PDP vs. AGNG ETF Comparison

Comparison of PowerShares DWA Technical Leaders Portfolio (PDP) to Global X Aging Population ETF (AGNG)
PDP

PowerShares DWA Technical Leaders Portfolio

PDP Description

The PowerShares DWA Momentum Portfolio (Fund) is based on the Dorsey Wright Technical Leaders™ Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the securities in the Index. The Index includes approximately 100 US-listed companies from a broad mid- and large-capitalization universe. The Index is constructed pursuant to Dorsey, Wright & Associates, LLC's proprietary methodology, which takes into account, among other factors, the performance of each of the 3,000 largest US-listed companies as compared to a benchmark index, and the relative performance of industry sectors and sub-sectors. The Fund and the Index are rebalanced and reconstituted quarterly. Effective on or about Oct. 4, 2013, the name of the Fund changed from PowerShares DWA Technical Leaders Portfolio to PowerShares DWA Momentum Portfolio.

Grade (RS Rating)

Last Trade

$102.88

Average Daily Volume

15,707

Number of Holdings *

99

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

Global X Aging Population ETF

AGNG Description The investment seeks results that correspond generally to the price and yield performance, before fees and expenses, of the Indxx Global Longevity Thematic Index. The fund invests more than 80% of its total assets in the securities of the underlying index. The underlying index is designed to provide exposure to exchange-listed companies in developed markets that facilitate the demographic trend of longer average life spans and the aging of the global population, including but not limited to companies involved in biotechnology, medical devices, pharmaceuticals, senior living facilities and specialized health care services.

Grade (RS Rating)

Last Trade

$32.80

Average Daily Volume

8,188

Number of Holdings *

48

* may have additional holdings in another (foreign) market
Performance
Period PDP AGNG
30 Days 1.78% -1.12%
60 Days 9.87% 5.23%
90 Days 4.18% 9.32%
12 Months 34.64% 27.92%
2 Overlapping Holdings
Symbol Grade Weight in PDP Weight in AGNG Overlap
ENSG D 0.75% 0.68% 0.68%
LLY D 1.45% 3.24% 1.45%
PDP Overweight 97 Positions Relative to AGNG
Symbol Grade Weight
MA A 2.99%
TRGP C 2.77%
NVDA C 2.65%
WRB B 2.59%
TDG A 2.51%
CPRT B 2.44%
CDNS D 2.24%
GWW A 2.23%
ROP C 2.23%
APP B 2.2%
TT A 1.82%
COST C 1.7%
CTAS C 1.66%
MEDP F 1.58%
SNPS F 1.52%
FIX B 1.51%
NVR A 1.47%
ENTG D 1.39%
KLAC D 1.39%
PWR B 1.31%
CMG C 1.28%
TJX C 1.22%
ELF F 1.18%
THC C 1.12%
CEG B 1.08%
FANG F 1.07%
V C 1.06%
AVGO C 1.06%
AMAT D 1.05%
URI B 1.02%
MTSI C 0.96%
ARES B 0.96%
HWM A 0.94%
DECK C 0.93%
FICO C 0.93%
ANET B 0.91%
BAH A 0.9%
ONTO C 0.89%
META A 0.86%
WING B 0.86%
ISRG C 0.84%
MSFT C 0.84%
ORCL C 0.83%
KKR C 0.8%
WFRD F 0.79%
RCL C 0.79%
COKE B 0.76%
CSL A 0.76%
TTEK B 0.73%
AXON A 0.72%
CDW D 0.72%
APO A 0.69%
IRM B 0.69%
EVR C 0.69%
CLH C 0.69%
AIT A 0.67%
PSN A 0.66%
NFLX C 0.66%
PRI A 0.65%
AJG D 0.65%
GOOGL C 0.64%
HLI B 0.64%
BRO A 0.64%
TOL A 0.64%
PHM A 0.64%
HRB C 0.64%
MAS A 0.62%
USFD C 0.62%
PH B 0.62%
NSIT C 0.61%
APG F 0.6%
HUBB A 0.6%
MUSA D 0.6%
FCNCA D 0.59%
ACGL A 0.58%
MMC D 0.56%
FLR D 0.56%
TXRH B 0.56%
NTRA B 0.56%
LDOS A 0.55%
IR B 0.53%
OC B 0.53%
ETN C 0.53%
HOOD C 0.52%
AME D 0.52%
KBR D 0.51%
PTC D 0.51%
BJ D 0.51%
WLK B 0.5%
WSM C 0.5%
BLD C 0.49%
MCK F 0.47%
CROX C 0.47%
PSTG F 0.46%
GAP F 0.45%
CRWD D 0.44%
LRCX F 0.37%
PDP Underweight 46 Positions Relative to AGNG
Symbol Grade Weight
WELL B -3.79%
BSX A -3.27%
AMGN D -3.2%
ABBV A -3.1%
REGN D -3.06%
AZN D -3.05%
MDT A -2.95%
JNJ C -2.94%
SYK C -2.82%
BMY B -2.76%
VTR B -2.1%
EW F -1.95%
ZBH F -1.81%
BGNE B -1.66%
UTHR B -1.37%
PODD C -1.35%
DXCM F -1.31%
INCY B -1.19%
DVA B -1.16%
EXAS C -1.0%
TFX B -0.94%
NBIX F -0.94%
OHI C -0.81%
EXEL C -0.65%
HALO D -0.59%
GKOS C -0.51%
MMSI C -0.46%
BPMC F -0.44%
AGIO D -0.42%
DNLI C -0.41%
MNKD C -0.39%
NHC D -0.38%
NHI C -0.38%
EMBC D -0.36%
SBRA C -0.36%
ITGR C -0.35%
LTC C -0.31%
NVCR F -0.3%
AMED D -0.28%
LIVN D -0.26%
BKD D -0.26%
TBPH F -0.24%
ACAD F -0.24%
ALEC F -0.21%
AGL F -0.19%
ATEC F -0.11%
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