PIZ - PowerShares DWA Developed 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
24.20%
PSM ProSiebenSat.1 Media SE 2.47
POM FP Plastic Omnium SA 2.35
LNR Linamar Corp 1.97
PNDORA DC Pandora A/S 1.82
DC/ LN Dixons Carphone PLC 1.46
7270 Fuji Heavy Industries Ltd 1.34
CON Continental AG 1.17
ITV LN ITV PLC 1.12
ITX Industria de Diseno Textil SA 1.06
FR FP Valeo SA 0.94
BDEV LN Barratt Developments PLC 0.93
NXT LN Next PLC 0.86
TW/ LN Taylor Wimpey PLC 0.85
HWDN LN Howden Joinery Group PLC 0.67
7532 Don Quijote Holdings Co Ltd 0.66
CDI FP Christian Dior SE 0.64
DOL Dollarama Inc 0.64
PSN LN Persimmon PLC 0.62
BKG LN Berkeley Group Holdings PLC 0.55
WTB LN Whitbread PLC 0.53
MG Magna International Inc 0.53
CPG LN Compass Group PLC 0.51
MC FP LVMH Moet Hennessy Louis Vuitton SE 0.51
Industrials
21.02%
FHZN SW Flughafen Zuerich AG 3.00
KNEBV FH Kone OYJ 2.72
BOL FP Bollore SA 2.07
KNIN VX Kuehne + Nagel International AG 1.95
GEBN VX Geberit AG 1.52
VWS DC Vestas Wind Systems A/S 1.49
SCHP VX Schindler Holding AG 1.25
SAF FP Safran SA 1.04
TRELB SS Trelleborg AB 0.94
TPK LN Travis Perkins PLC 0.82
AIO Asciano Ltd 0.64
6465 Hoshizaki Electric Co Ltd 0.61
ASSAB SS Assa Abloy AB 0.56
ZC FP Zodiac Aerospace 0.52
DCC LN DCC PLC 0.51
257 China Everbright International Ltd 0.49
CD SP ComfortDelGro Corp Ltd 0.47
6479 Minebea Co Ltd 0.43
Health Care
17.95%
RHC Ramsay Health Care Ltd 2.89
VRX Valeant Pharmaceuticals International Inc 2.63
GEN DC Genmab A/S 2.10
CSL CSL Ltd 1.96
NOVOB DC Novo Nordisk A/S 1.82
SOON VX Sonova Holding AG 1.28
EI FP Essilor International SA 1.12
ERF FP Eurofins Scientific SE 0.78
ORNBV FH Orion Oyj 0.68
6869 Sysmex Corp 0.63
FME Fresenius Medical Care AG & Co KGaA 0.62
7733 Olympus Corp 0.59
1093 CSPC Pharmaceutical Group Ltd 0.48
874 Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd 0.37
Consumer Staples
9.84%
BOK LN Booker Group PLC 2.18
ATD/B Alimentation Couche-Tard Inc 1.79
MRU Metro Inc 1.74
RB/ LN Reckitt Benckiser Group PLC 0.92
SAB LN SABMiller PLC 0.91
GLB Glanbia PLC 0.60
KYG Kerry Group PLC 0.57
2229 Calbee Inc 0.57
ABI Anheuser-Busch InBev SA/NV 0.55
Information Technology
9.43%
CSU Constellation Software Inc/Canada 2.98
WDI Wirecard AG 0.94
HEXAB SS Hexagon AB 0.87
ING FP Ingenico Group 0.81
GIB/A CGI Group Inc 0.67
UTDI United Internet AG 0.63
6770 Alps Electric Co Ltd 0.58
ASML ASML Holding NV 0.54
HLMA LN Halma PLC 0.53
6861 Keyence Corp 0.44
6981 Murata Manufacturing Co Ltd 0.44
Financials
8.53%
HAL HAL Trust 1.23
SAMAS FH Sampo Oyj 0.81
HL/ LN Hargreaves Lansdown PLC 0.76
SGX SP Singapore Exchange Ltd 0.69
LGEN LN Legal & General Group PLC 0.67
ACKB Ackermans & van Haaren NV 0.62
SREN VX Swiss Re AG 0.62
DLN LN Derwent London PLC 0.57
KBC KBC Groep NV 0.56
IGG LN IG Group Holdings PLC 0.53
PRU LN Prudential PLC 0.50
8591 ORIX Corp 0.48
DNB DNB ASA 0.48
Materials
5.45%
NZYMB DC Novozymes A/S 1.34
CRDA LN Croda International PLC 0.82
SMDS LN DS Smith PLC 0.81
MNDI LN Mondi PLC 0.72
GIVN VX Givaudan SA 0.64
EMSN SW EMS-Chemie Holding AG 0.58
LIN Linde AG 0.52
Telecommunication Services
2.12%
ILD FP Iliad SA 0.99
FNTN Freenet AG 0.57
TPM TPG Telecom Ltd 0.56
Utilities
1.47%
1193 China Resources Gas Group Ltd 0.94
2688 ENN Energy Holdings Ltd 0.53