ETF Components for PFM - PowerShares Dividend Achievers


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 D -0.35 3.91
AAPL C -0.03 3.90
AVGO D 0.87 3.32
JPM B 1.17 3.01
WMT A 1.22 2.92
UNH B -0.02 2.35
XOM A 0.69 2.31
V A 0.72 2.25
ORCL A 2.66 2.21
MA B 0.83 2.06
COST A 2.51 1.76
HD C 1.62 1.76
PG C 0.98 1.73
JNJ D 1.06 1.61
BAC A 1.37 1.56
ABBV F 2.01 1.27
CVX A 0.50 1.27
KO D 0.50 1.15
MRK F 1.23 1.06
CSCO B 0.52 1.00
ACN B 1.20 0.95
MS B 2.10 0.94
PEP F 0.28 0.94
LIN D 0.39 0.93
MCD D -1.48 0.90
ABT B 0.15 0.88
PM A 1.09 0.88
IBM C 2.94 0.83
TXN C -0.38 0.82
INTU B 3.52 0.82
CAT C 1.92 0.81
GS B 2.39 0.80
QCOM F 1.41 0.79
VZ C 0.57 0.77
DHR D -0.62 0.72
CMCSA B 0.98 0.72
RTX D 1.29 0.69
NEE C 0.47 0.68
SPGI D 1.17 0.68
BLK B 0.89 0.67
LOW C 0.74 0.66
AMGN D 0.03 0.65
SYK A 0.76 0.64
HON B -0.47 0.64
ETN B 3.16 0.62
UNP D 1.30 0.62
PFE F -0.14 0.61
LMT D 1.44 0.55
ADP B 1.31 0.53
BMY B 0.44 0.50
CB D 0.63 0.50
SBUX B 1.67 0.49
MMC D 0.91 0.48
MDT D 0.87 0.48
PLD D 0.12 0.46
ADI D 1.05 0.45
UPS C -0.22 0.43
SO C -0.38 0.42
SHW C 1.79 0.41
MO A 0.66 0.41
TT A 1.37 0.40
ELV F 0.63 0.40
AMT D 0.71 0.40
NKE F 1.84 0.39
ICE D 1.03 0.39
CTAS B 0.67 0.38
DUK C 0.72 0.38
WM B 0.62 0.38
APH B 4.06 0.37
MDLZ F 0.26 0.37
MCO B 0.02 0.37
AON B 0.51 0.36
KLAC F 2.60 0.36
ZTS D 0.75 0.35
ITW B 1.11 0.35
MSI A 0.30 0.35
CME A -0.71 0.35
PNC B 1.50 0.35
GD D 0.29 0.34
USB A 2.11 0.34
MCK A 0.80 0.34
CL D 0.67 0.33
APD A 0.36 0.32
EMR A 0.36 0.32
NOC D 0.68 0.31
MMM D -0.03 0.31
TGT F 0.38 0.31
ECL D 0.16 0.30
CSX C 1.17 0.29
EPD A 1.84 0.29
AJG A 0.49 0.28
BDX F 1.34 0.28
RSG A 0.55 0.28
TFC B 1.57 0.27
AFL C 1.47 0.27
ROP C 0.30 0.26
TRV B 1.17 0.26
GWW B 1.37 0.25
BK B 0.73 0.25
MET A 2.69 0.25
SRE A 0.87 0.25
PSX C 0.03 0.24
AMP A 1.58 0.24
ALL A 2.12 0.23
PAYX B 0.78 0.22
AEP C 0.53 0.22
COR B 0.08 0.21
MPLX A 1.77 0.21
O D 0.63 0.21
CMI A 2.20 0.21
KMB C 0.82 0.20
PRU B 1.78 0.20
LHX B 0.88 0.20
NDAQ A 0.25 0.20
FAST B 0.61 0.20
DFS B 1.42 0.19
PEG A 1.23 0.19
KR B 1.18 0.18
XEL A 1.10 0.17
GLW B 0.45 0.17
HPQ B 2.67 0.16
A F 1.98 0.16
VMC B 0.35 0.16
SYY D 1.25 0.16
RJF A 0.44 0.15
HIG A 0.88 0.15
EXR C 1.16 0.15
MCHP F 1.38 0.15
RMD C -0.02 0.15
NUE D 0.53 0.15
FITB B 0.76 0.14
ROK B -1.04 0.14
EIX C 0.43 0.14
HUM C 0.49 0.14
ED C 0.14 0.14
CAH B 1.72 0.13
TSCO D 1.35 0.13
XYL D 2.99 0.13
BRO B 1.34 0.13
