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 07/20/2017
Sector Total  Ticker  Company  % of Fund 
Real Estate
21.93%
DCT DCT Industrial Trust Inc 1.35
OFC Corporate Office Properties Trust 1.32
HIW Highwoods Properties Inc 1.32
CPT Camden Property Trust 1.27
LAMR Lamar Advertising Co 1.26
FR First Industrial Realty Trust Inc 1.24
TCO Taubman Centers Inc 1.24
DEI Douglas Emmett Inc 1.22
RYN Rayonier Inc 1.21
DRE Duke Realty Corp 1.20
EDR Education Realty Trust Inc 1.20
ACC American Campus Communities Inc 1.19
EPR EPR Properties 1.18
SKT Tanger Factory Outlet Centers Inc 1.17
WRI Weingarten Realty Investors 1.17
KRC Kilroy Realty Corp 1.14
HPT Hospitality Properties Trust 1.14
HR Healthcare Realty Trust Inc 1.12
Financials
18.39%
RNR RenaissanceRe Holdings Ltd 1.74
WRB WR Berkley Corp 1.68
Y Alleghany Corp 1.62
AFG American Financial Group Inc/OH 1.57
RGA Reinsurance Group of America Inc 1.48
BRO Brown & Brown Inc 1.47
THG Hanover Insurance Group Inc/The 1.43
AHL Aspen Insurance Holdings Ltd 1.31
FAF First American Financial Corp 1.29
FDS FactSet Research Systems Inc 1.25
MSCI MSCI Inc 1.25
ORI Old Republic International Corp 1.24
MCY Mercury General Corp 1.08
Utilities
16.74%
WR Westar Energy Inc 1.59
GXP Great Plains Energy Inc 1.38
IDA IDACORP Inc 1.37
ATO Atmos Energy Corp 1.34
NWE NorthWestern Corp 1.33
WTR Aqua America Inc 1.29
OGE OGE Energy Corp 1.28
VVC Vectren Corp 1.26
SWX Southwest Gas Holdings Inc 1.20
PNM PNM Resources Inc 1.20
UGI UGI Corp 1.19
HE Hawaiian Electric Industries Inc 1.16
BKH Black Hills Corp 1.16
Industrials
12.66%
ROL Rollins Inc 1.36
HUBB Hubbell Inc 1.35
LII Lennox International Inc 1.34
IEX IDEX Corp 1.34
TTC Toro Co/The 1.30
LSTR Landstar System Inc 1.25
WSO Watsco Inc 1.23
CPRT Copart Inc 1.20
AOS AO Smith Corp 1.16
CSL Carlisle Cos Inc 1.15
Consumer Discretionary
9.77%
SCI Service Corp International/US 1.39
NVR NVR Inc 1.32
CABO Cable One Inc 1.26
POOL Pool Corp 1.23
CHDN Churchill Downs Inc 1.21
GHC Graham Holdings Co 1.21
DPZ Domino's Pizza Inc 1.18
CNK Cinemark Holdings Inc 0.97
Materials
9.55%
ATR AptarGroup Inc 1.37
SON Sonoco Products Co 1.37
BMS Bemis Co Inc 1.32
SXT Sensient Technologies Corp 1.28
NEU NewMarket Corp 1.25
SMG Scotts Miracle-Gro Co/The 1.21
CMP Compass Minerals International Inc 1.12
ASH Ashland Global Holdings Inc 0.63
Information Technology
5.99%
JKHY Jack Henry & Associates Inc 1.76
NATI National Instruments Corp 1.49
BR Broadridge Financial Solutions Inc 1.40
CDK CDK Global Inc 1.35
Health Care
3.81%
BIO Bio-Rad Laboratories Inc 1.28
OMI Owens & Minor Inc 1.27
STE STERIS PLC 1.26
Consumer Staples
1.16%
INGR Ingredion Inc 1.16