท Pacer US Cash Cows Bond ETF

Shares
171,000
Price
$99.05
Market Value
$169.4K
Weight
1.07%
Last trade: NEW + 171,000 shares on 2026-03-06

Shares Over Time

Shares held Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000 Shares held: 171,000

Price Over Time

Share price Share price: 91.346 Share price: 90.436 Share price: 89.077 Share price: 88.69 Share price: 86.928 Share price: 85.752 Share price: 86.084 Share price: 85.959 Share price: 86.043 Share price: 84.939 Share price: 85.787 Share price: 85.405 Share price: 85.412 Share price: 81.876 Share price: 81.569 Share price: 82.33 Share price: 82.192 Share price: 82.149 Share price: 83.499 Share price: 84.223 Share price: 85.824 Share price: 96.567 Share price: 97.388 Share price: 97.521 Share price: 97.685 Share price: 99.052

Weight Over Time

Portfolio weight % Portfolio weight %: 0.99 Portfolio weight %: 0.98 Portfolio weight %: 0.97 Portfolio weight %: 0.97 Portfolio weight %: 0.96 Portfolio weight %: 0.95 Portfolio weight %: 0.95 Portfolio weight %: 0.95 Portfolio weight %: 0.95 Portfolio weight %: 0.94 Portfolio weight %: 0.95 Portfolio weight %: 0.95 Portfolio weight %: 0.95 Portfolio weight %: 0.92 Portfolio weight %: 0.91 Portfolio weight %: 0.91 Portfolio weight %: 0.91 Portfolio weight %: 0.91 Portfolio weight %: 0.92 Portfolio weight %: 0.93 Portfolio weight %: 0.94 Portfolio weight %: 1.06 Portfolio weight %: 1.06 Portfolio weight %: 1.06 Portfolio weight %: 1.06 Portfolio weight %: 1.07

Trade History

NEW 2026-03-06
+ 171,000
+100.0%