PowerShares FTSE RAFI US 1000 UCITS ETF

PSRF

 

Information about the index & index sponsor - You can view further information by visiting the FTSE website at http://www.ftse.com/products/indexmenu

ETF Holdings


As at 21 July 2017

ETF holdings subject to change

Financials

18.83%

Ticker Company % of ETF
46625H100 JPMorgan Chase & Co 1.81
949746101 Wells Fargo & Co 1.51
172967424 Citigroup Inc 1.34
084670702 Berkshire Hathaway Inc 1.25
060505104 Bank of America Corp 1.23
026874784 American International Group Inc 0.63
59156R108 MetLife Inc 0.45
38141G104 Goldman Sachs Group Inc/The 0.45
084670108 Berkshire Hathaway Inc 0.44
902973304 US Bancorp 0.39
744320102 Prudential Financial Inc 0.37
14040H105 Capital One Financial Corp 0.35
025816109 American Express Co 0.32
693475105 PNC Financial Services Group Inc/The 0.31
89417E109 Travelers Cos Inc/The 0.3
617446448 Morgan Stanley 0.29
064058100 Bank of New York Mellon Corp/The 0.29
H1467J104 Chubb Ltd 0.25
020002101 Allstate Corp/The 0.23
001055102 Aflac Inc 0.22
09247X101 BlackRock Inc 0.21
416515104 Hartford Financial Services Group Inc/The 0.19
054937107 BB&T Corp 0.19
857477103 State Street Corp 0.17
87165B103 Synchrony Financial 0.16
12572Q105 CME Group Inc 0.15
867914103 SunTrust Banks Inc 0.15
743315103 Progressive Corp/The 0.14
02005N100 Ally Financial Inc 0.14
571748102 Marsh & McLennan Cos Inc 0.13
316773100 Fifth Third Bancorp 0.12
254709108 Discover Financial Services 0.12
174610105 Citizens Financial Group Inc 0.11
G0408V102 Aon PLC 0.11
540424108 Loews Corp 0.11
03076C106 Ameriprise Financial Inc 0.1
74251V102 Principal Financial Group Inc 0.1
035710409 Annaly Capital Management Inc 0.1
534187109 Lincoln National Corp 0.1
55261F104 M&T Bank Corp 0.1
7591EP100 Regions Financial Corp 0.1
354613101 Franklin Resources Inc 0.1
74144T108 T Rowe Price Group Inc 0.09
45866F104 Intercontinental Exchange Inc 0.09
G98294104 XL Group Ltd 0.08
808513105 Charles Schwab Corp/The 0.08
G491BT108 Invesco Ltd 0.08
37247D106 Genworth Financial Inc 0.08
665859104 Northern Trust Corp 0.08
929089100 Voya Financial Inc 0.08
125581801 CIT Group Inc 0.07
91529Y106 Unum Group 0.07
493267108 KeyCorp 0.07
63938C108 Navient Corp 0.07
78409V104 S&P Global Inc 0.07
00123Q104 AGNC Investment Corp 0.07
527288104 Leucadia National Corp 0.06
759351604 Reinsurance Group of America Inc 0.06
017175100 Alleghany Corp 0.06
04621X108 Assurant Inc 0.05
570535104 Markel Corp 0.05
172062101 Cincinnati Financial Corp 0.05
G3223R108 Everest Re Group Ltd 0.05
649445103 New York Community Bancorp Inc 0.05
200340107 Comerica Inc 0.05
446150104 Huntington Bancshares Inc/OH 0.05
269246401 E*TRADE Financial Corp 0.05
31620R303 FNF Group 0.05
025932104 American Financial Group Inc/OH 0.05
G0450A105 Arch Capital Group Ltd 0.04
615369105 Moody's Corp 0.04
G0585R106 Assured Guaranty Ltd 0.04
G96629103 Willis Towers Watson PLC 0.04
363576109 Arthur J Gallagher & Co 0.04
891027104 Torchmark Corp 0.04
G0692U109 Axis Capital Holdings Ltd 0.04
084423102 WR Berkley Corp 0.04
680223104 Old Republic International Corp 0.04
712704105 People's United Financial Inc 0.04
989701107 Zions Bancorporation 0.04
631103108 Nasdaq Inc 0.03
008252108 Affiliated Managers Group Inc 0.03
31847R102 First American Financial Corp 0.03
78442P106 SLM Corp 0.03
754730109 Raymond James Financial Inc 0.03
33616C100 First Republic Bank/CA 0.03
12621E103 CNO Financial Group Inc 0.03
85571B105 Starwood Property Trust Inc 0.03
410867105 Hanover Insurance Group Inc/The 0.03
90187B101 Two Harbors Investment Corp 0.03
78486Q101 SVB Financial Group 0.03
G7496G103 RenaissanceRe Holdings Ltd 0.03
524901105 Legg Mason Inc 0.03
87236Y108 TD Ameritrade Holding Corp 0.03
27579R104 East West Bancorp Inc 0.03
733174700 Popular Inc 0.03
16934Q208 Chimera Investment Corp 0.02
G9319H102 Validus Holdings Ltd 0.02
55262C100 MBIA Inc 0.02
55272X102 MFA Financial Inc 0.02
693320202 PHH Corp 0.02
G4474Y214 Janus Henderson Group PLC 0.02
904214103 Umpqua Holdings Corp 0.02
74267C106 ProAssurance Corp 0.02
80283M101 Santander Consumer USA Holdings Inc 0.02
200525103 Commerce Bancshares Inc/MO 0.02
278265103 Eaton Vance Corp 0.02
229899109 Cullen/Frost Bankers Inc 0.02
64828T201 New Residential Investment Corp 0.02
87161C501 Synovus Financial Corp 0.02
50212V100 LPL Financial Holdings Inc 0.02
930059100 Waddell & Reed Financial Inc 0.02
695263103 PacWest Bancorp 0.02
46131B100 Invesco Mortgage Capital Inc 0.02
G05384105 Aspen Insurance Holdings Ltd 0.02
025676206 American Equity Investment Life Holding Co 0.02
G9618E107 White Mountains Insurance Group Ltd 0.02
82669G104 Signature Bank/New York NY 0.02
410120109 Hancock Holding Co 0.02
919794107 Valley National Bancorp 0.02
743606105 Prosperity Bancshares Inc 0.02
115236101 Brown & Brown Inc 0.02
314211103 Federated Investors Inc 0.02
860630102 Stifel Financial Corp 0.02
70931T103 PennyMac Mortgage Investment Trust 0.02
045487105 Associated Banc-Corp 0.02
360271100 Fulton Financial Corp 0.02
46146L101 Investors Bancorp Inc 0.02
816300107 Selective Insurance Group Inc 0.02
552848103 MGIC Investment Corp 0.01
06652K103 BankUnited Inc 0.01
023139884 Ambac Financial Group Inc 0.01
09257W100 Blackstone Mortgage Trust Inc 0.01
872275102 TCF Financial Corp 0.01
947890109 Webster Financial Corp 0.01
97650W108 Wintrust Financial Corp 0.01
938824109 Washington Federal Inc 0.01
302520101 FNB Corp/PA 0.01
320517105 First Horizon National Corp 0.01
750236101 Radian Group Inc 0.01
749607107 RLI Corp 0.01
14057J101 Capitol Federal Financial Inc 0.01
062540109 Bank of Hawaii Corp 0.01
450828108 IBERIABANK Corp 0.01
488401100 Kemper Corp 0.01
909907107 United Bankshares Inc/WV 0.01

