ETF:DGS | ETF Holdings Page 4 | WisdomTree Emerging Markets SmallCap Dividend Fund

DGS ETF holdings Page 4

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 Emerging Markets SmallCap Dividend Fund
Report date2026-03-31
Reported holdings1,018
SEC series IDS000019332

Positions 301–400 of 1,018

TickerIssuerWeightValue (USD)Balance
MONDEMonde Nissin Corp.0.093076%1,527,106.1113,908,800 NS
CABCarlsberg Brwry(M)0.092397%1,515,974.31364,500 NS
6757Tigerair Taiwan Co Ltd0.091828%1,506,631.22980,000 NS
2480STARK TECHNOLOGY INC0.091292%1,497,841.73347,000 NS
GCC*GCC, S.A.B. de C.V.0.090951%1,492,242.53141,228 NS
107Sichuan Expressway Co Ltd0.090729%1,488,609.982,122,000 NS
3189KINSUS INTERCONNECT TECHNOLOGY CORP0.090341%1,482,231.72151,396 NS
2834Taiwan Business Bank0.090071%1,477,806.383,149,698 NS
1368XTEP INTERNATIONAL HOLDINGS LTD0.089845%1,474,093.142,585,500 NS
LABBGenomma Lab International S.A.B. de C.V.0.089812%1,473,554.781,467,171 NS
009240Hanssem Co0.088618%1,453,963.8653,987 NS
9907Ton Yi Industrial Corp0.088582%1,453,381.292,553,000 NS
360ONE360 One Wam Ltd.0.087616%1,437,524.13143,584 NS
600704Wuchan Zhongda Group Co Ltd.0.087501%1,435,643.071,914,200 NS
007340DN Automotive Corp.0.08735%1,433,168.7157,539 NS
4536TOPKEY CORP0.086922%1,426,149.52306,000 NS
GNFCGujarat Narmada Valley Fert. & Chem. Limited0.08676%1,423,479.01368,441 NS
6670Fusheng Precision Co Ltd0.086722%1,422,865.19177,000 NS
006260LS Corp0.086671%1,422,027.238,508 NS
UTIAMUti Asset Management Co Ltd.0.086378%1,417,210.84143,405 NS
2128China Lesso Group Holdings Ltd0.08633%1,416,433.252,248,000 NS
COM7-RCom7 Public Company Limited0.086087%1,412,439.052,136,800 NS
SDPRSIME DARBY PROPERTY BHD0.085867%1,408,835.514,563,500 NS
9911TAIWAN SAKURA CORP0.085226%1,398,310.92508,000 NS
TOWRSARANA MENARA NUSANTARA TBK0.084862%1,392,338.4248,487,900 NS
RBXRaubex Group Ltd0.084852%1,392,171.21489,232 NS
3029ZERO ONE TECHNOLOGY COMPANY LTD0.08467%1,389,192.99475,000 NS
SGSSaudi Ground Services Co0.08462%1,388,376.74162,104 NS
667CHINA EAST EDUCATION HOLDINGS LTD0.084223%1,381,860.792,128,500 NS
ASTORAstor Enerji AS0.083833%1,375,455.82313,745 NS
4766Nan Pao Resins Chemical Co Ltd0.083516%1,370,253.36142,000 NS
2493AMPOC FAR-EAST COMPANY LTD0.083276%1,366,319.05414,040 NS
MAHGLMahanagar Gas Ltd0.082817%1,358,792.76138,924 NS
8081GLOBAL MIXED-MODE TECHNOLOGY INC0.082787%1,358,304.66193,000 NS
6781ADVANCED ENERGY SOLUTION HOLDING CO LTD0.082625%1,355,645.9244,000 NS
1579YIHAI INTERNATIONAL HOLDING LTD0.082593%1,355,108.29651,000 NS
6414ENNOCONN CORP0.082272%1,349,854.64159,243 NS
AFEAeci Ltd0.082226%1,349,099.39202,058 NS
214370Caregen Co Ltd0.082164%1,348,083.4422,740 NS
6271TONG HSING ELECTRONIC INDUSTRIES LTD0.082021%1,345,732.47306,214 NS
HMNEmami Ltd0.08194%1,344,404.67324,136 NS
3028Zenitron Corp0.081813%1,342,314.67883,000 NS
NUHCMNUH Cimento0.081602%1,338,851.38254,605 NS
DSNGDHARMA SATYA NUSANTARA TBK0.081088%1,330,430.6113,378,700 NS
JGSJG Summit Holdings Inc.0.080942%1,328,025.682,923,100 NS
ARLASTRAL FOODS LTD0.080476%1,320,385.2288,648 NS
OYAKCOyak Cimento Fabrikalari Anonim Sir0.080003%1,312,627.382,512,292 NS
456040OCI Company Ltd0.079954%1,311,820.5921,375 NS
TELXTata Elxsi Ltd.0.079683%1,307,369.0231,183 NS
