PIE - PowerShares DWA Emerging Markets Momentum Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 04/16/2015
Sector Total  Ticker  Company  % of Fund 
Consumer Discretionary
22.40%
2333 Great Wall Motor Co Ltd 2.94
1114 Brilliance China Automotive Holdings Ltd 2.59
009240 Hanssem Co Ltd 2.28
111770 Youngone Corp 1.25
2207 Hotai Motor Co Ltd 1.04
WHL Woolworths Holdings Ltd/South Africa 0.99
TTM Tata Motors Ltd ADR 0.97
MPC Mr Price Group Ltd 0.94
9910 Feng TAY Enterprise Co Ltd 0.93
LPPF Matahari Department Store Tbk PT 0.88
NPN Naspers Ltd 0.79
008770 Hotel Shilla Co Ltd 0.75
811 Xinhua Winshare Publishing and Media Co Ltd 0.71
9921 Giant Manufacturing Co Ltd 0.70
JFC Jollibee Foods Corp 0.70
2105 Cheng Shin Rubber Industry Co Ltd 0.69
9914 Merida Industry Co Ltd 0.69
FBR Famous Brands Ltd 0.67
2313 Shenzhou International Group Holdings Ltd 0.66
SPG Super Group Ltd/South Africa 0.63
TFG Foschini Group Ltd/The 0.61
Consumer Staples
16.16%
URC Universal Robina Corp 2.55
005610 Samlip General Foods Co Ltd 2.36
GRUMAB Gruma SAB de CV 1.64
049770 Dongwon F&B Co Ltd 1.38
002790 AMOREPACIFIC Group 1.33
CPALL-R CP ALL PCL 1.10
BRFS3 BRF SA 1.01
007310 Ottogi Corp 0.92
PFG Pioneer Foods Ltd 0.82
033920 Muhak Co Ltd 0.77
SMTO3 Sao Martinho SA 0.77
AVI AVI Ltd 0.57
TUF-R Thai Union Frozen Products PCL 0.49
2912 President Chain Store Corp 0.44
Information Technology
15.49%
3658 Hermes Microvision Inc 2.54
EOH EOH Holdings Ltd 2.11
3474 Inotera Memories Inc 1.53
700 Tencent Holdings Ltd 1.21
078340 Com2uSCorp 1.06
034730 SK C&C Co Ltd 0.99
2395 Advantech Co Ltd 0.94
3888 Kingsoft Corp Ltd 0.92
3008 Largan Precision Co Ltd 0.81
992 Lenovo Group Ltd 0.75
2385 Chicony Electronics Co Ltd 0.59
ASX Advanced Semiconductor Engineering Inc ADR 0.55
039030 Eo Technics Co Ltd 0.54
5347 Vanguard International Semiconductor Corp 0.50
TSM Taiwan Semiconductor Manufacturing Co Ltd ADR 0.45
Financials
13.98%
IGTA3 Iguatemi Empresa de Shopping Centers SA 1.19
008560 Meritz Securities Co Ltd 1.16
SECB Security Bank Corp 1.07
SWB Sunway Bhd 1.02
CPI Capitec Bank Holdings Ltd 0.99
PSG PSG Group Ltd 0.99
VLL Vista Land & Lifescapes Inc 0.79
000240 Hankook Tire Worldwide Co Ltd 0.75
138040 Meritz Financial Group Inc 0.71
BBCA Bank Central Asia Tbk PT 0.71
GGAL Grupo Financiero Galicia SA ADR 0.66
HDB HDFC Bank Ltd ADR 0.65
KBANK-R Kasikornbank PCL 0.61
RLC Robinsons Land Corp 0.60
FSR FirstRand Ltd 0.53
RMH RMB Holdings Ltd 0.52
AC Ayala Corp 0.51
KSL KSL Holdings BHD 0.51
Industrials
13.60%
JGS JG Summit Holdings Inc 2.53
DMC DMCI Holdings Inc 2.16
CMS Cahya Mata Sarawak Bhd 1.12
AEV Aboitiz Equity Ventures Inc 0.97
010780 IS Dongseo Co Ltd 0.96
ICT International Container Terminal Services Inc 0.95
001040 CJ Corp 0.80
1507 Yungtay Engineering Co Ltd 0.77
GUNKUL-R Gunkul Engineering PCL 0.67
AGI Alliance Global Group Inc 0.59
WIKA Wijaya Karya Persero Tbk PT 0.57
051600 KEPCO Plant Service & Engineering Co Ltd 0.52
TAVHL TAV Havalimanlari Holding AS 0.50
ASURB Grupo Aeroportuario del Sureste SAB de CV 0.50
Health Care
7.67%
KLBF Kalbe Farma Tbk PT 1.89
086900 Medy-Tox Inc 1.43
BH-R Bumrungrad Hospital PCL 0.90
MDC Mediclinic International Ltd 0.82
APN Aspen Pharmacare Holdings Ltd 0.79
RDY Dr Reddy's Laboratories Ltd ADR 0.69
NTC Netcare Ltd 0.58
KRI Kossan Rubber Industries 0.57
Materials
3.65%
SUPER-R Superblock PCL 2.48
003300 Hanil Cement Co Ltd 0.61
006840 AK Holdings Inc 0.56
Utilities
3.04%
EQTL3 Equatorial Energia SA 1.29
1071 Huadian Power International Corp Ltd 0.94
AP Aboitiz Power Corp 0.81
Energy
2.80%
SCC Semirara Mining and Power Corp 2.21
BCP-R Bangchak Petroleum PCL/The 0.59
Telecommunication Services
1.21%
THCOM-R Thaicom PCL 0.73
INTUCH-R Intouch Holdings PCL 0.48