Information Technology

14.01%

Ticker Company % of ETF
037833100 Apple Inc 2.21
594918104 Microsoft Corp 1.5
458140100 Intel Corp 0.87
459200101 International Business Machines Corp 0.68
17275R102 Cisco Systems Inc 0.6
68389X105 Oracle Corp 0.54
02079K305 Alphabet Inc 0.51
02079K107 Alphabet Inc 0.48
747525103 QUALCOMM Inc 0.37
30303M102 Facebook Inc 0.27
40434L105 HP Inc 0.26
42824C109 Hewlett Packard Enterprise Co 0.25
92826C839 Visa Inc 0.23
G1151C101 Accenture PLC 0.23
882508104 Texas Instruments Inc 0.21
595112103 Micron Technology Inc 0.19
219350105 Corning Inc 0.16
70450Y103 PayPal Holdings Inc 0.14
038222105 Applied Materials Inc 0.13
H84989104 TE Connectivity Ltd 0.12
57636Q104 Mastercard Inc 0.12
958102105 Western Digital Corp 0.12
053015103 Automatic Data Processing Inc 0.12
871503108 Symantec Corp 0.12
192446102 Cognizant Technology Solutions Corp 0.12
042735100 Arrow Electronics Inc 0.11
Y2573F102 Flex Ltd 0.1
878237106 Tech Data Corp 0.1
23355L106 DXC Technology Co 0.1
31620M106 Fidelity National Information Services Inc 0.09
00507V109 Activision Blizzard Inc 0.09
482480100 KLA-Tencor Corp 0.09
G7945M107 Seagate Technology PLC 0.08
984121608 Xerox Corp 0.08
00724F101 Adobe Systems Inc 0.08
278642103 eBay Inc 0.07
N6596X109 NXP Semiconductors NV 0.07
053807103 Avnet Inc 0.07
67066G104 NVIDIA Corp 0.07
Y09827109 Broadcom Ltd 0.06
466313103 Jabil Inc 0.06
12673P105 CA Inc 0.06
032654105 Analog Devices Inc 0.06
337738108 Fiserv Inc 0.06
704326107 Paychex Inc 0.05
959802109 Western Union Co/The 0.05
512807108 Lam Research Corp 0.05
413875105 Harris Corp 0.05
620076307 Motorola Solutions Inc 0.05
64110D104 NetApp Inc 0.05
461202103 Intuit Inc 0.05
285512109 Electronic Arts Inc 0.04
983919101 Xilinx Inc 0.04
018581108 Alliance Data Systems Corp 0.04
032095101 Amphenol Corp 0.04
595017104 Microchip Technology Inc 0.04
57772K101 Maxim Integrated Products Inc 0.04
099502106 Booz Allen Hamilton Holding Corp 0.04
79466L302 salesforce.com Inc 0.04
74736K101 Qorvo Inc 0.04
336433107 First Solar Inc 0.04
48203R104 Juniper Networks Inc 0.04
12514G108 CDW Corp/DE 0.04
G02602103 Amdocs Ltd 0.03
32008D106 First Data Corp 0.03
801056102 Sanmina Corp 0.03
49338L103 Keysight Technologies Inc 0.03
871607107 Synopsys Inc 0.03
177376100 Citrix Systems Inc 0.03
83088M102 Skyworks Solutions Inc 0.03
G5876H105 Marvell Technology Group Ltd 0.03
44919P508 IAC/InterActiveCorp 0.03
896239100 Trimble Inc 0.03
62886E108 NCR Corp 0.03
20337X109 CommScope Holding Co Inc 0.02
37940X102 Global Payments Inc 0.02
87162W100 SYNNEX Corp 0.02
M22465104 Check Point Software Technologies Ltd 0.02
052769106 Autodesk Inc 0.02
525327102 Leidos Holdings Inc 0.02
12650T104 CSRA Inc 0.02
90184L102 Twitter Inc 0.02
891906109 Total System Services Inc 0.02
00971T101 Akamai Technologies Inc 0.02
11133T103 Broadridge Financial Solutions Inc 0.02
682189105 ON Semiconductor Corp 0.02
03662Q105 ANSYS Inc 0.02
111621306 Brocade Communications Systems Inc 0.02
035290105 Anixter International Inc 0.02
278768106 EchoStar Corp 0.02
127190304 CACI International Inc 0.02
G0551A103 ARRIS International PLC 0.02
232806109 Cypress Semiconductor Corp 0.02
880770102 Teradyne Inc 0.02
756577102 Red Hat Inc 0.02
88076W103 Teradata Corp 0.02
G3922B107 Genpact Ltd 0.02
339041105 FleetCor Technologies Inc 0.02
127387108 Cadence Design Systems Inc 0.02
302445101 FLIR Systems Inc 0.02
45765U103 Insight Enterprises Inc 0.02
928298108 Vishay Intertechnology Inc 0.02
315616102 F5 Networks Inc 0.02
225447101 Cree Inc 0.02
233326107 DST Systems Inc 0.02
67020Y100 Nuance Communications Inc 0.02
031652100 Amkor Technology Inc 0.02
909214306 Unisys Corp 0.02
92210H105 Vantiv Inc 0.01
08160H101 Benchmark Electronics Inc 0.01
21871D103 CoreLogic Inc/United States 0.01
12508E101 CDK Global Inc 0.01
212485106 Convergys Corp 0.01
806037107 ScanSource Inc 0.01
92342Y109 VeriFone Systems Inc 0.01
64115T104 NetScout Systems Inc 0.01
14575E105 Cars.com Inc 0.01
253651103 Diebold Nixdorf Inc 0.01
808625107 Science Applications International Corp 0.01

