PIE - PowerShares DWA Emerging Markets Momentum Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 08/25/2015
Sector Total  Ticker  Company  % of Fund 
Consumer Discretionary
19.70%
009240 KS Hanssem Co Ltd 3.43
2313 Shenzhou International Group Holdings Ltd 3.39
NPN Naspers Ltd 1.35
111770 KS Youngone Corp 1.23
2333 Great Wall Motor Co Ltd 1.16
FBR Famous Brands Ltd 1.16
008770 KS Hotel Shilla Co Ltd 0.98
2105 Cheng Shin Rubber Industry Co Ltd 0.86
079160 KS CJ CGV Co Ltd 0.82
2207 Hotai Motor Co Ltd 0.78
2020 ANTA Sports Products Ltd 0.74
811 Xinhua Winshare Publishing and Media Co Ltd 0.64
SHF Steinhoff International Holdings Ltd 0.61
VESBE TI Vestel Beyaz Esya Sanayi ve Ticaret AS 0.56
FROTO TI Ford Otomotiv Sanayi AS 0.55
028150 KS GS Home Shopping Inc 0.54
3818 China Dongxiang Group Co Ltd 0.52
2006 Shanghai Jin Jiang International Hotels Group Co Ltd 0.37
Industrials
18.50%
JGS JG Summit Holdings Inc 2.66
1882 Haitian International Holdings Ltd 1.68
CMS Cahya Mata Sarawak Bhd 1.52
AEV Aboitiz Equity Ventures Inc 1.35
HAP HAP Seng Consolidated Bhd 1.18
001040 KS CJ Corp 1.09
010780 KS IS Dongseo Co Ltd 1.09
034730 KS SK Holdings Co Ltd 1.09
ICT International Container Terminal Services Inc 0.81
SM SM Investments Corp 0.71
OMAB Grupo Aeroportuario del Centro Norte Sab de CV 0.65
GAPB Grupo Aeroportuario del Pacifico SAB de CV 0.65
051600 KS KEPCO Plant Service & Engineering Co Ltd 0.65
ASURB Grupo Aeroportuario del Sureste SAB de CV 0.61
656 Fosun International Ltd 0.53
9933 CTCI Corp 0.51
598 Sinotrans Ltd 0.50
YZJSGD SP Yangzijiang Shipbuilding Holdings Ltd 0.43
1308 SITC International Holdings Co Ltd 0.40
1055 China Southern Airlines Co Ltd 0.37
Consumer Staples
17.04%
CPALL-R TB CP ALL PCL 2.78
1227 Standard Foods Corp 2.20
049770 KS Dongwon F&B Co Ltd 2.17
002790 KS AMOREPACIFIC Group 1.92
033920 KS Muhak Co Ltd 1.78
007310 KS Ottogi Corp 1.15
026960 KS Dongsuh Cos Inc 0.98
PFG Pioneer Foods Ltd 0.92
CLS Clicks Group Ltd 0.77
AVI AVI Ltd 0.72
161890 KS Korea Kolmar Co Ltd 0.63
THBEV SP Thai Beverage PCL 0.56
005300 KS Lotte Chilsung Beverage Co Ltd 0.46
Financials
16.27%
SWB Sunway Bhd 2.08
PSG PSG Group Ltd 1.52
138040 KS Meritz Financial Group Inc 1.28
008560 KS Meritz Securities Co Ltd 1.24
BAT Brait SE 1.00
SECB Security Bank Corp 0.77
RLC Robinsons Land Corp 0.74
DSY Discovery Ltd 0.69
TISCO-R TB Tisco Financial Group PCL 0.65
RMH RMB Holdings Ltd 0.62
FSR FirstRand Ltd 0.60
ALI Ayala Land Inc 0.59
HYP Hyprop Investments Ltd 0.57
MBT Metropolitan Bank & Trust Co 0.54
BBCA IJ Bank Central Asia Tbk PT 0.53
AC Ayala Corp 0.52
TCAP-R TB Thanachart Capital PCL 0.50
BPI Bank of the Philippine Islands 0.50
2823 China Life Insurance Co Ltd/Taiwan 0.49
2881 Fubon Financial Holding Co Ltd 0.47
5871 Chailease Holding Co Ltd 0.39
Information Technology
9.70%
EOH EOH Holdings Ltd 2.47
700 Tencent Holdings Ltd 2.38
3008 Largan Precision Co Ltd 0.92
3888 Kingsoft Corp Ltd 0.88
DELTA-R TB Delta Electronics Thailand PCL 0.63
CIEL3 Cielo SA 0.52
4938 Pegatron Corp 0.50
2330 Taiwan Semiconductor Manufacturing Co Ltd 0.49
3393 Wasion Group Holdings Ltd 0.47
030530 KS Wonik IPS Co Ltd 0.43
Health Care
8.43%
086900 KS Medy-Tox Inc 2.81
KLBF IJ Kalbe Farma Tbk PT 1.55
BH-R TB Bumrungrad Hospital PCL 1.25
KRI Kossan Rubber Industries 0.83
RDY Dr Reddy's Laboratories Ltd ADR 0.75
128940 KS Hanmi Pharm Co Ltd 0.74
005250 KS Green Cross Holdings Corp 0.51
Utilities
3.33%
AP Aboitiz Power Corp 1.80
1071 Huadian Power International Corp Ltd 0.96
EQTL3 Equatorial Energia SA 0.57
Energy
2.55%
SCC Semirara Mining and Power Corp 1.78
BCP-R TB Bangchak Petroleum PCL/The 0.77
Telecommunication Services
2.48%
INTUCH-R T Intouch Holdings PCL 1.26
GLO Globe Telecom Inc 0.64
ADVANC-R T Advanced Info Service PCL 0.58
Materials
2.01%
003300 KS Hanil Cement Co Ltd 0.59
SCC-R TB Siam Cement PCL/The 0.53
000670 KS Young Poong Corp 0.51
NIKL Nickel Asia Corp 0.38