PWC - PowerShares Dynamic Market Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 05/25/2017
Sector Total  Ticker  Company  % of Fund 
Information Technology
24.52%
NVDA NVIDIA Corp 4.12
LRCX Lam Research Corp 3.92
MU Micron Technology Inc 3.76
AMAT Applied Materials Inc 3.73
AMD Advanced Micro Devices Inc 2.30
BRKS Brooks Automation Inc 0.74
AEIS Advanced Energy Industries Inc 0.73
CCMP Cabot Microelectronics Corp 0.64
TECD Tech Data Corp 0.63
AZPN Aspen Technology Inc 0.61
FLEX Flex Ltd 0.60
SLAB Silicon Laboratories Inc 0.59
TTMI TTM Technologies Inc 0.58
SANM Sanmina Corp 0.54
PLXS Plexus Corp 0.52
SAIC Science Applications International Corp 0.51
Financials
15.02%
CNA CNA Financial Corp 1.91
ALL Allstate Corp/The 1.91
PFG Principal Financial Group Inc 1.78
PRU Prudential Financial Inc 1.71
JPM JPMorgan Chase & Co 1.67
MS Morgan Stanley 1.63
FGL Fidelity & Guaranty Life 0.44
ESNT Essent Group Ltd 0.40
OPB Opus Bank 0.39
TSC TriState Capital Holdings Inc 0.39
CFR Cullen/Frost Bankers Inc 0.38
HBHC Hancock Holding Co 0.38
CASH Meta Financial Group Inc 0.37
BANF BancFirst Corp 0.37
NWLI National Western Life Group Inc 0.36
LTXB LegacyTexas Financial Group Inc 0.31
SYBT Stock Yards Bancorp Inc 0.31
AMBC Ambac Financial Group Inc 0.29
Health Care
13.52%
MTD Mettler-Toledo International Inc 2.70
IDXX IDEXX Laboratories Inc 2.59
MCK McKesson Corp 2.41
BIIB Biogen Inc 1.97
MDXG MiMedx Group Inc 0.60
WCG WellCare Health Plans Inc 0.43
QDEL Quidel Corp 0.40
CSII Cardiovascular Systems Inc 0.38
MASI Masimo Corp 0.35
CLVS Clovis Oncology Inc 0.33
XNCR Xencor Inc 0.33
HYH Halyard Health Inc 0.30
RARE Ultragenyx Pharmaceutical Inc 0.26
MEDP Medpace Holdings Inc 0.26
FPRX Five Prime Therapeutics Inc 0.22
Consumer Discretionary
11.86%
TWX Time Warner Inc 2.30
LEA Lear Corp 2.28
GM General Motors Co 1.97
SNI Scripps Networks Interactive Inc 1.85
MDC MDC Holdings Inc 0.44
DPZ Domino's Pizza Inc 0.43
MCS Marcus Corp/The 0.41
VC Visteon Corp 0.41
SNOW Intrawest Resorts Holdings Inc 0.40
SCI Service Corp International/US 0.40
ADNT Adient PLC 0.39
MYCC ClubCorp Holdings Inc 0.30
AXL American Axle & Manufacturing Holdings Inc 0.29
Industrials
10.73%
UAL United Continental Holdings Inc 2.71
CMI Cummins Inc 2.59
URI United Rentals Inc 2.28
GTLS Chart Industries Inc 0.41
GBX Greenbrier Cos Inc/The 0.41
RUSHA Rush Enterprises Inc 0.41
NDSN Nordson Corp 0.40
JELD JELD-WEN Holding Inc 0.40
OSK Oshkosh Corp 0.39
VVI Viad Corp 0.36
AGX Argan Inc 0.35
Consumer Staples
9.06%
COST Costco Wholesale Corp 3.30
SYY Sysco Corp 3.28
DF Dean Foods Co 0.46
UVV Universal Corp/VA 0.43
FDP Fresh Del Monte Produce Inc 0.42
CENT Central Garden & Pet Co 0.40
WMK Weis Markets Inc 0.39
SPTN SpartanNash Co 0.37
Energy
6.79%
WPZ Williams Partners LP 2.67
VLO Valero Energy Corp 2.54
AHGP Alliance Holdings GP LP 0.55
AROC Archrock Inc 0.45
ATW Atwood Oceanics Inc 0.43
SDRL Seadrill Ltd 0.15
Materials
2.99%
LYB LyondellBasell Industries NV 2.08
ASIX AdvanSix Inc 0.39
PKG Packaging Corp of America 0.37
FRTA Forterra Inc 0.15
Utilities
2.98%
PCG PG&E Corp 2.11
MDU MDU Resources Group Inc 0.44
OGE OGE Energy Corp 0.43
Telecommunication Services
2.53%
TMUS T-Mobile US Inc 0.90
S Sprint Corp 0.76
GNCMA General Communication Inc 0.41
IRDM Iridium Communications Inc 0.26
TDS Telephone & Data Systems Inc 0.20