ETF:DDWM | ETF Holdings Page 10 | WisdomTree Dynamic International Equity Fund

DDWM ETF holdings Page 10

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundWisdomTree Dynamic International Equity Fund
Report date2026-03-31
Reported holdings1,546
SEC series IDS000052353

Positions 901–1,000 of 1,546

TickerIssuerWeightValue (USD)Balance
DFIDFI Retail Group Holdings Ltd0.019852%249,54659,700 NS
8117Central Automotive Products Ltd0.019815%249,085.4221,000 NS
PLSVPARATUS ENERGY SERVICES LTD0.019811%249,025.9852,392 NS
AAKAAK AB0.019793%248,805.99,778 NS
CITCity Developments Ltd.0.019743%248,180.4439,000 NS
AZRMAZORIM INVESTMENT DEVELOPMENT & COSTRUCTION COMPANY LTD0.019636%246,826.2941,455 NS
5110Sumitomo Rubber Industries Ltd.0.01961%246,508.8919,400 NS
6458Sinko Industries Ltd.0.019606%246,447.2932,700 NS
CTSCTS COMPANY LTD0.019575%246,067.0143,400 NS
4203Sumitomo Bakelite Co Ltd0.019555%245,815.588,100 NS
1812KAJIMA CORP0.019495%245,057.516,600 NS
TEMNTemenos AG0.019426%244,194.512,850 NS
JMATJohnson Matthey Bankers Ltd0.019401%243,878.319,749 NS
4071PLUS ALPHA CONSULTING CO LTD0.01936%243,357.2219,100 NS
KINKinepolis Group NV0.019346%243,179.968,102 NS
ENTEntain PLC0.019255%242,044.5932,718 NS
1959KRAFTIA CORP0.019163%240,886.924,100 NS
BC8Bechtle AG0.019113%240,260.357,151 NS
ELOElopak Asa0.019098%240,071.4364,511 NS
BCKIFBabcock International Group PLC0.019057%239,548.9315,687 NS
6504Fuji Electric Co., Ltd.0.019046%239,411.653,600 NS
4046Osaka Soda Co Ltd0.019035%239,27422,300 NS
COORCoor Service Management Holding AB0.019012%238,987.4738,457 NS
6036Keeper Technical Laboratory Co Ltd0.018963%238,369.4812,700 NS
DIADiaSorin S.p.A.0.01894%238,080.323,445 NS
LSGLeroy Seafood Group ASA0.018933%237,995.6847,120 NS
ALFAAlfa Financial Software Hldgs Ltd0.01892%237,834.47124,383 NS
6479Minebea Mitsumi Inc.0.018888%237,422.2114,900 NS
LIABLindab International AB0.018882%237,356.5114,827 NS
A2AA2A S.p.A.0.018862%237,105.684,755 NS
6298Y.A.C Holdings Co Ltd0.018826%236,650.9537,800 NS
TYRESNokian Renkaat Oyj (Nokia Tyres)0.01882%236,575.3422,588 NS
2175SMS COMPANY LTD0.018814%236,499.4722,900 NS
9861YOSHINOYA HOLDINGS COMPANY LTD0.018783%236,111.6311,400 NS
8022Mizuno Corp0.018705%235,131.0611,100 NS
2371Kakaku.Com Inc.0.018663%234,603.0518,000 NS
PSPNPSP Swiss Property AG0.018642%234,332.651,188 NS
8308Resona Holdings Inc.0.018605%233,867.6221,600 NS
SBBTFVend Marketplaces ASA0.018582%233,574.929,496 NS
2492INFOMART CORP0.018579%233,537.6279,900 NS
REGREGIS HEALTHCARE LTD0.018549%233,166.455,266 NS
9010Fuji Kyuko Co., Ltd.0.018485%232,361.5615,200 NS
ABBAussie Broadband Ltd0.018475%232,231.8670,936 NS
AKZAAkzo Nobel N.V.0.018449%231,911.564,091 NS
PFPPROPEL FUNERAL PARTNERS LTD0.018413%231,455.283,442 NS
