ETF:DDWM | ETF Holdings Page 13 | WisdomTree Dynamic International Equity Fund

DDWM ETF holdings Page 13

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 1,201–1,300 of 1,546

TickerIssuerWeightValue (USD)Balance
SNIStolt-Nielsen Ltd0.011044%138,830.664,055 NS
6351Tsurumi Manufacturing Co Ltd0.010985%138,079.710,700 NS
7970SHIN-ETSU POLYMER CO LTD0.010945%137,582.511,400 NS
8255Axial Retailing Inc0.010939%137,512.117,600 NS
BENBendigo & Adelaide Bank Ltd.0.010931%137,410.520,286 NS
RAYBRaysearch Laboratories AB0.010914%137,187.166,828 NS
TRYGTryg AS0.010886%136,839.965,759 NS
DMPDermapharm Holding SE0.010883%136,807.722,807 NS
8057UCHIDA YOKO CO LTD0.010853%136,419.6411,000 NS
9006Keikyu Corp0.010829%136,117.9214,200 NS
FMEFresenius Medical Care AG0.010815%135,943.023,059 NS
6167Fuji Die Co Ltd0.01081%135,880.3218,700 NS
KRNKrones AG0.010802%135,786.291,023 NS
9021West Japan Railway Co.0.010793%135,666.66,900 NS
5975TOPRE CORP0.010766%135,335.979,100 NS
6140ASAHI DIAMOND INDUSTRIAL CO LTD0.010757%135,221.5718,200 NS
9715Transcosmos Inc0.010699%134,483.635,500 NS
BAMNBKoninklijke Bam Groep NV0.010672%134,152.6213,515 NS
CEMCEMENTIR HOLDING NV0.010662%134,029.377,593 NS
4023KUREHA CORP0.010653%133,905.345,400 NS
8005SCROLL CORP0.010641%133,760.7616,000 NS
SBMOSBM Offshore NV0.01064%133,748.353,353 NS
AGNAEGON LTD0.010615%133,428.6918,594 NS
4641ALTECH CORP0.010546%132,568.998,200 NS
NHFOFNH Foods Ltd.0.010546%132,566.473,000 NS
WALLBWallenstam AB0.010543%132,526.5430,928 NS
7278Exedy Corp0.010508%132,088.753,800 NS
6432TAKEUCHI MANUFACTURING CO LTD0.010507%132,076.183,400 NS
6282Oiles Corporation0.010495%131,925.338,800 NS
CASHProsegur Cash SA0.010472%131,641.91181,931 NS
3946Tomoku Co., Ltd.0.010464%131,529.326,200 NS
4931SHINNIHONSEIYAKU CO LTD0.010429%131,098.7510,100 NS
PLAZBPlatzer Fastigheter Holding AB (publ)0.010417%130,943.4518,480 NS
COACoats Group PLC0.010415%130,923.09123,793 NS
9627AIN HOLDINGS INC0.010409%130,845.433,700 NS
2163ARTNER COMPANY LTD0.0104%130,72610,900 NS
UNIUNIVERSAL STORE HOLDINGS LTD0.010374%130,401.8224,441 NS
3925Double Standard Inc0.010314%129,653.6615,100 NS
CDComfortdelgro Corp Ltd.0.010309%129,584.93116,100 NS
8282K's Holdings Corp0.010293%129,386.212,300 NS
7981Takara Standard Co Ltd0.010276%129,172.177,500 NS
SEBCSkandinaviska Enskilda Banken AB (publ)0.010255%128,913.756,907 NS
8850STARTS CORP INC0.010213%128,386.454,300 NS
1721Comsys Holdings Corp.0.010212%128,368.224,100 NS
5461CHUBU STEEL PLATE COMPANY LTD0.010194%128,146.338,400 NS
5991NHK Spring Co Ltd0.010182%127,987.938,400 NS
CMWCROMWELL PROPERTY GROUP LTD0.010167%127,802.88472,407 NS
9790Fukui Computer Holdings Inc0.010076%126,657.876,500 NS
