PDP - PowerShares DWA Momentum Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 09/18/2017
Sector Total  Ticker  Company  % of Fund 
Information Technology
27.09%
AAPL Apple Inc 3.18
MA Mastercard Inc 2.41
ANSS ANSYS Inc 1.75
APH Amphenol Corp 1.51
NVDA NVIDIA Corp 1.46
FISV Fiserv Inc 1.32
AMD Advanced Micro Devices Inc 1.06
IT Gartner Inc 1.03
IPGP IPG Photonics Corp 1.00
TTWO Take-Two Interactive Software Inc 0.94
EA Electronic Arts Inc 0.85
LFUS Littelfuse Inc 0.81
ULTI Ultimate Software Group Inc/The 0.78
MMS MAXIMUS Inc 0.77
FB Facebook Inc 0.75
CDNS Cadence Design Systems Inc 0.72
MPWR Monolithic Power Systems Inc 0.66
OLED Universal Display Corp 0.62
V Visa Inc 0.59
AZPN Aspen Technology Inc 0.59
COHR Coherent Inc 0.58
CSGP CoStar Group Inc 0.57
LOGM LogMeIn Inc 0.57
JKHY Jack Henry & Associates Inc 0.55
FICO Fair Isaac Corp 0.53
ATVI Activision Blizzard Inc 0.53
INTU Intuit Inc 0.53
CRUS Cirrus Logic Inc 0.43
Industrials
19.22%
MIC Macquarie Infrastructure Corp 2.47
ROL Rollins Inc 2.29
ROP Roper Technologies Inc 1.99
LMT Lockheed Martin Corp 1.63
NOC Northrop Grumman Corp 1.21
UNP Union Pacific Corp 1.03
TDG TransDigm Group Inc 0.95
IEX IDEX Corp 0.94
ODFL Old Dominion Freight Line Inc 0.93
AOS AO Smith Corp 0.90
CPRT Copart Inc 0.86
TDY Teledyne Technologies Inc 0.83
HII Huntington Ingalls Industries Inc 0.62
SWK Stanley Black & Decker Inc 0.59
TTC Toro Co/The 0.52
MMM 3M Co 0.51
ITW Illinois Tool Works Inc 0.51
LII Lennox International Inc 0.46
Consumer Discretionary
15.36%
PCLN Priceline Group Inc/The 2.67
DPZ Domino's Pizza Inc 2.21
WYN Wyndham Worldwide Corp 1.57
AMZN Amazon.com Inc 1.37
SIRI Sirius XM Holdings Inc 0.93
SCI Service Corp International/US 0.77
CBS CBS Corp 0.70
CHTR Charter Communications Inc 0.65
VC Visteon Corp 0.65
MTN Vail Resorts Inc 0.62
NVR NVR Inc 0.59
LVNTA Liberty Ventures 0.57
CBRL Cracker Barrel Old Country Store Inc 0.56
HD Home Depot Inc/The 0.54
TXRH Texas Roadhouse Inc 0.50
POOL Pool Corp 0.47
Health Care
13.41%
EXEL Exelixis Inc 2.60
WST West Pharmaceutical Services Inc 1.80
MTD Mettler-Toledo International Inc 1.35
ABMD ABIOMED Inc 1.20
COO Cooper Cos Inc/The 1.03
DHR Danaher Corp 0.96
ALGN Align Technology Inc 0.75
BDX Becton Dickinson and Co 0.66
WAT Waters Corp 0.57
IDXX IDEXX Laboratories Inc 0.56
UNH UnitedHealth Group Inc 0.55
PRAH PRA Health Sciences Inc 0.51
MASI Masimo Corp 0.48
NUVA NuVasive Inc 0.38
Financials
12.53%
MKTX MarketAxess Holdings Inc 2.12
ACGL Arch Capital Group Ltd 2.10
WRB WR Berkley Corp 1.78
CACC Credit Acceptance Corp 1.56
RNR RenaissanceRe Holdings Ltd 1.14
CB Chubb Ltd 0.70
MKL Markel Corp 0.68
WAL Western Alliance Bancorp 0.66
WTM White Mountains Insurance Group Ltd 0.63
AFG American Financial Group Inc/OH 0.60
AMP Ameriprise Financial Inc 0.57
Real Estate
4.28%
AMT American Tower Corp 3.09
SBAC SBA Communications Corp 0.63
EQIX Equinix Inc 0.57
Materials
3.39%
SHW Sherwin-Williams Co/The 1.60
ECL Ecolab Inc 0.74
PKG Packaging Corp of America 0.55
RPM RPM International Inc 0.51
Utilities
2.77%
UGI UGI Corp 1.04
NEE NextEra Energy Inc 0.61
CMS CMS Energy Corp 0.59
ATO Atmos Energy Corp 0.54
Consumer Staples
1.27%
MO Altria Group Inc 1.27
Energy
0.68%
LNG Cheniere Energy Inc 0.68