PowerShares High Yield Corporate Bond Portfolio (PHB) ETF

Expense Ratio: 0.50% | AUM: 1.13B | Issuer: Invesco PowerShares

PHB Daily Price Range
PHB 52-Week Price Range

PHB - Real-Time SMART Grade™

A
Strong Buy

Overall SMART Grade

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

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PHB - Profile & Info


The investment objective of the PowerShares Fundamental High Yield Corporate Bond Portfolio ETF is based on the RAFI Bonds US High Yield 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 0.50%
Assets Under Management (AUM) 1.13B
Underlying Index Wells Fargo High Yield Bond Index
Asset Class Fixed Income
ETF Category High Yield Bond ETFs
Net Asset Value (NAV) $18.97
Options? Yes
Total Holdings 276

PHB - Top Holdings

Symbol Holding Name % of Total
02005NAE0 Ally Financial Inc 1.16%
42809HAG2 Hess Corp 1.08%
595112BC6 Micron Technology Inc 0.98%
626717AF9 Murphy Oil Corp 0.91%
988498AH4 Yum! Brands Inc 0.86%
91731VAA4 American Airlines Group Inc 0.84%
958102AL9 Western Digital Corp 0.84%
364760AK4 Gap Inc 0.81%
428040CJ6 Hertz Corp 0.79%
35671DBD6 Freeport-McMoRan Inc 0.76%
85571BAE5 Starwood Property Trust Inc 0.76%
054303BA9 Avon Products Inc 0.75%
25271CAK8 Diamond Offshore Drilling Inc 0.73%
163851AB4 Chemours Co 0.71%
053773AV9 Avis Budget Car Rental LLC / Avis Budget Finance Inc 0.69%
382550BE0 Goodyear Tire & Rubber Co 0.68%
871503AH1 Symantec Corp 0.68%
527288BE3 Leucadia National Corp 0.67%
404121AC9 HCA Inc 0.65%
156700AR7 CenturyLink Inc 0.65%
23918KAQ1 DaVita Inc 0.65%
131347CF1 Calpine Corp 0.64%
626738AC2 Murphy Oil USA Inc 0.63%
18451QAM0 Clear Channel Worldwide Holdings Inc 0.62%
909218AB5 Unit Corp 0.62%
780153AU6 Royal Caribbean Cruises Ltd 0.61%
87243QAB2 Tenet Healthcare Corp 0.61%
459902AR3 International Game Technology 0.60%
969457BW9 Williams Cos Inc 0.59%
212015AN1 Continental Resources Inc/OK 0.59%
959319AG9 Western Refining Inc 0.59%
46284PAP9 Iron Mountain Inc 0.59%
527298BD4 Level 3 Financing Inc 0.57%
228189AB2 Crown Americas LLC / Crown Americas Capital Corp IV 0.55%
65409QBA9 Nielsen Finance LLC / Nielsen Finance Co 0.53%
038522AN8 Aramark Services Inc 0.53%
911365BB9 United Rentals North America Inc 0.53%
565849AF3 Marathon Oil Corp 0.52%
256746AB4 Dollar Tree Inc 0.52%
69318FAE8 PBF Holding Co LLC / PBF Finance Corp 0.52%
78442FEQ7 Navient Corp 0.52%
84762LAU9 Spectrum Brands Inc 0.51%
337932AF4 FirstEnergy Corp 0.51%
25179MAK9 Devon Energy Corp 0.50%
87612BAP7 Targa Resources Partners LP / Targa Resources Partners Finan 0.50%
70959WAE3 Penske Automotive Group Inc 0.49%
896522AH2 Trinity Industries Inc 0.49%
37247DAP1 Genworth Holdings Inc 0.48%
78454LAK6 SM Energy Co 0.48%
12621EAK9 CNO Financial Group Inc 0.48%
254709AM0 Discover Financial Services 0.48%
12646RAB1 CST Brands Inc 0.47%
15135BAH4 Centene Corp 0.47%
00766TAD2 AECOM 0.47%
12513GAZ2 CDW LLC / CDW Finance Corp 0.47%
880349AR6 Tenneco Inc 0.46%
20605PAE1 Concho Resources Inc 0.46%
25466AAB7 Discover Bank/Greenwood DE 0.46%
481165AJ7 Joy Global Inc 0.46%
758766AH2 Regal Entertainment Group 0.45%
62886EAS7 NCR Corp 0.45%
044209AK0 Ashland LLC 0.45%
