PRN vs. GHYB ETF Comparison

Comparison of PowerShares Dynamic Industrials (PRN) to Goldman Sachs Access High Yield Corporate Bond ETF (GHYB)
PRN

PowerShares Dynamic Industrials

PRN Description

The PowerShares Dynamic Industrials Sector Portfolio (Fund) is based on the Dynamic Industrials Sector IntellidexSM Index (Intellidex Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Intellidex Index thoroughly evaluates companies based on a variety of investment merit criteria, including: price momentum, earnings momentum, quality, management action, and value. The Underlying Intellidex Index is comprised of common stocks of 60 US industrial companies. These are companies that are principally engaged in the business of providing industrial products and services, including engineering heavy machinery, construction, electrical equipment, aerospace and defense and general manufacturing. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.

Grade (RS Rating)

Last Trade

$153.14

Average Daily Volume

17,298

Number of Holdings *

41

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

Goldman Sachs Access High Yield Corporate Bond ETF

GHYB Description The investment seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Citi Goldman Sachs High Yield Corporate Bond Index (the "index"). The fund seeks to achieve its investment objective by investing at least 80% of its assets (exclusive of collateral held from securities lending) in securities included in its underlying index. The index is a rules-based index that is designed to measure the performance of high yield corporate bonds denominated in U.S. dollars ("USD") that meet certain liquidity and fundamental screening criteria.

Grade (RS Rating)

Last Trade

$45.29

Average Daily Volume

11,389

Number of Holdings *

143

* may have additional holdings in another (foreign) market
Performance
Period PRN GHYB
30 Days 5.48% 1.55%
60 Days 14.68% 3.31%
90 Days 14.01% 4.82%
12 Months 56.59% 15.30%
4 Overlapping Holdings
Symbol Grade Weight in PRN Weight in GHYB Overlap
HWM A 2.77% 0.16% 0.16%
IRM A 2.61% 0.19% 0.19%
TDG A 2.58% 0.03% 0.03%
URI C 3.1% 0.13% 0.13%
PRN Overweight 37 Positions Relative to GHYB
Symbol Grade Weight
HEI A 4.3%
FIX A 4.05%
PH A 3.86%
TT A 3.84%
GWW A 3.66%
CTAS B 3.63%
HUBB A 3.62%
AME D 3.56%
PWR B 3.45%
WSO C 3.45%
CPRT B 3.09%
STRL B 2.67%
PKG C 2.64%
CSL A 2.41%
DY C 2.19%
GE C 2.14%
CSWI B 2.14%
ETN C 2.11%
SMR B 2.04%
BAH A 2.01%
LMB B 1.9%
TTEK B 1.71%
GVA A 1.7%
MLI C 1.68%
GFF C 1.56%
ASPN D 1.55%
CLH C 1.49%
GMS C 1.48%
INSW B 1.4%
CBZ F 1.36%
AVAV B 1.33%
USLM C 1.33%
TPC A 1.3%
APG F 1.29%
AMSC C 1.28%
INOD D 0.99%
VSEC D 0.98%
PRN Underweight 139 Positions Relative to GHYB
Symbol Grade Weight
LNG A -0.42%
XPO F -0.39%
WFRD F -0.38%
ARMK A -0.37%
IQV F -0.34%
SSNC C -0.34%
HRI C -0.32%
NXST D -0.31%
HEES D -0.31%
NFE F -0.3%
WCC C -0.29%
HASI C -0.29%
APA F -0.29%
AAL D -0.29%
RIG F -0.28%
OGN F -0.27%
LADR D -0.26%
FTAI A -0.26%
LYV A -0.25%
EM D -0.25%
CVNA A -0.25%
CCL C -0.25%
VGR B -0.24%
USAC D -0.24%
MCHP F -0.24%
MAT D -0.24%
CC D -0.24%
CAR D -0.24%
AVTR D -0.24%
WES D -0.24%
TMHC C -0.23%
NCLH C -0.23%
ENLC A -0.23%
GT F -0.23%
OUT C -0.22%
MD B -0.22%
CQP F -0.22%
AMC F -0.21%
WMG D -0.21%
SWN D -0.21%
GEL D -0.21%
CTLT A -0.21%
BBWI F -0.21%
LUMN C -0.21%
UAL B -0.21%
TROX D -0.2%
KAR D -0.19%
EHC B -0.19%
XRX D -0.19%
IHRT C -0.19%
TNL B -0.18%
KW B -0.18%
VVV D -0.18%
CHDN D -0.18%
ACI F -0.18%
ST F -0.18%
IT C -0.18%
AM A -0.18%
PFGC A -0.17%
MSCI B -0.17%
HBI B -0.17%
IEP F -0.17%
CRI D -0.16%
CCS C -0.16%
FUN F -0.16%
SEM D -0.16%
PK D -0.16%
DELL C -0.16%
TOL A -0.16%
NEP D -0.16%
SUN D -0.16%
PCG B -0.16%
GTN D -0.16%
STX B -0.16%
BCO C -0.15%
SVC F -0.15%
FYBR C -0.15%
CCO D -0.15%
CRL F -0.14%
DBD C -0.14%
ADT D -0.14%
DVA C -0.14%
RCL C -0.14%
CLF D -0.13%
ALLY F -0.13%
YUM A -0.13%
AA B -0.12%
OLN D -0.12%
LAMR C -0.12%
TGNA B -0.12%
AXL F -0.12%
FCX B -0.12%
UBER C -0.12%
S C -0.12%
BLDR B -0.11%
HESM D -0.11%
SPR D -0.11%
OI D -0.11%
VSAT F -0.11%
MOH D -0.11%
UNIT B -0.11%
CCK C -0.11%
HLT A -0.11%
SBAC B -0.11%
CZR B -0.11%
EQT B -0.11%
SIRI C -0.11%
COIN F -0.1%
SBGI B -0.1%
BALY A -0.1%
COMM C -0.1%
F D -0.1%
OXY F -0.1%
CHTR D -0.09%
ALSN A -0.09%
RRC D -0.09%
AR B -0.09%
SSP F -0.08%
SEE C -0.08%
HOLX D -0.08%
AXTA C -0.08%
NAVI D -0.07%
DAN D -0.07%
SCI C -0.07%
TMUS A -0.07%
CNSL A -0.06%
BYD C -0.06%
NWL D -0.06%
THC C -0.06%
LW D -0.05%
X F -0.05%
SM F -0.05%
AMCX F -0.05%
CYH C -0.05%
CF A -0.04%
NBR F -0.04%
MGM D -0.04%
OMF F -0.04%
NRG A -0.04%
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