to the INVESTMENT ADVISORY AGREEMENTInvestment Advisory Agreement • July 5th, 2024 • Pacer Funds Trust
Contract Type FiledJuly 5th, 2024 CompanyThe Trust will pay to the Adviser as compensation for the Adviser’s services rendered, a fee, computed daily at an annual rate based on the average daily net assets of the respective Fund in accordance with the following fee schedule:
to the INVESTMENT ADVISORY AGREEMENTInvestment Advisory Agreement • March 20th, 2024 • Pacer Funds Trust
Contract Type FiledMarch 20th, 2024 CompanyThe Trust will pay to the Adviser as compensation for the Adviser’s services rendered, a fee, computed daily at an annual rate based on the average daily net assets of the respective Fund in accordance with the following fee schedule:
to the INVESTMENT ADVISORY AGREEMENTInvestment Advisory Agreement • February 26th, 2024 • Pacer Funds Trust
Contract Type FiledFebruary 26th, 2024 CompanyThe Trust will pay to the Adviser as compensation for the Adviser’s services rendered, a fee, computed daily at an annual rate based on the average daily net assets of the respective Fund in accordance with the following fee schedule: