PowerShares Fundamental Investment Grade Corporate Bond Portfolio (PFIG) ETF

Expense Ratio: 0.22% | AUM: 44.38M | Issuer: Invesco PowerShares

PFIG Daily Price Range
PFIG 52-Week Price Range

PFIG - Real-Time SMART Grade™

A
Strong Buy

Overall SMART Grade

PFIG has a real-time SMART Grade of A (Strong Buy).

Learn More About SMART Grades™

PFIG - Profile & Info


The investment objective of the PowerShares Fundamental Investment Grade Corporate Bond Portfolio ETF is based on the RAFI Bonds US Investment Grade 1-10 Index. Only investible non-convertible, non-exchangeable, non-zero, fixed coupon high-yield corporate bonds qualify for inclusion in the Index.

Issuer Invesco PowerShares
Expense Ratio 0.22%
Assets Under Management (AUM) 44.38M
Underlying Index RAFI Bonds US Investment Grade 1-10 Index (Index)
Asset Class Fixed Income
ETF Category Corporate Bond ETFs
Net Asset Value (NAV) $25.36
Options? No
Total Holdings 403

PFIG - Top Holdings

Symbol Holding Name % of Total
416518AB4 Hartford Financial Services Group Inc 0.50%
62944TAE5 NVR Inc 0.47%
984121CD3 Xerox Corp 0.47%
05531FAS2 BB&T Corp 0.46%
30231GAT9 Exxon Mobil Corp 0.45%
084670BS6 Berkshire Hathaway Inc 0.45%
36164QMS4 GE Capital International Funding Co Unlimited Co 0.45%
594918BP8 Microsoft Corp 0.44%
46625HRV4 JPMorgan Chase & Co 0.43%
949746RW3 Wells Fargo & Co 0.43%
478160BY9 Johnson & Johnson 0.43%
59018YN64 Bank of America Corp 0.39%
20826FAQ9 ConocoPhillips Co 0.37%
589331AN7 Merck Sharp & Dohme Corp/Old 0.36%
002824AU4 Abbott Laboratories 0.36%
61945CAC7 Mosaic Co 0.35%
806854AH8 Schlumberger Investment SA 0.35%
74432QBZ7 Prudential Financial Inc 0.35%
931142DH3 Wal-Mart Stores Inc 0.34%
22160KAF2 Costco Wholesale Corp 0.34%
30249UAB7 FMC Technologies Inc 0.34%
69352PAF0 PPL Capital Funding Inc 0.34%
166764AB6 Chevron Corp 0.33%
037833AK6 Apple Inc 0.33%
00206RCN0 AT&T Inc 0.33%
540424AQ1 Loews Corp 0.33%
233331AY3 DTE Energy Co 0.32%
209111EV1 Consolidated Edison Co of New York Inc 0.30%
92276MAW5 Ventas Realty LP / Ventas Capital Corp 0.30%
49326EED1 KeyCorp 0.29%
808513AD7 Charles Schwab Corp 0.29%
369604BD4 General Electric Co 0.28%
65473QAV5 NiSource Finance Corp 0.26%
120568AT7 Bunge Ltd Finance Corp 0.26%
472319AH5 Jefferies Group LLC 0.26%
92343VBR4 Verizon Communications Inc 0.25%
552081AK7 LyondellBasell Industries NV 0.25%
31428XAR7 FedEx Corp 0.25%
776696AC0 Roper Technologies Inc 0.25%
452308AJ8 Illinois Tool Works Inc 0.25%
962166BV5 Weyerhaeuser Co 0.25%
210518CS3 Consumers Energy Co 0.25%
44106MAQ5 Hospitality Properties Trust 0.24%
015271AC3 Alexandria Real Estate Equities Inc 0.24%
15189WAG5 CenterPoint Energy Resources Corp 0.24%
302570BD7 NextEra Energy Capital Holdings Inc 0.24%
278865AL4 Ecolab Inc 0.24%
695156AQ2 Packaging Corp of America 0.24%
63946BAD2 NBCUniversal Media LLC 0.24%
086516AL5 Best Buy Co Inc 0.24%
67103HAA5 O'Reilly Automotive Inc 0.24%
899896AC8 Tupperware Brands Corp 0.24%
521865AX3 Lear Corp 0.24%
143658BA9 Carnival Corp 0.24%
