ALERT

February 2016 ETF Edge Available Now! Download Your Copy

Etfdb logo

Invesco PowerShares ETF List

Invesco PowerShares logo

Self proclaimed to be “leading the intelligent ETF revolution”, Invesco PowerShares Capital Management LLC was founded in 2003. Today, PowerShares is one of the few major players in the ETF marketplace, with $9.15 billion in assets under management at the end of 2008. They offer dozens of ETF products that are owned in over 130 countries and listed on multiple exchanges around the world. Perhaps no ETF is more notable than PowerShares QQQ, which has been tracking the Nasdaq-100 Index since 1999.

Invesco PowerShares Quick Facts

As of 02/08/2016

Invesco PowerShares ETF List

This is a list of all the Invesco PowerShares ETFs that are currently listed in the US. Please note that the list may not contain newly issued ETFs. For more detailed information on expenses, dividends, or returns, click on one of the other tabs below.

* Assets in thousands of U.S. Dollars. Assets and Average Volume as of 2016-02-08 20:19:04 UTC

Invesco PowerShares ETF Returns

The following table presents sortable historical returns for all Invesco PowerShares ETFs. To see information on dividends, expenses, or technicals, click on one of the other tabs below.

Invesco PowerShares ETF Expenses

The following table presents sortable expense information for all Invesco PowerShares ETFs, including expense ratios and commission free trading. To see information on dividends, returns, or technicals, click on one of the other tabs below.

Invesco PowerShares ETF Dividends

The following table presents sortable dividends information for all Invesco PowerShares ETFs, including yield and dividend date. For information on expenses, returns, or technicals, click on one of the other tabs below.

Invesco PowerShares ETF Holdings

The following table includes basic holdings information for each ETF in the Invesco PowerShares, including number of holdings and percentage of assets included in the top ten holdings. To see more detailed holdings information for any ETF, click the link in the right column.

Invesco PowerShares ETF Tax Rates

The following table presents sortable tax data for all Invesco PowerShares ETFs. To see information on dividends, expenses, or technicals, click on one of the other tabs below.

Invesco PowerShares ETF Technicals

The following table includes certain technical metrics for all Invesco PowerShares ETFs. For more advanced technical indicators, click the “More” link in the right column. For information on expenses, returns, or dividends, click one of the other tabs below.

Invesco PowerShares ETF Analysis

The following table includes links to more in-depth analysis of all Invesco PowerShares ETFs; click on the links below to see fund holdings, official fact sheets, and more. For information on expenses, returns, or dividends, click one of the other tabs below.

Invesco PowerShares ETFs: ETFdb Realtime Ratings

The following table shows the ETFdb Ratings for all Invesco PowerShares ETFs. The ETFdb Ratings are a transparent, quant-based framework for evaluating exchange-traded products relative to peers in their ETFdb Category. For information on performance, expenses, or dividends, click on one of the other tabs below.

