PJP vs. IBB ETF Comparison

Comparison of PowerShares Dynamic Pharmaceuticals (PJP) to iShares Nasdaq Biotechnology Index Fund (IBB)
PJP

PowerShares Dynamic Pharmaceuticals

PJP Description

The PowerShares Dynamic Pharmaceuticals Portfolio (Fund) is based on the Dynamic Pharmaceutical IntellidexSM Index (Intellidex Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Intellidex Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including: price momentum, earnings momentum, quality, management action, and value. The Underlying Intellidex Index is comprised of common stocks of 30 US pharmaceuticals companies. These are companies that are principally engaged in the research, development, manufacture, sale or distribution of pharmaceuticals and drugs of all types. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.

Grade (RS Rating)

Last Trade

$79.21

Average Daily Volume

25,973

Number of Holdings *

22

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

iShares Nasdaq Biotechnology Index Fund

IBB Description The investment seeks to track the investment results of an index composed of biotechnology and pharmaceutical equities listed on the NASDAQ. 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. The underlying index contains securities of NASDAQ® listed companies that are classified according to the Industry Classification Benchmark as either biotechnology or pharmaceuticals and that also meet other eligibility criteria determined by The NASDAQ OMX Group, Inc. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$132.96

Average Daily Volume

1,715,619

Number of Holdings *

214

* may have additional holdings in another (foreign) market
Performance
Period PJP IBB
30 Days 0.63% -0.43%
60 Days 2.73% -4.01%
90 Days 4.51% -1.22%
12 Months 4.68% 2.27%
7 Overlapping Holdings
Symbol Grade Weight in PJP Weight in IBB Overlap
AMGN A 5.77% 8.68% 5.77%
BIIB D 3.61% 3.14% 3.14%
GERN B 7.79% 0.17% 0.17%
GILD F 3.36% 7.99% 3.36%
LGND D 3.57% 0.12% 0.12%
REGN B 5.57% 8.14% 5.57%
UTHR A 4.08% 1.1% 1.1%
PJP Overweight 15 Positions Relative to IBB
Symbol Grade Weight
MRK B 6.04%
LLY D 5.77%
PFE D 5.5%
JNJ F 5.5%
ABBV D 5.44%
ABT D 5.44%
ANIP C 4.12%
SUPN D 4.0%
PBH D 3.83%
CORT D 3.8%
PRGO B 3.73%
INVA B 3.61%
JAZZ D 3.23%
PCRX F 3.2%
AMPH F 2.94%
PJP Underweight 207 Positions Relative to IBB
Symbol Grade Weight
VRTX D -8.34%
IQV D -4.51%
MRNA B -3.83%
MTD D -2.8%
ILMN F -2.06%
ARGX D -1.99%
WAT D -1.96%
ALNY D -1.94%
BNTX D -1.93%
GMAB D -1.66%
BMRN F -1.63%
NBIX A -1.43%
BGNE D -1.29%
CRL D -1.23%
INCY D -1.22%
SRPT B -1.21%
NTRA A -1.08%
TECH C -1.05%
MEDP D -1.03%
RGEN D -0.93%
BRKR F -0.78%