Health Care

11.53%

Ticker Company % of ETF
478160104 Johnson & Johnson 1.32
717081103 Pfizer Inc 1.06
58933Y105 Merck & Co Inc 0.74
91324P102 UnitedHealth Group Inc 0.71
58155Q103 McKesson Corp 0.44
G5960L103 Medtronic PLC 0.41
036752103 Anthem Inc 0.38
30219G108 Express Scripts Holding Co 0.36
G0177J108 Allergan PLC 0.35
031162100 Amgen Inc 0.34
00287Y109 AbbVie Inc 0.32
110122108 Bristol-Myers Squibb Co 0.31
532457108 Eli Lilly & Co 0.3
00817Y108 Aetna Inc 0.28
14149Y108 Cardinal Health Inc 0.26
375558103 Gilead Sciences Inc 0.25
002824100 Abbott Laboratories 0.24
444859102 Humana Inc 0.19
03073E105 AmerisourceBergen Corp 0.18
125509109 Cigna Corp 0.17
883556102 Thermo Fisher Scientific Inc 0.17
40412C101 HCA Healthcare Inc 0.16
071813109 Baxter International Inc 0.13
09062X103 Biogen Inc 0.12
235851102 Danaher Corp 0.11
075887109 Becton Dickinson and Co 0.11
863667101 Stryker Corp 0.1
151020104 Celgene Corp 0.09
23918K108 DaVita Inc 0.08
203668108 Community Health Systems Inc 0.08
98956P102 Zimmer Biomet Holdings Inc 0.08
N59465109 Mylan NV 0.07
74834L100 Quest Diagnostics Inc 0.07
50540R409 Laboratory Corp of America Holdings 0.07
88033G407 Tenet Healthcare Corp 0.07
15135B101 Centene Corp 0.06
806407102 Henry Schein Inc 0.06
94946T106 WellCare Health Plans Inc 0.05
101137107 Boston Scientific Corp 0.05
015351109 Alexion Pharmaceuticals Inc 0.05
46120E602 Intuitive Surgical Inc 0.05
00846U101 Agilent Technologies Inc 0.05
913903100 Universal Health Services Inc 0.05
G97822103 Perrigo Co PLC 0.05
98978V103 Zoetis Inc 0.05
156782104 Cerner Corp 0.04
28176E108 Edwards Lifesciences Corp 0.04
067383109 CR Bard Inc 0.04
60855R100 Molina Healthcare Inc 0.04
75886F107 Regeneron Pharmaceuticals Inc 0.04
G30401106 Endo International PLC 0.03
494580103 Kindred Healthcare Inc 0.03
G5785G107 Mallinckrodt PLC 0.03
92220P105 Varian Medical Systems Inc 0.03
53219L109 LifePoint Health Inc 0.03
941848103 Waters Corp 0.03
436440101 Hologic Inc 0.03
112463104 Brookdale Senior Living Inc 0.03
G84720104 STERIS PLC 0.02
690732102 Owens & Minor Inc 0.02
24906P109 DENTSPLY SIRONA Inc 0.02
216648402 Cooper Cos Inc/The 0.02
714046109 PerkinElmer Inc 0.02
01449J105 Alere Inc 0.02
74876Y101 Quintiles IMS Holdings Inc 0.02
452327109 Illumina Inc 0.02
58502B106 MEDNAX Inc 0.02
879369106 Teleflex Inc 0.02
761152107 ResMed Inc 0.02
592688105 Mettler-Toledo International Inc 0.02
91843L103 VWR Corp 0.02
81619Q105 Select Medical Holdings Corp 0.02
559079207 Magellan Health Inc 0.02
703395103 Patterson Cos Inc 0.02
421924309 HealthSouth Corp 0.02
29414D100 Envision Healthcare Corp 0.02
148806102 Catalent Inc 0.02
090572207 Bio-Rad Laboratories Inc 0.02
G50871105 Jazz Pharmaceuticals PLC 0.02
91307C102 United Therapeutics Corp 0.01
69329Y104 PDL BioPharma Inc 0.01
918194101 VCA Inc 0.01
01988P108 Allscripts Healthcare Solutions Inc 0.01

