PIZ - PowerShares DWA Developed Markets Momentum Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 07/22/2016
Sector Total  Ticker  Company  % of Fund 
Industrials
31.18%
KNEBV FH Kone OYJ 3.18
EXPN LN Experian PLC 2.79
JM SP Jardine Matheson Holdings Ltd 2.64
FHZN SW Flughafen Zuerich AG 2.42
WRT1V FH Wartsila OYJ Abp 2.41
AIA Auckland International Airport Ltd 2.33
JS SP Jardine Strategic Holdings Ltd 1.85
AHT LN Ashtead Group PLC 1.70
KNIN VX Kuehne + Nagel International AG 1.47
HWDN LN Howden Joinery Group PLC 1.47
VWS DC Vestas Wind Systems A/S 1.09
GEBN VX Geberit AG 1.05
CNR Canadian National Railway Co 1.04
SGSN VX SGS SA 1.00
SCHP VX Schindler Holding AG 0.92
SPX LN Spirax-Sarco Engineering PLC 0.89
BNZL LN Bunzl PLC 0.77
6465 Hoshizaki Corp 0.65
RR/ LN Rolls-Royce Holdings PLC 0.58
NCCB SS NCC AB 0.56
TPK LN Travis Perkins PLC 0.38
Health Care
13.16%
RHC Ramsay Health Care Ltd 3.31
GEN DC Genmab A/S 2.20
NOVOB DC Novo Nordisk A/S 1.49
ORNBV FH Orion Oyj 1.41
CSL CSL Ltd 1.36
2413 M3 Inc 0.91
EI FP Essilor International SA 0.75
ERF FP Eurofins Scientific SE 0.63
COLOB DC Coloplast A/S 0.55
6869 Sysmex Corp 0.54
Consumer Staples
13.10%
BATS LN British American Tobacco PLC 1.90
002790 KS AMOREPACIFIC Group 1.59
BOK LN Booker Group PLC 1.50
LISN SW Chocoladefabriken Lindt & Spruengli AG 1.17
RB/ LN Reckitt Benckiser Group PLC 1.12
ATD/B Alimentation Couche-Tard Inc 0.97
SAP Saputo Inc 0.86
VIS Viscofan SA 0.82
RI FP Pernod Ricard SA 0.61
HEN Henkel AG & Co KGaA 0.56
3391 Tsuruha Holdings Inc 0.52
ABI Anheuser-Busch InBev SA/NV 0.52
KYG Kerry Group PLC 0.51
7956 Pigeon Corp 0.45
1417815D L Booker Group PLC 0.03
Consumer Discretionary
9.41%
PSM ProSiebenSat.1 Media SE 2.05
PNDORA DC Pandora A/S 1.36
ADS adidas AG 0.78
ITX Industria de Diseno Textil SA 0.63
FR FP Valeo SA 0.61
CON Continental AG 0.61
DOL Dollarama Inc 0.58
CPG LN Compass Group PLC 0.53
7453 Ryohin Keikaku Co Ltd 0.52
AC FP Accor SA 0.50
SMWH LN WH Smith PLC 0.44
TW/ LN Taylor Wimpey PLC 0.42
PSN LN Persimmon PLC 0.37
Information Technology
8.50%
CSU Constellation Software Inc/Canada 1.98
ARM LN ARM Holdings PLC 1.12
RMV LN Rightmove PLC 0.97
HLMA LN Halma PLC 0.92
HEXAB SS Hexagon AB 0.64
MCRO LN Micro Focus International PLC 0.62
OTC Open Text Corp 0.61
NICE Nice Ltd 0.59
GIB/A CGI Group Inc 0.54
6724 Seiko Epson Corp 0.53
Materials
8.20%
HPOLB SS Hexpol AB 2.28
CRDA LN Croda International PLC 1.09
NZYMB DC Novozymes A/S 0.74
CCL/B CCL Industries Inc 0.63
GIVN VX Givaudan SA 0.62
EMSN SW EMS-Chemie Holding AG 0.61
AMC Amcor Ltd/Australia 0.56
HUH1V FH Huhtamaki OYJ 0.56
SMDS LN DS Smith PLC 0.56
RPC LN RPC Group PLC 0.55
Financials
5.91%
REI-U RioCan Real Estate Investment Trust 1.01
UL Unibail-Rodamco SE 0.90
SREN VX Swiss Re AG 0.64
CAR-U Canadian Apartment Properties REIT 0.63
8985 Japan Hotel REIT Investment Corp 0.62
CGF Challenger Ltd/Australia 0.61
BNS Bank of Nova Scotia/The 0.54
PGHN SW Partners Group Holding AG 0.54
LGEN LN Legal & General Group PLC 0.43
Utilities
5.16%
REE Red Electrica Corp SA 1.31
RUI FP Rubis SCA 0.79
PNN LN Pennon Group PLC 0.78
FTS Fortis Inc/Canada 0.68
CU Canadian Utilities Ltd 0.56
SRG Snam SpA 0.53
UU/ LN United Utilities Group PLC 0.51
Telecommunication Services
3.41%
VOC Vocus Communications Ltd 1.53
ELISA FH Elisa OYJ 0.77
TPM TPG Telecom Ltd 0.57
FNTN Freenet AG 0.55
Energy
1.97%
PPL Pembina Pipeline Corp 1.29
KEY Keyera Corp 0.68