501797AJ3 L Brands Inc 0.44%
364725BE0 TEGNA Inc 0.44%
87264AAK1 T-Mobile USA Inc 0.43%
94946TAB2 WellCare Health Plans Inc 0.42%
292480AG5 Enable Midstream Partners LP 0.41%
00130HBU8 AES Corp/VA 0.41%
693656AA8 PVH Corp 0.41%
031652BE9 Amkor Technology Inc 0.41%
085790AY9 Berry Plastics Corp 0.41%
18683KAK7 Cliffs Natural Resources Inc 0.41%
25470XAE5 DISH DBS Corp 0.40%
501889AB5 LKQ Corp 0.40%
29265NAS7 Energen Corp 0.40%
60855RAG5 Molina Healthcare Inc 0.40%
690742AD3 Owens Corning 0.40%
78390XAA9 Leidos Holdings Inc 0.40%
881609AY7 Tesoro Corp 0.39%
896047AH0 Tribune Media Co 0.39%
817565CB8 Service Corp International/US 0.38%
779382AP5 Rowan Cos Inc 0.38%
576323AN9 MasTec Inc 0.38%
38869PAK0 Graphic Packaging International Inc 0.38%
201723AJ2 Commercial Metals Co 0.38%
001546AT7 AK Steel Corp 0.38%
29444UAM8 Equinix Inc 0.38%
398905AK5 Group 1 Automotive Inc 0.37%
172441AZ0 Cinemark USA Inc 0.37%
810186AM8 Scotts Miracle-Gro Co 0.37%
03674XAF3 Antero Resources Corp 0.36%
03232PAD0 Envision Healthcare Corp 0.36%
12505FAF8 Outfront Media Capital LLC / Outfront Media Capital Corp 0.36%
629377BN1 NRG Energy Inc 0.35%
35906AAZ1 Frontier Communications Corp 0.35%
896818AH4 Triumph Group Inc 0.35%
573284AN6 Martin Marietta Materials Inc 0.35%
845467AK5 Southwestern Energy Co 0.34%
161175AY0 Charter Communications Operating LLC / Charter Communication 0.34%
552953CC3 MGM Resorts International 0.34%
043436AN4 Asbury Automotive Group Inc 0.34%
79546VAJ5 Sally Holdings LLC / Sally Capital Inc 0.34%
103304BM2 Boyd Gaming Corp 0.34%
253651AC7 Diebold Nixdorf Inc 0.34%
827048AP4 Silgan Holdings Inc 0.34%
682680AR4 ONEOK Inc 0.33%
169905AE6 Choice Hotels International Inc 0.33%
57665RAB2 Match Group Inc 0.33%
78388JAU0 SBA Communications Corp 0.33%
12527GAC7 CF Industries Inc 0.32%
02406PAL4 American Axle & Manufacturing Inc 0.32%
72347QAL7 Pinnacle Foods Finance LLC / Pinnacle Foods Finance Corp 0.32%
00164VAD5 AMC Networks Inc 0.32%
868536AV5 SUPERVALU Inc 0.32%
74736KAD3 Qorvo Inc 0.32%
747262AQ6 QVC Inc 0.31%
77714PAB5 Rose Rock Midstream LP / Rose Rock Finance Corp 0.31%
421924BK6 HealthSouth Corp 0.31%
92343EAF9 VeriSign Inc 0.31%
163893AD2 Chemtura Corp 0.31%
095370AB8 Blue Cube Spinco Inc 0.31%
36162JAB2 GEO Group Inc 0.31%
629568AV8 Nabors Industries Inc 0.30%
829259AN0 Sinclair Television Group Inc 0.30%
69354PAA9 Pinnacle Entertainment Inc 0.30%
237266AG6 Darling Ingredients Inc 0.30%
89469AAB0 TreeHouse Foods Inc 0.30%
110394AE3 Bristow Group Inc 0.30%
879369AE6 Teleflex Inc 0.30%
74978DAA2 RR Donnelley & Sons Co 0.29%
44701QAZ5 Huntsman International LLC 0.29%
904311AA5 Under Armour Inc 0.29%
01449JAH8 Alere Inc 0.29%
73179PAK2 PolyOne Corp 0.29%
749571AD7 RHP Hotel Properties LP / RHP Finance Corp 0.29%
466313AD5 Jabil Circuit Inc 0.28%
00165AAH1 AMC Entertainment Holdings Inc 0.28%
579489AG0 McClatchy Co 0.28%
966244AA3 WhiteWave Foods Co 0.28%
516806AD8 Laredo Petroleum Inc 0.28%
34984VAB6 Forum Energy Technologies Inc 0.28%
989194AL9 Zayo Group LLC / Zayo Capital Inc 0.28%
125581GP7 CIT Group Inc 0.27%
88023UAG6 Tempur Sealy International Inc 0.27%
96926JAA5 William Carter Co 0.27%
