ETF:DGS | ETF Holdings Page 5 | WisdomTree Emerging Markets SmallCap Dividend Fund

DGS ETF holdings Page 5

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 401–500 of 1,018

TickerIssuerWeightValue (USD)Balance
189DONGYUE GROUP LTD0.069057%1,133,034.87821,000 NS
8114POSIFLEX TECHNOLOGIES INC0.068783%1,128,526.74218,000 NS
CYLCyient Limited0.068766%1,128,250.09142,144 NS
ALBABTAAL BABTAIN POWER & TELECOMMUNICATION CO0.068731%1,127,672.1764,214 NS
SCISCIENTEX BHD0.068114%1,117,552.981,334,800 NS
CARECare Ratings Limited0.068093%1,117,215.2173,156 NS
MISAL MOAMMAR INFORMATION SYSTEMS CO0.06774%1,111,423.5725,793 NS
002738SINOMINE RESOURCE GROUP CO LTD0.067665%1,110,191.55103,200 NS
WLCOWelspun Corp Ltd0.067628%1,109,579.32129,497 NS
012630HDC HOLDINGS CO LTD0.067038%1,099,908.4360,709 NS
MGROSMIGROS TICARET AS0.06634%1,088,455.2680,356 NS
2455VISUAL PHOTONICS EPITAXY COMPANY LTD0.066144%1,085,232.25140,750 NS
300724Shenzhen S.C New Energy Technology Corp.0.066094%1,084,407.0371,100 NS
2617TAIWAN NAVIGATION COMPANY LTD0.066016%1,083,127.931,162,000 NS
BHWBank Handlowy w Warszawie SA0.065713%1,078,162.3636,408 NS
DMCDMCI Holdings Inc0.065471%1,074,192.996,538,800 NS
353200Daeduck Electronics Co Ltd0.065255%1,070,640.1621,380 NS
ALDAWAAAL-DAWAA MEDICAL SERVICES CO CJSC0.065218%1,070,041.4478,350 NS
001740SK Networks Co Ltd0.065132%1,068,629.2332,676 NS
TEND3Construtora Tenda Sa0.065074%1,067,681.15178,698 NS
5388Sercomm Corp0.064984%1,066,205.82454,488 NS
2476G-SHANK ENTERPRISE COMPANY LTD0.064652%1,060,756.79416,103 NS
2855President Securities Corp.0.064605%1,059,978.361,063,972 NS
AVNTAvanti Feeds Ltd.0.064329%1,055,463.0685,127 NS
ERW-RERAWAN GROUP PCL (THE)0.064193%1,053,232.1414,235,900 NS
ABSLAMCAditya Birla Sun Life AMC Ltd.0.063999%1,050,047.65113,396 NS
307950HYUNDAI AUTOEVER CORP0.063954%1,049,296.844,483 NS
LEEJAMLEEJAM SPORTS CO0.063598%1,043,456.244,725 NS
TXTText SA0.063373%1,039,777.43103,204 NS
DERAYAHDerayah Financial Co.0.063307%1,038,679.91178,632 NS
RETALRetal Urban Development Co.0.063293%1,038,458.75287,808 NS
AOTHAIMABDULLAH AL OTHAIM MARKETS CO0.063291%1,038,421.58637,771 NS
GGRMGudang Garam Tbk PT0.062882%1,031,707.321,243,500 NS
6197JPC CONNECTIVITY INC0.062852%1,031,216.77208,000 NS
1995EVER SUNSHINE SERVICES GROUP LTD0.062341%1,022,831.054,480,000 NS
RANI3IRANI PAPEL E EMBALAGEM SA0.062104%1,018,954.15544,619 NS
SMASCOSAUDI MANPOWER SOLUTIONS COMPANY0.062092%1,018,756.49682,676 NS
6526Airoha Technology Corp0.061921%1,015,952.4670,000 NS
3209ALLTEK TECHNOLOGY CORP0.061814%1,014,196.06782,240 NS
LHCLife Healthcare Group Holdings Ltd0.061704%1,012,384.571,500,389 NS
CITYCCity Cement Co0.06148%1,008,715.18300,421 NS
4763JINAN ACETATE CHEMICAL CO LTD0.061407%1,007,516.42766,000 NS
006360GS Engineering & Construction Corp0.061362%1,006,769.561,435 NS
BNGAPT Bank CIMB Niaga Rbk0.061261%1,005,118.929,677,900 NS
KCE-RKCE Electronics0.061253%1,004,980.91,460,100 NS
2488LAUNCH TECH CO LTD0.061016%1,001,090.53975,000 NS
2520KINDOM DEVELOPMENT CO LTD0.060869%998,681.141,004,020 NS
383220F&F CO LTD0.060768%997,03324,912 NS
AVIAPT Avia Avian Tbk0.060766%996,990.0746,293,300 NS
