PBD - PowerShares Global Clean Energy Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 08/22/2017
Sector Total  Ticker  Company  % of Fund 
Utilities
33.30%
DENERG DC DONG Energy A/S 2.00
BLX Boralex Inc 1.86
NYLD NRG Yield Inc 1.83
SAY Saeta Yield SA 1.83
EDPR EDP Renovaveis SA 1.81
916 China Longyuan Power Group Corp Ltd 1.81
TRIG LN Renewables Infrastructure Group Ltd/The 1.74
UKW LN Greencoat UK Wind PLC/Funds 1.73
PEGI Pattern Energy Group Inc 1.73
958 Huaneng Renewables Corp Ltd 1.71
RNW TransAlta Renewables Inc 1.70
TERP TerraForm Power Inc 1.32
ABY Atlantica Yield plc 1.21
686 Panda Green Energy Group Ltd 1.14
SUPER-R TB Superblock PCL 1.11
1381 Canvest Environmental Protection Group Co Ltd 1.00
DRX LN Drax Group PLC 0.90
VER AV Verbund AG 0.85
EDC Energy Development Corp 0.80
MCY Mercury NZ Ltd 0.77
CEN Contact Energy Ltd 0.76
INE Innergex Renewable Energy Inc 0.75
ORA Ormat Technologies Inc 0.67
735 China Power Clean Energy Development Co Ltd 0.45
SPCG-R TB SPCG PCL 0.36
1407 West Holdings Corp 0.35
CAP Capital Stage AG 0.35
ABIO FP Albioma SA 0.29
9517 eRex Co Ltd 0.28
AKENR TI Akenerji Elektrik Uretim AS 0.21
Industrials
32.70%
NDX1 Nordex SE 2.05
KSP Kingspan Group PLC 2.04
CAV1V FH Caverion Corp 1.95
6508 Meidensha Corp 1.92
VWS DC Vestas Wind Systems A/S 1.81
AYI Acuity Brands Inc 1.79
OSR OSRAM Licht AG 1.75
2208 Xinjiang Goldwind Science & Technology Co Ltd 1.75
LIGHT Philips Lighting NV 1.73
6674 GS Yuasa Corp 1.72
NIBEB SS Nibe Industrier AB 1.70
658 China High Speed Transmission Equipment Group Co Ltd 1.65
729 FDG Electric Vehicles Ltd 1.37
SGRE Siemens Gamesa Renewable Energy SA 1.26
6013 Takuma Co Ltd 1.04
257 China Everbright International Ltd 1.02
6889 Odelic Co Ltd 0.56
TPIC TPI Composites Inc 0.54
AMRC Ameresco Inc 0.50
5227 Advanced Lithium Electrochemistry Cayman Co Ltd 0.49
SEN Senvion SA 0.47
RCDO LN Ricardo PLC 0.46
2188 China Titans Energy Technology Group Co Ltd 0.44
DIA LN Dialight PLC 0.39
PLUG Plug Power Inc 0.37
BLDP Ballard Power Systems Inc 0.37
RUN Sunrun Inc 0.34
UTW LN Utilitywise PLC 0.34
LYTS LSI Industries Inc 0.32
750 China Singyes Solar Technologies Holdings Ltd 0.29
VSLR Vivint Solar Inc 0.28
Information Technology
22.35%
2448 Epistar Corp 1.87
ITRI Itron Inc 1.78
S92 SMA Solar Technology AG 1.70
OLED Universal Display Corp 1.65
CREE Cree Inc 1.59
5483 Sino-American Silicon Products Inc 1.51
FSLR First Solar Inc 1.41
968 Xinyi Solar Holdings Ltd 1.37
3800 GCL-Poly Energy Holdings Ltd 1.34
SPWR SunPower Corp 1.20
CSIQ Canadian Solar Inc 1.17
VECO Veeco Instruments Inc 1.17
SSNI Silver Spring Networks Inc 0.55
3393 Wasion Group Holdings Ltd 0.48
2393 Everlight Electronics Co Ltd 0.47
SEDG SolarEdge Technologies Inc 0.44
MXWL Maxwell Technologies Inc 0.41
MBTN SW Meyer Burger Technology AG 0.40
REC REC Silicon ASA 0.36
JASO JA Solar Holdings Co Ltd ADR 0.34
3576 Neo Solar Power Corp 0.31
6244 Motech Industries Inc 0.28
3691 Gigasolar Materials Corp 0.28
1165 Shunfeng International Clean Energy Ltd 0.27
Consumer Discretionary
3.46%
TSLA Tesla Inc 1.58
1211 BYD Co Ltd 1.46
KNDI Kandi Technologies Group Inc 0.42
Energy
2.59%
EA-R TB Energy Absolute PCL 0.93
GPRE Green Plains Inc 0.83
VBK VERBIO Vereinigte BioEnergie AG 0.33
CE2 CropEnergies AG 0.26
REGI Renewable Energy Group Inc 0.24
Materials
2.03%
NZYMB DC Novozymes A/S 1.08
4080 Tanaka Chemical Corp 0.94
Financials
1.68%
HASI Hannon Armstrong Sustainable Infrastructure Capital Inc 1.68
Consumer Staples
1.04%
SMTO3 Sao Martinho SA 1.04
Investment Companies
0.84%
GREEN SW Credit Suisse Real Estate Fund Green Property 0.50
GCP LN GCP Infrastructure Investments Ltd 0.34