WEC A 1.17 0.13
BR B 0.74 0.12
CHD A 0.81 0.12
LYB F 0.41 0.12
DOV B 2.11 0.12
PPG F 0.47 0.12
STT A 0.83 0.12
AEE A 1.52 0.11
DTE C 0.84 0.11
HSY F 0.34 0.11
ADM D 0.51 0.11
AWK C 0.46 0.11
TROW B 0.48 0.11
ES C 1.14 0.10
WST C 1.45 0.10
ATO A 1.26 0.10
WRB A 1.47 0.10
CINF A 1.73 0.10
HUBB B 3.55 0.10
CDW F 1.29 0.10
RF A 1.92 0.10
CSL C 2.47 0.09
PFG C 0.14 0.09
CMS C 0.78 0.09
CLX A -0.04 0.09
PKG A 0.16 0.09
STE D 0.49 0.09
CBOE C 0.14 0.09
STLD B 0.92 0.09
LII A 4.25 0.09
RPM B 0.90 0.08
KEY B 1.71 0.08
DGX A 0.92 0.08
BAH F 3.56 0.08
ARE F 1.05 0.08
FDS B 1.87 0.08
TSN B 1.01 0.08
WSO A 1.50 0.08
MAA B 0.49 0.08
MKC C 0.97 0.08
SNA B 0.26 0.08
JBHT C 1.09 0.08
ERIE D -0.46 0.08
BBY D 0.52 0.08
ESS B 1.28 0.08
GGG B 0.43 0.07
RGA B 0.67 0.07
DPZ C 2.11 0.07
LNT A 0.19 0.07
AVY D 0.07 0.07
FIX A 3.34 0.07
HRL D 0.38 0.07
WLK F 0.48 0.07
NI A 1.15 0.07
FNF D 0.24 0.07
WSM C -2.77 0.07
MAS D 0.93 0.07
RS B 0.77 0.07
EXPD D 1.27 0.07
IEX B 1.21 0.07
GPC F 0.74 0.07
CHRW B 0.06 0.06
ELS B 0.07 0.06
SWK F 1.83 0.06
UNM A 3.93 0.06
REG A 0.13 0.06
POOL D 1.28 0.06
RNR C 0.23 0.06
MORN B 1.33 0.06
NDSN C 2.05 0.06
UDR C 1.26 0.06
EVRG A -0.37 0.06
HEI A 0.24 0.06
CASY A 0.97 0.06
SEIC B -0.12 0.05
WTRG B 1.05 0.05
CUBE D 0.97 0.05
ATR B 0.46 0.05
EVR B 2.12 0.05
BEN C 0.51 0.05
RRX B 1.21 0.05
AIZ A 1.58 0.05
AFG A 1.95 0.05
SJM D 0.31 0.05
LECO C 1.35 0.05
EMN D 1.02 0.05
ALB B -0.70 0.05
ITT B 1.86 0.05
SCI B 0.57 0.05
JKHY D 0.72 0.05
ENSG D 1.11 0.04
EGP D 0.40 0.04
CHE D 0.94 0.04
TTC F 1.59 0.04
OGE A 0.97 0.04
ZION B 1.56 0.04
AOS F 1.62 0.04
WTFC B 2.25 0.04
CFR B 0.49 0.04
INGR B 1.31 0.04
DCI B 0.59 0.04
REXR F 0.05 0.04
CBSH B 1.44 0.04
RGLD C -0.17 0.04
AES F -0.26 0.04
ORI A 0.64 0.04
GL C 0.67 0.04
MKTX D -1.32 0.04
LAD B 3.00 0.04
AIT B 2.06 0.04
CHDN B 1.04 0.04
PRI B 0.82 0.04
PNW A 1.49 0.04
IPG D 1.34 0.04
THG A 0.82 0.03
TRNO D 1.29 0.03
THO C 2.23 0.03
FFIN B 0.53 0.03
UMBF B 2.77 0.03
SIGI C 0.78 0.03
LFUS D 0.54 0.03
IDA A 0.34 0.03
CBT C 1.37 0.03
HOMB B 1.18 0.03
BMI B 1.75 0.03
STAG D 1.06 0.03
MSA D 0.52 0.03
FAF A -0.21 0.03
CADE B 1.67 0.03
FR D 0.47 0.03
AGCO F 6.19 0.03
R B 1.18 0.03
OSK C 1.36 0.03
AXS A 1.12 0.03
WBA F 0.67 0.03
BOKF B 1.75 0.03
SSD D 0.82 0.03
ADC A -0.73 0.03
RHI C 1.07 0.03
HII F 1.09 0.03
NNN C 0.05 0.03
PB B 1.65 0.03
SSB B 2.16 0.03
UFPI C 1.61 0.03
