PACER INTERNATIONAL EXPORT LEADERS ETF
Symbol: PIEL
Exchange: BATS
Sector: Technology
Category: Foreign Large Blend
Inception date: 22/12/2025
Latest date: 03/06/2026
Current price: $28.84
Expense ratio: 0.60%
Period performance
Adjusted cumulative ETF performance, normalized to the first available adjusted price in the selected period.
Performance metrics
Period total return
10.57%
Ann. 269.75% (Sharpe / Sortino numerator)
Volatility
26.60%
Sharpe ratio
10.004
VaR 95%
-1.81%
The performance chart and period total return use a rolling window to the latest adjusted close. For 1M/3M/6M/... periods, default behavior is Yahoo-style rolling (first session on or after "latest date minus N calendar months" through the latest quote). If the calendar is already in a new month, the last quote is near month-end, and there is no current-month data yet, the window switches to N full calendar months ending in that quote month. Sharpe, Sortino, VaR and related metrics still come from the latest batch row. Sharpe/Sortino use annualized excess return versus the US risk-free rate, so a positive chart can still show a negative ratio if annualized return is below cash.
Period total return
10.35%
Ann. 31.93% (Sharpe / Sortino numerator)
Volatility
28.20%
Sharpe ratio
1.004
VaR 95%
-2.47%
The performance chart and period total return use a rolling window to the latest adjusted close. For 1M/3M/6M/... periods, default behavior is Yahoo-style rolling (first session on or after "latest date minus N calendar months" through the latest quote). If the calendar is already in a new month, the last quote is near month-end, and there is no current-month data yet, the window switches to N full calendar months ending in that quote month. Sharpe, Sortino, VaR and related metrics still come from the latest batch row. Sharpe/Sortino use annualized excess return versus the US risk-free rate, so a positive chart can still show a negative ratio if annualized return is below cash.
Period total return
13.27%
Ann. 37.95% (Sharpe / Sortino numerator)
Volatility
24.13%
Sharpe ratio
1.422
VaR 95%
-2.28%
The performance chart and period total return use a rolling window to the latest adjusted close. For 1M/3M/6M/... periods, default behavior is Yahoo-style rolling (first session on or after "latest date minus N calendar months" through the latest quote). If the calendar is already in a new month, the last quote is near month-end, and there is no current-month data yet, the window switches to N full calendar months ending in that quote month. Sharpe, Sortino, VaR and related metrics still come from the latest batch row. Sharpe/Sortino use annualized excess return versus the US risk-free rate, so a positive chart can still show a negative ratio if annualized return is below cash.
Daily returns for period 1M
Daily simple returns from the same adjusted closes used by the performance chart: 04/05/2026 - 03/06/2026.
Average daily return
0.491%
Best day
3.279%
Worst day
-2.641%
Days with data
21
Recent price history (last 90 days)
| Date | Open | High | Low | Close | Volume |
|---|---|---|---|---|---|
| 03/06/2026 | $28.84 | $28.84 | $28.84 | $28.84 | 0 |
| 02/06/2026 | $29.12 | $29.12 | $29.12 | $29.12 | 0 |
| 01/06/2026 | $29.11 | $29.11 | $29.11 | $29.11 | 100 |
| 29/05/2026 | $29.02 | $29.02 | $29.02 | $29.02 | 100 |
| 28/05/2026 | $29.04 | $29.04 | $29.04 | $29.04 | 100 |
| 27/05/2026 | $28.63 | $28.63 | $28.63 | $28.63 | 100 |
| 26/05/2026 | $28.55 | $28.55 | $28.55 | $28.55 | 100 |
| 22/05/2026 | $27.76 | $27.76 | $27.76 | $27.76 | 0 |
| 21/05/2026 | $27.86 | $27.86 | $27.86 | $27.86 | 0 |
| 20/05/2026 | $27.50 | $27.50 | $27.50 | $27.50 | 0 |