ETF:DTH | ETF Holdings Page 5 | WisdomTree International High Dividend Fund

DTH 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 International High Dividend Fund
Report date2026-03-31
Reported holdings567
SEC series IDS000012395

Positions 401–500 of 567

TickerIssuerWeightValue (USD)Balance
CNICENTURIA CAPITAL LTD0.043144%270,560.11249,234 NS
8125WAKITA & COMPANY LTD0.042987%269,575.7122,800 NS
6183Bellsystem24 Holdings Inc0.042961%269,412.2829,600 NS
7231Topy Industries Ltd0.042439%266,138.6614,600 NS
KCCKlaveness Combination Carriers Asa0.042094%263,975.5327,268 NS
WIXWickes Group PLC0.041929%262,941.295,404 NS
SLIGRSligro Food Group NV0.041676%261,351.1416,827 NS
MDTRMEDITR TOWER0.041302%259,007.3548,971 NS
PNLPostNL NV0.040988%257,037.98206,943 NS
AOVAmotiv Limited0.040561%254,358.7455,265 NS
MNMondadori Arnoldo Editore Spa0.040554%254,313.06110,803 NS
ABGAbacus Group0.040232%252,296.57362,926 NS
5351SHINAGAWA REFRA CO LTD0.040203%252,116.4119,700 NS
8061Seika Corp0.040163%251,862.4715,800 NS
BAERJulius Baer Group AG0.040142%251,733.533,478 NS
GCTG City Ltd0.039815%249,680.8167,671 NS
BGBAWAG Group AG0.039711%249,031.291,669 NS
MAPMapfre SA0.039671%248,780.8856,612 NS
8601Daiwa Securities Group Inc.0.039659%248,701.9927,100 NS
MEGPME Group International PLC0.039542%247,970.77138,674 NS
TRYGTryg AS0.039519%247,827.8910,430 NS
BKTBankinter SA0.03941%247,140.9716,037 NS
8173JOSHIN CORP0.039276%246,301.4613,900 NS
BYITBytes Technology Group PLC0.038868%243,744.3866,873 NS
5195Bando Chemical Industries Ltd0.038249%239,858.5718,900 NS
7239Tachi-S Co Ltd0.038013%238,378.2818,700 NS
1126Dream Intl0.037977%238,155.91271,000 NS
HFGHilton Food Group PLC0.037843%237,311.6335,217 NS
UNIUnipol Assicurazioni S.p.A.0.037818%237,159.9910,372 NS
3156Restar Corp.0.037683%236,310.8914,300 NS
4044Central Glass Co Ltd0.037613%235,872.789,500 NS
7241Futaba Industrial Co Ltd0.03745%234,848.239,000 NS
1882TOA Road Corp0.037344%234,183.1721,800 NS
DWSDWS Group Gmbh & Co KgaA0.036788%230,699.673,684 NS
7246Press Kogyo Co Ltd.0.036779%230,643.0345,300 NS
FFARMForfarmers Nv0.036733%230,353.8131,886 NS
SDRSchroders PLC0.03666%229,899.0930,346 NS
6458Sinko Industries Ltd.0.036655%229,866.7430,500 NS
KIDKid ASA0.036452%228,588.7917,672 NS
1939Yondenko Corp0.036432%228,465.0219,700 NS
7433Hakuto Co Ltd0.036364%228,040.738,700 NS
7944ROLAND CORP0.036039%226,004.159,400 NS
FBKFinecobank Banca Fineco S.p.A.0.035354%221,703.3810,162 NS
5970G-TEKT CORP0.03506%219,864.2319,400 NS
RBIRaiffeisen Bank International AG0.034746%217,890.625,201 NS
9991GECOSS CORP0.034164%214,246.0219,600 NS
BOUVBouvet Asa0.034147%214,137.4841,305 NS
4008Sumitomo Seika Chemicals Co Ltd0.033766%211,748.0728,500 NS
