PWC - PowerShares Dynamic Market Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 08/29/2016
Sector Total  Ticker  Company  % of Fund 
Information Technology
20.96%
NVDA NVIDIA Corp 3.74
HPQ HP Inc 3.04
FB Facebook Inc 2.94
FISV Fiserv Inc 2.72
VRSN VeriSign Inc 2.43
NTGR NETGEAR Inc 0.69
AEIS Advanced Energy Industries Inc 0.63
FN Fabrinet 0.61
VSH Vishay Intertechnology Inc 0.59
JKHY Jack Henry & Associates Inc 0.56
IM Ingram Micro Inc 0.54
SANM Sanmina Corp 0.54
GDDY GoDaddy Inc 0.54
TECD Tech Data Corp 0.52
G Genpact Ltd 0.46
FSLR First Solar Inc 0.41
Financials
14.59%
CINF Cincinnati Financial Corp 1.79
PFG Principal Financial Group Inc 1.77
NDAQ Nasdaq Inc 1.74
AFL Aflac Inc 1.70
DFS Discover Financial Services 1.67
CB Chubb Ltd 1.60
GNW Genworth Financial Inc 0.46
UVE Universal Insurance Holdings Inc 0.43
TRST TrustCo Bank Corp NY 0.37
SIGI Selective Insurance Group Inc 0.37
EFSC Enterprise Financial Services Corp 0.36
GDOT Green Dot Corp 0.36
EIG Employers Holdings Inc 0.34
GWB Great Western Bancorp Inc 0.34
AMSF AMERISAFE Inc 0.33
FGL Fidelity & Guaranty Life 0.33
EWBC East West Bancorp Inc 0.32
NWLI National Western Life Group Inc 0.31
Health Care
13.89%
EW Edwards Lifesciences Corp 2.69
BAX Baxter International Inc 2.54
BDX Becton Dickinson and Co 2.46
UHS Universal Health Services Inc 2.09
IDXX IDEXX Laboratories Inc 0.45
ADRO Aduro Biotech Inc 0.42
WCG WellCare Health Plans Inc 0.41
MOH Molina Healthcare Inc 0.40
LXRX Lexicon Pharmaceuticals Inc 0.37
ANIK Anika Therapeutics Inc 0.37
FPRX Five Prime Therapeutics Inc 0.36
ATHN athenahealth Inc 0.35
GTS Triple-S Management Corp 0.33
CBM Cambrex Corp 0.32
MGLN Magellan Health Inc 0.31
Consumer Discretionary
13.74%
YUM Yum! Brands Inc 2.54
SIRI Sirius XM Holdings Inc 2.43
HD Home Depot Inc/The 2.33
MCD McDonald's Corp 2.16
DW Drew Industries Inc 0.52
OUTR Outerwall Inc 0.50
PLCE Children's Place Inc/The 0.46
CPS Cooper-Standard Holding Inc 0.46
SUP Superior Industries International Inc 0.43
OLLI Ollie's Bargain Outlet Holdings Inc 0.40
IBP Installed Building Products Inc 0.39
ERI Eldorado Resorts Inc 0.38
VC Visteon Corp 0.38
SIX Six Flags Entertainment Corp 0.35
Industrials
10.61%
UAL United Continental Holdings Inc 2.48
ALK Alaska Air Group Inc 2.39
NOC Northrop Grumman Corp 2.37
QUAD Quad/Graphics Inc 0.55
GBX Greenbrier Cos Inc/The 0.45
HA Hawaiian Holdings Inc 0.42
MRC MRC Global Inc 0.42
BRSS Global Brass & Copper Holdings Inc 0.41
WNC Wabash National Corp 0.39
KELYA Kelly Services Inc 0.37
MTW Manitowoc Co Inc/The 0.33
Consumer Staples
9.81%
RAI Reynolds American Inc 3.38
MDLZ Mondelez International Inc 3.26
TSN Tyson Foods Inc 0.57
INGR Ingredion Inc 0.56
FDP Fresh Del Monte Produce Inc 0.53
SYY Sysco Corp 0.52
HLF Herbalife Ltd 0.52
CPB Campbell Soup Co 0.48
Energy
7.49%
NOV National Oilwell Varco Inc 2.83
VLO Valero Energy Corp 2.74
RIG Transocean Ltd 0.59
SDRL Seadrill Ltd 0.45
ATW Atwood Oceanics Inc 0.45
DO Diamond Offshore Drilling Inc 0.43
Materials
3.35%
LYB LyondellBasell Industries NV 2.21
TSE Trinseo SA 0.40
SCL Stepan Co 0.38
WLKP Westlake Chemical Partners LP 0.35
Utilities
3.07%
PPL PPL Corp 2.00
TLN Talen Energy Corp 0.59
AGR Avangrid Inc 0.48
Telecommunication Services
2.48%
TMUS T-Mobile US Inc 0.91
T AT&T Inc 0.87
CBB Cincinnati Bell Inc 0.26
CTL CenturyLink Inc 0.25
SHEN Shenandoah Telecommunications Co 0.19