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  • Fund Type: ETF
  • Objective: Asian Pacific Region ex Japan
  • Asset Class: Equity
  • Geographic Focus: Asian Pacific Region ex Japan

PowerShares FTSE RAFI Asia Pacific ex-Japan Portfolio

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PAF:US

51.8100 USD 0.5200 0.99%

As of 20:04:07 ET on 03/31/2015.

Snapshot for PowerShares FTSE RAFI Asia Pacific ex-Japan Portfolio (PAF)

Open: 51.9500 High - Low: 51.9500 - 51.8100 Primary Exchange: NYSE Arca
Volume: 2,278 52-Week Range: 48.9301 - 60.8800 Beta vs TFRAXJNU: 1.0214

ETF Chart for PAF

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  • PAF:US 51.8100
  • 1D
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52.3300
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Fund Profile & Information for PAF

PowerShares FTSE RAFI Asia Pacific ex-Japan Portfolio is an exchange-traded fund incorporated in the USA. The Fund seeks investment results that correspond to the FTSE RAFI Asia Pacific ex-Japan Index, is a fundamental-weighted index based on the following four fundamental measures of firm size: book value, income, sales and dividends.

Inception Date: 2007-06-25 Telephone: 1-800-983-0903
Managers: PETER HUBBARD
Web Site: www.powershares.com

Fundamentals for PAF

NAV (on 2015-03-31) 52.2215
Assets (M) (on 2015-03-31) 41.7772
Shares out (M) 0.80
Market Cap (M) 41.45
% Premium -0.79
Average 52-Week % Premium -0.1782
Fund Leveraged N

Dividends for PAF

Dividend Type Omitted
Dividend Frequency Quarter
Last Dividend Net -
Dividend Yield (ttm) 4.10%

Performance for PAF

1-Month -1.88% 1-Year -4.32%
3-Month +2.84% 3-Year +3.31%
Year To Date +2.84% 5-Year +4.69%
Expense Ratio 0.49

Top Fund Holdings for PAF

Filing Date: 03/31/2015
Name Position Value % of Total
Samsung Electronics Co Ltd 2,253 2,930,146 7.011%
Commonwealth Bank of Australia 31,079 2,221,787 5.316%
BHP Billiton Ltd 86,669 2,058,420 4.925%
Westpac Banking Corp 61,387 1,850,293 4.427%
National Australia Bank Ltd 61,784 1,823,009 4.362%
Australia & New Zealand Bankin 63,117 1,770,069 4.235%
Hyundai Motor Co 6,441 979,529 2.344%
Woolworths Ltd 34,351 775,359 1.855%
Wesfarmers Ltd 22,711 764,157 1.828%
AIA Group Ltd 99,610 626,821 1.500%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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