PXMG - PowerShares Fundamental Pure Mid Growth Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
Excel Download
as of 02/27/2015
Sector Total  Ticker  Company  % of Fund 
Financials
23.95%
VTR Ventas Inc 2.35
HCP HCP Inc 2.35
HCN Health Care REIT Inc 2.15
PLD Prologis Inc 1.93
AVB AvalonBay Communities Inc 1.65
TROW T Rowe Price Group Inc 1.52
AGNC American Capital Agency Corp 1.44
AMT American Tower Corp 1.13
DLR Digital Realty Trust Inc 1.02
CCI Crown Castle International Corp 0.97
MCO Moody's Corp 0.82
ICE Intercontinental Exchange Inc 0.75
ESS Essex Property Trust Inc 0.66
LUK Leucadia National Corp 0.65
SNH Senior Housing Properties Trust 0.59
O Realty Income Corp 0.56
AMG Affiliated Managers Group Inc 0.54
FRC First Republic Bank/CA 0.54
ACC American Campus Communities Inc 0.50
AMTD TD Ameritrade Holding Corp 0.49
CYS CYS Investments Inc 0.46
RLGY Realogy Holdings Corp 0.45
IVR Invesco Mortgage Capital Inc 0.40
Information Technology
18.81%
WDC Western Digital Corp 2.57
BRCM Broadcom Corp 2.04
ADBE Adobe Systems Inc 1.66
CTSH Cognizant Technology Solutions Corp 1.58
FIS Fidelity National Information Services Inc 1.55
ATVI Activision Blizzard Inc 1.37
NTAP NetApp Inc 1.11
INTU Intuit Inc 1.06
APH Amphenol Corp 0.85
LLTC Linear Technology Corp 0.79
ALTR Altera Corp 0.77
CTXS Citrix Systems Inc 0.73
FSLR First Solar Inc 0.65
EQIX Equinix Inc 0.63
TDC Teradata Corp 0.55
AKAM Akamai Technologies Inc 0.55
KEYS Keysight Technologies Inc 0.36
Health Care
12.73%
SYK Stryker Corp 1.98
ZTS Zoetis Inc 1.78
ACT Actavis plc 1.41
STJ St Jude Medical Inc 1.27
HOLX Hologic Inc 0.89
ISRG Intuitive Surgical Inc 0.82
A Agilent Technologies Inc 0.81
CTRX Catamaran Corp 0.78
CERN Cerner Corp 0.72
VAR Varian Medical Systems Inc 0.63
ENDP Endo International PLC 0.61
MD MEDNAX Inc 0.53
WAT Waters Corp 0.50
Consumer Discretionary
12.67%
LEA Lear Corp 1.70
ROST Ross Stores Inc 1.62
DLTR Dollar Tree Inc 1.35
ORLY O'Reilly Automotive Inc 1.21
WYNN Wynn Resorts Ltd 1.02
LVS Las Vegas Sands Corp 0.97
COH Coach Inc 0.94
RL Ralph Lauren Corp 0.62
PVH PVH Corp 0.59
DKS Dick's Sporting Goods Inc 0.56
LKQ LKQ Corp 0.43
LMCK Liberty Media Corp 0.42
DISCA Discovery Communications Inc 0.41
DISCK Discovery Communications Inc 0.38
LMCA Liberty Media Corp 0.21
LBRDK Liberty Broadband Corp 0.14
LBRDA Liberty Broadband Corp 0.07
Industrials
11.15%
SWK Stanley Black & Decker Inc 2.01
UAL United Continental Holdings Inc 1.12
NLSN Nielsen NV 1.08
ROP Roper Industries Inc 0.88
KSU Kansas City Southern 0.74
PLL Pall Corp 0.68
FAST Fastenal Co 0.66
AME AMETEK Inc 0.62
FLS Flowserve Corp 0.60
TW Towers Watson & Co 0.57
JBHT JB Hunt Transport Services Inc 0.55
TDG TransDigm Group Inc 0.55
XYL Xylem Inc/NY 0.52
BEAV B/E Aerospace Inc 0.45
KLXI KLX Inc 0.14
Energy
9.67%
HFC HollyFrontier Corp 1.74
CAM Cameron International Corp 1.14
NBL Noble Energy Inc 1.14
PXD Pioneer Natural Resources Co 0.74
EQT EQT Corp 0.65
FTI FMC Technologies Inc 0.62
CXO Concho Resources Inc 0.62
SWN Southwestern Energy Co 0.60
HP Helmerich & Payne Inc 0.54
PBF PBF Energy Inc 0.52
WLL Whiting Petroleum Corp 0.42
OII Oceaneering International Inc 0.34
INT World Fuel Services Corp 0.33
RRC Range Resources Corp 0.27
Materials
6.10%
CF CF Industries Holdings Inc 1.92
ECL Ecolab Inc 1.65
SIAL Sigma-Aldrich Corp 1.03
RKT Rock-Tenn Co 0.98
FMC FMC Corp 0.52
Consumer Staples
4.91%
WFM Whole Foods Market Inc 1.23
MJN Mead Johnson Nutrition Co 1.04
HSY Hershey Co/The 0.93
EL Estee Lauder Cos Inc/The 0.92
CHD Church & Dwight Co Inc 0.79