2002Nisshin Seifun Group Inc.0.010059%126,449.189,600 NS
GJFGjensidige Forsikring ASA0.010027%126,039.454,872 NS
2356DAH Sing Banking G0.010011%125,836.0881,200 NS
6817SUMIDA CORP0.010009%125,821.8618,500 NS
4792YAMADA CONSULTING GROUP CO LTD0.009987%125,535.2312,200 NS
6625Jalco Holdings Inc0.009971%125,341.6355,700 NS
8276Heiwado Co Ltd0.009937%124,911.696,700 NS
3844COMPUTRE CORP0.009913%124,608.0813,700 NS
FPARAFastPartner AB0.009912%124,593.7327,764 NS
NCCBNCC AB0.009883%124,237.395,723 NS
SOLBSolvay NV/SA0.009864%123,991.474,067 NS
7966Lintec Corp.0.009857%123,904.714,400 NS
5703Nippon Light Metal Holdings Co Ltd.0.009856%123,889.627,100 NS
3465KI STAR REAL ESTATE CO LTD0.009826%123,514.996,000 NS
6268Nabtesco Corp.0.009798%123,164.255,100 NS
4318QUICK COMPANY LTD0.009794%123,111.4523,400 NS
GETIBGetinge AB0.009781%122,952.126,212 NS
7994Okamura Corp0.009738%122,405.567,900 NS
2784ALFRESA HOLDINGS CORP0.009734%122,355.97,700 NS
9201Japan Airlines Co Ltd.0.009727%122,271.677,600 NS
MEKKOMarimekko Oyj0.009691%121,816.2810,406 NS
7186YOKOHAMA FINANCIAL GROUP INC0.009688%121,776.3514,100 NS
3402Toray Industries Inc.0.009685%121,747.4417,600 NS
SRGSrg Global Ltd0.009683%121,715.5572,241 NS
9007Odakyu Electric Railway Co Ltd0.009624%120,978.6911,700 NS
QGENQIAGEN NV0.009554%120,099.553,000 NS
6539Matching Service Japan Co Ltd0.009536%119,870.5119,400 NS
3854I'LL INC0.009517%119,630.48,000 NS
2001Nippn Corporation0.009496%119,372.687,000 NS
BEZBeazley PLC (UK)0.009479%119,150.317,137 NS
4847Intelligent Wave Inc0.009473%119,082.2819,900 NS
4554Fuji Pharma Co Ltd0.009473%119,077.258,000 NS
2305STUDIO ALICE COMPANY LTD0.009457%118,876.119,600 NS
ORSOrsero SPA0.009442%118,693.366,886 NS
CTDCorporate Travel Management Ltd.0.009411%118,302.2116,060 NS
5310Toyo Tanso Co Ltd0.009362%117,681.823,700 NS
8869MEIWA ESTATE CO LTD0.009332%117,309.719,400 NS
TSHTuan Sing Holdings Limited0.009306%116,980.2511,600 NS
MGNSMorgan Sindall Group PLC0.0093%116,908.492,144 NS
6184Kamakura Shinsho Ltd0.009241%116,160.6640,000 NS
4008Sumitomo Seika Chemicals Co Ltd0.009161%115,161.2315,500 NS
1820NISHIMATSU CONSTRUCTION COMPANY LTD0.009151%115,034.263,200 NS
IWGInternational Workplace Group PLC0.009128%114,741.3449,749 NS
FNTLFintel Plc0.00908%114,139.2845,796 NS
2211Fujiya Co Ltd0.009024%113,430.137,300 NS
9163NARERU GROUP INC0.008999%113,123.397,600 NS
4249MORIROKU CO LTD0.008971%112,766.367,500 NS
TYTMFTokyo Tatemono Co Ltd.0.008968%112,734.935,000 NS
590LUK FOOK HOLDINGS (INTERNATIONAL) LTD0.008961%112,639.9838,000 NS
4401ADEKA CORP0.008845%111,188.644,900 NS
YNGAYoung & Co's Brewery PLC0.008835%111,058.7411,140 NS
7965ZOJIRUSHI CORP0.008831%111,003.8310,600 NS

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