PIE - PowerShares DWA Emerging Markets Momentum Portfolio

Fund Holdings

Fund holdings are subject to change.

Group by Sector:
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as of 12/11/2017
Sector Total  Ticker  Company  % of Fund 
Information Technology
31.99%
700 Tencent Holdings Ltd 3.41
INRI Inari Amertron Bhd 3.29
2018 AAC Technologies Holdings Inc 2.98
2382 Sunny Optical Technology Group Co Ltd 2.27
6414 Ennoconn Corp 2.15
3008 Largan Precision Co Ltd 1.81
2492 Walsin Technology Corp 1.76
2327 Yageo Corp 1.66
2337 Macronix International 1.51
2345 Accton Technology Corp 1.39
3036 WT Microelectronics Co Ltd 1.17
2439 Merry Electronics Co Ltd 1.04
2330 Taiwan Semiconductor Manufacturing Co Ltd 1.04
696 TravelSky Technology Ltd 1.00
4915 Primax Electronics Ltd 0.98
285 BYD Electronic International Co Ltd 0.73
2313 Compeq Manufacturing Co Ltd 0.68
3019 Asia Optical Co Inc 0.63
2344 Winbond Electronics Corp 0.61
2352 Qisda Corp 0.53
6116 HannStar Display Corp 0.48
6415 Silergy Corp 0.46
6456 General Interface Solution Holding Ltd 0.42
Consumer Discretionary
16.30%
NPN Naspers Ltd 2.71
BEAUTY-R T Beauty Community PCL 2.08
175 Geely Automobile Holdings Ltd 2.01
9938 Taiwan Paiho Ltd 1.56
EDU New Oriental Education & Technology Group Inc ADR 1.50
1316 Nexteer Automotive Group Ltd 1.16
425 Minth Group Ltd 1.06
881 Zhongsheng Group Holdings Ltd 0.70
2723 Gourmet Master Co Ltd 0.64
CVCB3 CVC Brasil Operadora e Agencia de Viagens SA 0.54
2238 Guangzhou Automobile Group Co Ltd 0.50
1728 China ZhengTong Auto Services Holdings Ltd 0.49
SMLS3 Smiles Fidelidade SA 0.47
ARZZ3 Arezzo Industria e Comercio SA 0.46
HGTX3 Cia Hering 0.43
Real Estate
12.03%
SWB Sunway Bhd 1.88
CPN-R TB Central Pattana PCL 1.39
3883 China Aoyuan Property Group Ltd 1.36
1918 Sunac China Holdings Ltd 1.31
2007 Country Garden Holdings Co Ltd 0.85
1628 Yuzhou Properties Co Ltd 0.81
884 CIFI Holdings Group Co Ltd 0.63
BLAND-R TB Bangkok Land PCL 0.55
1238 Powerlong Real Estate Holdings Ltd 0.55
3380 Logan Property Holdings Co Ltd 0.54
3383 Agile Group Holdings Ltd 0.50
1813 KWG Property Holding Ltd 0.44
817 China Jinmao Holdings Group Ltd 0.43
1966 China SCE Property Holdings Ltd 0.40
2777 Guangzhou R&F Properties Co Ltd 0.40
Industrials
8.35%
SM SM Investments Corp 1.26
6409 Voltronic Power Technology Corp 1.12
1308 SITC International Holdings Co Ltd 0.82
GAPB Grupo Aeroportuario del Pacifico SAB de CV 0.77
ASURB Grupo Aeroportuario del Sureste SAB de CV 0.69
OMAB Grupo Aeroportuario del Centro Norte SAB de CV 0.65
AOT-R TB Airports of Thailand PCL 0.62
1590 Airtac International Group 0.57
RENT3 Localiza Rent a Car SA 0.50
3665 Bizlink Holding Inc 0.48
2633 Taiwan High Speed Rail Corp 0.48
3808 Sinotruk Hong Kong Ltd 0.39
Financials
7.85%
TISCO-R TB Tisco Financial Group PCL 2.15
TCAP-R TB Thanachart Capital PCL 1.03
2809 King's Town Bank Co Ltd 0.73
HDB HDFC Bank Ltd ADR 0.65
2388 BOC Hong Kong Holdings Ltd 0.61
CPI Capitec Bank Holdings Ltd 0.60
MTLS-R TB Muangthai Leasing PCL 0.58
2884 E.Sun Financial Holding Co Ltd 0.52
BCH Banco de Chile ADR 0.50
OTP HB OTP Bank PLC 0.48
Consumer Staples
7.68%
CPALL-R TB CP ALL PCL 2.97
CLS Clicks Group Ltd 1.73
2912 President Chain Store Corp 0.76
1229 Lien Hwa Industrial Corp 0.70
FIVE X5 Retail Group NV GDR 0.56
AC* Arca Continental SAB de CV 0.50
BACHOCOB M Industrias Bachoco SAB de CV 0.47
Health Care
6.89%
HART Hartalega Holdings Bhd 4.00
1093 CSPC Pharmaceutical Group Ltd 1.98
FLRY3 Fleury SA 0.53
QUAL3 Qualicorp SA 0.38
Materials
5.02%
PMAH Press Metal Aluminium Holdings Bhd 1.26
MND Mondi Ltd 1.05
VEDL Vedanta Ltd ADR 0.57
VALE3 Vale SA 0.56
1909 Long Chen Paper Co Ltd 0.55
SQM Sociedad Quimica y Minera de Chile SA ADR 0.54
3993 China Molybdenum Co Ltd 0.50
Utilities
2.41%
CSMG3 COPASA 0.76
371 Beijing Enterprises Water Group Ltd 0.59
EGCO-R TB Electricity Generating PCL 0.54
ELET3 Centrais Eletricas Brasileiras SA 0.53
Energy
1.48%
TUPRS TI Tupras Turkiye Petrol Rafinerileri AS 0.51
PETR4 Petroleo Brasileiro SA 0.48
ADRO IJ Adaro Energy Tbk PT 0.48