ETF:DWM | ETF Holdings Page 10 | WisdomTree International Equity Fund

DWM ETF holdings Page 10

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 Equity Fund
Report date2026-03-31
Reported holdings1,433
SEC series IDS000012388

Positions 901–1,000 of 1,433

TickerIssuerWeightValue (USD)Balance
2492INFOMART CORP0.019238%121,299.2641,500 NS
2181Persol Holdings Co Ltd.0.019229%121,242.6983,500 NS
7327Daishi Hokuetsu Financial Group Inc0.019191%121,005.0910,300 NS
9474Zenrin Co Ltd0.019147%120,724.1219,400 NS
ALSYDBAl Sydbank AS0.019137%120,664.031,521 NS
4221OKURA INDUSTRIAL CO LTD0.019129%120,610.974,100 NS
7995Valqua Ltd0.019051%120,120.694,200 NS
MOONMoonpig Group PLC0.01905%120,115.5843,478 NS
GETIBGetinge AB0.019042%120,062.396,066 NS
5901Toyo Seikan Group Holdings Ltd.0.019041%120,056.575,400 NS
5440Kyoei Steel Ltd0.018973%119,631.668,200 NS
AZRMAZORIM INVESTMENT DEVELOPMENT & COSTRUCTION COMPANY LTD0.018967%119,593.620,086 NS
3289TOKYU FUDOSAN HOLDINGS CORP0.018889%119,099.2514,300 NS
PPHPPHE HOTEL GROUP LTD0.018862%118,929.275,665 NS
4997NIHON NOHYAKU CO LTD0.018842%118,800.6818,900 NS
6814FURUNO ELECTRIC COMPANY LTD0.018821%118,668.683,100 NS
ANECorporacion Acciona Energias Renovables, S.A.0.018798%118,527.264,880 NS
ENTEntain PLC0.018762%118,299.8715,991 NS
7649Sugi Holdings Co Ltd0.018712%117,986.055,400 NS
9616Kyoritsu Maintenance Co., Ltd.0.01868%117,782.077,700 NS
IMDImdex Ltd.0.018634%117,493.3544,674 NS
MGRMirvac Group0.018601%117,286.2196,749 NS
SNLSUPPLY NETWORK LTD0.018486%116,559.425,432 NS
ABBAussie Broadband Ltd0.018482%116,534.9835,596 NS
7389AICHI FINANCIAL GROUP INC0.018478%116,509.5213,500 NS
8093Kyokuto Boeki Kaisha Ltd0.018473%116,474.9510,000 NS
DOWDowner EDI Limited0.018464%116,416.1622,190 NS
3349COSMOS PHARMACEUTICAL CORP0.018406%116,051.292,700 NS
2695Kura Sushi Inc0.018405%116,047.525,100 NS
CLABCloetta Ab0.018359%115,759.1220,787 NS
2296Itoham Yonekyu Holdings Inc0.018311%115,456.663,200 NS
CTTCTT Correios de Portugal SA0.018305%115,416.2716,612 NS
7970SHIN-ETSU POLYMER CO LTD0.018184%114,652.089,500 NS
AAKAAK AB0.018152%114,453.774,498 NS
2384SBS Holdings Inc0.018133%114,331.514,300 NS
NEXNexans SA0.01812%114,250.64863 NS
SHURShurgard Self Storage Ltd0.018105%114,156.453,987 NS
7733Olympus Corp.0.018104%114,147.3412,200 NS
NP3NP3 Fastigheter AB (publ)0.018066%113,906.844,429 NS
ELOElopak Asa0.018009%113,551.1730,513 NS
6472NTN Corp0.017985%113,397.7656,500 NS
5959Okabe Co Ltd0.017918%112,974.4219,100 NS
REGREGIS HEALTHCARE LTD0.017912%112,93826,769 NS
4595Mizuho Medy Co Ltd0.017844%112,509.99,900 NS
ARNAlerion Cleanpower0.017801%112,235.794,775 NS
ENGCONBEngcon AB0.017772%112,057.2416,499 NS
