ETF:DGS | ETF Holdings Page 8 | WisdomTree Emerging Markets SmallCap Dividend Fund

DGS ETF holdings Page 8

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 701–800 of 1,018

TickerIssuerWeightValue (USD)Balance
JUBLINGJubilant Ingrevia Limited0.028768%472,002.0282,341 NS
009900MYOUNG SHIN INDUSTRY CO LTD0.028768%471,995.3475,779 NS
SSMSSAWIT SUMBERMAS SARANA TBK PT0.028742%471,569.395,489,100 NS
GWINDGalata Wind Enerji A S0.028653%470,106.21716,107 NS
354CHINASOFT INTERNATIONAL LTD0.028558%468,559.481,120,000 NS
300496Thunder Software Technology Co Ltd.0.028509%467,752.4755,300 NS
3305SHENMAO TECHNOLOGY INC0.028151%461,870.5138,000 NS
CCET-RCal-Comp Electronics (Thailand) PLC0.028079%460,695.213,139,200 NS
BLAU3Blau Farmaceutica Sa0.028039%460,041.82234,143.8 NS
DEHBDAYANG ENTERPRISE HOLDINGS BHD0.027931%458,271.18976,600 NS
DCPDIS-CHEM PHARMACIES LTD0.027914%457,985.93210,628 NS
RMTRatnamani Met &Tbs0.027815%456,360.1119,659 NS
AWPTALKHORAYEF WATER & POWER TECHNOLOGY CO0.02762%453,157.8114,171 NS
600486JIANGSU YANGNONG CHEMICAL CO LTD0.027533%451,735.2741,600 NS
SOJA3Boa Safra Sementes SA0.027324%448,302.7328,333 NS
RIPLEYRipley Corp Sa0.027222%446,641.891,080,315 NS
1789AK Medical Holdings Ltd0.027192%446,146.78566,000 NS
300073BEIJING EASPRING MATERIAL TECHNOLOGY CO LTD0.027149%445,431.8359,900 NS
1612HONG TAI ELECTRONIC INDUSTRIAL COMPANY LTD0.027084%444,366.59416,000 NS
AZZA3AZZAS 2154 SA0.026892%441,215.4589,650 NS
603939Yifeng Pharmacy Chain Co Ltd.0.026807%439,833.78124,500 NS
8261ADVANCED POWER ELECTRONICS CORP0.026704%438,129.5145,000 NS
8926Taiwan Cogeneration Corp0.026702%438,111.78324,223 NS
603596Bethel Automotive Safety System Co Ltd.0.026573%435,991.1468,500 NS
053800Ahnlab Inc0.026486%434,554.6311,243 NS
MAHLIFEMahindra Lifespace Developers Ltd0.026477%434,406.83140,027 NS
JKLCJK Lakshmi Cement Ltd.0.026334%432,066.4273,436 NS
JKPAPERJK Paper Limited0.026292%431,369.08133,534 NS
GRSEGarden Reach Shipbuilders & Engineers Limited0.026283%431,234.620,733 NS
178920PI ADVANCED MATERIALS CO LTD0.026229%430,350.4130,098 NS
300002Beijing Ultrapower Software Co., Ltd.0.026203%429,923.41318,600 NS
JYLJyothy Labs Limited0.026189%429,688.32206,618 NS
022100POSCO DX COMPANY LTD0.026173%429,429.922,334 NS
002155Hunan Gold Corporation Limited0.026068%427,706.4395,600 NS
036930JUSUNG ENGINEERING CO LTD0.025877%424,561.1610,713 NS
005250GREEN CROSS HOLDINGS CORP0.025828%423,759.3648,691 NS
KRBKrbl Ltd0.025759%422,639.12142,051 NS
ALBRKAlbaraka Turk0.025756%422,590.392,337,913 NS
VGMVaibhav Global Ltd0.02568%421,331.76227,890 NS
195870Haesung Ds Co Ltd0.025676%421,273.4613,802 NS
AGESAAgesa Hayat Ve Emeklilik A.S0.025645%420,754.0182,012 NS
1232Ttet Union Corp0.025565%419,455.7490,000 NS
THYROCAThyrocare Technologies Ltd0.025369%416,226.11112,941 NS
SCERCOSaudi Ceramic Co0.025364%416,157.1153,263 NS
2329ORIENT SEMICONDUCTOR ELECTRONICS LTD0.025165%412,887.08264,000 NS
JSAWJindal Saw Ltd0.025162%412,843.06213,836 NS
1609Ta Ya Electric Wire & Cable Co., Ltd.0.025131%412,331.09416,500 NS
3583SCIENTECH CORP0.025073%411,370.0329,000 NS