RLI A 1.12 0.03
WSFS B 2.42 0.02
CBU B 2.61 0.02
PRGO C -0.41 0.02
SR A 2.07 0.02
PII F 1.66 0.02
MGEE B 0.19 0.02
GFF A 2.80 0.02
AUB B 1.94 0.02
MDU D 2.37 0.02
CCOI B 2.90 0.02
WDFC B 0.78 0.02
ASH F 1.08 0.02
BANF B 1.59 0.02
ASB B 0.79 0.02
FUL F -0.03 0.02
CNO B 1.82 0.02
BKH A 1.13 0.02
IBOC B 2.10 0.02
AVNT B 1.81 0.02
FLO D 0.32 0.02
POR C 1.26 0.02
KAI B 1.92 0.02
NJR A 1.11 0.02
AVT C 1.39 0.02
EXPO D 0.14 0.02
FELE B 1.11 0.02
LANC D 0.93 0.02
SON D -0.10 0.02
CNS B 2.24 0.02
NXST D 0.34 0.02
AGO A -0.08 0.02
UGI C 1.56 0.02
TKR F 1.74 0.02
MATX B 0.55 0.02
AL B 2.47 0.02
GATX A 1.53 0.02
DDS B 2.52 0.02
OZK B 1.87 0.02
BC F 1.66 0.02
SWX A 0.32 0.02
UBSI B 1.52 0.02
BCPC B 0.75 0.02
WTS B 1.85 0.02
NFG A 2.72 0.02
SLGN A 1.45 0.02
MSEX B 0.79 0.01
GABC B 0.90 0.01
TR B 1.02 0.01
UVV B 1.51 0.01
LNN B 1.75 0.01
WABC B 1.77 0.01
NWN A 1.39 0.01
CSGS B 1.05 0.01
TCBK B 1.10 0.01
STBA B 2.10 0.01
SRCE B 2.04 0.01
ANDE F 0.19 0.01
TNC F 2.72 0.01
HMN B 1.73 0.01
DKL C 0.53 0.01
SCL D 0.48 0.01
GTY A 0.84 0.01
SJW F 0.54 0.01
APOG B 1.98 0.01
LKFN B 2.75 0.01
NHC C 1.77 0.01
CHCO B 2.50 0.01
AGM B 1.13 0.01
WOR F 1.70 0.01
WSBC B 1.35 0.01
SYBT B 1.84 0.01
HI C 3.58 0.01
NBTB B 2.59 0.01
LMAT A 2.20 0.01
MTRN C 1.75 0.01
SXI B 0.77 0.01
HNI A 1.67 0.01
FRME B 1.26 0.01
TOWN B 0.99 0.01
HWKN B 0.89 0.01
NSP F 0.14 0.01
ABR C -0.45 0.01
CPK A 0.62 0.01
CWT C 0.44 0.01
WAFD B 1.25 0.01
IOSP C 0.62 0.01
MAN F 0.05 0.01
AVA C -0.36 0.01
INDB B 0.73 0.01
SFNC B 1.00 0.01
TRN B 0.13 0.01
KWR C 0.76 0.01
AWR B 0.11 0.01
BRC C -0.25 0.01
JJSF C 0.30 0.01
OTTR C 2.21 0.01
NWE C 1.04 0.01
POWI D 0.61 0.01
FIBK A 1.74 0.01
ABM B 0.23 0.01
JOUT F 2.59 0.00
FLIC B 1.99 0.00
ARTNA F 0.62 0.00
HVT F 2.32 0.00
ODC C 0.86 0.00
BMRC B 1.64 0.00
CTO B 0.82 0.00
YORW D 0.06 0.00
AROW B 0.92 0.00
UHT D 0.46 0.00
THFF B 2.01 0.00
PLOW F 0.63 0.00
HIFS B 0.00 0.00
CASS B 1.82 0.00
SPTN F 0.25 0.00
WASH B 1.29 0.00
MATW C 2.49 0.00
GSBC B 1.96 0.00
SMBC B 2.73 0.00
HY D 2.50 0.00
MBWM B 2.57 0.00
HBNC B 1.91 0.00
MNRO D 0.93 0.00
FCBC B 1.75 0.00
HFWA B 2.63 0.00
SCVL F 4.60 0.00
PFC B 3.06 0.00
GRC B 1.51 0.00
SBSI B 0.77 0.00
CTBI B 2.51 0.00
TMP B 0.76 0.00
AMSF B 0.94 0.00

Recent News for PowerShares Dividend Achievers & its Holdings

Date Stock Title
Nov 21 BK BNY to be financial agent for the Treasury Department's prepaid debit card program
