ETF Components for SPMV - PowerShares S&P 500 Minimum Variance 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
ADBE B 0.35 2.57
TXN C -0.64 2.54
AMZN B 0.60 2.51
ACN A 0.63 2.49
MSFT A 0.48 2.49
UNH A 0.26 2.43
QCOM C 0.27 2.42
BRK.A A 1.10 2.36
MCD A 0.78 2.33
AMT B 0.59 2.25
NKE D 0.48 2.23
VZ B 1.01 2.22
CB D 0.41 2.04
MMC A 0.38 1.98
WM A 0.39 1.95
TJX B 1.08 1.91
NEE B 0.95 1.85
AAPL B -0.25 1.82
AON A 1.11 1.79
PG B 0.01 1.78
JNJ B 1.15 1.78
VRTX C -0.77 1.76
INTU B -0.42 1.75
INTC C -0.42 1.75
NEM B 0.97 1.73
MDT A 0.05 1.73
CCI A 0.08 1.58
GIS B 1.24 1.54
CL B 0.30 1.53
HD A 1.65 1.51
SO A 0.81 1.37
PEG A 1.52 1.36
CI B -0.70 1.26
VRSN B -0.08 1.22
GOOG A 0.05 1.21
LLY D 1.79 1.18
RSG A 0.11 1.15
PGR B -1.63 1.04
TYL B -0.27 0.99
GPN A 0.07 0.99
EW B 1.16 0.96
KMB C 0.21 0.94
CERN B 1.06 0.85
LH A 1.08 0.84
V A 0.06 0.83
MKC C 0.35 0.83
SYK A 0.11 0.82
CTXS C 1.20 0.79
DLR B -0.87 0.79
BAC C 1.06 0.77
HRL F 0.99 0.75
XOM B -0.56 0.73
SBUX A 1.44 0.73
D B 0.74 0.72
CTSH B 1.07 0.71
CLX C -0.54 0.70
ADP A 0.55 0.68
CTVA B -0.04 0.67
KO B 0.66 0.61
PLD A 0.18 0.60
EA C -1.20 0.59
PSA A -0.35 0.55
NVDA B -1.39 0.52
CAG B -0.08 0.52
REGN C 1.61 0.50
CSCO A 2.25 0.49
ROL C 0.11 0.47
INCY C -0.62 0.44
ADI C -0.75 0.42
ES B 1.01 0.41
XEL B 0.59 0.41
CVS B 0.13 0.40
ORCL A 0.84 0.36
AKAM C 0.12 0.31
ISRG B 0.98 0.30
AEE B 0.79 0.30
DUK A 0.92 0.29
TRV B 1.03 0.27
MNST A 2.31 0.25
AMD D -1.04 0.21
AMAT C -0.51 0.20
HSY A 0.06 0.20
HUM B 0.31 0.19
T C 0.67 0.19
CRM C -0.47 0.19
K C 0.60 0.16
JPM C 0.74 0.16
AEP B 0.85 0.16
WEC B 1.06 0.13
BDX B 1.20 0.13
SRE A 0.37 0.12
MU C 0.43 0.10
BMY B 1.58 0.08
The investment seeks to track the investment results (before fees and expenses) of the S&P 500® Minimum Volatility Index (the "underlying index"). The fund generally will invest at least 90% of its total assets in common stocks that comprise the underlying index. The underlying index measures the performance of a portfolio of equity securities using a managed volatility strategy that seeks to achieve lower total risk than the S&P 500® Index, while maintaining other similar characteristics of the S&P 500® Index. The fund is non-diversified.
Exchange Traded Fund ETF S&P 500 Index CBOE Technical Analysis Volatility S&P 500 Index VIX
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