PIO vs. IHI ETF Comparison

Comparison of PowerShares Global Water Portfolio (PIO) to iShares U.S. Medical Devices ETF (IHI)
PIO

PowerShares Global Water Portfolio

PIO Description

The PowerShares Global Water Portfolio (Fund) is based on the NASDAQ OMX Global Water Index. The Fund generally will invest at least 90% of its total assets in companies listed on a global exchange that create products designed to conserve and purify water for homes, businesses and industries. The Fund and the Index are rebalanced quarterly and reconstituted annually in April.

Grade (RS Rating)

Last Trade

$43.11

Average Daily Volume

10,118

Number of Holdings *

12

* may have additional holdings in another (foreign) market
IHI

iShares U.S. Medical Devices ETF

IHI Description The investment seeks to track the investment results of an index composed of U.S. equities in the medical devices sector. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. It seeks to track the investment results of the Dow Jones U.S. Select Medical Equipment Index (the "underlying index"), which measures the performance of the medical equipment sector of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$58.59

Average Daily Volume

1,171,761

Number of Holdings *

52

* may have additional holdings in another (foreign) market
Performance
Period PIO IHI
30 Days 5.01% 1.97%
60 Days 12.03% 6.35%
90 Days 9.08% 8.62%
12 Months 26.51% 11.77%
0 Overlapping Holdings
Symbol Grade Weight in PIO Weight in IHI Overlap
PIO Overweight 12 Positions Relative to IHI
Symbol Grade Weight
PNR A 8.47%
ROP A 7.94%
DHR C 7.8%
ECL A 3.96%
AWK D 3.73%
XYL B 3.67%
WAT C 3.4%
VLTO B 3.39%
IEX B 2.26%
AOS B 1.95%
WMS B 1.73%
CWCO D 0.44%
PIO Underweight 52 Positions Relative to IHI
Symbol Grade Weight
ABT D -16.8%
ISRG B -11.98%
SYK B -10.37%
MDT C -4.97%
EW B -4.86%
BDX D -4.65%
BSX B -4.55%
DXCM B -4.53%
GEHC B -4.44%
IDXX D -4.33%
RMD C -3.53%
ZBH C -3.29%
STE D -2.78%
BAX C -2.64%
HOLX C -2.2%
PODD F -1.44%
TFX F -1.31%
SWAV B -1.3%
PEN F -1.09%
GMED D -0.75%
MASI C -0.73%
INSP C -0.72%
GKOS D -0.53%
ITGR B -0.47%
NVST F -0.46%
AXNX B -0.43%
IRTC D -0.42%
LIVN C -0.38%
ENOV D -0.37%
TMDX D -0.3%
CNMD F -0.29%
NARI F -0.29%
QDEL F -0.29%
IART F -0.29%
PRCT C -0.27%
TNDM C -0.26%
LMAT C -0.17%
NVCR F -0.17%
ATRC F -0.17%
OMCL F -0.16%
ATEC F -0.16%
AORT B -0.1%
VREX D -0.09%
SILK C -0.09%
TMCI F -0.07%
SIBN F -0.07%
NVRO F -0.06%
OFIX D -0.06%
SRDX F -0.05%
SENS F -0.04%
AXGN D -0.04%
FNA D -0.04%
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