PWC - PowerShares Dynamic Market Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 05/23/2016
Sector Total  Ticker  Company  % of Fund 
Information Technology
21.01%
ATVI Activision Blizzard Inc 3.32
HPQ HP Inc 3.07
FB Facebook Inc 3.01
FISV Fiserv Inc 2.91
MSI Motorola Solutions Inc 2.58
SANM Sanmina Corp 0.66
AEIS Advanced Energy Industries Inc 0.66
AZPN Aspen Technology Inc 0.62
ELNK EarthLink Holdings Corp 0.61
TTWO Take-Two Interactive Software Inc 0.56
IM Ingram Micro Inc 0.53
SYKE Sykes Enterprises Inc 0.52
TECD Tech Data Corp 0.52
SNX SYNNEX Corp 0.50
OCLR Oclaro Inc 0.49
NUAN Nuance Communications Inc 0.45
Financials
13.69%
SCHW Charles Schwab Corp/The 1.77
JPM JPMorgan Chase & Co 1.70
CB Chubb Ltd 1.65
CINF Cincinnati Financial Corp 1.64
NDAQ Nasdaq Inc 1.53
RE Everest Re Group Ltd 1.47
TRST TrustCo Bank Corp NY 0.36
GDOT Green Dot Corp 0.35
AMBC Ambac Financial Group Inc 0.35
EIG Employers Holdings Inc 0.35
ORI Old Republic International Corp 0.35
AHL Aspen Insurance Holdings Ltd 0.34
UFCS United Fire Group Inc 0.33
ITG Investment Technology Group Inc 0.33
EFSC Enterprise Financial Services Corp 0.32
UVE Universal Insurance Holdings Inc 0.31
NWLI National Western Life Group Inc 0.31
HRTG Heritage Insurance Holdings Inc 0.22
Consumer Discretionary
13.43%
OMC Omnicom Group Inc 2.55
MCD McDonald's Corp 2.53
ORLY O'Reilly Automotive Inc 2.32
LB L Brands Inc 1.81
CPS Cooper-Standard Holding Inc 0.48
SIX Six Flags Entertainment Corp 0.47
APOL Apollo Education Group Inc 0.47
PLCE Children's Place Inc/The 0.44
MTN Vail Resorts Inc 0.41
VC Visteon Corp 0.41
SERV ServiceMaster Global Holdings Inc 0.40
RGR Sturm Ruger & Co Inc 0.39
SWHC Smith & Wesson Holding Corp 0.39
ANF Abercrombie & Fitch Co 0.36
Health Care
13.43%
EW Edwards Lifesciences Corp 2.68
GILD Gilead Sciences Inc 2.23
HOLX Hologic Inc 2.23
CI Cigna Corp 2.11
MASI Masimo Corp 0.46
LGND Ligand Pharmaceuticals Inc 0.45
IDXX IDEXX Laboratories Inc 0.44
MGLN Magellan Health Inc 0.41
INCR INC Research Holdings Inc 0.41
WCG WellCare Health Plans Inc 0.39
BRKR Bruker Corp 0.37
ATHN athenahealth Inc 0.36
GTS Triple-S Management Corp 0.31
ENTA Enanta Pharmaceuticals Inc 0.30
MOH Molina Healthcare Inc 0.27
Consumer Staples
10.83%
STZ Constellation Brands Inc 3.90
RAI Reynolds American Inc 3.56
FIZZ National Beverage Corp 0.71
CASY Casey's General Stores Inc 0.56
HLF Herbalife Ltd 0.55
POST Post Holdings Inc 0.54
TSN Tyson Foods Inc 0.51
DF Dean Foods Co 0.49
Industrials
10.43%
LLL L-3 Communications Holdings Inc 2.81
DAL Delta Air Lines Inc 2.17
AAL American Airlines Group Inc 1.88
BLDR Builders FirstSource Inc 0.58
SKYW SkyWest Inc 0.52
WNC Wabash National Corp 0.46
MRC MRC Global Inc 0.45
NPK National Presto Industries Inc 0.42
SPR Spirit AeroSystems Holdings Inc 0.39
HA Hawaiian Holdings Inc 0.38
RPXC RPX Corp 0.36
Energy
7.99%
TSO Tesoro Corp 2.28
VLO Valero Energy Corp 2.18
SM SM Energy Co 1.69
SDRL Seadrill Ltd 0.84
RIG Transocean Ltd 0.53
ALDW Alon USA Partners LP 0.47
Utilities
3.36%
SO Southern Co/The 2.35
SCG SCANA Corp 0.53
SR Spire Inc 0.48
Materials
3.24%
LYB LyondellBasell Industries NV 2.12
TSE Trinseo SA 0.47
SCL Stepan Co 0.34
MERC Mercer International Inc 0.32
Telecommunication Services
2.60%
LVLT Level 3 Communications Inc 0.93
VZ Verizon Communications Inc 0.84
SHEN Shenandoah Telecommunications Co 0.32
TDS Telephone & Data Systems Inc 0.26
ATNI Atlantic Tele-Network Inc 0.25