Nov 21 DUK Duke Energy's first-of-its-kind microgrid solution offers carbon-free charging option for commercial vehicle fleets
Nov 21 APH Nvidia's results seen as positive for Arista Networks, Amphenol, others: Evercore
Nov 21 BK BNY to Manage U.S. Department of the Treasury's Largest Prepaid Debit Card Program for Federal Benefits - Direct Express®
Nov 21 BK BNY gains Treasury's Direct Express benefits contract
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Nov 21 CLX /C O R R E C T I O N -- CloroxPro/
Nov 21 COST Consumer sector will 'rule sentiment' in 2025: Strategist
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Nov 21 COST BJ's Wholesale Stock Rises on Strong Q3 Profits, Membership Fee Hike
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 COST BJ’s Wholesale Stock Rises. Retailer Follows Costco’s Lead and Hikes Membership Fee.
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Nov 21 RMD This Top Medical Stock is a #1 (Strong Buy): Why It Should Be on Your Radar
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
The PowerShares Dividend AchieversTM Portfolio (Fund) seeks to replicate, before fees and expenses, the NASDAQ US Broad Dividend AchieversTM Index (Index), which is designed to identify a diversified group of dividend-paying companies. The Fund will normally invest at least 90% of its total assets in dividend paying common stocks that comprise Index. These companies have increased their annual dividend for 10 or more consecutive fiscal years. The Fund and the Index are reconstituted annually in January and rebalanced quarterly in January, April, July and October. Effective December 28, 2012, the NADAQ OMX Group, Inc., replaced Mergent, Inc., as the Index Provider of the Index. Effective February 25, 2013, the name of the Index changed from Broad Dividend Achievers Index to NASDAQ US Broad Dividend Achievers Index. There will be no change to the methodology by which NASDAQ OMX Group, Inc., the Index Provider, calculates the Index. Please see the Fund’s prospectus supplement for more information. On February 25, 2013, NASDAQ took the place of the NYSE as the official Index data source.
Exchange Traded Fund ETF Stock Market Index Dividend Invesco Powershares Nasdaq Composite Index
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