Holdings

Symbol Grade Price % Change Allocation
CTRE A -0.92 1.18
EPRT C -0.16 1.12
EIG C -1.87 1.11
AMSF A -0.50 1.09
LTC A -2.36 1.08
GTY C 0.00 1.05
FCPT D -0.69 1.04
PECO B -0.03 1.03
MSGS A -0.77 1.02
SKT B -0.12 1.01
INVA C -1.53 1.01
RHI C -0.79 1.00
FELE D 1.87 0.99
SHO D 0.40 0.99
MCRI A -0.08 0.98
PRGS B 0.41 0.97
AWR C -1.06 0.96
HMN A 0.30 0.96
NMIH D -4.89 0.95
AGO B -1.08 0.95
SAFT D -0.17 0.94
APLE C -0.61 0.93
NPK F 0.99 0.92
PBH A 0.41 0.92
PJT B 0.46 0.92
NSIT F -1.55 0.92
BRC D 0.44 0.91
CHCO A 0.28 0.91
AKR B -1.18 0.91
TR F 1.82 0.91
UE B -1.12 0.91
CASH A 0.73 0.90
APOG A 1.28 0.90
EFC D -1.16 0.90
MLI A -0.62 0.90
IOSP F 0.57 0.90
PSMT C 2.85 0.90
AWI A 0.75 0.90
PIPR B 0.01 0.89
BFS D -1.00 0.89
ESE A 1.95 0.89
WSR B -1.02 0.88
BCPC C 2.47 0.87
PLXS A 2.02 0.87
RDN F -9.28 0.86
DRH D 0.35 0.86
IDCC A 10.14 0.86
COOP D -0.53 0.86
ALEX C 0.75 0.86
CPF C 0.56 0.85
CPK C -1.91 0.85
FUL F -0.30 0.85
BSIG A 3.94 0.85
AVA D -2.08 0.85
LXP D -2.33 0.84
UTL D -2.71 0.84
MGY C -1.11 0.83
SXT C 0.21 0.83
NBHC A -0.62 0.83
SHOO D -0.49 0.83
SJW F -1.38 0.83
NWN C -0.98 0.83
MTX C 0.27 0.83
ACA B 0.05 0.83
SNEX A 0.79 0.82
FBRT B -0.23 0.82
CWT D -3.50 0.82
PINC A 0.65 0.82
EPAC A 0.32 0.81
GTES A 0.88 0.81
KFY C 0.00 0.81
WERN A 1.76 0.81
SPTN D 1.00 0.80
WABC B -0.04 0.80
GNW D -2.37 0.79
VRE D -2.31 0.79
EPC D 0.34 0.79
HUBG D -0.32 0.79
AL B 0.92 0.79
MOG.A C 2.73 0.79
NAVI F -1.69 0.79
ELME D -2.31 0.78
NWBI C 0.15 0.78
MMSI B 0.14 0.78
FHB A 0.32 0.77
CNXN F 1.93 0.77
WT B -0.87 0.77
AHH D -0.74 0.76
HSTM A 0.32 0.76
DFIN F -3.22 0.76
KMT B 0.79 0.76
HTH D 0.10 0.76
KELYA D 0.40 0.75
ADUS D 1.49 0.75
UNF D 0.04 0.75
VRRM F -10.97 0.75
TNC F -4.99 0.75
FBP D 0.10 0.74
SNDR A 0.46 0.74
JBSS F 3.39 0.74
FDP A -1.40 0.74
NHC C 2.99 0.73
RGR F 1.75 0.73
CSR D -4.16 0.73
JJSF C 1.06 0.73
KAR F 0.63 0.72
OFG C 1.34 0.72
EVTC D -0.24 0.72
EZPW B 0.61 0.72
SMPL C 1.31 0.72
UHT D -0.18 0.71
MRTN F 2.45 0.70
NABL F 0.65 0.68
SPNT D 1.60 0.68
NVEE D 0.53 0.68
FSS F 0.33 0.67
USPH F 1.50 0.65
AIN F 2.37 0.59

Recent News for PowerShares S&P SmallCap Low Volatility Portfolio & its Holdings

Date Stock Title
Nov 1 TNC Why Tennant Stock Plunged Today
Nov 1 TNC Tennant increases dividend by ~5% to $0.295
Nov 1 COOP Mr. Cooper Completes Acquisition of Flagstar’s Mortgage Operations
Nov 1 KFY Korn Ferry Closes Acquisition of Trilogy International
Nov 1 ADUS BDX Stock Declines Despite Launching BD IO Vascular Access System
Nov 1 TNC Tennant Company 2024 Q3 - Results - Earnings Call Presentation
Nov 1 VRRM Q3 2024 Verra Mobility Corp Earnings Call
Nov 1 UTL Unitil (UTL) Could Be a Great Choice
Nov 1 AWI EMCOR's Q3 Earnings & Revenues Beat Estimates, View Up
Nov 1 WERN Werner® Named a 2024 Top Company for Women to Work for in Transportation
Nov 1 AIN Albany International Corp (AIN) Q3 2024 Earnings Call Highlights: Navigating Growth Amid ...
Nov 1 NSIT Insight Enterprises Inc (NSIT) Q3 2024 Earnings Call Highlights: Navigating Challenges with ...
Nov 1 ACA Arcosa Third Quarter 2024 Earnings: Misses Expectations
Nov 1 DFIN Donnelley Financial Solutions Third Quarter 2024 Earnings: Misses Expectations
Nov 1 PJT Earnings Beat: PJT Partners Inc. Just Beat Analyst Forecasts, And Analysts Have Been Updating Their Models
Nov 1 CTRE 3 US Stocks Estimated To Be Trading Below Fair Value In November 2024
Nov 1 NAVI Navient Third Quarter 2024 Earnings: Misses Expectations
Nov 1 MMSI Why Merit Medical (MMSI) is a Top Momentum Stock for the Long-Term
Nov 1 MOG.A Moog (MOG.A) Q4 Earnings: Taking a Look at Key Metrics Versus Estimates
Nov 1 MMSI Merit Medical Completes Acquisition of Lead Management Portfolio from Cook Medical
The PowerShares S&P SmallCap Low Volatility Portfolio (Fund) is based on the S&P SmallCap 600 Low Volatility Index (Index). The Fund generally 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, consisting of 120 out of 600 small-capitalization range securities from the S&P SmallCap 600 Index with the lowest realized volatility over the past 12 months. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations over time. The Fund and the Index are rebalanced and reconstituted quarterly.
Exchange Traded Fund ETF Exchange Traded Funds Stock Market Index Invesco Powershares Technical Analysis Volatility S&P 600 VIX S&P Small Cap 600 Growth Index
Back to the Main XSLV Page...