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PowerShares S&P Emerging Markets High Beta Portfolio (EEHB) Tearsheet as of 11:55 am, April 28, 2014. Last 21.36 Change -0.02 (-0.09%) Last Volume 11 Bid 21.34 Ask 21.47 High 21.36 Low 21.32 Open 21.34 Previous Close 21.38 Volume 2K Dividend Yield 3.56% Beta 0.72 52wk High 22.19 52wk Low 18.43 Date 4/28/2014 Time 11:05:56 AM Key - Green Diamond Reward Ratings Key: 1 2 3 4 5 6 7 8 9 10 Underperform Market Perform Outperform Key - Red Diamond Risk Ratings Key: 1 2 3 4 5 6 7 8 9 10 Low Risk Moderate Risk High Risk Summary RATINGS* DIAMONDS* ETFG RISK RATING 5.90 ETFG REWARD RATING 4.38 Description PowerShares S&P Emerging Markets High Beta Portfolio is an exchange-traded fund incorporated in the USA. The Fund seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P BMI Emerging Markets High Beta Index (the `Underlying Index`). ETFG SCORE BEHAVIORAL FUNDAMENTAL GLOBAL QUALITY 44.5 35.8 46.0 46.1 71.8 Inception Date: 02/24/2012 Expense Ratio: 0.31% Related Index: S&P BMI Em Mkts High Beta TR USD Historical prices (1 year) Apr 25 Apr 21 Apr 11 Apr 04 Mar 31 22.16 (c) ETF Global Page 1 of 6

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PowerShares S&P Emerging Markets High Beta

Portfolio (EEHB)Tearsheet as of 11:55 am, April 28, 2014.

Last 21.36 Change -0.02 (-0.09%)

Last Volume 11 Bid 21.34

Ask 21.47 High 21.36

Low 21.32 Open 21.34

Previous Close 21.38 Volume 2K

Dividend Yield 3.56% Beta 0.72

52wk High 22.19 52wk Low 18.43

Date 4/28/2014 Time 11:05:56 AM

Key - Green Diamond Reward Ratings

Key: 1 2 3 4 5 6 7 8 9 10

Underperform Market Perform Outperform

Key - Red Diamond Risk Ratings

Key: 1 2 3 4 5 6 7 8 9 10

Low Risk Moderate Risk High Risk

Summary

RATINGS* DIAMONDS*

ETFG RISK RATING 5.90

ETFG REWARD RATING 4.38

Description

PowerShares S&P Emerging Markets High Beta Portfolio is an exchange-traded fund incorporated in the USA. The Fund seeks investment results that

generally correspond (before fees and expenses) to the price and yield of the S&P BMI Emerging Markets High Beta Index (the `Underlying Index`).

ETFG SCORE BEHAVIORAL FUNDAMENTAL GLOBAL QUALITY

44.5 35.8 46.0 46.1 71.8

Inception Date: 02/24/2012 Expense Ratio: 0.31% Related Index: S&P BMI Em Mkts High Beta TR USD

Historical prices (1 year)

Apr 25Apr 21Apr 11Apr 04Mar 31

22.16

(c) ETF Global Page 1 of 6

Geographic Exposure Currency Exposure

Sector Exposure Industry Group Exposure

Industry Exposure Sub-Industry Exposure

Exposure

16.5%

Turkey

15.7%

China

13.2%

South Africa

11.7%

Indonesia

8.8%

Thailand

7.9%

Brazil

7.4%

Korea (South)

6.2%

Other

4.2%

IndiaMexicoPhilippinesRussian FederationUnited StatesPolandChileHong Kong

16.5%

TRY

16.2%

HKD

13.2%

ZAr

11.7%

IDR

8.8%

THB

7.9%

BRL

7.4%

KRW

6.2%

Other

5.7%

USDMXNPHPPLNCLP

39.8%

Financials

17.9%

Materials

11.5%

Industrials

8.5%

Other

7%

Consumer DiscretionaryConsumer StaplesEnergyInformation TechnologyHealth CareUtilitiesTelecommunication ServicesConsumer GoodsServicesIndustrial Goods

19.8%

Banks

16.2%

Materials

9.4%

Other

8.7%

Capital Goods

8.2%

Diversified Financials

6.6%

Real EstateInsuranceRetailingEnergyFood Beverage & TobaccoAutomobiles & ComponentsFinancialConsumer Durables & ApparelTechnologyUtilitiesTransportationTelecommunication ServicesConsumer GoodsCommercial & Professional ServicesHealth Care Equipment & ServicesGeneral Building MaterialsTechnology Hardware & EquipmentServicesMediaIndustrial GoodsPharmaceuticals Biotechnology & Life SciencesCommercial & Professional ServicesHousehold & Personal ProductsFood & Staples RetailingSoftware & ServicesTechnology Hardware & Equipmen

20.7%

Commercial Banks

11.2%

Metals & Mining

8.9%

Other

7.5%

Diversified Financial Services

4.2%

Real Estate Management & DevelopmentInsuranceMachineryOil Gas & Consumable FuelsSpecialty RetailReal Estate Investment Trusts (REITs)Construction & EngineeringConstruction MaterialsChemicalsAutomobilesFood Products

