ETF Components for PBP - PowerShares S&P 500 BuyWrite Portfolio


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
MSFT C 1.41 7.41
AAPL F 0.28 5.92
NVDA B 3.26 5.22
AMZN B 0.63 4.03
META B 2.55 2.69
GOOGL A 1.43 2.19
GOOG A 1.38 1.85
BRK.A B -0.41 1.73
LLY C 1.31 1.42
AVGO D 1.68 1.42
JPM B 1.09 1.32
XOM A -0.33 1.13
TSLA F 1.99 1.13
V C 0.37 1.02
UNH C -0.62 0.96
MA C 0.80 0.90
PG A 0.23 0.85
JNJ F 0.44 0.84
HD D 0.70 0.81
COST C 0.78 0.76
MRK A 0.03 0.74
ABBV B 1.10 0.69
CRM D -0.60 0.67
CVX A -0.19 0.65
AMD D 2.68 0.64
NFLX B 3.05 0.63
WMT A -2.49 0.60
BAC A 1.34 0.58
PEP A -2.39 0.54
KO B -0.50 0.53
TMO C 4.51 0.52
ADBE F 0.51 0.51
LIN C -0.21 0.51
DIS B 1.19 0.50
CSCO D 0.47 0.47
ACN D 0.27 0.47
WFC A 0.79 0.47
ORCL B 0.48 0.46
ABT D 0.54 0.45
MCD D -0.14 0.45
QCOM B 0.70 0.45
CAT A 1.59 0.44
INTU C 3.10 0.41
AMAT B 1.55 0.41
IBM C 1.21 0.40
GE A 5.81 0.40
VZ B 3.42 0.39
UBER D 2.40 0.37
NOW C 2.32 0.37
CMCSA D 0.26 0.37
INTC F 0.00 0.37
DHR C 7.22 0.37
TXN C 1.57 0.36
COP A 0.02 0.36
PFE F 0.11 0.35
UNP B 0.79 0.34
AMGN C 0.65 0.34
MU B 2.27 0.33
LOW D 0.38 0.32
SPGI C -0.44 0.32
ISRG C 2.12 0.32
PM A 2.03 0.32
NEE A 2.33 0.31
RTX A 0.29 0.31
BKNG C 1.61 0.30
HON B 0.41 0.30
GS A 1.29 0.30
LRCX D 1.83 0.30
AXP A 2.00 0.29
ETN A 1.44 0.29
PGR A 0.34 0.28
C A 2.13 0.27
SYK C 0.94 0.27
T C 0.88 0.27
ELV A 0.89 0.27
BLK C 0.71 0.26
PLD D 0.91 0.26
NKE D 0.08 0.26
DE A 0.19 0.25
UPS D 1.74 0.25
MS A 1.44 0.25
MDT C 0.35 0.25
TJX C 0.01 0.25
VRTX B 1.30 0.24
CI A 0.30 0.24
SCHW A 0.92 0.24
REGN C 0.55 0.23
SBUX F -0.09 0.23
LMT A 0.77 0.23
MMC B -0.23 0.23
ADI C 1.93 0.23
CB B -0.13 0.23
BA F -0.93 0.23
BMY F 0.16 0.23
ADP B 0.28 0.23
BSX A 0.65 0.23
KLAC D 2.20 0.22
PANW C 3.76 0.21
MDLZ D 0.89 0.21
BX C 2.12 0.21
TMUS B 0.70 0.20
CDNS D -2.06 0.20
GILD F 0.46 0.20
SNPS D 2.35 0.20
CVS D -0.34 0.20
EOG A 0.39 0.19
CMG A 0.96 0.19
AMT D 1.46 0.19
SHW C -2.49 0.18
WM B 0.86 0.18
SO A 0.95 0.18
ICE C 0.08 0.18
CME B 0.23 0.18
SLB D -0.17 0.18
MPC A -0.22 0.18
TGT A -0.42 0.18
PSX A 0.34 0.17
PH B 1.27 0.17
ABNB C 1.60 0.17
EQIX D 0.48 0.17