7740TAMRON COMPANY LTD0.018366%230,869.3237,100 NS
ISRAIsramco Negev 2 LP0.018316%230,241.74342,919 NS
GRFGrifols S.A.0.018295%229,971.5122,286 NS
MOONMoonpig Group PLC0.018229%229,147.3282,944 NS
6472NTN Corp0.018186%228,601.86113,900 NS
4681Resorttrust Inc.0.018138%227,996.4220,900 NS
AMUNAmundi SA0.018126%227,849.362,696 NS
CWYCleanaway Waste Management Ltd.0.018092%227,420.24146,277 NS
VPKKoninklijke Vopak N.V.0.018051%226,906.294,199 NS
SB1NOSpareBank 1 Sor-Norge ASA0.017997%226,233.0210,469 NS
FBKFinecobank Banca Fineco S.p.A.0.017986%226,088.5810,363 NS
ATEAAtea ASA0.017964%225,811.4915,556 NS
4919Milbon Co Ltd0.017943%225,554.0913,300 NS
7649Sugi Holdings Co Ltd0.017903%225,047.4610,300 NS
IAGInsurance Australia Group Ltd.0.017885%224,819.9244,721 NS
6254Nomura Micro Scien0.017879%224,740.7111,800 NS
HERHera SpA0.017795%223,687.4348,877 NS
SNLSUPPLY NETWORK LTD0.017763%223,291.1110,406 NS
ALSYDBAl Sydbank AS0.017728%222,843.72,809 NS
9364Kamigumi Co Ltd0.017721%222,754.426,500 NS
PPHPPHE HOTEL GROUP LTD0.017718%222,722.0910,609 NS
GRGGreggs PLC0.017709%222,603.0611,091 NS
2503Kirin Holdings Co Ltd0.017677%222,201.2714,000 NS
3436Sumco Corp.0.017675%222,184.6121,300 NS
ANECorporacion Acciona Energias Renovables, S.A.0.017637%221,704.269,128 NS
2154OPEN UP GROUP INC0.017624%221,534.9819,800 NS
IGLIVE GROUP LTD0.017587%221,072.94123,671 NS
PROTProtector Forsikring ASA0.017578%220,964.384,609 NS
NEXNexans SA0.017557%220,690.41,667 NS
ENGCONBEngcon AB0.017455%219,414.5932,306 NS
9381AIT CORP0.01742%218,976.0515,900 NS
BEIABBeijer Alma AB0.017406%218,797.438,721 NS
NCKNick Scali Ltd.0.017299%217,447.9920,248 NS
2337ICHIGO INC0.017244%216,757.8174,000 NS
9990SACS BAR HOLDINGS CO LTD0.017218%216,429.6944,200 NS
4204Sekisui Chemical Co Ltd.0.017205%216,266.2613,200 NS
2343PACIFIC BASIN SHIPPING LTD0.01718%215,953.67592,000 NS
BRGBorregaard ASA0.017156%215,661.3512,018 NS
6473JTEKT Corp.0.017093%214,859.220,900 NS
4369Tri Chemical Laboratories Inc.0.016959%213,175.5612,900 NS
WIITWIIT S.p.A.0.016927%212,778.247,062 NS
8060Canon Marketing Japan Inc.0.016907%212,521.219,800 NS
3086J.FRONT RETAILING COMPANY LTD0.0169%212,433.2114,000 NS
8097San-Ai Obbli Co Ltd0.016872%212,081.2114,000 NS
7337HIROGIN HOLDINGS INC0.016848%211,782.0119,600 NS
BYGBig Yellow Group PLC0.016823%211,472.0218,978 NS
VLXVolex Plc0.016806%211,254.235,364 NS
DOWDowner EDI Limited0.016786%211,002.3340,219 NS
ELISElis SA0.016776%210,878.667,538 NS
6584SANOH INDUSTRIAL CO LTD0.016768%210,778.849,900 NS
SYNSAMSynsam AB0.016756%210,630.7229,207 NS
ELNElEn Spa0.01656%208,159.8814,700 NS
DELFIDELFI LTD0.016537%207,875.83283,800 NS
SANOMASanoma OYJ0.016525%207,728.7320,144 NS
SRPSerco Group PLC0.016505%207,469.0555,203 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.