22%

Diversified Banks

10.6%

Other

9.2%

Diversified Metals & Mining

7.1%

Multi-Sector Holdings

4.3%

Real Estate DevelopmentConstruction & Farm Machinery & Heavy TrucksLife & Health InsuranceIndustrial REIT'sConstruction & EngineeringSpecialty StoresConstruction MaterialsCommodity ChemicalsAutomobile ManufacturersPackaged Foods & MeatsIntegrated Oil & Gas

(c) ETF Global Page 2 of 6

Service Providers

Administrator The Bank of New York Mellon Corporation

Advisor Invesco PowerShares Capital Management LLC

Commodity Pool Operator -

Commodity Trading Advisor -

Custodian The Bank of New York Mellon Corporation

Depositor -

Depository -

Distributor Invesco Distributors, Inc.

Futures Commission Merchant -

General Partner -

Marketing Agent -

Pool Manager -

Pool Tax Administrator -

Portfolio Manager Peter Hubbard, Jonathan Nixon, Saroj Kanuri

Subadvisor -

Trust Processing Agent -

Transfer Agent The Bank of New York Mellon Corporation

Trust Sponsor -

Trustee -

ETFG Index Membership

Index #1 ETFG Global Composite

Index #2 ETFG Global Equity Index

Tax Classification

Tax Classification Regulated Investment Company

Expenses

Management Fee .450%

Other Expenses .000%

Total Expenses .450%

Fee Waivers -.160%

Net Expenses .290%

Additional Information

Fiscal Year End October 31

Distribution Frequency Quarterly

Listing Exchange NYSE Arca, Inc.

Creation Unit Size 100,000

Creation Fee $3,000.00

SEC Series Id S000034748

SEC Class Id C000106971

CTA NAV Symbol EEHB.NV

CTA Est Cash Symbol EEHB.SO

CTA Total Cash Symbol EEHB.TC

CTA IOPV Symbol EEHB.IV

Top Holdings

Product Info

Ticker Fund Ticker Constituent Name Country Currency Weight Shares Market Value

1 MGROS EEHB Migros Ticaret AS - - 0.79% 6K 50.61K

2 VAKBN EEHB Turkiye Vakiflar Bankasi Tao TRY 0.78% 25K 49.77K

3 GARAN.TI EEHB Turkiye Garanti Bankasi AS TRY 0.77% 14K 49.39K

4 SAHOL.TI EEHB Haci Omer Sabanci Holding AS TRY 0.77% 12K 49.32K

5 YKBNK EEHB Yapi ve Kredi Bankasi AS TRY 0.77% 25K 49.20K

6 AKBNK.TI EEHB Akbank TAS TRY 0.76% 15K 48.68K

7 HALKB EEHB Turkiye Halk Bankasi AS TRY 0.76% 8K 48.62K

8 PS EEHB Pruksa Real Estate Public Company Ltd THB 0.74% 69K 47.59K

9 ISCTR.TI EEHB Turkiye Is Bankasi TRY 0.71% 20K 45.80K

10 ELET3 EEHB Centrais Eletricas Brasileiras SA BRL 0.71% 13K 45.67K

11 MNCN EEHB Media Nusantara Citra Tbk PT IDR 0.69% 178K 44.32K

12 KCHOL EEHB KOC Holding AS TRY 0.69% 10K 44.06K

13 ITUB4 EEHB Itau Unibanco Holding SA BRL 0.68% 3K 43.74K

14 FROTO EEHB Ford Otomotiv Sanayi AS TRY 0.68% 4K 43.68K

15 ASYAB EEHB Asya Katilim Bankasi AS TRY 0.68% 59K 43.49K

16 AXB LI EEHB Axis Bank Ltd USD 0.67% 2K 43.10K

17 INCO IJ EEHB Vale Indonesia Tbk PT IDR 0.66% 133K 42.20K

18 KOZAL EEHB Koza Altin Isletmeleri AS TRY 0.66% 4K 42.14K

19 TUPRS EEHB Tupras Turkiye Petrol Rafinerileri AS TRY 0.65% 2K 41.82K

20 BJC EEHB Berli Jucker Public Company Ltd THB 0.64% 28K 41.18K

(c) ETF Global Page 3 of 6

2010 Performance 2011 Performance 2012 Performance 2013 Performance 2014 Performance

Performance

Year Q1 Q2 Q3 Q4 Total

2010 - - - - -

2011 - - - - -

2012 - -17.16% 6.86% 13.36% -

2013 -7.97% -15.08% 14.81% -4.49% -14.30%

2014 2.74% 1.81% - - 4.60%

MTD YTD 1 Year 3 Year 5 Year

1.81% 4.60% 0.66% - -

Peer Group Stats (Equity)