Consumer Discretionary

10.91%

Ticker Company % of ETF
20030N101 Comcast Corp 0.76
345370860 Ford Motor Co 0.58
37045V100 General Motors Co 0.51
580135101 McDonald's Corp 0.5
437076102 Home Depot Inc/The 0.49
254687106 Walt Disney Co/The 0.49
023135106 Amazon.com Inc 0.33
887317303 Time Warner Inc 0.3
87612E106 Target Corp 0.3
548661107 Lowe's Cos Inc 0.26
654106103 NIKE Inc 0.15
086516101 Best Buy Co Inc 0.14
143658300 Carnival Corp 0.14
872540109 TJX Cos Inc/The 0.13
855244109 Starbucks Corp 0.13
517834107 Las Vegas Sands Corp 0.13
741503403 Priceline Group Inc/The 0.12
90130A101 Twenty-First Century Fox Inc 0.12
855030102 Staples Inc 0.11
55616P104 Macy's Inc 0.1
G0084W101 Adient PLC 0.1
G5480U120 Liberty Global PLC 0.1
500255104 Kohl's Corp 0.1
124857202 CBS Corp 0.1
963320106 Whirlpool Corp 0.1
92553P201 Viacom Inc 0.1
681919106 Omnicom Group Inc 0.09
G27823106 Delphi Automotive PLC 0.09
53071M104 Liberty Interactive Corp QVC Group 0.09
983134107 Wynn Resorts Ltd 0.09
552953101 MGM Resorts International 0.09
988498101 Yum! Brands Inc 0.09
918204108 VF Corp 0.08
382550101 Goodyear Tire & Rubber Co/The 0.08
189754104 Coach Inc 0.07
256677105 Dollar General Corp 0.07
501797104 L Brands Inc 0.07
655664100 Nordstrom Inc 0.07
372460105 Genuine Parts Co 0.06
143130102 CarMax Inc 0.06
521865204 Lear Corp 0.06
V7780T103 Royal Caribbean Cruises Ltd 0.06
626755102 Murphy USA Inc 0.06
676220106 Office Depot Inc 0.06
571903202 Marriott International Inc/MD 0.06
052800109 Autoliv Inc 0.06
577081102 Mattel Inc 0.06
256746108 Dollar Tree Inc 0.05
98850P109 Yum China Holdings Inc 0.05
237194105 Darden Restaurants Inc 0.05
03852U106 ARAMARK Holdings Corp 0.05
16119P108 Charter Communications Inc 0.05
65249B109 News Corp 0.05
364760108 Gap Inc/The 0.05
075896100 Bed Bath & Beyond Inc 0.05
608190104 Mohawk Industries Inc 0.05
693656100 PVH Corp 0.05
23331A109 DR Horton Inc 0.05
099724106 BorgWarner Inc 0.05
778296103 Ross Stores Inc 0.05
98310W108 Wyndham Worldwide Corp 0.05
093671105 H&R Block Inc 0.05
90130A200 Twenty-First Century Fox Inc 0.05
460690100 Interpublic Group of Cos Inc/The 0.04
30212P303 Expedia Inc 0.04
25470M109 DISH Network Corp 0.04
651229106 Newell Brands Inc 0.04
05329W102 AutoNation Inc 0.04
412822108 Harley-Davidson Inc 0.04
886547108 Tiffany & Co 0.04
526057104 Lennar Corp 0.04
053332102 AutoZone Inc 0.04
418056107 Hasbro Inc 0.04
896047503 Tribune Media Co 0.04
G5480U104 Liberty Global PLC 0.04
501889208 LKQ Corp 0.04
64110L106 Netflix Inc 0.04
43300A203 Hilton Worldwide Holdings Inc 0.04
67103H107 O'Reilly Automotive Inc 0.04
92839U206 Visteon Corp 0.03
751212101 Ralph Lauren Corp 0.03
745867101 PulteGroup Inc 0.03
889478103 Toll Brothers Inc 0.03
36467W109 GameStop Corp 0.03
235825205 Dana Inc 0.03
538034109 Live Nation Entertainment Inc 0.03
524660107 Leggett & Platt Inc 0.03
G66721104 Norwegian Cruise Line Holdings Ltd 0.03
880349105 Tenneco Inc 0.03
410345102 Hanesbrands Inc 0.03
G60754101 Michael Kors Holdings Ltd 0.03
62944T105 NVR Inc 0.03
H2906T109 Garmin Ltd 0.03
731068102 Polaris Industries Inc 0.03
344849104 Foot Locker Inc 0.03
G81276100 Signet Jewelers Ltd 0.03
969904101 Williams-Sonoma Inc 0.03
218681104 Core-Mark Holding Co Inc 0.03
25470F302 Discovery Communications Inc 0.03
169656105 Chipotle Mexican Grill Inc 0.02
00751Y106 Advance Auto Parts Inc 0.02
708160106 JC Penney Co Inc 0.02
254067101 Dillard's Inc 0.02
817565104 Service Corp International/US 0.02
87901J105 TEGNA Inc 0.02
899896104 Tupperware Brands Corp 0.02
70959W103 Penske Automotive Group Inc 0.02
72348Y105 Pinnacle Entertainment Inc 0.02
17243V102 Cinemark Holdings Inc 0.02
126804301 Cabela's Inc 0.02
02553E106 American Eagle Outfitters Inc 0.02
398905109 Group 1 Automotive Inc 0.02
812350106 Sears Holdings Corp 0.02
117043109 Brunswick Corp/DE 0.02
128195104 CalAtlantic Group Inc 0.02
36191G107 GNC Holdings Inc 0.02
25470F104 Discovery Communications Inc 0.02
811065101 Scripps Networks Interactive Inc 0.02
384637104 Graham Holdings Co 0.02
089302103 Big Lots Inc 0.02
122017106 Burlington Stores Inc 0.02
127686103 Caesars Entertainment Corp 0.02
002896207 Abercrombie & Fitch Co 0.02
253393102 Dick's Sporting Goods Inc 0.02
094235108 Bloomin' Brands Inc 0.02
216831107 Cooper Tire & Rubber Co 0.02
928377100 Vista Outdoor Inc 0.02
243537107 Deckers Outdoor Corp 0.02
758766109 Regal Entertainment Group 0.02
79546E104 Sally Beauty Holdings Inc 0.02
371901109 Gentex Corp 0.02
404303109 HSN Inc 0.02
81761R109 ServiceMaster Global Holdings Inc 0.02
83001A102 Six Flags Entertainment Corp 0.02
36473H104 Gannett Co Inc 0.02
88023U101 Tempur Sealy International Inc 0.02
892356106 Tractor Supply Co 0.02
65249B208 News Corp 0.02
043436104 Asbury Automotive Group Inc 0.02
22410J106 Cracker Barrel Old Country Store Inc 0.01
885160101 Thor Industries Inc 0.01
G4863A108 International Game Technology PLC 0.01
530307305 Liberty Broadband Corp 0.01
401617105 Guess? Inc 0.01
536797103 Lithia Motors Inc 0.01
83545G102 Sonic Automotive Inc 0.01
00164V103 AMC Networks Inc 0.01
00737L103 Adtalem Global Education Inc 0.01
887228104 Time Inc 0.01
589433101 Meredith Corp 0.01
109641100 Brinker International Inc 0.01
024061103 American Axle & Manufacturing Holdings Inc 0.01
23334L102 DSW Inc 0.01
81282V100 SeaWorld Entertainment Inc 0.01
917047102 Urban Outfitters Inc 0.01
34988V106 Fossil Group Inc 0.01
04351G101 Ascena Retail Group Inc 0.01
904311107 Under Armour Inc 0.01
371532102 Genesco Inc 0.01
904311206 Under Armour Inc 0.01
30219E103 Express Inc 0.01
530307107 Liberty Broadband Corp 0