FCX A -2.37 0.17
MO A 0.75 0.17
DUK A 0.37 0.17
ZTS F 2.71 0.17
ANET D 1.16 0.17
TT A 1.05 0.16
TDG A 2.59 0.16
MCK A 0.66 0.16
APH A 1.76 0.16
BDX F 0.35 0.16
ITW C 0.53 0.16
CSX D 0.14 0.16
PYPL B 1.72 0.16
CL A 0.34 0.16
FDX A 0.88 0.15
NXPI D 3.03 0.15
MAR C 0.78 0.15
PXD A 0.24 0.15
HCA C 2.38 0.15
NOC B 0.67 0.15
EMR B 0.99 0.15
ORLY B -0.17 0.15
USB C 0.21 0.15
GD A 0.85 0.15
VLO A -0.33 0.14
MCO B 0.65 0.14
PNC A 0.87 0.14
CEG A 2.35 0.14
AON D 0.44 0.14
PCAR B 0.00 0.14
DXCM A 1.59 0.13
EW C 0.46 0.13
ECL C 0.40 0.13
NSC C 0.03 0.13
ROP B 0.64 0.13
CTAS A 0.31 0.13
MSI A 0.99 0.13
TFC A 1.93 0.12
WELL B 0.59 0.12
TRV C -0.04 0.12
GM A 4.19 0.12
AZO C 0.38 0.12
F A 0.08 0.12
MMM A 0.59 0.12
ADSK D 0.70 0.12
AJG B 0.32 0.12
AIG A 0.20 0.12
APD D -0.59 0.12
HLT C 1.02 0.12
COF A 1.15 0.12
TEL A 0.84 0.11
OXY A 0.13 0.11
OKE A 0.29 0.11
URI D 4.54 0.11
WMB A 0.00 0.11
ROST C -0.11 0.11
CARR D 1.46 0.11
SMCI D 5.88 0.11
SPG C 1.15 0.11
MCHP C 3.20 0.11
NUE A -7.64 0.11
CPRT B 1.18 0.11
DOW A -0.21 0.10
D A 0.55 0.10
AME C 0.81 0.10
IDXX D 1.82 0.10
AFL B 0.36 0.10
BK A 0.45 0.10
CCI D 0.59 0.10
MSCI D -13.64 0.10
AMP A -3.55 0.10
KMB A 4.92 0.10
A D 3.72 0.10
GWW C 1.44 0.10
FIS A 0.29 0.10
STZ A 0.02 0.10
CMI A 0.42 0.10
HES A -0.18 0.10
DLR C 1.14 0.10
O A -0.21 0.10
ALL A 0.36 0.10
SRE B 0.82 0.10
FTNT D 1.05 0.10
IQV D 1.91 0.10
MET B 0.43 0.10
PSA D 0.34 0.10
AEP B 0.74 0.10
JCI A 0.70 0.10
DHI D 3.49 0.10
NEM B -0.03 0.10
EXC A 0.16 0.09
IT C 1.38 0.09
KR A -1.53 0.09
FANG A 0.14 0.09
PWR A 2.23 0.09
IR C 0.86 0.09
MLM B 1.43 0.09
CSGP D 0.29 0.09
GIS A -0.14 0.09
SYY B -0.05 0.09
CNC B 0.75 0.09
LHX B 0.31 0.09
HUM D -0.05 0.09
GEHC C 1.97 0.09
RSG A 0.03 0.09
YUM A 0.63 0.09
LEN D 2.79 0.09
ODFL C 2.91 0.09
CTVA B -0.42 0.09
PAYX C 0.40 0.09
OTIS A 0.87 0.09
FAST D 0.52 0.09
PRU B -0.04 0.09
LULU D 0.71 0.09
MNST D -0.51 0.09
VRSK D -0.35 0.08
PPG D -0.03 0.08
GPN C 1.68 0.08
MPWR D 1.93 0.08
DD A -0.55 0.08
ROK D 1.20 0.08
PEG A 0.16 0.08
ADM B -1.41 0.08
CDW C 1.13 0.08
KVUE D -0.51 0.08
EL B 1.08 0.08
ACGL A 0.04 0.08
DG D -0.09 0.08
BKR B 0.77 0.08