CMRYCISARUA MOUNTAIN DAIRY TBK PT0.060719%996,224.663,901,000 NS
FLRY3Fleury Sa0.060436%991,589.46325,049 NS
TU-RThai Union Group Public Co Ltd.0.060356%990,272.892,916,000 NS
FSOLFirstsource Solutions Limited0.060068%985,541.27457,348 NS
6805FOSITEK CORP0.059623%978,237.4117,871 NS
KPILKalpataru Projects International Ltd.0.059547%976,996.6687,620 NS
005850SL Corporation0.059503%976,268.3426,991 NS
LHIBLEONG HUP INTERNATIONAL BHD0.059429%975,055.335,560,562 NS
BORAYBora Pharmaceuticals Co Ltd0.059244%972,020.4370,787 NS
JBCPJBChemicals & Ph0.058856%965,655.6944,367 NS
GLANDGland Pharma Ltd.0.058679%962,757.3253,839 NS
GMDCGujarat Mineral Development Corp.0.058365%957,602.97160,430 NS
ERAAERAJAYA SWASEMBADA TBK PT0.058362%957,545.8843,050,300 NS
2645Evergreen Aviation Technologies Corp0.057895%949,890.52208,000 NS
INCOVale Indonesia Tbk0.057544%944,139.872,999,100 NS
3026HOLY STONE ENTERPRISE COMPANY LTD0.057382%941,468.56218,900 NS
2421SUNONWEALTH ELECTRIC MACINE INDUSTRY CO0.057379%941,421.3244,693 NS
064760TOKAI CARBON KOREA CO LTD0.057293%940,017.956,301 NS
BINDAWOBindawood Holding Co.0.05694%934,219.09749,092 NS
3056FU HUA INNOVATION CO LTD0.056887%933,351.582,023,000 NS
CROMPTONCrompton Greaves Consumer Electricals Ltd.0.056735%930,853.06394,858 NS
SISCOSUSTAINED INFRASTRUCTURE HOLDING CO0.056598%928,606.13101,713 NS
1795LOTUS PHARMACEUTICAL CO LTD0.056433%925,899.28143,000 NS
1904CHENG LOONG CORP0.056328%924,185.171,523,000 NS
011210HYUNDAI WIA CORP0.056308%923,850.9518,353 NS
2010CHUN YUAN STEEL INDUSTRY COMPANY LTD0.056291%923,576.791,193,000 NS
6962ITH CORP0.055857%916,459.18896,000 NS
3708SWANCOR HOLDING CO LTD0.055809%915,670.94246,000 NS
ZZEE Entertainment Enterprises Ltd.0.055775%915,111.571,203,177 NS
8028PHOENIX SILICON INTERNATIONAL CORP0.055556%911,510.79161,000 NS
CURY3Cury Construtora E Incorporadora SA0.054936%901,338.18133,034 NS
2420ZIPPY TECHNOLOGY CORP0.054851%899,956.21572,000 NS
5269ASMedia Technology Inc.0.05482%899,436.9727,000 NS
AMAKAL MASANE AL KOBRA MINING CO JSC0.054682%897,182.4138,743 NS
IAMINVERSIONES AGUAS METROPOLITANAS SA0.054531%894,702.8822,561 NS
1513Livzon Pharmaceutical Group Inc.0.054505%894,274.89255,700 NS
1330Dynagreen Environmental Protection Group Co Ltd.0.054402%892,574.171,277,000 NS
006040DONGWON INDUSTRIES COMPANY LTD0.054279%890,556.5935,990 NS
NTCPHNatco Pharma Limited0.05426%890,246.6886,675 NS
CNVRGConverge Information & Communications Technology Solutions Inc.0.053331%875,006.094,357,100 NS
108320LX SEMICON CO LTD0.053323%874,875.0727,686 NS
357780SOULBRAIN CO LTD0.053304%874,560.113,680 NS
SARKYSarkuysan Elektrolitik Bakir Sanayi ve Ticaret AS0.052994%869,486.31,433,460 NS
HMPRO-RHOME PRODUCT CENTER PCL0.052882%867,638.574,652,800 NS
4967Team Group Inc0.052355%858,992.81138,000 NS
3316BINJIANG SERVICE GROUP CO LTD0.052297%858,049.54287,000 NS
300720HANIL CEMENT CO LTD0.052255%857,361.6881,767 NS
M-RMK RESTAURANT GROUP PCL0.052133%855,345.661,484,700 NS
TMKNTimken India Ltd.0.052021%853,517.125,100 NS
696TravelSky Technology Ltd.0.05202%853,503.74692,000 NS
096530Seegene Inc0.051933%852,073.6859,729 NS

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