ENTELEmpresa Nacional de Telecomunicaciones S.A.0.079454%1,303,620.19331,663 NS
6189PROMATE ELECTRONIC COMPANY LTD0.079339%1,301,718.96935,190 NS
ZETRIXZETRIX AI BHD0.079263%1,300,481.567,115,743 NS
3014ITE Tech Inc0.078802%1,292,915.23361,000 NS
CHG-RCHULARAT HOSPITAL PCL0.078117%1,281,684.8729,978,700 NS
CATERINCATRION CATERING HOLDING COMPANY0.077943%1,278,815.1169,348 NS
ALMAJEDAL MAJED FOR OUD COMPANY0.077754%1,275,726.3228,718 NS
EKGYOEmlak Konut Gayrimenkul Yatirim Ortakligi A.S.0.077691%1,274,687.582,951,489 NS
ANSGRAnadolu Sigorta0.077438%1,270,536.022,073,127 NS
2357AviChina Industry & Technology Co Ltd0.077428%1,270,375.763,000,000 NS
ENGREngineers India Ltd.0.077381%1,269,598.21661,175 NS
BMOB3Bemobi Mobile Tech SA0.077092%1,264,851.75245,996 NS
3019ASIA OPTICAL CO INC0.076816%1,260,337.82333,000 NS
APRApar Industries Ltd.0.076606%1,256,888.112,065 NS
036460Korea Gas Corp.0.076071%1,248,105.0854,697 NS
CRISILCrisil Ltd0.07592%1,245,633.8631,412 NS
NAVANava Ltd.0.075591%1,240,230.7221,346 NS
SPGSuper Group Ltd.0.075307%1,235,574.461,241,194 NS
STAASUMBER TANI AGUNG RESOURCES TBK PT0.07518%1,233,492.6316,313,300 NS
005090SGC ENERGY CO LTD0.075155%1,233,079.6232,789 NS
1708SESODA CORP0.074981%1,230,228.34932,000 NS
INKPIndah Kiat Pulp & Paper Tbk PT0.073965%1,213,556.442,031,900 NS
2517GUOQUAN FOOD (SHANGHAI) CO LTD0.073791%1,210,698.712,244,000 NS
6412Chicony Power Technology Co Ltd0.073691%1,209,051.85534,625 NS
2015Feng Hsin Steel Co Ltd0.073622%1,207,930.25628,950 NS
1723CHINA STEEL CHEMICAL CO0.073604%1,207,628.65438,726 NS
030190NICE INFORMATION SERVICE COMPANY LTD0.073324%1,203,034.04114,877 NS
KBLKarnataka Bank Ltd.0.073059%1,198,692.01509,932 NS
MAVIMavi Giyim Sanayi Ve Ticaret A0.07299%1,197,556.651,265,257 NS
HCPHindustan Copper Limited0.07275%1,193,612.43249,642 NS
BUDGETUNITED INTERNATIONAL TRANSPORTATION CO LTD0.072709%1,192,945.17107,923 NS
014680Hansol Chemical Co Ltd0.072505%1,189,592.927,216 NS
2328PAN-INTERNATIONAL INDUSTRIAL CORP0.072058%1,182,264.62879,000 NS
2897O-Bank Co., Ltd.0.071968%1,180,794.493,775,000 NS
ESSAESSA INDUSTRIES INDONESIA TBK PT0.071828%1,178,496.8128,208,400 NS
6196Marketech International Corp0.071823%1,178,417.27138,000 NS
SMGRSemen Indonesia (Persero) Tbk0.071595%1,174,668.288,115,000 NS
282330BGF RETAIL CO LTD0.071546%1,173,861.5912,907 NS
777Netdragon Websoft Holdings Ltd0.07148%1,172,774.931,028,500 NS
CONCHAVina Concha Y Toro SA0.071414%1,171,692.081,237,202 NS
TAIBATAIBA HOLDING CO0.071303%1,169,886.93118,716 NS
ALCOAlujain Corp0.07122%1,168,515.64154,946 NS
BYRCSBayer Cropscience Ltd.0.071057%1,165,847.9123,803 NS
IGLIndraprastha Gas Ltd.0.071028%1,165,369.92759,057 NS
DIADiagnostyka SA0.071004%1,164,980.2425,339 NS
3705YUNGSHIN GLOBAL HOLDING CORP0.070856%1,162,549.26687,000 NS
2607EVERGREEN INTERNATIONAL STORAGE & TRANSPORT CORP0.070666%1,159,430.72734,000 NS
1503SHIHLIN ELECTRIC & ENGINEERING CORP0.070442%1,155,755.4207,000 NS
1104UNIVERSAL CEMENT CORP0.069795%1,145,141.161,247,365 NS
069960HYUNDAI DEPARTMENT STORE COMPANY LTD0.069257%1,136,303.9921,975 NS
1537KUNG LONG BATTERIES INDUSTRIAL COMPANY LTD0.069221%1,135,720.99294,000 NS

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