19.64 Down -0.01 -0.05%
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QUICK STATS
Latest price 19.64 Change -0.01
Net assets 803.33 Mil % Change -0.05%
YTD +3.76 %
Category Corporate Bond - High Yield
Fund family name PowerShares
Index tracked Barclays US Agg Bond TR USD
Inception date 11/15/2007
Turnover ratio +21.00 %
Detailed quote Last price update 05/17/2013 03:59 PM ET

OVERVIEW
The investment seeks investment results that generally correspond (before fees and expenses) to the price and yield of the RAFI® Bonds US High Yield 1-10 Index (the "underlying index"). The fund generally invests at least 80% of its total assets in high-yield corporate bonds that comprise the underlying index. The underlying index is comprised of U.S. dollar-denominated bonds registered for sale in the United States whose issuers are public companies listed on major U.S. stock exchanges. Only non-convertible, non-exchangeable, non-zero, fixed coupon investible high-yield corporate bonds qualify for inclusion in the underlying index.
MORNINGSTAR STYLE BOX
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Style Box for ETF
Credit Quality = Low & Interest Rate Sensitivity = Interm. Credit Quality = Low & Interest Rate Sensitivity = Interm.
Credit Quality = Low & Interest Rate Sensitivity = Interm.
ANNUAL RETURNS
2010 2011 2012
MKT 9.07 7.74 9.79
NAV 9.69 5.88 12.01
View additional performance information
MODERN PORTFOLIO THEORY STATISTICS
MEASUREMENT STANDARD INDEX
Barclays US Agg Bond TR USD
R-Squared (1-year) 0
Beta (1-year) 0.06
Alpha (1-year) 8.25
DATA PROVIDERS

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Fundamental company data and historical chart data provided by Thomson Reuters (click for restrictions). Real-time quotes provided by BATS Exchange. Real-time index quotes and delayed quotes supplied by Interactive Data Real-Time Services. Fund summary, fund performance and dividend data provided by Morningstar Inc. Analyst recommendations data provided by Zacks Investment Research. StockScouter data provided by Verus Analytics. IPO data provided by Hoover's Inc. Index membership data provided by SIX Financial Information.

Japanese stock price data provided by Nomura Research Institute Ltd.; quotes delayed 20 minutes. Canadian fund data provided by CANNEX Financial Exchanges Ltd.

ASSET ALLOCATION
Prospectus Objectives Corporate Bond - High Yield
FEES AND EXPENSES
Expense Ratio 0.50%
Gross Expense Ratio 0.50%
Net Expense Ratio 0.50%
Management Fee 0.50%
VOLATILITY MEASURES
1-year standard deviation 6.06
Mean 0.72
3-year Sharpe ratio 1.42
3-year Treynor ratio 146.13