Symbol Name Price Change Assets* Avg Vol YTD 1 Week 4 Week 1 Year 3 Year 5 Year ETFdb Category Inception ER Commission Free Annual Dividend Rate Dividend Date Dividend Annual Dividend Yield % P/E Ratio Beta # of Holdings % In Top 10 Complete ST Cap Gain Rate LT Cap Gain Rate Tax Form Lower Bollinger Upper Bollinger Support 1 Resistance 1 RSI Advanced Fact Sheet ETF Holdings Chart ETF Home Page Head-To-Head Liquidity Rating Expenses Rating Returns Rating Volatility Rating Dividend Rating Concentration Rating Overall Rating
QQQ QQQ $96.62 -1.53% $35,800,214 41,793,457 -13.6% -7.5% -7.4% -5.4% 49.0% 77.7% Large Cap Growth Equities 1999-03-10 0.20% Not Available $1.10 2015-12-18 $0.34 1.13% 20.4 1.24 107 50.9% View 35% 15% 1099 $97.95 $105.93 $95.29 $97.50 34.12 View View View View View View A+ A- A C A B A
SPLV S&P 500 Low Volatility Portfolio $36.91 -0.81% $5,584,861 2,715,203 -4.1% -2.6% -0.1% -1.2% 36.0% 0.0% Large Cap Blend Equities 2011-05-05 0.25% Charles Schwab $0.87 2016-01-15 $0.07 2.35% 19.6 0.81 100 12.4% View 35% 15% 1099 $36.05 $37.89 $36.62 $37.12 45.67 View View View View View View A A-
BKLN Senior Loan Portfolio $22.00 -0.32% $3,719,586 2,914,965 -1.4% -0.5% -1.3% -4.7% -0.5% 0.0% High Yield Bonds 2011-03-03 0.65% Charles Schwab $0.93 2016-01-15 $0.08 4.20% N/A 0.20 170 15.4% View 35% 15% 1099 $21.97 $22.30 $21.97 $22.06 38.37 View View View View View View A C+
PRF FTSE RAFI US 1000 Portfolio $79.56 -1.27% $3,716,582 252,197 -8.4% -3.4% -2.6% -10.7% 25.9% 49.2% Large Cap Value Equities 2005-12-19 0.39% Not Available $1.95 2015-12-18 $0.74 2.42% 16.5 0.99 994 19.1% View 35% 15% 1099 $78.45 $82.67 $78.83 $80.08 40.63 View View View View View View A- B
PGX Preferred Portfolio $14.47 -1.56% $3,615,422 2,279,589 -2.8% -2.4% -2.8% 3.4% 17.4% 40.8% Preferred Stock/Convertible Bonds 2008-01-31 0.50% Charles Schwab $0.87 2016-01-15 $0.07 5.94% 10.9 -0.34 225 22.6% View 35% 15% 1099 $14.59 $14.92 $14.36 $14.63 36.48 View View View View View View A A-
PCY Emerging Markets Sovereign Debt Portfolio $26.94 -0.77% $2,572,999 961,679 -0.9% -0.4% -0.1% -0.7% 2.1% 32.2% Emerging Markets Bonds 2007-10-11 0.50% 2 Platforms $1.50 2016-01-15 $0.13 5.54% N/A 0.25 83 19.0% View 35% 15% 1099 $26.58 $27.25 $26.86 $27.02 45.85 View View View View View View A+ B+
DBC DB Commodity Index Tracking Fund $12.47 -0.48% $1,820,620 2,687,971 -6.7% -0.6% 0.2% -30.8% -56.2% -56.4% Commodities 2006-02-03 0.93% 2 Platforms N/A 2008-12-15 $0.34 0.00% N/A 1.01 24 43.8% View 23% 23% K-1 $11.89 $12.86 $12.41 $12.57 42.91 View View View View View View A+ B-
PKW Buyback Achievers $40.33 -1.92% $1,741,009 300,044 -11.3% -5.3% -5.6% -15.2% 30.8% 64.0% All Cap Equities 2006-12-20 0.68% Charles Schwab $0.52 2015-12-18 $0.16 1.26% 15.6 1.04 203 36.5% View 35% 15% 1099 $40.42 $42.98 $39.82 $40.79 35.66 View View View View View View A B-
PGF Financial Preferred Portfolio $18.18 -1.62% $1,732,486 692,398 -3.0% -2.6% -2.9% 4.4% 18.1% 40.1% Preferred Stock/Convertible Bonds 2006-12-01 0.63% Not Available $1.06 2016-01-15 $0.09 5.72% N/A -0.36 88 31.5% View 35% 15% 1099 $18.30 $18.78 $18.02 $18.40 37.18 View View View View View View A B-
PDP DWA Technical Leaders Portfolio $35.93 -2.31% $1,529,216 432,902 -13.2% -6.8% -6.9% -13.4% 22.6% 46.5% All Cap Equities 2007-03-01 0.65% Charles Schwab $0.16 2015-12-18 $0.03 0.44% 22.9 1.02 101 24.7% View 35% 15% 1099 $36.65 $39.08 $35.43 $36.47 31.44 View View View View View View A B-
PJP Dynamic Pharmaceuticals $58.17 -2.20% $1,269,685 207,395 -16.9% -5.3% -8.3% -16.2% 67.3% 175.3% Health & Biotech Equities 2005-06-23 0.58% Not Available $2.71 2015-12-18 $2.47 4.56% 26.8 1.33 24 51.1% View 35% 15% 1099 $58.81 $65.24 $57.48 $58.85 33.97 View View View View View View A- C+
PZA National AMT-Free Municipal Bond Portfolio $25.78 0.23% $1,114,058 270,010 1.5% 0.7% 0.9% 4.4% 12.4% 45.1% National Munis 2007-10-11 0.28% Not Available $0.91 2016-01-15 $0.08 3.55% N/A -0.16 261 19.0% View 35% 15% 1099 $25.54 $25.75 $25.76 $25.80 68.32 View View View View View View A- B