ADMAdmiral Group PLC0.03361%210,769.035,074 NS
INGInghams Group Ltd.0.033375%209,296.74154,337 NS
SRVSERVCORP LTD0.033223%208,343.0444,408 NS
BOWLHollywood Bowl Group PLC0.033129%207,754.266,898 NS
9274KPP Group Holdings Co Ltd .0.033053%207,273.8737,600 NS
4246DAIKYONISHIKAWA CORP0.032783%205,581.7539,500 NS
6118AIDA ENGINEERING LTD0.032742%205,327.1730,500 NS
SUNSuncorp Group Ltd.0.032421%203,314.7518,381 NS
8075Shinsho Corp0.032393%203,137.8514,100 NS
7942JSP Corp0.032153%201,631.1514,100 NS
9381AIT CORP0.032064%201,072.3514,600 NS
PZCPZ Cussons PLC0.031942%200,307.26189,872 NS
DTRXXDREYFUS TRSY OBLIG CASH M0.031692%198,741.21198,741.21 NS
9743Tanseisha Co Ltd0.031618%198,275.1921,400 NS
DUNNFDuni AB0.0315%197,538.3219,643 NS
BCPBanco Comercial Portugues, S.A.0.03139%196,846.09205,341 NS
ELMRAElmera Group ASA0.031366%196,696.0554,432 NS
AGNAEGON LTD0.031279%196,153.2427,335 NS
3151Vital Ksk Holdings Inc.0.031278%196,143.6921,300 NS
2676TAKACHIHO KOHEKI COMPANY LTD0.031181%195,537.1215,400 NS
CECredito Emiliano S.p.A.0.030941%194,033.8611,598 NS
8084RYODEN CORP0.030529%191,448.249,300 NS
FILAFila S.p.A0.030181%189,267.2617,855 NS
ASRNLASR Nederland N.V.0.030152%189,083.072,773 NS
MULTIMulticonsult ASA0.030145%189,038.1311,297 NS
6381Anest Iwata Corp0.030084%188,655.4818,900 NS
PHOEPhoenix Financial Ltd.0.029854%187,213.33,561 NS
1852Asanuma Corp0.029665%186,033.0630,200 NS
1514Sumiseki Holdings Inc0.029532%185,193.2929,700 NS
GWAGWA GROUP LTD0.029423%184,515.63128,902 NS
9837MORITO COMPANY LTD0.029372%184,195.7415,900 NS
5702Daiki Aluminium Industry Co Ltd0.029334%183,956.2520,800 NS
256ATOBISHIMA HOLDINGS INC0.029188%183,041.0514,000 NS
CWPCedar Woods Properties Ltd.0.028995%181,831.0937,551 NS
3443KAWADA TECHNOLOGIES INC0.028852%180,933.4318,900 NS
5480NIPPON YAKIN KOGYO CO LTD0.028804%180,633.66,200 NS
7995Valqua Ltd0.028732%180,181.036,300 NS
GNGGR ENGINEERING SERVICES LTD0.02838%177,969.5666,971 NS
TUBTubacex Sa0.028274%177,305.2154,376 NS
2986LA HOLDINGS CO LTD0.02813%176,403.293,200 NS
IGLIVE GROUP LTD0.027915%175,056.8297,929 NS
5288ASIA PILE HOLDINGS CORP0.027884%174,859.5120,100 NS
1929NITTOC CONSTRUCTION CO LTD0.027853%174,665.2822,500 NS
SB1NOSpareBank 1 Sor-Norge ASA0.027775%174,1758,060 NS
5357YOTAI REFRACTORIES COMPANY LTD0.027244%170,846.6915,000 NS
4658NIPPON AIR CONDITIONING SERVICES CO LTD0.027241%170,826.5818,400 NS
6369Toyo Kanetsu KK0.027043%169,585.779,800 NS
UNIUNIVERSAL STORE HOLDINGS LTD0.027003%169,339.3631,739 NS
7504Kohsoku Corp0.026981%169,199.828,600 NS
2737Tomen Devices Corp0.026835%168,282.12,300 NS
QDTQuadient SA0.026792%168,01513,527 NS
VETNVetropack Holding SA0.026767%167,859.375,942 NS

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