1 Month 3 Month 6 Month 1 Year 3 Year

Peer Ave. Return 1.84% 1.20% 4.68% 11.76% 12.28%

Peer Low -11.95% -22.70% -20.84% -29.02% -98.06%

Peer 25th -0.34% -0.92% 1.92% 0.00% 0.00%

Peer Median 1.55% 1.26% 4.65% 13.21% 0.00%

Peer 75th 3.76% 3.51% 6.72% 22.05% 36.83%

Peer High 45.40% 32.16% 26.49% 70.96% 90.28%

Number of Funds 831 831 831 831 831

Fund Return 6.32% 7.01% 12.69% 0.09% 0.00%

Fund Percentile 96% 93% 94% 31% 51%

Peer Group Stats (Broad Equity)

1 Month 3 Month 6 Month 1 Year 3 Year

Peer Ave. Return 3.27% 2.16% 5.48% 7.10% 0.79%

Peer Low -9.93% -13.54% -14.66% -28.30% -45.93%

Peer 25th 1.16% -0.14% 2.53% -1.73% -5.80%

Peer Median 3.13% 1.43% 5.08% 3.91% 0.00%

Peer 75th 5.13% 4.92% 7.98% 16.47% 4.88%

Peer High 19.32% 16.90% 25.49% 59.80% 68.71%

Number of Funds 215 215 215 215 215

Fund Return 6.32% 7.01% 12.69% 0.09% 0.00%

Fund Percentile 95% 87% 91% 46% 73%

*

14.81%

-17.16%

Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4

(c) ETF Global Page 4 of 6

Risk & Reward

Peer Group Stats (Broad Equity)

1 Month 3 Month 6 Month 1 Year 3 Year

Peer Ave. Return 3.27% 2.16% 5.48% 7.10% 0.79%

Peer Low -9.93% -13.54% -14.66% -28.30% -45.93%

Peer 25th 1.16% -0.14% 2.53% -1.73% -5.80%

Peer Median 3.13% 1.43% 5.08% 3.91% 0.00%

Peer 75th 5.13% 4.92% 7.98% 16.47% 4.88%

Peer High 19.32% 16.90% 25.49% 59.80% 68.71%

Number of Funds 215 215 215 215 215

Fund Return 6.32% 7.01% 12.69% 0.09% 0.00%

Fund Percentile 95% 87% 91% 46% 73%

- as of 04/25/2014. All return calculations are based off of price only and do not include dividend reinvestment. All returns are cumulative unless stated

otherwise.

Fund Flows

1 Week 2 Week 1 Month 3 Month

$-4.47K $-88.11K $334.38K $2.64M

Fund Statistics

Risk and Reward Diamond Ratings Dynamics

Return and Risk Statistics

Statistics 1 year 3 year 5 year

Annualized Return 0.66% - -

Beta 0.78 - -

Standard Deviation 21.47% - -

Sharpe Ratio 0.01 - -

Treynor Ratio 0.00 - -

Sortino Ratio 0.05 - -

All return calculations are based off of price only and do not include dividend reinvestment.

*

Apr 25Apr 16Apr 7Mar 26Mar 17

7.43

(c) ETF Global Page 5 of 6

DISCLAIMERS

Assumptions, opinions and estimates constitute our judgment as of the date of this material and are subject to change without notice. ETF Global LLC (“ETFG”) and its affiliates and any

third-party providers, as well as their directors, officers, shareholders, employees or agents (collectively ETFG Parties) do not guarantee the accuracy, completeness, adequacy or

timeliness of any information, including ratings and are not responsible for errors and omissions or for the results obtained from the use of such information and ETFG Parties shall have

no liability for any errors, omissions, or interruptions therein, regardless of the cause, or for the results obtained from the use of such information. ETFG PARTIES DISCLAIM ANY AND ALL

EXPRESS OR IMPLIED WARRANTIES, INCLUDING, BUT NOT LIMITED TO, ANY WARRANTIES OF MERCHANTABILITY, SUITABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE. In no event

shall ETFG Parties be liable to any party for any direct, indirect, incidental, exemplary, compensatory, punitive, special or consequential damages, costs, expenses, legal fees, or losses

(including, without limitation, lost income or lost profits and opportunity costs) in connection with any use of the information contained in this document even if advised of the possibility

of such damages. ETFG ratings are statements of opinion as of the date they are expressed and not statements of fact or recommendations to purchase, hold, or sell any securities or

to make any investment decisions. ETFG ratings should not be relied on when making any investment or other business decision. ETFG’s opinions and analyses do not address the

suitability of any security. ETFG does not act as a fiduciary or an investment advisor. While ETFG has obtained information from sources they believe to be reliable, ETFG does not

perform an audit or undertake any duty of due diligence or independent verification of any information it receives. ETFG keeps certain activities of its business units separate from each

other in order to preserve the independence and objectivity of their respective activities. As a result, certain business units of ETFG may have information that is not available to other

ETFG business units. ETFG has established policies and procedures to maintain the confidentiality of certain non-public information received in connection with each analytical process.

ETFG may receive compensation for its ratings and certain analyses. ETFG reserves the right to disseminate its opinions and analyses. ETFG's public ratings and analyses are made

available on its Websites, www.etfg.com (free of charge) and may be distributed through other means, including via ETFG publications and third party redistributors. This material is not

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(c) ETF Global Page 6 of 6