Industrials

10.42%

Ticker Company % of ETF
369604103 General Electric Co 1.21
913017109 United Technologies Corp 0.49
097023105 Boeing Co/The 0.48
149123101 Caterpillar Inc 0.41
88579Y101 3M Co 0.4
438516106 Honeywell International Inc 0.34
911312106 United Parcel Service Inc 0.32
907818108 Union Pacific Corp 0.32
539830109 Lockheed Martin Corp 0.31
244199105 Deere & Co 0.24
31428X106 FedEx Corp 0.23
369550108 General Dynamics Corp 0.21
291011104 Emerson Electric Co 0.21
G29183103 Eaton Corp PLC 0.19
755111507 Raytheon Co 0.19
126408103 CSX Corp 0.17
666807102 Northrop Grumman Corp 0.17
655844108 Norfolk Southern Corp 0.16
452308109 Illinois Tool Works Inc 0.14
94106L109 Waste Management Inc 0.14
231021106 Cummins Inc 0.14
693718108 PACCAR Inc 0.14
G51502105 Johnson Controls International plc 0.1
854502101 Stanley Black & Decker Inc 0.1
701094104 Parker-Hannifin Corp 0.09
G47791101 Ingersoll-Rand PLC 0.09
56418H100 ManpowerGroup Inc 0.08
42806J106 Hertz Global Holdings Inc 0.08
760759100 Republic Services Inc 0.07
343412102 Fluor Corp 0.06
03965L100 Arconic Inc 0.06
883203101 Textron Inc 0.06
773903109 Rockwell Automation Inc 0.06
053774105 Avis Budget Group Inc 0.06
893641100 TransDigm Group Inc 0.06
260003108 Dover Corp 0.06
N00985106 AerCap Holdings NV 0.06
34959J108 Fortive Corp 0.06
469814107 Jacobs Engineering Group Inc 0.06
G6518L108 Nielsen Holdings PLC 0.05
G7S00T104 Pentair PLC 0.05
910047109 United Continental Holdings Inc 0.05
774341101 Rockwell Collins Inc 0.05
247361702 Delta Air Lines Inc 0.05
776696106 Roper Technologies Inc 0.05
001084102 AGCO Corp 0.05
911363109 United Rentals Inc 0.05
12541W209 CH Robinson Worldwide Inc 0.04
485170302 Kansas City Southern 0.04
724479100 Pitney Bowes Inc 0.04
783549108 Ryder System Inc 0.04
00766T100 AECOM 0.04
031100100 AMETEK Inc 0.04
02376R102 American Airlines Group Inc 0.04
302130109 Expeditors International of Washington Inc 0.04
311900104 Fastenal Co 0.04
384802104 WW Grainger Inc 0.03
690742101 Owens Corning 0.03
848574109 Spirit AeroSystems Holdings Inc 0.03
74762E102 Quanta Services Inc 0.03
172908105 Cintas Corp 0.03
574599106 Masco Corp 0.03
294429105 Equifax Inc 0.03
98419M100 Xylem Inc/NY 0.03
880779103 Terex Corp 0.03
896522109 Trinity Industries Inc 0.03
34354P105 Flowserve Corp 0.03
446413106 Huntington Ingalls Industries Inc 0.03
34964C106 Fortune Brands Home & Security Inc 0.03
688239201 Oshkosh Corp 0.03
95082P105 WESCO International Inc 0.03
194014106 Colfax Corp 0.03
844741108 Southwest Airlines Co 0.03
40416M105 HD Supply Holdings Inc 0.03
45167R104 IDEX Corp 0.03
833034101 Snap-on Inc 0.02
55608B105 Macquarie Infrastructure Corp 0.02
N7902X106 Sensata Technologies Holding NV 0.02
443510607 Hubbell Inc 0.02
91336L107 Univar Inc 0.02
679580100 Old Dominion Freight Line Inc 0.02
770323103 Robert Half International Inc 0.02
445658107 JB Hunt Transport Services Inc 0.02
983793100 XPO Logistics Inc 0.02
497266106 Kirby Corp 0.02
92345Y106 Verisk Analytics Inc 0.02
63934E108 Navistar International Corp 0.02
48242W106 KBR Inc 0.02
92927K102 WABCO Holdings Inc 0.02
758750103 Regal Beloit Corp 0.02
142339100 Carlisle Cos Inc 0.02
858912108 Stericycle Inc 0.02
01973R101 Allison Transmission Holdings Inc 0.02
257867200 RR Donnelley & Sons Co 0.02
29084Q100 EMCOR Group Inc 0.02
48238T109 KAR Auction Services Inc 0.02
896818101 Triumph Group Inc 0.02
297425100 Esterline Technologies Corp 0.02
576323109 MasTec Inc 0.02
68557N103 Orbital ATK Inc 0.02
G47567105 IHS Markit Ltd 0.02
78469X107 SPX FLOW Inc 0.02
887389104 Timken Co/The 0.02
257651109 Donaldson Co Inc 0.02
167250109 Chicago Bridge & Iron Co NV 0.02
109696104 Brink's Co/The 0.02
55345K103 MRC Global Inc 0.02
000957100 ABM Industries Inc 0.02
371559105 Genesee & Wyoming Inc 0.02
369300108 General Cable Corp 0.02
184496107 Clean Harbors Inc 0.02
879360105 Teledyne Technologies Inc 0.02
00912X302 Air Lease Corp 0.02
87074U101 Swift Transportation Co 0.02
920253101 Valmont Industries Inc 0.02
224399105 Crane Co 0.02
489170100 Kennametal Inc 0.02
50218P107 LSC Communications Inc 0.02
59001K100 Meritor Inc 0.02
361448103 GATX Corp 0.02
368736104 Generac Holdings Inc 0.02
533900106 Lincoln Electric Holdings Inc 0.02
482539103 KLX Inc 0.02
942622200 Watsco Inc 0.02
04247X102 Armstrong World Industries Inc 0.02
26483E100 Dun & Bradstreet Corp/The 0.01
415864107 Harsco Corp 0.01
384109104 Graco Inc 0.01
831865209 AO Smith Corp 0.01
929740108 Wabtec Corp/DE 0.01
76169B102 Rexnord Corp 0.01
615394202 Moog Inc 0.01
984249607 YRC Worldwide Inc 0.01
45073V108 ITT Inc 0.01
248019101 Deluxe Corp 0.01
781846209 Rush Enterprises Inc 0.01
231561101 Curtiss-Wright Corp 0.01
901109108 Tutor Perini Corp 0.01
949090104 Welbilt Inc 0.01
00508Y102 Acuity Brands Inc 0.01
023586100 AMERCO 0.01
553530106 MSC Industrial Direct Co Inc 0.01
G0129K104 Aircastle Ltd 0.01
67011P100 NOW Inc 0.01
980745103 Woodward Inc 0.01
29275Y102 EnerSys 0.01
22282E102 Covanta Holding Corp 0.01
443320106 Hub Group Inc 0.01
296689102 Essendant Inc 0.01
302941109 FTI Consulting Inc 0.01

