PWC - PowerShares Dynamic Market Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 12/08/2016
Sector Total  Ticker  Company  % of Fund 
Information Technology
21.25%
HPQ HP Inc 3.14
HPE Hewlett Packard Enterprise Co 3.02
GLW Corning Inc 2.97
AMAT Applied Materials Inc 2.96
NVDA NVIDIA Corp 2.87
SANM Sanmina Corp 0.61
VSH Vishay Intertechnology Inc 0.60
IDCC InterDigital Inc/PA 0.59
BHE Benchmark Electronics Inc 0.58
AZPN Aspen Technology Inc 0.58
CRUS Cirrus Logic Inc 0.57
SSTK Shutterstock Inc 0.56
AEIS Advanced Energy Industries Inc 0.56
ITRI Itron Inc 0.55
TTMI TTM Technologies Inc 0.55
FN Fabrinet 0.54
Financials
15.27%
LNC Lincoln National Corp 1.82
PRU Prudential Financial Inc 1.80
ACGL Arch Capital Group Ltd 1.80
PFG Principal Financial Group Inc 1.77
MET MetLife Inc 1.76
AFL Aflac Inc 1.65
NWLI National Western Life Group Inc 0.42
ESNT Essent Group Ltd 0.41
PJC Piper Jaffray Cos 0.41
AMBC Ambac Financial Group Inc 0.41
CFR Cullen/Frost Bankers Inc 0.39
AGO Assured Guaranty Ltd 0.39
HTLF Heartland Financial USA Inc 0.39
RGA Reinsurance Group of America Inc 0.38
TRST TrustCo Bank Corp NY 0.38
RE Everest Re Group Ltd 0.37
UVE Universal Insurance Holdings Inc 0.37
CASH Meta Financial Group Inc 0.36
Consumer Discretionary
13.31%
KSS Kohl's Corp 2.42
BBY Best Buy Co Inc 2.38
TWX Time Warner Inc 2.31
ROST Ross Stores Inc 2.21
AAN Aaron's Inc 0.42
IRBT iRobot Corp 0.42
MCS Marcus Corp/The 0.41
PLCE Children's Place Inc/The 0.40
SNI Scripps Networks Interactive Inc 0.40
CPLA Capella Education Co 0.40
PZZA Papa John's International Inc 0.39
PLNT Planet Fitness Inc 0.38
MTN Vail Resorts Inc 0.38
DPZ Domino's Pizza Inc 0.37
Health Care
12.42%
UNH UnitedHealth Group Inc 2.27
MTD Mettler-Toledo International Inc 2.18
HUM Humana Inc 2.18
BAX Baxter International Inc 2.07
WCG WellCare Health Plans Inc 0.36
ALGN Align Technology Inc 0.35
HLS HealthSouth Corp 0.35
MASI Masimo Corp 0.35
AMAG AMAG Pharmaceuticals Inc 0.35
XNCR Xencor Inc 0.34
HMSY HMS Holdings Corp 0.34
MEDP Medpace Holdings Inc 0.34
IDXX IDEXX Laboratories Inc 0.34
FPRX Five Prime Therapeutics Inc 0.30
CORT Corcept Therapeutics Inc 0.29
Industrials
10.99%
IR Ingersoll-Rand PLC 2.57
UAL United Continental Holdings Inc 2.56
LLL L-3 Communications Holdings Inc 2.52
LKSD LSC Communications Inc 0.46
GTLS Chart Industries Inc 0.45
AGX Argan Inc 0.43
HA Hawaiian Holdings Inc 0.43
CPRT Copart Inc 0.40
TTEK Tetra Tech Inc 0.40
OA Orbital ATK Inc 0.40
QUAD Quad/Graphics Inc 0.37
Consumer Staples
9.20%
SYY Sysco Corp 3.21
WMT Wal-Mart Stores Inc 3.15
UVV Universal Corp/VA 0.50
CENT Central Garden & Pet Co 0.49
ADM Archer-Daniels-Midland Co 0.48
TSN Tyson Foods Inc 0.48
INGR Ingredion Inc 0.47
NUS Nu Skin Enterprises Inc 0.42
Energy
8.70%
HAL Halliburton Co 3.05
BHI Baker Hughes Inc 2.94
RIG Transocean Ltd 0.75
SDRL Seadrill Ltd 0.74
AHGP Alliance Holdings GP LP 0.63
AROC Archrock Inc 0.60
Materials
3.36%
EMN Eastman Chemical Co 2.36
SXCP SunCoke Energy Partners LP 0.34
FRTA Forterra Inc 0.33
AA Alcoa Corp 0.33
Utilities
2.98%
NEE NextEra Energy Inc 2.09
ORA Ormat Technologies Inc 0.45
UGI UGI Corp 0.44
Telecommunication Services
2.53%
S Sprint Corp 0.93
TMUS T-Mobile US Inc 0.88
TDS Telephone & Data Systems Inc 0.25
WIN Windstream Holdings Inc 0.24
ZAYO Zayo Group Holdings Inc 0.23