609207AB1 Mondelez International Inc 0.24%
134429AW9 Campbell Soup Co 0.24%
966837AE6 Whole Foods Market Inc 0.24%
21036PAL2 Constellation Brands Inc 0.24%
26884LAB5 EQT Corp 0.24%
20825CAR5 ConocoPhillips 0.24%
84756NAD1 Spectra Energy Partners LP 0.24%
436106AA6 HollyFrontier Corp 0.24%
89417EAG4 Travelers Cos Inc 0.24%
74834LAS9 Quest Diagnostics Inc 0.24%
883556BF8 Thermo Fisher Scientific Inc 0.24%
031162BM1 Amgen Inc 0.24%
125509BS7 Cigna Corp 0.24%
097023AZ8 Boeing Co 0.24%
94106LAW9 Waste Management Inc 0.24%
907818DG0 Union Pacific Corp 0.24%
502413AY3 L3 Technologies Inc 0.24%
12673PAC9 CA Inc 0.24%
038222AF2 Applied Materials Inc 0.24%
428236BV4 HP Inc 0.24%
48203RAG9 Juniper Networks Inc 0.24%
172967FT3 Citigroup Inc 0.24%
718172AA7 Philip Morris International Inc 0.24%
29365TAA2 Entergy Texas Inc 0.24%
74340XAY7 Prologis LP 0.23%
670346AG0 Nucor Corp 0.23%
571748AZ5 Marsh & McLennan Cos Inc 0.23%
09247XAL5 BlackRock Inc 0.23%
59156RBH0 MetLife Inc 0.23%
026874DG9 American International Group Inc 0.23%
025816BK4 American Express Co 0.23%
61746BDQ6 Morgan Stanley 0.23%
760759AP5 Republic Services Inc 0.23%
149123CC3 Caterpillar Inc 0.23%
31620MAP1 Fidelity National Information Services Inc 0.23%
02079KAB3 Alphabet Inc 0.23%
98310WAJ7 Wyndham Worldwide Corp 0.23%
655664AK6 Nordstrom Inc 0.23%
918204AV0 VF Corp 0.23%
651229AW6 Newell Brands Inc 0.23%
58013MEY6 McDonald's Corp 0.23%
460690BL3 Interpublic Group of Cos Inc 0.23%
92553PAT9 Viacom Inc 0.23%
124857AG8 CBS Corp 0.23%
87612EAZ9 Target Corp 0.23%
608190AJ3 Mohawk Industries Inc 0.23%
855030AL6 Staples Inc 0.23%
500255AR5 Kohl's Corp 0.23%
437076BG6 Home Depot Inc 0.23%
811065AC5 Scripps Networks Interactive Inc 0.23%
189754AA2 Coach Inc 0.23%
459284AB1 Coca-Cola European Partners US LLC 0.23%
126650CJ7 CVS Health Corp 0.23%
370334BM5 General Mills Inc 0.23%
494368BB8 Kimberly-Clark Corp 0.23%
189054AT6 Clorox Co 0.23%
931427AH1 Walgreens Boots Alliance Inc 0.23%
50077LAK2 Kraft Heinz Foods Co 0.23%
902494AW3 Tyson Foods Inc 0.23%
84755TAA5 Spectra Energy Capital LLC 0.23%
655044AF2 Noble Energy Inc 0.23%
723787AK3 Pioneer Natural Resources Co 0.23%
171798AC5 Cimarex Energy Co 0.23%
057224BC0 Baker Hughes Inc 0.23%
49456BAF8 Kinder Morgan Inc/DE 0.23%
084664BE0 Berkshire Hathaway Finance Corp 0.23%
001055AL6 Aflac Inc 0.23%
316773CP3 Fifth Third Bancorp 0.23%
45866FAC8 Intercontinental Exchange Inc 0.23%
115236AA9 Brown & Brown Inc 0.23%
857477AS2 State Street Corp 0.23%
12572QAE5 CME Group Inc 0.23%
07330MAB3 Branch Banking & Trust Co 0.23%
7591EPAK6 Regions Financial Corp 0.23%
712704AA3 People's United Financial Inc 0.23%
020002AZ4 Allstate Corp 0.23%
45685EAE6 Voya Financial Inc 0.23%
14040HBJ3 Capital One Financial Corp 0.23%
17401QAB7 Citizens Bank NA/Providence RI 0.23%
91159JAA4 US Bancorp 0.23%
90331HML4 US Bank NA/Cincinnati OH 0.23%
00846UAJ0 Agilent Technologies Inc 0.23%
075887BF5 Becton Dickinson and Co 0.23%
581557BD6 McKesson Corp 0.23%
09062XAC7 Biogen Inc 0.23%
151020AS3 Celgene Corp 0.23%
