PWC - PowerShares Dynamic Market Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 03/04/2015
Sector Total  Ticker  Company  % of Fund 
Information Technology
19.93%
QRVO Qorvo Inc 2.88
SWKS Skyworks Solutions Inc 2.85
AAPL Apple Inc 2.78
HPQ Hewlett-Packard Co 2.72
LRCX Lam Research Corp 2.72
IDCC InterDigital Inc/PA 0.57
KLIC Kulicke & Soffa Industries Inc 0.55
CDW CDW Corp/DE 0.55
OVTI OmniVision Technologies Inc 0.55
SANM Sanmina Corp 0.55
JBL Jabil Circuit Inc 0.54
BLKB Blackbaud Inc 0.54
TSRA Tessera Technologies Inc 0.53
IDTI Integrated Device Technology Inc 0.53
SAIC Science Applications International Corp 0.53
FLEX Flextronics International Ltd 0.53
Financials
14.33%
JPM JPMorgan Chase & Co 1.70
LNC Lincoln National Corp 1.68
CME CME Group Inc/IL 1.68
VOYA Voya Financial Inc 1.68
TRV Travelers Cos Inc/The 1.66
FNF FNF Group 1.63
FGL Fidelity & Guaranty Life 0.36
NDAQ NASDAQ OMX Group Inc/The 0.36
EIG Employers Holdings Inc 0.36
ENH Endurance Specialty Holdings Ltd 0.36
RE Everest Re Group Ltd 0.36
ITG Investment Technology Group Inc 0.36
NAVG Navigators Group Inc/The 0.36
JOE St Joe Co/The 0.36
AFSI AmTrust Financial Services Inc 0.36
AHL Aspen Insurance Holdings Ltd 0.36
FAF First American Financial Corp 0.35
AGO Assured Guaranty Ltd 0.35
Health Care
13.93%
EW Edwards Lifesciences Corp 2.48
ABC AmerisourceBergen Corp 2.44
CI Cigna Corp 2.43
ANTM Anthem Inc 2.43
ANAC Anacor Pharmaceuticals Inc 0.40
WOOF VCA Inc 0.39
CNC Centene Corp 0.38
CHE Chemed Corp 0.38
LCI Lannett Co Inc 0.38
PDLI PDL BioPharma Inc 0.38
PBH Prestige Brands Holdings Inc 0.38
INOV Inovalon Holdings Inc 0.38
HNT Health Net Inc/CA 0.37
ATHN athenahealth Inc 0.37
MOH Molina Healthcare Inc 0.37
Consumer Discretionary
13.81%
LOW Lowe's Cos Inc 2.42
WHR Whirlpool Corp 2.41
SBUX Starbucks Corp 2.41
DLTR Dollar Tree Inc 2.39
GHC Graham Holdings Co 0.44
STRZA Starz 0.42
SERV ServiceMaster Global Holdings Inc 0.42
FLWS 1-800-Flowers.com Inc 0.42
CTB Cooper Tire & Rubber Co 0.42
DENN Denny's Corp 0.41
AXL American Axle & Manufacturing Holdings Inc 0.41
MUSA Murphy USA Inc 0.41
PENN Penn National Gaming Inc 0.41
EAT Brinker International Inc 0.40
Industrials
11.20%
AAL American Airlines Group Inc 2.65
LUV Southwest Airlines Co 2.64
LLL L-3 Communications Holdings Inc 2.56
JBLU JetBlue Airways Corp 0.43
ALK Alaska Air Group Inc 0.43
SPR Spirit AeroSystems Holdings Inc 0.42
LABL Multi-Color Corp 0.42
CAR Avis Budget Group Inc 0.42
CNW Con-way Inc 0.41
RPXC RPX Corp 0.41
KNX Knight Transportation Inc 0.41
Energy
9.10%
TSO Tesoro Corp 3.17
VLO Valero Energy Corp 3.11
ROSE Rosetta Resources Inc 0.72
RIG Transocean Ltd 0.72
CQH Cheniere Energy Partners LP Holdings LLC 0.70
DM Dominion Midstream Partners LP 0.68
Consumer Staples
9.09%
CVS CVS Health Corp 3.17
KR Kroger Co/The 3.13
IMKTA Ingles Markets Inc 0.49
SVU SUPERVALU Inc 0.47
PPC Pilgrim's Pride Corp 0.47
SEB Seaboard Corp 0.46
BG Bunge Ltd 0.46
FDP Fresh Del Monte Produce Inc 0.46
Materials
3.66%
EMN Eastman Chemical Co 2.61
X United States Steel Corp 0.36
MERC Mercer International Inc 0.36
CENX Century Aluminum Co 0.32
Utilities
2.91%
DUK Duke Energy Corp 2.04
SCG SCANA Corp 0.43
EDE Empire District Electric Co/The 0.43
Telecommunication Services
2.04%
TMUS T-Mobile US Inc 0.72
CTL CenturyLink Inc 0.70
VG Vonage Holdings Corp 0.21
IRDM Iridium Communications Inc 0.21
TDS Telephone & Data Systems Inc 0.20