PRFZ FTSE RAFI US 1500 Small-Mid Portfolio $82.30 -1.24% $982,586 84,513 -12.3% -4.8% -5.1% -17.4% 14.5% 31.0% Small Cap Blend Equities 2006-09-20 0.39% Not Available $1.31 2015-12-18 $0.50 1.57% 26.8 1.09 1436 3.0% View 35% 15% 1099 $81.73 $87.08 $81.38 $82.83 36.16 View View View View View View B+ B
UUP DB USD Index Bullish $25.11 -0.24% $911,456 2,075,548 -2.1% -2.3% -2.2% 0.2% 14.7% 12.0% Currency 2007-02-20 0.80% Not Available N/A 2008-12-15 $0.17 0.00% N/A 0.39 11 50.3% View 23% 23% K-1 $25.15 $26.08 $25.03 $25.22 39.29 View View View View View View A+ B-
PWV Dynamic LargeCap Value $27.27 -0.98% $896,427 139,502 -6.3% -2.6% -1.2% -10.5% 24.5% 56.5% Large Cap Value Equities 2005-03-03 0.57% Not Available $0.70 2015-12-18 $0.21 2.55% 12.9 0.94 50 35.2% View 35% 15% 1099 $26.60 $28.07 $27.02 $27.44 43.43 View View View View View View B+ B-
BAB Build America Bond Portfolio $30.29 0.90% $759,714 146,981 4.9% 1.5% 3.4% 3.7% 16.1% 57.4% National Munis 2009-11-17 0.27% Not Available $1.36 2016-01-15 $0.12 4.56% N/A -0.26 234 20.9% View 35% 15% 1099 $29.34 $30.18 $30.15 $30.36 72.68 View View View View View View A- B
PID Intl Dividend Achievers $12.26 -2.15% $682,803 850,257 -9.7% -2.9% -0.2% -28.9% -17.9% -9.3% Foreign Large Cap Equities 2005-09-15 0.54% Charles Schwab $0.61 2015-12-18 $0.19 4.85% 11.7 1.63 85 25.8% View 35% 15% 1099 $11.52 $12.84 $12.14 $12.36 43.33 View View View View View View A- B-
PXF FTSE RAFI Developed Markets ex-U.S. Portfolio $32.53 -1.75% $647,184 197,678 -10.1% -4.1% -4.1% -16.9% -4.6% -10.3% Foreign Large Cap Equities 2007-06-25 0.45% Not Available $1.12 2015-12-18 $0.35 3.36% 14.7 1.16 1019 11.6% View 35% 15% 1099 $32.11 $34.41 $32.30 $32.71 38.97 View View View View View View B+ B
SPHD S&P 500 High Dividend Portfolio $33.03 -1.11% $631,449 245,181 -0.6% -0.4% 2.2% 3.2% 42.2% 0.0% Large Cap Value Equities 2012-10-18 0.30% Not Available $1.18 2016-01-15 $0.11 3.52% 18.5 -0.85 50 27.3% View 35% 15% 1099 $31.31 $33.51 $32.70 $33.31 53.05 View View View View View View B+ B+
SPHQ S&P 500 High Quality Portfolio $22.28 -0.71% $630,002 426,659 -3.7% -1.8% 1.2% -2.0% 42.1% 78.1% Large Cap Blend Equities 2005-12-06 0.29% Not Available $0.53 2015-12-18 $0.23 2.36% 18.8 0.85 130 13.3% View 35% 15% 1099 $21.39 $22.76 $22.07 $22.41 47.45 View View View View View View A- B+
DBA DB Agriculture Fund $19.78 -0.70% $628,942 373,257 -4.0% -1.5% -0.3% -15.5% -27.3% -42.5% Agricultural Commodities 2007-01-05 0.85% Not Available N/A 2008-12-15 $0.45 0.00% N/A 0.46 19 48.6% View 23% 23% K-1 $19.80 $20.22 $19.72 $19.86 39.45 View View View View View View A+ C
PHB Fundamental High Yield Corporate Bond Portfolio $16.75 -1.30% $616,486 638,457 -3.6% -2.2% -3.0% -8.0% -0.3% 15.9% High Yield Bonds 2007-11-15 0.50% Charles Schwab $0.82 2016-01-15 $0.07 4.80% N/A 0.42 264 10.0% View 35% 15% 1099 $16.77 $17.29 $16.68 $16.85 35.28 View View View View View View A B-
PHO Water Resource Portfolio $19.31 -1.98% $588,344 104,910 -10.9% -3.7% -1.9% -22.0% -11.1% 1.2% Water Equities 2005-12-06 0.61% Not Available $0.16 2015-12-18 $0.06 0.83% 30.0 1.34 33 61.7% View 35% 15% 1099 $18.72 $20.22 $19.04 $19.60 41.87 View View View View View View A+ A
PEY High Yield Dividend Achievers $12.99 -0.54% $578,115 373,143 -2.4% -1.0% 2.8% -0.2% 44.4% 79.5% All Cap Equities 2004-12-09 0.55% Not Available $0.47 2016-01-15 $0.04 3.59% 21.2 1.03 50 28.5% View 35% 15% 1099 $12.07 $13.28 $12.86 $13.06 51.32 View View View View View View A B
PCEF CEF Income Composite Portfolio $20.11 -1.28% $574,998 205,222 -5.0% -2.4% -2.6% -7.9% -1.9% 18.0% Total Bond Market 2010-02-19 1.88% Not Available $1.95 2016-01-15 $0.16 9.57% 16.7 0.67 145 23.9% View 35% 15% 1099 $19.60 $20.89 $19.98 $20.25 42.36 View View View View View View B+ C
Click Here to Join ETFdb Pro for 14 Days Free, Export This Data & So Much More

Knowledge Centers

Read Next