XMLV - PowerShares S&P MidCap Low Volatility Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 10/18/2017
Sector Total  Ticker  Company  % of Fund 
Utilities
18.71%
WR Westar Energy Inc 1.70
HE Hawaiian Electric Industries Inc 1.40
GXP Great Plains Energy Inc 1.40
VVC Vectren Corp 1.38
IDA IDACORP Inc 1.38
OGE OGE Energy Corp 1.30
NWE NorthWestern Corp 1.24
WTR Aqua America Inc 1.24
ATO Atmos Energy Corp 1.24
PNM PNM Resources Inc 1.13
OGS ONE Gas Inc 1.07
UGI UGI Corp 1.07
SWX Southwest Gas Holdings Inc 1.06
NJR New Jersey Resources Corp 1.06
BKH Black Hills Corp 1.04
Financials
18.64%
BRO Brown & Brown Inc 1.68
WRB WR Berkley Corp 1.54
RNR RenaissanceRe Holdings Ltd 1.47
AFG American Financial Group Inc/OH 1.45
RGA Reinsurance Group of America Inc 1.44
SEIC SEI Investments Co 1.39
FDS FactSet Research Systems Inc 1.39
Y Alleghany Corp 1.37
MSCI MSCI Inc 1.25
FAF First American Financial Corp 1.19
THG Hanover Insurance Group Inc/The 1.17
ORI Old Republic International Corp 1.15
CBSH Commerce Bancshares Inc/MO 1.08
AHL Aspen Insurance Holdings Ltd 1.07
Real Estate
16.37%
HIW Highwoods Properties Inc 1.35
DEI Douglas Emmett Inc 1.30
DCT DCT Industrial Trust Inc 1.29
FR First Industrial Realty Trust Inc 1.21
CPT Camden Property Trust 1.20
OFC Corporate Office Properties Trust 1.17
LAMR Lamar Advertising Co 1.17
KRC Kilroy Realty Corp 1.17
HPT Hospitality Properties Trust 1.15
RYN Rayonier Inc 1.13
EPR EPR Properties 1.12
LPT Liberty Property Trust 1.09
EDR Education Realty Trust Inc 1.04
ACC American Campus Communities Inc 0.99
Industrials
11.44%
CPRT Copart Inc 1.42
ROL Rollins Inc 1.37
IEX IDEX Corp 1.36
HUBB Hubbell Inc 1.31
LII Lennox International Inc 1.28
CSL Carlisle Cos Inc 1.25
DLX Deluxe Corp 1.21
WSO Watsco Inc 1.16
TTC Toro Co/The 1.08
Materials
10.14%
SON Sonoco Products Co 1.39
NEU NewMarket Corp 1.39
ATR AptarGroup Inc 1.36
SXT Sensient Technologies Corp 1.35
BMS Bemis Co Inc 1.29
ASH Ashland Global Holdings Inc 1.26
CMP Compass Minerals International Inc 1.07
SLGN Silgan Holdings Inc 1.03
Consumer Discretionary
9.36%
CHDN Churchill Downs Inc 1.29
SCI Service Corp International/US 1.26
CABO Cable One Inc 1.23
GHC Graham Holdings Co 1.19
LYV Live Nation Entertainment Inc 1.17
DNKN Dunkin' Brands Group Inc 1.14
POOL Pool Corp 1.11
CNK Cinemark Holdings Inc 0.98
Information Technology
8.28%
JKHY Jack Henry & Associates Inc 1.58
BR Broadridge Financial Solutions Inc 1.45
NATI National Instruments Corp 1.43
CDK CDK Global Inc 1.40
FICO Fair Isaac Corp 1.26
CLGX CoreLogic Inc/United States 1.16
Health Care
4.89%
STE STERIS PLC 1.39
OMI Owens & Minor Inc 1.24
TECH Bio-Techne Corp 1.17
BIO Bio-Rad Laboratories Inc 1.10
Consumer Staples
2.16%
INGR Ingredion Inc 1.12
TR Tootsie Roll Industries Inc 1.04