DVN A 0.35 0.08
CTSH D -0.22 0.08
PCG A 0.41 0.08
VMC C 1.54 0.08
KMI A -0.11 0.08
MRNA B 2.37 0.08
HAL A -0.88 0.08
RMD D 1.59 0.07
KEYS D 1.77 0.07
HSY F 0.52 0.07
WST B 2.85 0.07
HIG A 0.29 0.07
KHC A 0.05 0.07
VICI D 0.68 0.07
MTD D 3.27 0.07
FTV C 0.47 0.07
XEL C 0.53 0.07
ANSS C 0.43 0.07
BIIB F 0.01 0.07
ON F 1.29 0.07
EXR D 1.22 0.07
FICO D 2.46 0.07
DAL A 0.96 0.07
ED A 0.32 0.07
EFX D 1.59 0.07
DFS A 1.78 0.07
XYL A 0.88 0.07
EA D 0.32 0.07
RCL A 3.43 0.07
KDP A -0.25 0.07
BR C 0.50 0.06
FITB A 1.31 0.06
WDC A 3.25 0.06
TTWO D 2.04 0.06
DOV A 1.22 0.06
WY D 1.37 0.06
NDAQ A -0.08 0.06
NVR A 0.40 0.06
GLW B 0.29 0.06
CHD A 0.47 0.06
WEC A 0.24 0.06
HPQ D 0.22 0.06
HWM C 2.24 0.06
TRGP A 1.13 0.06
CAH C -0.08 0.06
TROW D 0.69 0.06
EIX A 0.99 0.06
LYB A -0.25 0.06
CHTR F 2.04 0.06
WAB A 1.26 0.06
AVB A 1.26 0.06
ZBH D 0.25 0.06
WTW B -0.08 0.06
DLTR D 0.37 0.06
EBAY A 0.57 0.06
CBRE D 1.50 0.06
TSCO B 1.48 0.06
FE B 0.58 0.05
ARE C 1.37 0.05
BRO B 0.75 0.05
HBAN A 1.18 0.05
PPL A 0.11 0.05
FSLR B 2.33 0.05
INVH C 1.12 0.05
WAT D 4.70 0.05
STE D 2.63 0.05
GPC A -0.32 0.05
ES A 0.36 0.05
ILMN F 3.93 0.05
BALL A 0.43 0.05
CTRA A 0.00 0.05
APTV F 0.76 0.05
DECK D 2.35 0.05
BAX D 1.26 0.05
HUBB B 1.91 0.05
NTAP B 0.60 0.05
ULTA F 0.48 0.05
EQR A 1.38 0.05
PTC C 0.36 0.05
DTE B 0.35 0.05
STLD A -2.15 0.05
MOH D 0.30 0.05
ETR A 0.39 0.05
SBAC D 1.04 0.05
IFF A 0.61 0.05
STT A 0.07 0.05
GRMN A 1.03 0.05
MTB A 0.98 0.05
IRM B 0.90 0.05
AXON B 1.80 0.05
AWK C 0.91 0.05
ALGN D 2.63 0.05
BLDR D 3.87 0.05
HPE B 0.06 0.05
RJF A 0.95 0.05
PHM C 4.00 0.05
CCL F 3.50 0.04
ZBRA B 1.10 0.04
SNA D 0.87 0.04
ALB F 1.94 0.04
JBHT F -0.32 0.04
BBY B 0.75 0.04
MAA D 0.74 0.04
EQT B 0.97 0.04
BG A -0.27 0.04
CF D 0.47 0.04
TRMB C 0.96 0.04
EPAM D 1.05 0.04
CFG A 1.24 0.04
ESS A 1.33 0.04
EG B -0.14 0.04
AKAM D 0.92 0.04
CE C 0.57 0.04
MAS C 1.19 0.04
FDS D -4.10 0.04
PKG B -3.87 0.04
WRB B -5.21 0.04
ENPH F 2.94 0.04
VRSN F -0.13 0.04
SWKS D 1.24 0.04
TER D 1.74 0.04
SYF B 1.30 0.04
NRG A 1.63 0.04
TSN A 0.40 0.04
LUV C -0.57 0.04
CMS B 0.61 0.04
AVY C -0.15 0.04