Energy

9.95%

Ticker Company % of ETF
30231G102 Exxon Mobil Corp 2.73
166764100 Chevron Corp 1.79
20825C104 ConocoPhillips 0.59
718546104 Phillips 66 0.51
91913Y100 Valero Energy Corp 0.44
806857108 Schlumberger Ltd 0.38
56585A102 Marathon Petroleum Corp 0.34
674599105 Occidental Petroleum Corp 0.32
49456B101 Kinder Morgan Inc/DE 0.27
406216101 Halliburton Co 0.17
969457100 Williams Cos Inc/The 0.15
42809H107 Hess Corp 0.14
637071101 National Oilwell Varco Inc 0.13
565849106 Marathon Oil Corp 0.13
26875P101 EOG Resources Inc 0.13
881609101 Tesoro Corp 0.13
436106108 HollyFrontier Corp 0.1
032511107 Anadarko Petroleum Corp 0.1
05722G100 Baker Hughes a GE Co 0.09
037411105 Apache Corp 0.08
H8817H100 Transocean Ltd 0.07
626717102 Murphy Oil Corp 0.07
682680103 ONEOK Inc 0.07
655044105 Noble Energy Inc 0.06
G48833100 Weatherford International PLC 0.06
25179M103 Devon Energy Corp 0.06
981475106 World Fuel Services Corp 0.06
20605P101 Concho Resources Inc 0.05
69318G106 PBF Energy Inc 0.05
723787107 Pioneer Natural Resources Co 0.04
26884L109 EQT Corp 0.04
20854P109 CONSOL Energy Inc 0.04
423452101 Helmerich & Payne Inc 0.04
G65431101 Noble Corp plc 0.03
G3157S106 Ensco PLC 0.03
165167107 Chesapeake Energy Corp 0.03
24665A103 Delek US Holdings Inc 0.03
127097103 Cabot Oil & Gas Corp 0.02
87612G101 Targa Resources Corp 0.02
675232102 Oceaneering International Inc 0.02
G6359F103 Nabors Industries Ltd 0.02
03674X106 Antero Resources Corp 0.02
25271C102 Diamond Offshore Drilling Inc 0.02
29265N108 Energen Corp 0.02
966387102 Whiting Petroleum Corp 0.02
74733V100 QEP Resources Inc 0.02
703481101 Patterson-UTI Energy Inc 0.02
G7665A101 Rowan Cos Plc 0.02
171798101 Cimarex Energy Co 0.02
580037109 McDermott International Inc 0.02
98212B103 WPX Energy Inc 0.01
868157108 Superior Energy Services Inc 0.01
78454L100 SM Energy Co 0.01
75281A109 Range Resources Corp 0.01
050095108 Atwood Oceanics Inc 0.01
G25343107 Cosan Ltd 0.01
678026105 Oil States International Inc 0.01
886423102 Tidewater Inc 0.01
674215108 Oasis Petroleum Inc 0.01
Y8564W103 Teekay Corp 0.01
845467109 Southwestern Energy Co 0.01
212015101 Continental Resources Inc/OK 0.01
651290108 Newfield Exploration Co 0.01
Y0017S102 Aegean Marine Petroleum Network Inc 0.01
13057Q206 California Resources Corp 0.01

Consumer Staples

9.22%

Ticker Company % of ETF
931142103 Wal-Mart Stores Inc 1.15
742718109 Procter & Gamble Co/The 1.01
718172109 Philip Morris International Inc 0.74
191216100 Coca-Cola Co/The 0.71
713448108 PepsiCo Inc 0.63
126650100 CVS Health Corp 0.57
02209S103 Altria Group Inc 0.41
22160K105 Costco Wholesale Corp 0.35
609207105 Mondelez International Inc 0.32
931427108 Walgreens Boots Alliance Inc 0.32
039483102 Archer-Daniels-Midland Co 0.28
501044101 Kroger Co/The 0.2
194162103 Colgate-Palmolive Co 0.18
G16962105 Bunge Ltd 0.17
500754106 Kraft Heinz Co/The 0.17
871829107 Sysco Corp 0.16
494368103 Kimberly-Clark Corp 0.16
370334104 General Mills Inc 0.15
761713106 Reynolds American Inc 0.14
902494103 Tyson Foods Inc 0.1
966837106 Whole Foods Market Inc 0.08
487836108 Kellogg Co 0.07
205887102 Conagra Brands Inc 0.06
832696405 JM Smucker Co/The 0.06
26138E109 Dr Pepper Snapple Group Inc 0.06
21036P108 Constellation Brands Inc 0.06
518439104 Estee Lauder Cos Inc/The 0.05
189054109 Clorox Co/The 0.05
427866108 Hershey Co/The 0.05
60871R209 Molson Coors Brewing Co 0.04
171340102 Church & Dwight Co Inc 0.03
134429109 Campbell Soup Co 0.03
61174X109 Monster Beverage Corp 0.03
457187102 Ingredion Inc 0.03
054303102 Avon Products Inc 0.03
115637209 Brown-Forman Corp 0.03
579780206 McCormick & Co Inc/MD 0.03
868536103 SUPERVALU Inc 0.03
767754104 Rite Aid Corp 0.03
G25839104 Coca-Cola European Partners PLC 0.03
237266101 Darling Ingredients Inc 0.03
G4412G101 Herbalife Ltd 0.03
440452100 Hormel Foods Corp 0.03
513272104 Lamb Weston Holdings Inc 0.02
147528103 Casey's General Stores Inc 0.02
72348P104 Pinnacle Foods Inc 0.02
89469A104 TreeHouse Foods Inc 0.02
405217100 Hain Celestial Group Inc/The 0.02
71377A103 Performance Food Group Co 0.02
67018T105 Nu Skin Enterprises Inc 0.02
911163103 United Natural Foods Inc 0.02
28035Q102 Edgewell Personal Care Co 0.02
343498101 Flowers Foods Inc 0.02
912008109 US Foods Holding Corp 0.02
85208M102 Sprouts Farmers Market Inc 0.02
737446104 Post Holdings Inc 0.02
40434J100 HRG Group Inc 0.01
913456109 Universal Corp/VA 0.01
242370203 Dean Foods Co 0.01
034164103 Andersons Inc/The 0.01
847215100 SpartanNash Co 0.01