EXEL D -0.75%
ITCI C -0.73%
LEGN F -0.73%
ASND D -0.71%
CYTK D -0.69%
PCVX D -0.66%
IONS F -0.6%
BPMC A -0.59%
ROIV B -0.56%
RVMD A -0.52%
HALO D -0.52%
APLS F -0.51%
CRSP F -0.46%
ALKS F -0.43%
INSM D -0.39%
KRYS D -0.39%
RARE D -0.36%
MDGL D -0.34%
BBIO F -0.34%
FTRE C -0.34%
CRNX A -0.32%
XENE C -0.31%
ALPN A -0.31%
FOLD F -0.31%
SWTX D -0.3%
AXSM C -0.3%
ACAD F -0.29%
TXG F -0.28%
BHVN D -0.28%
IOVA D -0.27%
IDYA D -0.27%
ARWR F -0.27%
IMCR D -0.26%
OLK D -0.26%
MOR C -0.25%
VCEL C -0.23%
NUVL D -0.22%
ACLX D -0.21%
MRUS C -0.21%
RYTM C -0.21%
RCKT D -0.2%
PTCT B -0.2%
NTLA F -0.2%
TWST B -0.19%
AGIO A -0.19%
ARVN D -0.19%
KYMR D -0.19%
SNDX D -0.18%
DNLI F -0.18%
IMVT F -0.18%
RNA A -0.18%
MYGN D -0.17%
GLPG F -0.17%
KROS D -0.16%
DVAX D -0.16%
VCYT D -0.16%
BEAM F -0.16%
JANX A -0.16%
PTGX D -0.15%
GRFS F -0.15%
ADMA A -0.15%
ZLAB F -0.14%
VERA C -0.14%
NVCR D -0.13%
DYN D -0.13%
FUSN A -0.13%
GPCR F -0.13%
INBX D -0.13%
KURA D -0.13%
IRWD F -0.13%
MORF F -0.12%
MNKD D -0.12%
AKRO F -0.12%
XNCR C -0.12%
RXRX F -0.12%
APGE D -0.11%
FDMT D -0.11%
DNA F -0.11%
MIRM D -0.1%
SANA C -0.1%
PRTA F -0.1%
EWTX B -0.1%
STVN F -0.1%
MRVI C -0.09%
TARS C -0.09%
BCRX F -0.09%
MGNX D -0.09%
ARQT D -0.09%
ZNTL F -0.08%
VRNA D -0.08%
RGNX F -0.08%
BCYC C -0.08%
ABCL F -0.08%
SRRK C -0.08%
DAWN A -0.08%
AUPH F -0.07%
ARCT F -0.07%
CTKB F -0.07%
SAGE F -0.07%
VIR C -0.07%
AUTL F -0.07%
KNSA C -0.07%
ETNB F -0.07%
DCPH A -0.07%
RCUS F -0.07%
CGEM A -0.06%
NVAX D -0.06%
ZYME D -0.06%
QTRX F -0.06%
NRIX D -0.06%
RLAY F -0.06%
PLRX F -0.06%
FULC D -0.05%
EDIT F -0.05%
ANAB B -0.05%
OPK C -0.05%
ALXO B -0.05%
OLMA F -0.05%
YMAB C -0.05%
CSTL B -0.05%
COGT C -0.05%
IRON F -0.04%
HUMA B -0.04%
SPRY C -0.04%
MXCT D -0.04%
VERV F -0.04%
ALEC F -0.04%
CMPS D -0.04%
ABUS D -0.04%
PACB F -0.04%
ELVN B -0.04%
TNGX F -0.04%
ADPT F -0.04%
CDNA C -0.04%
NUVB B -0.04%
URGN F -0.04%
EXAI F -0.04%
FLGT F -0.04%
WVE C -0.04%
TVTX F -0.04%
CABA F -0.04%
TBPH C -0.04%
CNTA D -0.04%
MGTX F -0.03%
RAPT F -0.03%
VNDA B -0.03%
TRML F -0.03%
LYEL C -0.03%
SLRN F -0.03%
KALV D -0.03%
IMMP B -0.03%
REPL F -0.03%
AVXL F -0.03%
AVIR C -0.03%
BMEA F -0.03%
TSHA D -0.03%
CRBU F -0.03%
SVRA D -0.03%
SMMT C -0.03%
ALLO F -0.03%
ITOS C -0.03%
ORIC D -0.03%
RVNC F -0.03%
VYGR D -0.03%
THRD B -0.02%
MLYS D -0.02%
PRME F -0.02%
ERAS D -0.02%
PGEN D -0.02%
TERN F -0.02%
BLUE F -0.02%
OVID F -0.02%
VTYX F -0.02%
QURE F -0.02%
CHRS F -0.02%
NBTX F -0.02%
CVAC D -0.02%
ATAI C -0.02%
PHAT C -0.02%
MRNS F -0.01%
ACRS D -0.01%
AMLX F -0.01%
NAUT D -0.01%
ACIU F -0.01%
RNAC C -0.0%
RPHM D -0.0%
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