ETF Components for SPHB - PowerShares S&P 500 High Beta 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
NVDA B 1.99 1.95
AMD F -1.53 1.63
NCLH A -1.82 1.61
AVGO B -0.50 1.61
TSLA A -0.35 1.60
CCL A -0.45 1.53
MPWR F 0.01 1.50
ALB C 3.71 1.46
CRWD C 2.11 1.43
ANET B 2.00 1.41
UAL A 2.81 1.40
SMCI F -10.51 1.36
BLDR F 0.36 1.36
CZR D -2.07 1.33
VST B -4.36 1.31
ON D 0.71 1.26
MU C 0.08 1.26
GNRC A 2.03 1.26
LRCX F 0.61 1.25
META B -0.07 1.24
URI B -2.38 1.24
AMAT F 0.99 1.23
CEG B -1.85 1.22
TER F 0.26 1.22
KLAC F 0.47 1.17
BX B 0.23 1.17
RCL B -2.08 1.15
CDNS C 2.16 1.12
PWR B 0.62 1.12
WDC C 0.87 1.11
KKR B -0.48 1.11
DAY A 6.03 1.11
QCOM D 1.54 1.10
ORCL B 1.30 1.09
MCHP F 1.96 1.08
JBL A 3.72 1.08
SNPS B 0.93 1.08
NXPI C 1.74 1.07
BXP C -1.74 1.06
ABNB B 1.24 1.06
NOW A 1.12 1.05
PYPL B -2.59 1.03
ETN B 1.03 1.02
CRM A 1.15 1.01
ADSK B 0.98 1.01
UBER C 1.67 1.00
AMZN A 6.19 1.00
PANW B 0.64 0.99
LW B -0.31 0.99
ALGN F 1.73 0.99
BKNG A 1.56 0.99
HUBB B -0.31 0.98
ZBRA A 0.70 0.97
CARR D -0.18 0.96
PODD A 1.76 0.94
ADI C 1.06 0.93
PH A 0.15 0.93
ENPH F 0.60 0.93
KEYS C 1.70 0.92
LULU C 7.81 0.90
INTC C 7.81 0.89
FICO B -0.21 0.89
PHM D -0.89 0.88
ISRG B 0.50 0.87
DECK B -1.72 0.87
FCX D 1.27 0.87
FSLR C 5.38 0.86
KEY B -0.35 0.86
GOOG A -0.02 0.85
ROK B 0.75 0.84
INTU D 1.87 0.83
ANSS C 1.04 0.82
SWKS F 1.52 0.82
RMD A 0.75 0.82
APH B 1.25 0.81
IVZ A 2.54 0.81
ARE F -0.62 0.80
TROW A 2.00 0.78
GE D -0.05 0.78
TXN A 0.87 0.78
LEN D -0.38 0.78
MGM D -1.25 0.77
MLM A -2.06 0.77
KMX F -0.11 0.76
DHI D -0.80 0.76
EFX D -0.24 0.76
AES F -9.85 0.75
WBD C 1.23 0.75
ADBE F 0.99 0.75
MHK D 0.01 0.75
CRL F 1.33 0.73
CPRT D 0.04 0.73
IDXX F 2.55 0.68
IQV F 1.62 0.65
EPAM F 0.30 0.64
APTV F -0.81 0.63
QRVO F 0.84 0.62
The PowerShares S&P 500 High Beta Portfolio (Fund) is based on the S&P 500 High Beta Index (Index). The Fund will invest at least 90% of its total assets in common stocks that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's and consists of the 100 stocks from the S&P 500 Index with the highest sensitivity to market movements, or beta, over the past 12 months. Beta is a measure of relative risk and is the rate of change of a security's price. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.
Exchange Traded Fund ETF Stock Market Index Invesco Powershares Fundamentally Based Indexes S&P 500 Index Beta
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