005290DONGJIN SEMICHEM CO LTD0.025048%410,966.1114,225 NS
000120CJ Logistics Co Ltd.0.024951%409,373.946,064 NS
LTFOODSLT Foods Ltd0.024922%408,893.12106,752 NS
TURSGTurkiye Sigorta As0.024816%407,153.211,425,998 NS
8462POWER WIND HEALTH INDUSTRY INC0.024812%407,100.4195,000 NS
183190Asia Cement Co Ltd0.024721%405,596.9859,849 NS
9958CENTURY IRON & STEEL INDUSTRIAL CO LTD0.024555%402,877.7115,000 NS
086450DONGKOOK PHARMACEUTICAL CO LTD0.024436%400,921.8826,020 NS
JKIJK Tyre & Industries Ltd.0.024429%400,803.6499,805 NS
TECHNOETechno Electric & Engineering Co Ltd.0.024369%399,819.8138,496 NS
DLPLDr. Lal PathLabs Ltd.0.024307%398,808.9628,829 NS
8039Taiflex Scientific0.024161%396,418.52119,000 NS
PLUSDigiplus Interactive Corp.0.02387%391,634.951,488,850 NS
025540Korea Electric Terminal Co Ltd0.023781%390,172.177,884 NS
GWNGrindwell Norton Ltd.0.023766%389,929.0427,333 NS
000750Sealand Securities Co., Ltd.0.023757%389,781.95702,900 NS
AEGISLOAegis Logistics Ltd.0.023746%389,610.4761,729 NS
HEALMedikaloka Hermina Tbk0.023702%388,878.495,025,700 NS
130660KOREA ELECTRONIC POWER INDUS DEVELP0.023678%388,491.8933,205 NS
1675Asiainfo Technologies Ltd0.023644%387,934.49530,800 NS
006280GREEN CROSS CORP0.0234%383,921.594,115 NS
ALPMAlembic Pharmaceuticals ltd0.023398%383,899.8954,900 NS
300001QINGDAO TGOOD ELECTRIC CO LTD0.023259%381,612.0696,900 NS
030610Kyobo Securities Co., Ltd.0.023216%380,908.1750,732 NS
ALLCARGO GLOBAL LTDALLCARGO GLOBAL LTD0.023038%377,994.691,669,880 NS
GTCAPGT Capital Holdings Inc0.02296%376,711.1144,010 NS
EIHEIH Ltd0.022932%376,252.29130,459 NS
2612Chinese Maritime Transport Ltd0.022804%374,150.77224,000 NS
HTSMFHatsun Agro Product Limited0.022719%372,752.1138,290 NS
194370JS CORP INC0.022659%371,777.452,003 NS
030520Hancom Inc0.022651%371,642.9329,865 NS
195940HK INNO.N CORP0.022626%371,225.5411,592 NS
2247Pan German Universal Motors Ltd0.022557%370,096.9751,000 NS
APCOARABIAN PIPES CO0.022498%369,122.18238,411 NS
ANHYTAnadolu Hayat Emeklilik0.022444%368,248.71150,965 NS
2467C SUN MANUFACTURING COMPANY LTD0.022391%367,375.6629,000 NS
214150Classys Inc0.022372%367,065.9111,133 NS
2602ONEWO INC0.022351%366,723.43176,500 NS
NARHNarayana Hrudayalaya Limited0.022218%364,527.2221,538 NS
052400Kona I Co Ltd0.022114%362,835.1810,197 NS
TABGDTab Gida Sanayi Ve Ticaret AS0.022015%361,208.9366,611 NS
HALHEXTAR GLOBAL BHD0.02189%359,147.441,773,400 NS
CBOICentral Bank of India0.02184%358,336.211,081,379 NS
MDIA3M. Dias Branco Sa Industria E Comercio De Alimentos, Brazil0.021602%354,419.9680,433 NS
LOGOLOGO YAZILIM SANAYI VE TAS0.021531%353,264.3119,220 NS
300487SUNRESIN NEW MATERIALS CO LTD0.021406%351,212.5937,000 NS
IEXIndian Energy Exchange Ltd0.02127%348,978.89288,455 NS
023160T.K. CORP0.021171%347,360.6915,201 NS
MANYAVAVedant Fashions Ltd.0.021094%346,093.8993,523 NS
001200Eugene Investment & Securities Co. Ltd.0.020985%344,310.33119,448 NS
KFINTECHKfin Technologies Ltd.0.020983%344,266.4337,252 NS
QACCOQASSIM CEMENT CO0.020974%344,129.4829,283 NS

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