PWV has 50 holdings and the average price-to-earnings ratio on the components is 11.7. The ETF has a 2.08% 12-month yield.

Top holdings include Verizon Communications 3.5%, Johnson & Johnson 3.5%, Cisco Systems 3.4%, AT&T 3.4% and Wells Fargo 3.4%.

Sector allocations include consumer discretionary 2.9%, consumer staples 3.4%, energy 15.2%, financials 28.9%, health care 18.5%, industrials 5.7%, information technology 15.6% and telecom services 8.5%.

PowerShares Dynamic Large Cap Value Portfolio

For more information on large capitalization stocks, visit our large-cap category.

Max Chen contributed to this article.