Utilities

5.08%

Ticker Company % of ETF
26441C204 Duke Energy Corp 0.44
30161N101 Exelon Corp 0.34
842587107 Southern Co/The 0.31
65339F101 NextEra Energy Inc 0.3
025537101 American Electric Power Co Inc 0.24
25746U109 Dominion Energy Inc 0.23
69331C108 PG&E Corp 0.21
209115104 Consolidated Edison Inc 0.18
337932107 FirstEnergy Corp 0.18
69351T106 PPL Corp 0.17
744573106 Public Service Enterprise Group Inc 0.17
98389B100 Xcel Energy Inc 0.15
816851109 Sempra Energy 0.15
281020107 Edison International 0.15
29364G103 Entergy Corp 0.14
233331107 DTE Energy Co 0.12
30040W108 Eversource Energy 0.11
00130H105 AES Corp/VA 0.11
023608102 Ameren Corp 0.09
92939U106 WEC Energy Group Inc 0.09
15189T107 CenterPoint Energy Inc 0.09
629377508 NRG Energy Inc 0.08
125896100 CMS Energy Corp 0.07
723484101 Pinnacle West Capital Corp 0.06
131347304 Calpine Corp 0.06
030420103 American Water Works Co Inc 0.06
80589M102 SCANA Corp 0.06
018802108 Alliant Energy Corp 0.05
902681105 UGI Corp 0.05
65473P105 NiSource Inc 0.04
049560105 Atmos Energy Corp 0.04
670837103 OGE Energy Corp 0.04
95709T100 Westar Energy Inc 0.04
391164100 Great Plains Energy Inc 0.04
552690109 MDU Resources Group Inc 0.03
92240G101 Vectren Corp 0.03
419870100 Hawaiian Electric Industries Inc 0.03
736508847 Portland General Electric Co 0.03
05379B107 Avista Corp 0.02
636180101 National Fuel Gas Co 0.02
26817R108 Dynegy Inc 0.02
451107106 IDACORP Inc 0.02
03836W103 Aqua America Inc 0.02
92924F106 WGL Holdings Inc 0.02
69349H107 PNM Resources Inc 0.02
092113109 Black Hills Corp 0.02
646025106 New Jersey Resources Corp 0.02
68235P108 ONE Gas Inc 0.02
05351W103 Avangrid Inc 0.02
018522300 ALLETE Inc 0.02
668074305 NorthWestern Corp 0.02
84857L101 Spire Inc 0.02

Materials

3.68%

Ticker Company % of ETF
260543103 Dow Chemical Co/The 0.38
263534109 EI du Pont de Nemours & Co 0.29
N53745100 LyondellBasell Industries NV 0.25
35671D857 Freeport-McMoRan Inc 0.18
61166W101 Monsanto Co 0.17
460146103 International Paper Co 0.15
74005P104 Praxair Inc 0.15
670346105 Nucor Corp 0.11
009158106 Air Products & Chemicals Inc 0.11
013872106 Alcoa Corp 0.11
693506107 PPG Industries Inc 0.1
651639106 Newmont Mining Corp 0.1
278865100 Ecolab Inc 0.09
96145D105 WestRock Co 0.08
61945C103 Mosaic Co/The 0.07
277432100 Eastman Chemical Co 0.07
125269100 CF Industries Holdings Inc 0.06
824348106 Sherwin-Williams Co/The 0.05
690768403 Owens-Illinois Inc 0.05
228368106 Crown Holdings Inc 0.05
058498106 Ball Corp 0.05
150870103 Celanese Corp 0.04
447011107 Huntsman Corp 0.04
163851108 Chemours Co/The 0.04
695156109 Packaging Corp of America 0.04
759509102 Reliance Steel & Aluminum Co 0.04
053611109 Avery Dennison Corp 0.04
012653101 Albemarle Corp 0.04
858119100 Steel Dynamics Inc 0.04
302491303 FMC Corp 0.03
929160109 Vulcan Materials Co 0.03
573284106 Martin Marietta Materials Inc 0.03
257559203 Domtar Corp 0.03
749685103 RPM International Inc 0.03
459506101 International Flavors & Fragrances Inc 0.03
G0750C108 Axalta Coating Systems Ltd 0.03
912909108 United States Steel Corp 0.03
81211K100 Sealed Air Corp 0.03
835495102 Sonoco Products Co 0.03
081437105 Bemis Co Inc 0.03
08579W103 Berry Global Group Inc 0.02
201723103 Commercial Metals Co 0.02
044186104 Ashland Global Holdings Inc 0.02
L9340P101 Trinseo SA 0.02
680665205 Olin Corp 0.02
038336103 AptarGroup Inc 0.02
01741R102 Allegheny Technologies Inc 0.02
388689101 Graphic Packaging Holding Co 0.02
18683K101 Cliffs Natural Resources Inc 0.02
84265V105 Southern Copper Corp 0.02
651587107 NewMarket Corp 0.02
127055101 Cabot Corp 0.02
73179P106 PolyOne Corp 0.02
N22035104 Constellium NV 0.01
38388F108 WR Grace & Co 0.01
72766Q105 Platform Specialty Products Corp 0.01
827048109 Silgan Holdings Inc 0.01
20451N101 Compass Minerals International Inc 0.01
144285103 Carpenter Technology Corp 0.01
001547108 AK Steel Holding Corp 0.01

Telecommunication Services

3.27%

Ticker Company % of ETF
00206R102 AT&T Inc 1.64
92343V104 Verizon Communications Inc 1.16
156700106 CenturyLink Inc 0.26
52729N308 Level 3 Communications Inc 0.07
872590104 T-Mobile US Inc 0.06
879433829 Telephone & Data Systems Inc 0.03
35906A306 Frontier Communications Corp 0.03
97382A200 Windstream Holdings Inc 0.02

