PWC - PowerShares Dynamic Market Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 02/05/2016
Sector Total  Ticker  Company  % of Fund 
Information Technology
20.00%
FISV Fiserv Inc 3.38
HPE Hewlett Packard Enterprise Co 3.15
ATVI Activision Blizzard Inc 2.80
JNPR Juniper Networks Inc 2.59
TSS Total System Services Inc 2.37
SYKE Sykes Enterprises Inc 0.61
TECD Tech Data Corp 0.60
SNX SYNNEX Corp 0.58
SANM Sanmina Corp 0.55
JBL Jabil Circuit Inc 0.52
FDC First Data Corp 0.52
GPN Global Payments Inc 0.51
LXFT Luxoft Holding Inc 0.50
AZPN Aspen Technology Inc 0.47
MANH Manhattan Associates Inc 0.43
ELNK EarthLink Holdings Corp 0.41
Financials
15.31%
CINF Cincinnati Financial Corp 2.02
TRV Travelers Cos Inc/The 1.88
ACGL Arch Capital Group Ltd 1.83
AFL Aflac Inc 1.81
JPM JPMorgan Chase & Co 1.74
PRU Prudential Financial Inc 1.54
RE Everest Re Group Ltd 0.42
SIGI Selective Insurance Group Inc 0.42
ORI Old Republic International Corp 0.40
UFCS United Fire Group Inc 0.40
AGO Assured Guaranty Ltd 0.39
AGII Argo Group International Holdings Ltd 0.37
EIG Employers Holdings Inc 0.36
HRTG Heritage Insurance Holdings Inc 0.36
AHL Aspen Insurance Holdings Ltd 0.36
UVE Universal Insurance Holdings Inc 0.36
NWLI National Western Life Group Inc 0.35
MTG MGIC Investment Corp 0.30
Consumer Discretionary
14.56%
ORLY O'Reilly Automotive Inc 2.64
LB L Brands Inc 2.58
SBUX Starbucks Corp 2.57
HD Home Depot Inc/The 2.53
DENN Denny's Corp 0.48
BFAM Bright Horizons Family Solutions Inc 0.47
NVR NVR Inc 0.47
VC Visteon Corp 0.45
CPS Cooper-Standard Holding Inc 0.44
GCI Gannett Co Inc 0.44
CTB Cooper Tire & Rubber Co 0.40
GT Goodyear Tire & Rubber Co/The 0.39
BYD Boyd Gaming Corp 0.39
ISLE Isle of Capri Casinos Inc 0.31
Health Care
13.02%
ABC AmerisourceBergen Corp 2.45
HOLX Hologic Inc 2.38
Q Quintiles Transnational Holdings Inc 2.38
GILD Gilead Sciences Inc 2.26
LPNT LifePoint Health Inc 0.42
ATRI Atrion Corp 0.41
PBH Prestige Brands Holdings Inc 0.40
CHE Chemed Corp 0.38
MOH Molina Healthcare Inc 0.38
AMSG Amsurg Corp 0.34
INCR INC Research Holdings Inc 0.34
LHCG LHC Group Inc 0.32
BKD Brookdale Senior Living Inc 0.31
CBM Cambrex Corp 0.26
Industrials
10.40%
AAL American Airlines Group Inc 2.57
UAL United Continental Holdings Inc 2.41
ALK Alaska Air Group Inc 2.36
AGCO AGCO Corp 0.44
AAWW Atlas Air Worldwide Holdings Inc 0.41
WNC Wabash National Corp 0.41
RPXC RPX Corp 0.39
VA Virgin America Inc 0.38
JBLU JetBlue Airways Corp 0.37
MRC MRC Global Inc 0.34
BGC General Cable Corp 0.33
Consumer Staples
10.09%
KR Kroger Co/The 3.80
MDLZ Mondelez International Inc 3.26
CPB Campbell Soup Co 0.58
DF Dean Foods Co 0.56
UVV Universal Corp/VA 0.53
FDP Fresh Del Monte Produce Inc 0.49
CALM Cal-Maine Foods Inc 0.46
HLF Herbalife Ltd 0.43
Energy
7.41%
CAM Cameron International Corp 2.98
VLO Valero Energy Corp 2.52
NTI Northern Tier Energy LP 0.62
RIG Transocean Ltd 0.50
ALDW Alon USA Partners LP 0.48
DNR Denbury Resources Inc 0.30
Utilities
3.50%
PPL PPL Corp 2.49
LG Laclede Group Inc/The 0.54
TLN Talen Energy Corp 0.46
Materials
3.16%
LYB LyondellBasell Industries NV 2.22
TSE Trinseo SA 0.34
IOSP Innospec Inc 0.31
USCR US Concrete Inc 0.29
Telecommunication Services
2.55%
VZ Verizon Communications Inc 1.01
TMUS T-Mobile US Inc 0.87
ATNI Atlantic Tele-Network Inc 0.24
GNCMA General Communication Inc 0.22
TDS Telephone & Data Systems Inc 0.21