PIZ vs. FTHI ETF Comparison

Comparison of PowerShares DWA Developed Market Technical Leaders Portfolio (PIZ) to First Trust High Income ETF (FTHI)
PIZ

PowerShares DWA Developed Market Technical Leaders Portfolio

PIZ Description

The PowerShares DWA Developed Markets Momentum Portfolio (Fund) is based on the Dorsey Wright® Developed Markets Technical Leaders Index ND (Index). The Fund will normally invest at least 80% of its total assets in securities of developed economies within Dorsey, Wright & Associates, LLC's classification definition, excluding US companies listed on a US stock exchange. This Index includes approximately 100 companies that possess powerful relative strength characteristics and are domiciled in developed markets including, but not limited to Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Italy, Japan, Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom. The Index excludes US companies listed on a US stock exchange. The Index is computed using the net return, which withholds applicable taxes for non-resident investors. 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 Developed Markets Technical Leaders Portfolio to PowerShares DWA Developed Markets Momentum Portfolio

Grade (RS Rating)

Last Trade

$37.58

Average Daily Volume

31,004

Number of Holdings *

1

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

First Trust High Income ETF

FTHI Description The investment seeks current income; capital appreciation is a secondary objective. The fund will pursue its objectives by investing in large cap equity securities listed on U.S. exchanges and by utilizing an "option strategy" consisting of writing (selling) U.S. exchange-traded covered call options on the Standard & Poor's 500(c) Index (the "index"). The market value of the option strategy may be up to 20% of the fund's overall net asset value. The equity securities in which the fund will invest and the options which the fund will write will be limited to U.S. exchange-traded securities and options. It is non-diversified.

Grade (RS Rating)

Last Trade

$23.68

Average Daily Volume

244,323

Number of Holdings *

165

* may have additional holdings in another (foreign) market
Performance
Period PIZ FTHI
30 Days 2.01% 2.96%
60 Days 0.48% 3.94%
90 Days 0.46% 5.68%
12 Months 27.27% 18.62%
1 Overlapping Holdings
Symbol Grade Weight in PIZ Weight in FTHI Overlap
NVS D 0.48% 0.49% 0.48%
PIZ Overweight 0 Positions Relative to FTHI
Symbol Grade Weight
PIZ Underweight 164 Positions Relative to FTHI
Symbol Grade Weight
NVDA C -6.56%
MSFT F -6.53%
AAPL C -5.63%
AMZN C -3.92%
META D -2.55%
GOOGL C -2.17%
GOOG C -1.84%
BRK.A B -1.73%
AVGO D -1.65%
BXMT C -1.55%
SLG B -1.44%
JPM A -1.41%
TSLA B -1.36%
LLY F -1.18%
JXN C -1.11%
UNH C -1.08%
V A -1.01%
XOM B -1.0%
CRNX C -0.99%
CCEP C -0.98%
VST B -0.97%
UL D -0.94%
MO A -0.9%
MA C -0.88%
HD A -0.88%
LADR B -0.87%
COST B -0.83%
PG A -0.79%
BRBR A -0.77%
CALM A -0.76%
NFLX A -0.72%
WMT A -0.69%
CRM B -0.65%
INGR B -0.64%
PTVE B -0.64%
ABBV D -0.62%
IDA A -0.59%
BAC A -0.56%
ALSN B -0.53%
ORCL B -0.53%
CCI D -0.53%
WFC A -0.49%
MRK F -0.49%
EXP A -0.48%
SLM A -0.48%
BMY B -0.48%
CVLT B -0.48%
GILD C -0.47%
DTM B -0.46%
KO D -0.46%
IDCC A -0.45%
PEP F -0.45%
AMD F -0.45%
TOL B -0.45%
SFM A -0.45%
DELL C -0.45%
MDT D -0.45%
INSM C -0.44%
HLI B -0.44%
ADBE C -0.44%
EWBC A -0.43%
INTU C -0.43%
UMBF B -0.43%
MEDP D -0.42%
ARES A -0.42%
MMC B -0.42%
NOW A -0.42%
ITW B -0.41%
LIN D -0.41%
PPC C -0.41%
CAT B -0.41%
DECK A -0.41%
EHC B -0.39%
AM A -0.38%
TMO F -0.38%
USFD A -0.38%
PM B -0.37%
CME A -0.37%
ISRG A -0.37%
IBM C -0.36%
TXN C -0.36%
BKNG A -0.36%
LANC C -0.36%
SLVM B -0.35%
FNF B -0.35%
VZ C -0.35%
KNSL B -0.35%
GE D -0.35%
T A -0.35%
HESM B -0.34%
FTI A -0.34%
SPGI C -0.33%
WSO A -0.33%
GS A -0.33%
RTX C -0.33%
ADP B -0.33%
SCCO F -0.33%
TJX A -0.32%
MGEE C -0.32%
QCOM F -0.32%
BAH F -0.31%
HON B -0.31%
LOW D -0.31%
AMGN D -0.31%
DUK C -0.31%
DHR F -0.31%
VEEV C -0.31%
AMAT F -0.31%
KRC C -0.31%
BKU A -0.3%
LOPE B -0.3%
PSA D -0.3%
TMUS B -0.3%
SBRA C -0.3%
MATX C -0.3%
AMT D -0.29%
UNP C -0.29%
GAP C -0.27%
DHT F -0.27%
IIPR D -0.27%
GGG B -0.27%
CVX A -0.26%
LMT D -0.26%
NVO D -0.25%
ATR B -0.25%
SBLK F -0.24%
O D -0.24%
NEE D -0.24%
BLK C -0.24%
COP C -0.24%
CNA B -0.23%
PFGC B -0.22%
AMH D -0.22%
STNG F -0.22%
EQIX A -0.21%
PAYX C -0.21%
CVBF A -0.2%
FLO D -0.2%
SO D -0.2%
OTTR C -0.2%
MUSA A -0.19%
XEL A -0.19%
GEV B -0.17%
MSI B -0.17%
NEU C -0.17%
REYN D -0.16%
KAR B -0.15%
WEC A -0.15%
EXR D -0.14%
SFNC B -0.14%
OGN D -0.13%
BX A -0.13%
NHI D -0.12%
TGT F -0.11%
PFE D -0.1%
D C -0.08%
BDX F -0.07%
AJG B -0.05%
SPG B -0.05%
SYK C -0.05%
CL D -0.05%
MDLZ F -0.03%
GIS D -0.03%
ELV F -0.03%
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