PXLV - PowerShares Russell Top 200 Pure Value Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 04/29/2016
Sector Total  Ticker  Company  % of Fund 
Financials
36.21%
CB Chubb Ltd 3.29
PNC PNC Financial Services Group Inc/The 2.86
MET MetLife Inc 2.64
BBT BB&T Corp 2.34
EQR Equity Residential 2.21
COF Capital One Financial Corp 2.20
GS Goldman Sachs Group Inc/The 2.04
USB US Bancorp 2.04
WFC Wells Fargo & Co 2.01
AFL Aflac Inc 1.87
ALL Allstate Corp/The 1.79
AIG American International Group Inc 1.67
CME CME Group Inc/IL 1.44
TRV Travelers Cos Inc/The 1.39
STT State Street Corp 1.29
JPM JPMorgan Chase & Co 1.13
PRU Prudential Financial Inc 1.09
C Citigroup Inc 1.05
BAC Bank of America Corp 0.92
MS Morgan Stanley 0.48
DFS Discover Financial Services 0.34
BEN Franklin Resources Inc 0.10
Energy
20.74%
APA Apache Corp 3.24
OXY Occidental Petroleum Corp 3.24
CVX Chevron Corp 2.84
XOM Exxon Mobil Corp 2.81
COP ConocoPhillips 2.38
VLO Valero Energy Corp 1.26
BHI Baker Hughes Inc 1.19
PSX Phillips 66 1.08
SE Spectra Energy Corp 0.83
DVN Devon Energy Corp 0.60
APC Anadarko Petroleum Corp 0.60
KMI Kinder Morgan Inc/DE 0.51
HAL Halliburton Co 0.17
Utilities
16.14%
AEP American Electric Power Co Inc 3.19
DUK Duke Energy Corp 3.13
SO Southern Co/The 2.96
PCG PG&E Corp 2.83
EXC Exelon Corp 2.16
NEE NextEra Energy Inc 1.88
Information Technology
7.01%
YHOO Yahoo! Inc 3.06
HPE Hewlett Packard Enterprise Co 1.29
GLW Corning Inc 1.07
HPQ HP Inc 0.95
CSCO Cisco Systems Inc 0.64
Industrials
6.55%
GE General Electric Co 3.51
ETN Eaton Corp PLC 1.75
NSC Norfolk Southern Corp 0.82
RTN Raytheon Co 0.47
Consumer Staples
5.16%
ADM Archer-Daniels-Midland Co 1.71
MDLZ Mondelez International Inc 1.46
PG Procter & Gamble Co/The 1.28
WMT Wal-Mart Stores Inc 0.70
Consumer Discretionary
3.20%
CCL Carnival Corp 1.73
GM General Motors Co 0.80
TRI Thomson Reuters Corp 0.53
F Ford Motor Co 0.14
Telecommunication Services
2.89%
T AT&T Inc 2.47
TMUS T-Mobile US Inc 0.42
Health Care
2.11%
PFE Pfizer Inc 1.58
ABT Abbott Laboratories 0.41
MDT Medtronic PLC 0.12