101137AR8 Boston Scientific Corp 0.23%
235851AP7 Danaher Corp 0.23%
14149YAY4 Cardinal Health Inc 0.23%
98978VAB9 Zoetis Inc 0.23%
863667AN1 Stryker Corp 0.23%
50540RAK8 Laboratory Corp of America Holdings 0.23%
655844BJ6 Norfolk Southern Corp 0.23%
231021AR7 Cummins Inc 0.23%
478375AR9 Johnson Controls International plc 0.23%
343412AC6 Fluor Corp 0.23%
539830BF5 Lockheed Martin Corp 0.23%
456873AB4 Ingersoll-Rand Luxembourg Finance SA 0.23%
844741BB3 Southwest Airlines Co 0.23%
854502AD3 Stanley Black & Decker Inc 0.23%
24422ETE9 John Deere Capital Corp 0.23%
33938EAU1 Flex Ltd 0.23%
285512AC3 Electronic Arts Inc 0.23%
57636QAB0 Mastercard Inc 0.23%
42824CAG4 Hewlett Packard Enterprise Co 0.23%
032654AJ4 Analog Devices Inc 0.23%
983919AH4 Xilinx Inc 0.23%
620076BB4 Motorola Solutions Inc 0.23%
032095AC5 Amphenol Corp 0.23%
053807AS2 Avnet Inc 0.23%
976657AL0 WEC Energy Group Inc 0.23%
30161NAN1 Exelon Corp 0.23%
341081FK8 Florida Power & Light Co 0.23%
03040WAB1 American Water Capital Corp 0.23%
694308HM2 Pacific Gas & Electric Co 0.23%
927804FF6 Virginia Electric & Power Co 0.23%
816851AU3 Sempra Energy 0.23%
30161MAP8 Exelon Generation Co LLC 0.23%
651639AN6 Newmont Mining Corp 0.23%
277432AN0 Eastman Chemical Co 0.23%
12505BAA8 CBRE Services Inc 0.23%
380956AF9 Goldcorp Inc 0.23%
42217KBF2 Welltower Inc 0.23%
761713BG0 Reynolds American Inc 0.23%
742718EB1 Procter & Gamble Co 0.23%
96949LAA3 Williams Partners LP 0.23%
459200HU8 International Business Machines Corp 0.23%
49446RAN9 Kimco Realty Corp 0.23%
06406HBY4 Bank of New York Mellon Corp 0.23%
260543CH4 Dow Chemical Co 0.23%
037411AX3 Apache Corp 0.23%
842400FY4 Southern California Edison Co 0.23%
828807CS4 Simon Property Group LP 0.23%
40414LAL3 HCP Inc 0.23%
263534CK3 EI du Pont de Nemours & Co 0.22%
98389BAR1 Xcel Energy Inc 0.22%
887317BB0 Time Warner Inc 0.22%
855244AJ8 Starbucks Corp 0.22%
02209SAN3 Altria Group Inc 0.22%
56585AAG7 Marathon Petroleum Corp 0.22%
674599CE3 Occidental Petroleum Corp 0.22%
291011BE3 Emerson Electric Co 0.22%
872540AP4 TJX Cos Inc 0.22%
871829BC0 Sysco Corp 0.22%
713448CG1 PepsiCo Inc 0.22%
00440EAT4 Chubb INA Holdings Inc 0.22%
03073EAM7 AmerisourceBergen Corp 0.22%
00507UAS0 Actavis Funding SCS 0.22%
717081DV2 Pfizer Inc 0.22%
00287YAQ2 AbbVie Inc 0.22%
94973VAX5 Anthem Inc 0.22%
126408HD8 CSX Corp 0.22%
755111BX8 Raytheon Co 0.22%
911312AQ9 United Parcel Service Inc 0.22%
913017BU2 United Technologies Corp 0.22%
458140AL4 Intel Corp 0.22%
747525AD5 QUALCOMM Inc 0.22%
03027XAB6 American Tower Corp 0.22%
74456QBC9 Public Service Electric & Gas Co 0.22%
68389XBK0 Oracle Corp 0.22%
61166WAU5 Monsanto Co 0.22%
92826CAB8 Visa Inc 0.22%
278642AG8 eBay Inc 0.22%
00507VAJ8 Activision Blizzard Inc 0.22%
824348AP1 Sherwin-Williams Co 0.22%
577081AZ5 Mattel Inc 0.22%
25468PCW4 Walt Disney Co 0.22%
90131HAR6 21st Century Fox America Inc 0.22%
25470DAF6 Discovery Communications LLC 0.22%
053332AP7 AutoZone Inc 0.22%
20030NBS9 Comcast Corp 0.22%
205887BR2 Conagra Brands Inc 0.22%