MRO A -0.29 0.04
ATO A 0.07 0.04
STX D 2.04 0.04
EXPD D -0.18 0.04
EXPE C 2.28 0.04
NTRS A 1.45 0.04
VTR C 0.97 0.04
CNP B 0.14 0.04
TYL B 1.32 0.04
LH F 2.31 0.04
LDOS B 1.13 0.04
JBL D 0.70 0.04
PFG B -0.02 0.04
DPZ A 1.17 0.04
IEX C 1.15 0.04
CLX C 0.35 0.04
RF B 1.41 0.04
J C 0.31 0.04
HOLX B 1.10 0.04
OMC A 1.13 0.04
MKC A 0.12 0.04
DRI D 0.35 0.04
TXT A 1.61 0.04
CINF A 0.55 0.04
CBOE B -0.06 0.04
TDY D 1.17 0.04
AEE B 0.04 0.04
WBD D 0.30 0.04
LVS F -0.24 0.04
VLTO A 1.38 0.04
TECH F 1.94 0.03
HII B 0.37 0.03
UDR A 1.18 0.03
NI A 0.09 0.03
QRVO D 1.10 0.03
ALLE C 1.03 0.03
FFIV C 0.61 0.03
KMX D 2.27 0.03
EMN A -0.06 0.03
LW D 1.32 0.03
EVRG A 0.36 0.03
IPG D 0.26 0.03
JNPR C -0.44 0.03
SJM D -0.53 0.03
KIM D 0.65 0.03
AES B 3.11 0.03
MGM D 1.06 0.03
JKHY C 1.35 0.03
LNT A 0.56 0.03
ROL C 0.07 0.03
CRL D 3.76 0.03
TAP B -0.95 0.03
PODD F 1.52 0.03
WRK A -1.32 0.03
WBA F 0.03 0.03
IP D -0.82 0.03
AMCR D -0.06 0.03
APA B -0.83 0.03
DOC A 1.23 0.03
LKQ D -14.88 0.03
L B 0.30 0.03
PNR B 0.32 0.03
KEY A 0.51 0.03
VTRS D 0.76 0.03
UAL A 0.20 0.03
SWK D 1.52 0.03
HST C 1.34 0.03
CAG A 1.03 0.03
NDSN C -0.09 0.03
DGX A 4.97 0.03
LYV D 3.65 0.03
POOL D 1.74 0.03
K A -0.24 0.03
RL C 2.94 0.02
BIO F 3.64 0.02
CMA A 1.05 0.02
DVA B 1.06 0.02
IVZ C -5.58 0.02
HAS A 3.43 0.02
FOXA A 0.78 0.02
FRT B 1.28 0.02
RHI D 0.83 0.02
FMC D 1.21 0.02
BEN D -0.59 0.02
NCLH C 4.23 0.02
BWA B -0.12 0.02
ETSY F 3.43 0.02
PNW A 0.07 0.02
MKTX F -0.13 0.02
CHRW D -0.21 0.02
GNRC A 1.90 0.02
CPB A 0.64 0.02
SOLV F 2.11 0.02
AAL B -1.22 0.02
AIZ B 0.52 0.02
BXP C 3.52 0.02
CZR F 1.72 0.02
MTCH F 0.19 0.02
HSIC D 0.86 0.02
NWSA D 0.65 0.02
REG D 1.54 0.02
TPR D -1.59 0.02
PAYC D 1.01 0.02
DAY D -0.21 0.02
WYNN D 1.80 0.02
HRL A -0.14 0.02
TFX D 1.66 0.02
INCY F -0.19 0.02
CTLT C -0.18 0.02
UHS D 1.28 0.02
BBWI D 3.12 0.02
MOS F -0.81 0.02
AOS A 1.02 0.02
CPT A 0.79 0.02
NWS D 0.75 0.01
FOX A 0.66 0.01
GL F 11.05 0.01
PARA D 2.83 0.01
MHK D 2.66 0.01

Recent News for PowerShares S&P 500 BuyWrite Portfolio & its Holdings

Date Stock Title
Apr 23 NVDA What Exactly Does Nvidia Do?
