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 05/05/2016
Sector Total  Ticker  Company  % of Fund 
Financials
55.54%
PRA ProAssurance Corp 1.22
NWBI Northwest Bancshares Inc 1.16
NFBK Northfield Bancorp Inc 1.15
PKY Parkway Properties Inc/Md 1.11
GTY Getty Realty Corp 1.11
GOV Government Properties Income Trust 1.09
EGP EastGroup Properties Inc 1.05
LXP Lexington Realty Trust 1.04
ADC Agree Realty Corp 1.01
LTC LTC Properties Inc 1.01
AAT American Assets Trust Inc 1.01
MPW Medical Properties Trust Inc 0.97
FSP Franklin Street Properties Corp 0.97
NAVG Navigators Group Inc/The 0.97
PSB PS Business Parks Inc 0.96
WTFC Wintrust Financial Corp 0.95
ROIC Retail Opportunity Investments Corp 0.94
ABCB Ameris Bancorp 0.92
DCOM Dime Community Bancshares Inc 0.90
PFS Provident Financial Services Inc 0.90
AKR Acadia Realty Trust 0.89
UCBI United Community Banks Inc/GA 0.89
CMO Capstead Mortgage Corp 0.89
UBA Urstadt Biddle Properties Inc 0.88
COR CoreSite Realty Corp 0.88
IPCC Infinity Property & Casualty Corp 0.88
CHCO City Holding Co 0.87
TMP Tompkins Financial Corp 0.87
BFS Saul Centers Inc 0.87
STL Sterling Bancorp/DE 0.86
HMN Horace Mann Educators Corp 0.86
TLMR Talmer Bancorp Inc 0.85
CBU Community Bank System Inc 0.85
KRG Kite Realty Group Trust 0.85
NBTB NBT Bancorp Inc 0.85
UBSI United Bankshares Inc/WV 0.85
BRKL Brookline Bancorp Inc 0.84
SAFT Safety Insurance Group Inc 0.84
ORIT Oritani Financial Corp 0.84
FFBC First Financial Bancorp 0.84
ONB Old National Bancorp/IN 0.83
CFNL Cardinal Financial Corp 0.83
EDR Education Realty Trust Inc 0.82
CVBF CVB Financial Corp 0.81
UHT Universal Health Realty Income Trust 0.81
TRST TrustCo Bank Corp NY 0.81
UMBF UMB Financial Corp 0.81
FMBI First Midwest Bancorp Inc/IL 0.79
AMSF AMERISAFE Inc 0.79
RLI RLI Corp 0.78
BANR Banner Corp 0.78
BKMU Bank Mutual Corp 0.78
SIGI Selective Insurance Group Inc 0.77
MBFI MB Financial Inc 0.77
FCF First Commonwealth Financial Corp 0.76
STC Stewart Information Services Corp 0.76
INDB Independent Bank Corp/Rockland MA 0.75
HOMB Home BancShares Inc/AR 0.75
WABC Westamerica Bancorporation 0.75
CDR Cedar Realty Trust Inc 0.75
AF Astoria Financial Corp 0.74
COLB Columbia Banking System Inc 0.73
STBA S&T Bancorp Inc 0.69
Industrials
15.17%
SSD Simpson Manufacturing Co Inc 0.96
KAMN Kaman Corp 0.94
ABM ABM Industries Inc 0.93
ESE ESCO Technologies Inc 0.92
HCSG Healthcare Services Group Inc 0.89
CUB Cubic Corp 0.89
MATW Matthews International Corp 0.88
GK G&K Services Inc 0.86
EME EMCOR Group Inc 0.86
UNF UniFirst Corp/MA 0.86
MLI Mueller Industries Inc 0.85
SXI Standex International Corp 0.81
AIT Applied Industrial Technologies Inc 0.81
TTEK Tetra Tech Inc 0.78
TNC Tennant Co 0.75
B Barnes Group Inc 0.74
EXPO Exponent Inc 0.73
KFY Korn/Ferry International 0.71
Utilities
7.73%
SR Spire Inc 0.99
NWN Northwest Natural Gas Co 0.93
AVA Avista Corp 0.91
EE El Paso Electric Co 0.90
ALE ALLETE Inc 0.89
NWE NorthWestern Corp 0.87
SWX Southwest Gas Corp 0.87
SJI South Jersey Industries Inc 0.76
AWR American States Water Co 0.61
Information Technology
7.19%
MANT ManTech International Corp/VA 0.92
MKSI MKS Instruments Inc 0.87
CCMP Cabot Microelectronics Corp 0.83
BMI Badger Meter Inc 0.83
TTEC TeleTech Holdings Inc 0.82
FORR Forrester Research Inc 0.79
EFII Electronics For Imaging Inc 0.78
SYKE Sykes Enterprises Inc 0.69
CACI CACI International Inc 0.67
Materials
5.06%
KALU Kaiser Aluminum Corp 1.09
DEL Deltic Timber Corp 0.93
FUL HB Fuller Co 0.89
NP Neenah Paper Inc 0.86
IOSP Innospec Inc 0.71
SWM Schweitzer-Mauduit International Inc 0.57
Consumer Discretionary
4.91%
DIN DineEquity Inc 0.89
DORM Dorman Products Inc 0.88
TXRH Texas Roadhouse Inc 0.85
PETS PetMed Express Inc 0.79
MNRO Monro Muffler Brake Inc 0.77
RUTH Ruth's Hospitality Group Inc 0.73
Consumer Staples
2.39%
JJSF J&J Snack Foods Corp 0.83
WDFC WD-40 Co 0.78
BGS B&G Foods Inc 0.77
Health Care
1.36%
VIVO Meridian Bioscience Inc 0.71
HAE Haemonetics Corp 0.65
Telecommunication Services
0.65%
ATNI Atlantic Tele-Network Inc 0.65