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  • Fund Type: ETF
  • Objective: Corporate/Preferred
  • Asset Class: Debt
  • Geographic Focus: U.S.

PowerShares Financial Preferred Portfolio

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PGF:US

18.6200 USD 0.0600 0.32%

As of 16:15:03 ET on 05/22/2013.

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Snapshot for PowerShares Financial Preferred Portfolio (PGF)

Open: 18.6500 High - Low: 18.7000 - 18.6200 Primary Exchange: NYSE Arca
Volume: 889,875 52-Week Range: 17.0200 - 18.8500 Beta vs WHPSF: 1.0299

ETF Chart for PGF

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  • PGF:US 18.6200
  • 1D
  • 1M
  • 1Y
18.6800
Interactive PGF Chart

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Fund Profile & Information for PGF

PowerShares Financial Preferred Portfolio is an exchange-traded fund incorporated in the USA. The Fund seeks investment results that correspond to the price and yield of the Wells Fargo Hybrid & Preferred Securities Financial Index, a market-cap weighted index that tracks 30 financial stocks selected by Wells Fargo pursuant to a proprietary selection methodology.

Inception Date: 2006-12-01 Telephone: 1-800-983-0903
Managers: JEFF KERNAGIS
Web Site: www.powershares.com

Fundamentals for PGF

NAV (on 2013-05-21) 18.6609
Assets (M) (on 2013-04-30) 1,889.5860
Shares out (M) 102.25
Market Cap (M) 1,903.90
% Premium 0.10
Average 52-Week % Premium 0.0461
Fund Leveraged N

Dividends for PGF

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2013-05-15) 0.0922
Dividend Yield (ttm) 6.19%

Performance for PGF

1-Month +1.53% 1-Year +14.76%
3-Month +2.87% 3-Year +13.42%
Year To Date +4.84% 5-Year +5.84%
Expense Ratio 0.66

Top Fund Holdings for PGF

Filing Date: 05/20/2013
Name Position Value % of Total
HSBC 8 12/31/49 5,432,174 156,229,325 8.245%
INTNED 8 ½ 12/31/49 3,889,462 101,631,639 5.364%
PNC 6 ⅛ 12/31/49 2,988,530 84,874,251 4.479%
HSBC 8 ⅛ 12/31/49 3,151,187 81,836,324 4.319%
BACR 8 ⅛ 12/31/49 2,916,522 75,508,753 3.985%
INTNED 7 ⅜ 12/31/49 2,892,771 74,026,010 3.907%
WFC 8 12/31/49 2,276,005 70,738,235 3.733%
BBT 5 ⅝ 12/31/49 2,701,964 70,142,983 3.702%
MET 6 ½ 12/31/49 2,158,405 55,967,442 2.954%
JPM 8 ⅝ 12/31/49 2,125,744 54,142,698 2.857%

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

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