Holdings

Symbol Grade Price % Change Allocation
UL B 0.00 0.61
CNI C 0.00 0.53
AGCO B 0.00 0.52
WCN C 0.00 0.51
CCEP B 0.00 0.48
TD C 0.00 0.47
NVS B 0.00 0.43
QGEN D 0.00 0.41

Recent News for PowerShares S&P International Developed Low Volatility Portfolio & its Holdings

Date Stock Title
Apr 25 UL Unilever Personal Care brands to partner CONMEBOL Copa América USA 2024™
Apr 25 AGCO AGCO declares $0.29 dividend & special variable dividend of $2.50/share
Apr 25 AGCO AGCO ANNOUNCES DIVIDENDS
Apr 25 UL Why Personal Products Major Unilever Shares Are Rising Today
Apr 25 UL AstraZeneca, Anglo American, Deutsche Bank: European Stocks in Focus
Apr 25 UL Why Unilever Stock Jumped Higher on the Market's Down Day
Apr 25 UL 12 Countries with the Largest Slum Population in Europe
Apr 25 AGCO Earnings Preview: Agco (AGCO) Q1 Earnings Expected to Decline
Apr 25 UL Ben & Jerry’s social justice activism ‘a strength not a weakness’, insists Unilever
Apr 25 UL Unilever and LVMH have one common bright spot—people love spending on beauty, and it’s outshining their other products
Apr 25 NVS Why Big Pharma Is Following Novartis' Lead In A $25 Billion Market
Apr 25 UL Unilever expects “improvement” in nutrition volumes from Q2
Apr 25 UL Investors Cheer Sales Growth at Ben & Jerry’s Owner Unilever
Apr 25 CNI Canadian National Railway First Quarter 2024 Earnings: In Line With Expectations
Apr 25 UL Q1 2024 Sales/ Trading Statement Call
Apr 25 UL Unilever Boosted by Power Brands as Consumers Trade Back Up
Apr 25 UL Tatcha, Hourglass, Living Proof Power Unilever’s Growth in First Quarter
Apr 25 CCEP Coca-Cola European Partners declares EUR 0.74 dividend
Apr 25 CCEP Coca-Cola Europacific Partners plc Announces Q1 Trading Update & Interim Dividend Declaration
Apr 24 TD TD and ApplyBoard collaborate to support international students pursuing studies in Canada
The PowerShares S&P International Developed Low Volatility Portfolio (Fund) is based on the S&P BMI International Developed Low Volatility Index ND (Index). The Fund will invest at least 90% of its total assets in the securities of companies that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor’s and consists of the 200 least volatile stocks of the S&P Developed ex. US and South Korea LargeMid Cap BMI Index over the past 12 months. The Index is computed using the net return, which withholds applicable taxes for non-resident investors. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations over time. The Fund and the Index are rebalanced and reconstituted quarterly.
Exchange Traded Fund ETF Exchange Traded Funds Invesco Powershares Technical Analysis Volatility VIX Nasdaq 100 Settlement Index S&P Developed
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