Company Description
Pacer ActiveAlpha India Quality ETF (Nasdaq: INDQ) is an exchange-traded fund issued by Pacer ETFs that provides targeted exposure to India’s equity market. The fund is part of Pacer’s Custom ETF Series and is designed around a disciplined, factor-based approach focused on Indian companies identified through quality, value, and momentum characteristics.
The ETF’s strategy centers on equity exposure to companies in India, an emerging-market economy with risks tied to foreign securities, currency exchange rates, market conditions, trading disruptions, concentration, sector exposure, valuation, and the performance of factor-based models. As an ETF, INDQ shares are bought and sold on an exchange through brokerage accounts, and fund expenses and trading costs affect shareholder returns.
INDQ extends Pacer ETFs’ global equity lineup with a country-focused strategy rather than a broad international allocation. Its defining investment framework combines quality, value, and momentum factors within a fund structure intended to deliver India equity exposure through exchange-traded shares.
Stock Performance
Pacer Activealpha India Quality ETF (INDQ) stock last traded at $26.40, up 0.40% from the previous close. Over the past 12 months, the stock has gained 5.0%.
Latest News
Pacer Activealpha India Quality ETF has 1 recent news article. View all INDQ news →
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Financial Highlights
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Short Interest History
Short interest in Pacer Activealpha India Quality ETF (INDQ) currently stands at 5.6 thousand shares, up 128.6% from the previous reporting period, representing 14.0% of the float. Over the past 12 months, short interest has increased by 128.6%. This moderate level of short interest indicates notable bearish positioning.
Days to Cover History
Days to cover for Pacer Activealpha India Quality ETF (INDQ) currently stands at 2.1 days, up 115% from the previous period. This days-to-cover ratio represents a balanced liquidity scenario for short positions. The days to cover has increased 115% over the past year, indicating either rising short interest or declining trading volume. The ratio has shown significant volatility over the period, ranging from 1.0 to 2.1 days.