737446AM6 Post Holdings Inc 0.26%
761519BF3 Revlon Consumer Products Corp 0.26%
058498AS5 Ball Corp 0.25%
651290AQ1 Newfield Exploration Co 0.24%
48666KAT6 KB Home 0.24%
404030AE8 H&E Equipment Services Inc 0.24%
989207AC9 Zebra Technologies Corp 0.24%
808194AA2 A Schulman Inc 0.24%
97381WAN4 Windstream Services LLC 0.23%
858119BC3 Steel Dynamics Inc 0.23%
85375CAX9 CalAtlantic Group Inc 0.23%
05508WAA3 B&G Foods Inc 0.23%
552848AF0 MGIC Investment Corp 0.23%
88830MAH5 Titan International Inc 0.23%
483007AH3 Kaiser Aluminum Corp 0.23%
98212BAD5 WPX Energy Inc 0.22%
01741RAE2 Allegheny Technologies Inc 0.22%
95081QAK0 WESCO Distribution Inc 0.22%
928377AB6 Vista Outdoor Inc 0.22%
144577AH6 Carrizo Oil & Gas Inc 0.22%
01748XAA0 Allegiant Travel Co 0.22%
26613TAE0 DuPont Fabros Technology LP 0.22%
63530QAE9 National CineMedia LLC 0.21%
74733VAC4 QEP Resources Inc 0.21%
75281AAZ2 Range Resources Corp 0.21%
398433AH5 Griffon Corp 0.21%
574599BG0 Masco Corp 0.21%
92552VAF7 ViaSat Inc 0.21%
26969PAA6 Eagle Materials Inc 0.21%
55342UAF1 MPT Operating Partnership LP / MPT Finance Corp 0.21%
45031UBX8 iStar Inc 0.21%
78572XAE1 Sabra Health Care LP / Sabra Capital Corp 0.21%
30212PAH8 Expedia Inc 0.20%
035287AE1 Anixter Inc 0.20%
402635AF3 Gulfport Energy Corp 0.20%
750236AS0 Radian Group Inc 0.20%
235825AC0 Dana Inc 0.19%
526057BU7 Lennar Corp 0.19%
762760AB2 Rice Energy Inc 0.19%
422704AD8 Hecla Mining Co 0.19%
489399AG0 Kennedy-Wilson Inc 0.19%
03879QAD6 VEREIT Operating Partnership LP 0.19%
69327RAC5 PDC Energy Inc 0.18%
53219LAM1 LifePoint Health Inc 0.18%
444454AA0 Hughes Satellite Systems Corp 0.18%
78467JAC4 SS&C Technologies Holdings Inc 0.18%
31430QBG1 FelCor Lodging LP 0.18%
745867AW1 PulteGroup Inc 0.18%
64110LAM8 Netflix Inc 0.17%
29266RAC2 Edgewell Personal Care Co 0.17%
22282EAD4 Covanta Holding Corp 0.16%
929160AS8 Vulcan Materials Co 0.16%
532776AZ4 LIN Television Corp 0.16%
74978QAB1 RSP Permian Inc 0.16%
494580AE3 Kindred Healthcare Inc 0.16%
00404AAJ8 Acadia Healthcare Co Inc 0.16%
23283PAB0 CyrusOne LP / CyrusOne Finance Corp 0.16%
26817RAM0 Dynegy Inc 0.15%
361841AD1 GLP Capital LP / GLP Financing II Inc 0.15%
25278XAC3 Diamondback Energy Inc 0.15%
513075BL4 Lamar Media Corp 0.14%
96926DAQ3 William Lyon Homes Inc 0.14%
00928QAP6 Aircastle Ltd 0.14%
785592AE6 Sabine Pass Liquefaction LLC 0.13%
88947EAN0 Toll Brothers Finance Corp 0.12%
576485AB2 Matador Resources Co 0.12%
90333LAP7 US Concrete Inc 0.12%
13123XAR3 Callon Petroleum Co 0.11%
962178AN9 TRI Pointe Group Inc / TRI Pointe Homes Inc 0.07%
032511BM8 Anadarko Petroleum Corp 0.01%
0.00%

PHB - News


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PHB - Price/Volume Stats

Current price $18.96
Prev. close $18.98
Day low $18.95
Day high $18.99
52-week high $19.00
52-week low $17.93
Day Volume 1,247,200
Avg. volume 981,872
Dividend yield 4.52%

PHB - Recent Returns

1-mo 1.17%
3-mo 1.64%
6-mo 3.93%
1-year 8.73%
3-year 11.37%
5-year 27.12%
YTD 2.41%
2016 12.98%
2015 -3.04%
2014 2.35%
2013 4.42%
2012 9.78%

PHB - Stock Chart


PHB - Dividends

Ex-Dividend Date Type Payout Amount Change
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