LIABLindab International AB0.017755%111,946.736,993 NS
9010Fuji Kyuko Co., Ltd.0.017699%111,594.697,300 NS
7241Futaba Industrial Co Ltd0.017668%111,402.3518,500 NS
BEIABBeijer Alma AB0.017635%111,192.554,432 NS
TEGTAG Immobilien AG0.017582%110,861.177,159 NS
CAICA Immobilien Anlagen AG0.017532%110,544.823,945 NS
7988Nifco Inc0.01751%110,402.924,000 NS
AFGAF Gruppen ASA0.017485%110,244.896,317 NS
VLXVolex Plc0.017476%110,191.0118,446 NS
CWYCleanaway Waste Management Ltd.0.01744%109,964.0270,729 NS
AKZAAkzo Nobel N.V.0.017406%109,748.421,936 NS
4974Takara Bio Inc0.017396%109,683.8315,200 NS
6089Will Group Inc0.017391%109,654.9115,000 NS
WIITWIIT S.p.A.0.017361%109,462.383,633 NS
ANODBAddnode Group AB0.017351%109,401.5615,743 NS
MCOVBMedicover AB0.017308%109,131.85,524 NS
1980Dai-Dan Co Ltd0.017258%108,817.656,600 NS
COLColonial SFL Socimi SA0.017211%108,519.2218,522 NS
KITKeppel Infrastructure Trust0.017173%108,281.36273,920 NS
CHRTCohort PLC0.017161%108,204.896,759 NS
5110Sumitomo Rubber Industries Ltd.0.01713%108,006.478,500 NS
EVTEVI LTD0.017127%107,990.9311,945 NS
7613Siix Corp0.017102%107,832.0414,600 NS
5851Ryobi Ltd0.017101%107,823.247,100 NS
8113Unicharm Corp.0.017068%107,619.5918,400 NS
7229Yutaka Giken Co Ltd.0.017047%107,486.335,700 NS
8354FUKUOKA FINANCIAL GROUP INC0.017037%107,421.592,900 NS
CIECIE Automotive SA0.017016%107,288.013,468 NS
2379DIP CORP0.016995%107,158.218,200 NS
6118AIDA ENGINEERING LTD0.016976%107,039.4115,900 NS
3591Wacoal Holdings Corp.0.016963%106,952.674,300 NS
6235Optorun Co Ltd0.016923%106,701.876,600 NS
8923TOSEI CORP0.016882%106,445.4110,800 NS
SKLTFSeek Ltd.0.016796%105,900.4811,084 NS
4318QUICK COMPANY LTD0.016772%105,749.5820,100 NS
3106KURABO INDUSTRIES LTD0.016768%105,726.322,000 NS
6157NS Tool Co Ltd0.016717%105,404.4920,400 NS
7981Takara Standard Co Ltd0.016662%105,060.036,100 NS
KCCKlaveness Combination Carriers Asa0.01666%105,046.1510,851 NS
GRNGGranges AB0.016596%104,642.026,740 NS
8179ROYAL HOLDINGS COMPANY LTD0.01657%104,476.7111,400 NS
6197SOLASTO CORP0.016562%104,428.3114,900 NS
7955Cleanup Corp0.016527%104,205.1718,000 NS
PLUSPlus500 Ltd.0.01648%103,909.761,937 NS
9513Electric Power Development Co Ltd.0.016407%103,449.623,800 NS
LOGIBLogistea AB0.016404%103,431.2275,445 NS
WIHLWihlborgs Fastigheter AB0.01634%103,029.6611,406 NS
DLEKGDelek Group Ltd.0.016333%102,984.77307 NS
APEEagers Automotive Ltd.0.016263%102,539.816,654 NS
8276Heiwado Co Ltd0.016263%102,539.445,500 NS
9746TKC CORP0.01623%102,332.014,400 NS
SAXStroeer SE & Co KGaA0.016215%102,236.192,914 NS
2501Sapporo Breweries Ltd.0.016209%102,201.589,500 NS
SKISBSkiStar AB0.016199%102,139.015,973 NS

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