PHO : NYSE Arca
FUND PROFILE
Fund Details
Fund Family
Invesco PowerShares Cap Mgmt, LLC
Inception Date
12/6/2005
Category
Equity Income
Total Net Assets
$1.22B
Yield
0.11%
Capital Gain
--
INVESTMENT OBJECTIVE
The Fund is based on the Palisades Water Index. The Index seeks to identify a group of companies that focus on the provision of potable water the treatment of water and the technology and service that are directly related to water consumption.
Premium / Discount Ratio
Top Ten Holdings
Top Sectors
Aecom Technology Corp
5.39%
Valmont Industries Inc
5.04%
URS Corp
4.95%
Veolia Environnement
4.95%
Tetra Tech Inc
4.89%
Itron Inc
4.55%
Ameron International Corp
4.44%
Danaher Corp
4.44%
Badger Meter Inc
4.38%
Miscellaneous
18.1%
Machinery-Diversif...
16.7%
Engineering/Constr...
16.4%
Electric Equipment
12.3%
Water
11.4%
FUND PERFORMANCE ANALYSIS
Advanced Charts
1 Month
3 Months
YTD
1 Year
3 Years
5 Years
10 Years
Growth of 10,000 Investment
Loading ...
16.52
NAV
0.00
0.00%
Today’s Change
0.67%
Expense Ratio %
16.50
Price
Volume
52 WEEK HIGH / LOW
Quotes delayed by at least 20 minutes
Peer Comparison
Loading...
Loading...