PowerShares Russell 2000 Pure Value Portfolio ETF (PXSV)

Description

The investment seeks to track the performance of the S&P SmallCap 600 High Momentum Value Index. The PXSV ETF contains 117 constituents. It is focused on value holdings in the North America region.

Price $43.26 as of 2022-10-20

Cost/Risk/Yield

Dividend yield2.03%
Expense ratio0.39%
Average spread0.185%
1Y roundtrip cost0.575%

Historic prices

Total Returns (including dividends)

Monthly returns heatmap

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
2022-3.4%1.9%1.9%-7.2%1.9%-12.4%10.2%-4.4%-11.6%5.0%-18.1%
202123.4%-0.3%13.4%1.4%6.5%-3.1%-2.6%2.8%-0.8%4.5%-2.0%5.1%48.2%
2020-6.2%-10.1%-30.1%16.2%4.0%2.8%4.0%8.0%-2.4%1.9%20.1%6.5%14.9%
201910.8%4.2%-2.9%2.2%-8.6%6.7%2.6%-6.6%8.9%2.2%4.8%4.1%28.4%
2018-1.1%-5.2%1.2%4.0%5.3%1.2%1.3%2.3%-2.2%-6.5%0.2%-12.2%-11.7%
2017-1.3%-1.1%-1.5%0.5%-4.3%4.4%0.5%-3.0%6.9%-1.2%2.8%1.2%4.1%
2016-7.5%0.1%9.2%3.1%1.3%-0.2%4.1%4.0%1.7%-4.1%15.8%5.2%32.6%
2015-4.9%5.7%1.2%-2.5%1.2%-0.2%-4.2%-3.8%-3.5%5.5%2.9%-6.4%-8.9%
2014-4.7%5.1%1.8%-2.4%0.6%4.4%-5.6%4.7%-6.8%6.1%0.6%3.4%7.0%
20136.0%1.6%4.3%-0.1%6.0%-1.3%8.3%-4.2%6.1%3.9%5.2%1.9%37.8%
20127.1%2.9%3.0%-2.0%-6.9%5.1%-1.5%3.8%4.1%-1.8%1.7%4.7%20.2%
20110.5%6.2%2.0%4.1%-2.1%-1.6%-3.2%-10.6%-11.1%15.1%-1.0%3.2%1.5%
18.7%11.2%3.5%17.5%4.9%5.9%13.8%-7.1%-10.8%30.6%51.2%16.6%

Historical Dividends

Monthly dividend heatmap

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
20220.210.210.180.60
20210.120.110.280.51
20200.190.080.090.36
20190.160.070.180.41
20180.280.110.280.67
20170.020.100.160.310.58
20160.040.140.140.390.69
20150.050.110.190.260.61
20140.020.080.040.200.34
20130.020.100.050.120.29
20120.030.080.070.180.37
20110.040.040.070.15
0.000.000.690.000.001.490.000.001.050.000.002.35

Sectors and Top Holdings

Security % Assets
Iridium Communications Inc1.29%
Cousins Properties Inc1.23%
DHT Holdings Inc1.13%
World Fuel Services Corp1.08%
MGIC Investment Corp1.02%
Frontline Ltd1.00%
NorthWestern Corp0.99%
Independence Realty Trust Inc0.99%
PDL BioPharma Inc0.94%
Cooper Tire & Rubber Co0.94%
Knowles Corp0.92%
Global Medical REIT Inc0.91%
Genworth Financial Inc0.88%
eHealth Inc0.87%
Portland General Electric Co0.87%
Top 15 Weights15.06%

Compare with similar ETFs

PXSV EWSC HSMV SIXS TPSC XSVM
Product namePowerShares Russell 2000 Pure Value Portfolio ETFGuggenheim S&P SmallCap 600 Equal Weight ETFFirst Trust Horizon Managed Volatility Small/Mid ETF6 Meridian Small Cap Equity ETFTimothy Plan US Small Cap Core ETFInvesco S&P SmallCap Value with Momentum ETF
IssuerN/AInvescoFirst TrustMeridianTimothyInvesco
Price$43.26$66.91$28.7342$38.676$28.93$43.26
Expense Ratio0.39%worse0.4%worse0.8%worse1%worse0.52%0.39%
Average Spread0.185%0.523%0.139%0.336%0.277%0.185%
AUM$0$59,637,500$12,935,000$48,223,100$43,769,800$373,138,000
Shares0891,309450,1611,246,8491,512,9568,625,475
Average Daily Volume120,0802,90787974012,770120,080
Home pageVisit external siteVisit external siteVisit external siteVisit external siteVisit external site
Inception Date2005-03-032010-12-082020-04-062020-05-112019-12-022005-03-03
Index TrackedS&P SmallCap 600 High Momentum Value IndexS&P Small Cap 600 Equal Weight IndexNo Underlying IndexNo Underlying IndexVictory US Small Cap Volatility Weighted BRI IndexS&P SmallCap 600 High Momentum Value Index
CategorySmall Cap Value EquitiesSmall Cap Blend EquitiesSmall Cap Blend EquitiesSmall Cap Blend EquitiesSmall Cap Blend EquitiesSmall Cap Value Equities
Asset ClassEquityEquityEquityEquityEquityEquity
Asset Class SizeMid/Small CapsMid/Small CapsMid CapsMid/Small CapsMid/Small CapsMid/Small Caps
Value or GrowthValueBlendBlendBlendBlendBlend
RegionNorth AmericaNorth AmericaNorth AmericaNorth AmericaNorth AmericaNorth America
CountriesU.S.U.S.U.S.U.S.U.S.U.S.
Annual Dividend Rate$0.879$0.872$0.37$0.598$0.323$0.879
Annual Dividend Yield0.020%0.013%0.013%0.015%0.011%0.020%
Number of Holdings11760020088463117
YTD Return-18.70%-19.85%-16.59%-24.88%-18.00%-18.70%
Beta1.241.260.901.151.131.24
Upside Beta0.250.110.630.820.930.25
Downside Beta0.01-0.320.00-0.080.180.01
Volatility 1Y26.00%25.02%18.99%20.97%23.24%26.00%
Sharpe Ratio 3Y0.690.420.000.000.000.69
Treynor Ratio 3Y0.010.010.000.000.000.01

Historic volatility

Implied volatility

Put/Call Ratio (option volume)

Put/Call Ratio (open interest)

Volatility Spread

Volatility Skew