26138EAS8 Dr Pepper Snapple Group Inc 0.22%
60871RAF7 Molson Coors Brewing Co 0.22%
487836BP2 Kellogg Co 0.22%
406216BG5 Halliburton Co 0.22%
718549AB4 Phillips 66 Partners LP 0.22%
14042E4L1 Capital One NA/Mclean VA 0.22%
69349LAG3 PNC Bank NA 0.22%
31677QBG3 Fifth Third Bank/Cincinnati OH 0.22%
754730AE9 Raymond James Financial Inc 0.22%
55279HAK6 Manufacturers & Traders Trust Co 0.22%
86787EAN7 SunTrust Bank/Atlanta GA 0.22%
444859BA9 Humana Inc 0.22%
375558BF9 Gilead Sciences Inc 0.22%
532457BH0 Eli Lilly & Co 0.22%
98956PAF9 Zimmer Biomet Holdings Inc 0.22%
58933YAR6 Merck & Co Inc 0.22%
62854AAN4 Mylan NV 0.22%
110122AT5 Bristol-Myers Squibb Co 0.22%
278062AC8 Eaton Corp 0.22%
369550AU2 General Dynamics Corp 0.22%
69371RN28 PACCAR Financial Corp 0.22%
724479AJ9 Pitney Bowes Inc 0.22%
88579YAF8 3M Co 0.22%
960386AJ9 Wabtec Corp/DE 0.22%
64110DAC8 NetApp Inc 0.22%
00724FAC5 Adobe Systems Inc 0.22%
57772KAB7 Maxim Integrated Products Inc 0.22%
191216BS8 Coca-Cola Co 0.22%
345397XL2 Ford Motor Credit Co LLC 0.22%
74005PBQ6 Praxair Inc 0.21%
548661DM6 Lowe's Cos Inc 0.21%
30219GAN8 Express Scripts Holding Co 0.21%
17275RBL5 Cisco Systems Inc 0.21%
842587CV7 Southern Co 0.21%
26441CAS4 Duke Energy Corp 0.21%
438516BL9 Honeywell International Inc 0.21%
654106AF0 NIKE Inc 0.21%
039483BL5 Archer-Daniels-Midland Co 0.21%
427866AX6 Hershey Co 0.21%
637071AJ0 National Oilwell Varco Inc 0.21%
743315AR4 Progressive Corp 0.21%
071813BQ1 Baxter International Inc 0.21%
81180WAL5 Seagate HDD Cayman 0.21%
460146CP6 International Paper Co 0.21%
91913YAU4 Valero Energy Corp 0.21%
25746UCE7 Dominion Resources Inc/VA 0.20%
501044DE8 Kroger Co 0.20%
11133TAC7 Broadridge Financial Solutions Inc 0.19%
91324PCM2 UnitedHealth Group Inc 0.16%
11120VAA1 Brixmor Operating Partnership LP 0.16%
960413AH5 Westlake Chemical Corp 0.13%
03076CAE6 Ameriprise Financial Inc 0.12%
665859AP9 Northern Trust Corp 0.12%
38141GGS7 Goldman Sachs Group Inc 0.12%
26875PAD3 EOG Resources Inc 0.12%
093662AE4 Block Financial LLC 0.12%
681919AZ9 Omnicom Group Inc 0.11%
256677AC9 Dollar General Corp 0.11%
19416QDZ0 Colgate-Palmolive Co 0.11%
053015AE3 Automatic Data Processing Inc 0.11%
023135AH9 Amazon.com Inc 0.11%
666807BG6 Northrop Grumman Corp 0.11%
25466AAD3 Discover Bank/Greenwood DE 0.11%
961214CP6 Westpac Banking Corp 0.11%
244199BE4 Deere & Co 0.11%
55616XAH0 Macy's Retail Holdings Inc 0.10%
677415CP4 Ohio Power Co 0.07%
582839AE6 Mead Johnson Nutrition Co 0.03%
0.00%

PFIG - News


View All PFIG News

PFIG - Price/Volume Stats

Current price $25.34
Prev. close $25.31
Day low $25.34
Day high $25.34
52-week high $26.94
52-week low $24.98
Day Volume 252
Avg. volume 25,057
Dividend yield 2.54%

PFIG - Recent Returns

1-mo 0.18%
3-mo 1.32%
6-mo -1.53%
1-year 2.47%
3-year 8.36%
5-year 13.80%
YTD 1.12%
2016 3.40%
2015 1.03%
2014 4.77%
2013 -1.24%
2012 N/A

PFIG - Stock Chart


PFIG - Dividends

Ex-Dividend Date Type Payout Amount Change
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