Apr 23 PEP Celsius Holdings may have been the breakout star of the PepsiCo earnings call
Apr 23 NVDA 10 Stocks You Should Not Buy According to Jim Cramer
Apr 23 TECH Xerox Loses Steam In Q1, Stock Dips
Apr 23 IPG Interpublic Group of Companies Q4 2024 Earnings Preview
Apr 23 BA As airplane makers struggle to meet demand, Morocco wants to become a manufacturing hub
Apr 23 FDX UPDATE 1-UPS sees profit in U.S. Postal Service work that dragged down FedEx earnings
Apr 23 BIIB Biogen Q1 2024 Earnings Preview
Apr 23 BA Boeing’s Spirit AeroSystems Talks Hit Snag Over Airbus Part
Apr 23 HAL Halliburton Sees Best Profit in 12 Years Amid Smaller Shale
Apr 23 DHR Danaher Corporation 2024 Q1 - Results - Earnings Call Presentation
Apr 23 DHR Danaher Corporation (DHR) Q1 2024 Earnings Call Transcript
Apr 23 WMT Walmart-Backed Fintech Dives Into BNPL. It’s a Rival to Affirm.
Apr 23 SHW Sherwin-Williams Q1 results reflect soft housing market
Apr 23 WMT Walmart-backed fintech One launches 'buy now, pay later' loans, CNBC reports
Apr 23 AMZN Billionaire Investor David Tepper Has 32% of His Portfolio Invested in These 3 Incredible Artificial Intelligence (AI) Growth Stocks
Apr 23 AVGO Broadcom Faces Backlash Over Licensing, EU Trade Groups Demand Investigation
Apr 23 GOOG Google fires more workers who protested its deal with Israel
Apr 23 WMT Down On Its Luck Affirm Stock Gets Bearish Customer News
Apr 23 TSLA S&P 500 Climbs With Tesla Earnings in the Spotlight
The PowerShares S&P 500 BuyWrite Portfolio (Fund) is based on the CBOE S&P 500 BuyWrite IndexTM (Index). The Fund generally will invest at least 90% of its total assets in securities that comprise the Index, including at least 80% of its total assets in common stocks of the 500 companies included in the S&P 500® Index and will write (sell) call options thereon. The Index measures the total rate of return of an S&P 500 covered call strategy. This strategy consists of holding a portfolio indexed to the S&P 500 (Reference Index) and selling a succession of written options, each with an exercise price at or above the prevailing price level of the S&P 500. Dividends paid on the component stocks underlying the S&P 500 and the dollar value of option premiums received from written options are reinvested. The Fund and the Index are rebalanced and reconstituted quarterly.
Exchange Traded Fund ETF Invesco Powershares S&P 500 Index CBOE Options S&P 500 Index Chicago Board Options Exchange Covered Call CBOE DJIA Buywrite Index Buy Write Cboe S&P 500 Buywrite Index
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