Real Estate

3.1%

Ticker Company % of ETF
95040Q104 Welltower Inc 0.14
828806109 Simon Property Group Inc 0.14
74340W103 Prologis Inc 0.12
92276F100 Ventas Inc 0.11
29476L107 Equity Residential 0.11
03027X100 American Tower Corp 0.1
40414L109 HCP Inc 0.09
962166104 Weyerhaeuser Co 0.08
053484101 AvalonBay Communities Inc 0.08
22822V101 Crown Castle International Corp 0.08
44107P104 Host Hotels & Resorts Inc 0.07
101121101 Boston Properties Inc 0.07
74460D109 Public Storage 0.06
253868103 Digital Realty Trust Inc 0.05
46284V101 Iron Mountain Inc 0.05
297178105 Essex Property Trust Inc 0.05
929042109 Vornado Realty Trust 0.05
36174X101 GGP Inc 0.05
12504L109 CBRE Group Inc 0.04
92339V100 VEREIT Inc 0.04
78440X101 SL Green Realty Corp 0.04
75605Y106 Realogy Holdings Corp 0.04
554382101 Macerich Co/The 0.04
756109104 Realty Income Corp 0.04
264411505 Duke Realty Corp 0.04
29444U700 Equinix Inc 0.04
902653104 UDR Inc 0.03
133131102 Camden Property Trust 0.03
44106M102 Hospitality Properties Trust 0.03
49446R109 Kimco Realty Corp 0.03
531172104 Liberty Property Trust 0.03
81721M109 Senior Housing Properties Trust 0.03
21871N101 CoreCivic Inc 0.03
48020Q107 Jones Lang LaSalle Inc 0.03
747545101 Quality Care Properties Inc 0.03
59522J103 Mid-America Apartment Communities Inc 0.03
015271109 Alexandria Real Estate Equities Inc 0.03
11120U105 Brixmor Property Group Inc 0.03
92936U109 WP Carey Inc 0.03
198287203 Columbia Property Trust Inc 0.02
681936100 Omega Healthcare Investors Inc 0.02
024835100 American Campus Communities Inc 0.02
313747206 Federal Realty Investment Trust 0.02
754907103 Rayonier Inc 0.02
294628102 Equity Commonwealth 0.02
03748R101 Apartment Investment & Management Co 0.02
03784Y200 Apple Hospitality REIT Inc 0.02
30225T102 Extra Space Storage Inc 0.02
345605109 Forest City Realty Trust Inc 0.02
720190206 Piedmont Office Realty Trust Inc 0.02
69007J106 Outfront Media Inc 0.02
517942108 LaSalle Hotel Properties 0.02
867892101 Sunstone Hotel Investors Inc 0.02
758849103 Regency Centers Corp 0.02
431284108 Highwoods Properties Inc 0.02
700517105 Park Hotels & Resorts Inc 0.02
984017103 Xenia Hotels & Resorts Inc 0.02
49427F108 Kilroy Realty Corp 0.02
124830100 CBL & Associates Properties Inc 0.02
76131V202 Retail Properties of America Inc 0.02
637417106 National Retail Properties Inc 0.02
93964W108 Washington Prime Group Inc 0.02
74965L101 RLJ Lodging Trust 0.02
105368203 Brandywine Realty Trust 0.02
36162J106 GEO Group Inc/The 0.02
84860W102 Spirit Realty Capital Inc 0.02
876664103 Taubman Centers Inc 0.02
78410G104 SBA Communications Corp 0.02
23317H102 DDR Corp 0.02
233153204 DCT Industrial Trust Inc 0.02
36467J108 Gaming and Leisure Properties Inc 0.02
22002T108 Corporate Office Properties Trust 0.02
25960P109 Douglas Emmett Inc 0.02
385002308 Gramercy Property Trust 0.02
554489104 Mack-Cali Realty Corp 0.02
29472R108 Equity LifeStyle Properties Inc 0.02
512816109 Lamar Advertising Co 0.02
252784301 DiamondRock Hospitality Co 0.02
26884U109 EPR Properties 0.02
421946104 Healthcare Realty Trust Inc 0.02
948741103 Weingarten Realty Investors 0.01
866674104 Sun Communities Inc 0.01
44267D107 Howard Hughes Corp/The 0.01
58463J304 Medical Properties Trust Inc 0.01
78377T107 Ryman Hospitality Properties Inc 0.01
42225P501 Healthcare Trust of America Inc 0.01
529043101 Lexington Realty Trust 0.01
69924R108 Paramount Group Inc 0.01
229663109 CubeSmart 0.01
46590V100 JBG SMITH Properties 0.01

Risk warnings

The value of investments and any income will fluctuate (this may partly be the result of exchange rate fluctuations) and investors may not get back the full amount invested.

Important information

The ETF will, as far as practicable, hold all the securities in the index in their respective weighting.

When making an investment in an ETF you are buying shares in a company that is listed on a stock exchange.

It is expected that the shares of the ETF will trade closely to its Net Asset Value (NAV), and because of the exchange-traded fund structure, that a significant discount or premium to the NAV will not be sustained over the long term. However, supply of, and demand for, the shares on the relevant exchange together with any disruptions to creations and redemptions of units in the underlying fund may result in share prices that differ significantly from the NAV and there can be no certainty that there will be liquidity in the shares on any exchange. Only Authorised Participants, as defined in the Prospectus of the ETF, can request the Manager to create and redeem units in the underlying fund.

The distribution and the offering of the ETF in certain jurisdictions may be restricted by law. Persons into whose possession this document may come are required to inform themselves about and to comply with any relevant restrictions. This does not constitute an offer or solicitation by anyone in any jurisdiction in which such an offer is not authorised or to any person to who it is unlawful to make such an offer or solicitation.

Persons interested in acquiring the ETF should inform themselves as to (i) the legal requirements in the countries of their nationality, residence, ordinary residence or domicile: (ii) any foreign exchange controls: and (iii) tax consequences which might be relevant.

Using the RAFI index methodology, a stock's weight is derived from the composite of its 5 year average book value, cash flow, sales and dividends and that weighting determines the percentage of the index that will be invested in that stock. Each of the four metrics are obtained from the published accounts of the companies and the weighting is calculated in the same manner each time.

This marketing material is not intended as a recommendation to invest in any particular asset class, security or strategy. Regulatory requirements that require impartiality of investment/investment strategy recommendations are therefore not applicable nor are any prohibitions to trade before publication. The information provided is for illustrative purposes only, it should not be relied upon as recommendations to buy or sell securities.

The FTSE Research Affiliates FTSE RAFI US 1000 Index is calculated by FTSE International Limited in conjunction with Research Affiliates LLC.  FTSE International Limited or Research Affiliates LLC do not sponsor, endorse or promote this product.

All copyright in the Index values and constituent list vests in FTSE International Limited.   PowerShares has obtained full license from FTSE International Limited to use such copyright in the creation of this product.

 “FTSE®” is trade mark of the London Stock Exchange Plc and The Financial Times Limited and is used by FTSE International Limited under licence.  “Research Affiliates” and “Fundamental Index” are trade marks of Research Affiliates.

Any investment in an ETF should be made on the basis of the relevant Prospectus and Key Investor Information Documents, including consideration of the investment objective, risks, charges and expenses. Further information on the ETF, including the Prospectus, Key Investor Information Documents and Supplements available at www.invescopowershares.co.uk.

Issued and distributed in the UK, on behalf of Invesco PowerShares, by Invesco Asset Management Limited. Registered Address: Perpetual Park, Perpetual Park Drive, Henley-on-Thames, Oxfordshire, RG9 1HH. Authorised and regulated by the Financial Conduct Authority.