ETF:DIM | ETF Holdings Page 5 | WisdomTree International MidCap Dividend Fund

Companies included in DIM Page 5

This is DIM's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 401–500 of 597.

TickerIssuerShares ownedUnitReported weight
CTECConvaTec Group PLC43,611NS0.077866%
9508Kyushu Electric Power Co Inc10,800NS0.077151%
ANECorporacion Acciona Energias Renovables, S.A.5,030NS0.076794%
5110Sumitomo Rubber Industries Ltd.9,600NS0.076677%
MELEMelexis NV2,012NS0.076575%
RBREWRoyal Unibrew A/S1,504NS0.076457%
SQNSwissquote Group Holding AG250NS0.076035%
9697Capcom Co Ltd.5,700NS0.075401%
6269MODEC INC1,300NS0.075351%
6479Minebea Mitsumi Inc.7,500NS0.07512%
GFGeorg Fischer AG2,359NS0.074552%
SPXSpirax Group PLC1,347NS0.074529%
HWDNHowden Joinery Group PLC11,333NS0.074307%
CGFChallenger Ltd.20,787NS0.074099%
2579Coca-Cola Bottlers Japan Holding Inc.5,200NS0.073964%
ALMBAlm. Brand A / S48,386NS0.073816%
LIFCOBLifco AB3,903NS0.072573%
ISSISS A/S3,190NS0.072534%
AAKAAK AB4,530NS0.072455%
MGRMirvac Group94,988NS0.072382%
CARCAR Group Limited7,302NS0.071674%
ROVILaboratorios Farmaceuticos ROVI SA1,225NS0.071642%
STRSStrauss Group Ltd2,592NS0.071312%
AMOTAMOT INVESTMENTS LTD18,552NS0.071021%
DOWDowner EDI Limited21,328NS0.070334%
1959KRAFTIA CORP1,900NS0.070169%
ADDTFAddtech AB3,347NS0.070141%
4186TOKYO OHKA KOGYO CO LTD2,400NS0.069906%
3405Kuraray Co Ltd10,700NS0.069735%
6806HIROSE ELECTRIC CO LTD875NS0.069732%
1969Takasago Thermal Engineering Co., Ltd.4,100NS0.069512%
SAGABSagax AB6,045NS0.069404%
5947Rinnai Corp4,800NS0.069394%
ALLNAllreal Holding AG393NS0.069171%
9005Tokyu Corp9,400NS0.069137%
6845AZBIL CORP12,900NS0.069012%
KGXKion Group AG2,124NS0.068393%
ENTEntain PLC14,530NS0.067567%
SCYRSacyr SA22,188NS0.067525%
WHCWhitehaven Coal Ltd.16,909NS0.067336%
SWECBSweco AB (publ)7,678NS0.067229%
4704Trend Micro Inc.3,230NS0.066873%
6370Kurita Water Industries Ltd.2,300NS0.066593%
TEMNTemenos AG1,231NS0.066299%
ALDAmpol Ltd.4,555NS0.066046%
COHCochlear Ltd905NS0.065884%
7731Nikon Corp8,800NS0.065645%
EVDCTS Eventim AG & Co. KGaA1,823NS0.065566%
4716Oracle Corp Japan1,900NS0.064613%
AFNDYAllfunds Group Plc10,259NS0.063341%
3933UNITED LABORATORIES INTERNATIONAL HOLDINGS LTD (THE)82,000NS0.063179%
GETIBGetinge AB5,031NS0.062592%
9024Seibu Holdings Inc3,600NS0.062173%
PRUPerseus Mining Ltd.27,780NS0.061592%
HLUNBH Lundbeck A S15,902NS0.061496%
FDRFluidra SA4,280NS0.061283%
2331ALSOK CO LTD12,400NS0.061242%
3086J.FRONT RETAILING COMPANY LTD6,400NS0.061043%
4536Santen Pharmaceutical Co Ltd.8,600NS0.06067%
BREBREMBO NV10,271NS0.060366%
8377HOKUHOKU FINANCIAL GROUP INC2,600NS0.059963%
MAIREMaire S.p.A.6,205NS0.05977%
7912Dai Nippon Printing Co Ltd.5,300NS0.05921%
PUIGPuig Brands SA4,833NS0.05912%
9989Sundrug Co Ltd3,800NS0.058705%
NHFOFNH Foods Ltd.2,100NS0.05833%
AUTOAutotrader Group PLC14,961NS0.058224%
2327NS SOLUTIONS CORP4,000NS0.057876%
CCCComputacenter PLC2,320NS0.0575%
EDPREDP Renovaveis SA5,786NS0.057368%
DTRXXDREYFUS TRSY OBLIG CASH M91,190.23NS0.05732%
BOSSHugo Boss AG2,149NS0.057167%
MSUXFMisumi Group Inc.5,500NS0.057055%
DNLDyno Nobel Ltd.42,426NS0.056987%
VISViscofan SA1,304NS0.056854%
TGYMTechnogym SpA4,517NS0.056727%
SOPSopra Steria Group SA654NS0.056697%
6856Horiba Ltd.800NS0.056469%
EZJEasyJet PLC19,614NS0.056432%
6465Hoshizaki Corp.2,800NS0.055891%
6525Kokusai Electric Corp.2,800NS0.055448%
7282Toyoda Gosei Co Ltd3,500NS0.055426%
BANBBachem Holding AG1,091NS0.055345%
KRNKrones AG662NS0.055233%
NOFCFNOF CORP4,500NS0.055136%
G24Scout24 SE1,153NS0.055114%
9831Yamada Holdings Co Ltd.26,600NS0.055082%
INCHInchcape plc8,835NS0.054925%
9684Square- Enix Holdings Co Ltd.5,500NS0.054414%
8136Sanrio Co., Ltd14,000NS0.054165%
UTDIUnited Internet AG2,706NS0.053934%
HUBNHuber & Suhner AG386NS0.053022%
SDFSteadfast Group Ltd.28,918NS0.052911%
5991NHK Spring Co Ltd5,500NS0.052676%
CITCity Developments Ltd.13,100NS0.0524%
WIEWienerberger AG3,149NS0.051953%
BUCNBucher Industries AG189NS0.051376%
2670ABC-Mart Inc.5,134NS0.05123%
9064YAMATO HOLDINGS COMPANY LTD7,300NS0.050317%
HIABHiab OYJ1,705NS0.049937%

SEC N-PORT snapshot as of .

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