XSLV - PowerShares S&P SmallCap Low Volatility Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 01/16/2018
Sector Total  Ticker  Company  % of Fund 
Financials
26.19%
ARI Apollo Commercial Real Estate Finance Inc 1.22
CMO Capstead Mortgage Corp 1.09
ORIT Oritani Financial Corp 1.05
NWBI Northwest Bancshares Inc 1.00
SAFT Safety Insurance Group Inc 0.99
ARR ARMOUR Residential REIT Inc 0.97
FCFS FirstCash Inc 0.96
STC Stewart Information Services Corp 0.93
EVR Evercore Inc 0.88
NFBK Northfield Bancorp Inc 0.88
PFS Provident Financial Services Inc 0.87
FMBI First Midwest Bancorp Inc/IL 0.87
NAVG Navigators Group Inc/The 0.85
ONB Old National Bancorp/IN 0.81
WABC Westamerica Bancorporation 0.80
BANR Banner Corp 0.80
NBHC National Bank Holdings Corp 0.80
IPCC Infinity Property & Casualty Corp 0.79
FCF First Commonwealth Financial Corp 0.78
BKMU Bank Mutual Corp 0.78
CBU Community Bank System Inc 0.78
SIGI Selective Insurance Group Inc 0.77
PRA ProAssurance Corp 0.77
COLB Columbia Banking System Inc 0.77
RLI RLI Corp 0.75
CHCO City Holding Co 0.74
INTL INTL. FCStone Inc 0.74
HMN Horace Mann Educators Corp 0.73
EIG Employers Holdings Inc 0.71
UFCS United Fire Group Inc 0.66
TPRE Third Point Reinsurance Ltd 0.66
Industrials
22.33%
UNF UniFirst Corp/MA 1.12
KAMN Kaman Corp 1.04
HI Hillenbrand Inc 0.96
WTS Watts Water Technologies Inc 0.94
AIT Applied Industrial Technologies Inc 0.93
LABL Multi-Color Corp 0.89
B Barnes Group Inc 0.85
FWRD Forward Air Corp 0.84
VVI Viad Corp 0.84
ALG Alamo Group Inc 0.84
TNC Tennant Co 0.84
HCSG Healthcare Services Group Inc 0.83
SSD Simpson Manufacturing Co Inc 0.82
EXPO Exponent Inc 0.80
LNN Lindsay Corp 0.80
AIN Albany International Corp 0.80
TILE Interface Inc 0.80
BRC Brady Corp 0.80
HTLD Heartland Express Inc 0.77
TTEK Tetra Tech Inc 0.76
ABM ABM Industries Inc 0.75
KELYA Kelly Services Inc 0.75
AIR AAR Corp 0.74
NPK National Presto Industries Inc 0.72
FSS Federal Signal Corp 0.70
MATW Matthews International Corp 0.70
FORR Forrester Research Inc 0.70
Real Estate
20.55%
PSB PS Business Parks Inc 1.03
EGP EastGroup Properties Inc 0.97
AAT American Assets Trust Inc 0.90
ADC Agree Realty Corp 0.89
GTY Getty Realty Corp 0.89
ROIC Retail Opportunity Investments Corp 0.87
AHH Armada Hoffler Properties Inc 0.85
LTC LTC Properties Inc 0.85
FSP Franklin Street Properties Corp 0.84
FCPT Four Corners Property Trust Inc 0.84
UBA Urstadt Biddle Properties Inc 0.83
HT Hersha Hospitality Trust 0.83
CHSP Chesapeake Lodging Trust 0.82
CLDT Chatham Lodging Trust 0.82
BFS Saul Centers Inc 0.82
DRH DiamondRock Hospitality Co 0.80
LXP Lexington Realty Trust 0.79
INN Summit Hotel Properties Inc 0.77
UHT Universal Health Realty Income Trust 0.76
AKR Acadia Realty Trust 0.75
CTRE CareTrust REIT Inc 0.74
NSA National Storage Affiliates Trust 0.74
RPT Ramco-Gershenson Properties Trust 0.74
IRT Independence Realty Trust Inc 0.72
WSR Whitestone REIT 0.70
Information Technology
7.35%
EXLS ExlService Holdings Inc 1.04
PRGS Progress Software Corp 0.96
PLXS Plexus Corp 0.95
EPAY Bottomline Technologies de Inc 0.88
CCMP Cabot Microelectronics Corp 0.76
PLUS ePlus Inc 0.75
BHE Benchmark Electronics Inc 0.72
RMBS Rambus Inc 0.70
OSIS OSI Systems Inc 0.59
Utilities
6.44%
ALE ALLETE Inc 1.17
SR Spire Inc 1.03
EE El Paso Electric Co 1.02
NWN Northwest Natural Gas Co 0.90
AWR American States Water Co 0.80
SJI South Jersey Industries Inc 0.79
CWT California Water Service Group 0.73
Health Care
5.20%
CNMD CONMED Corp 0.97
ICUI ICU Medical Inc 0.93
CHE Chemed Corp 0.92
HAE Haemonetics Corp 0.89
IART Integra LifeSciences Holdings Corp 0.76
NEOG Neogen Corp 0.73
Materials
4.22%
NP Neenah Inc 1.03
FUL HB Fuller Co 0.88
SWM Schweitzer-Mauduit International Inc 0.78
KWR Quaker Chemical Corp 0.77
BCPC Balchem Corp 0.76
Consumer Discretionary
4.14%
SMP Standard Motor Products Inc 0.92
SCHL Scholastic Corp 0.87
BEL Belmond Ltd 0.82
MHO M/I Homes Inc 0.80
VAC Marriott Vacations Worldwide Corp 0.73
Consumer Staples
2.88%
JJSF J&J Snack Foods Corp 1.10
WDFC WD-40 Co 1.00
IPAR Inter Parfums Inc 0.79
Energy
0.69%
PARR Par Pacific Holdings Inc 0.69