ETF:DWM | ETF Holdings Page 2 | WisdomTree International Equity Fund

DWM ETF holdings Page 2

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 101–200 of 1,433

TickerIssuerWeightValue (USD)Balance
TCLTransurban Group0.201906%1,273,057.15132,673 NS
AIRAirbus SE0.199779%1,259,647.56,798 NS
7267Honda Motor Co Ltd.0.199451%1,257,579.04159,100 NS
ELEssilorLuxottica SA0.196902%1,241,507.315,431 NS
6501Hitachi Ltd.0.19492%1,229,009.9943,800 NS
REPRepsol SA0.194319%1,225,222.0643,139 NS
4519Chugai Pharmaceutical Co Ltd.0.194008%1,223,261.0522,600 NS
ACSACS Actividades De Construccion Y Servicios S.A.0.192256%1,212,214.710,039 NS
SCMNSwisscom AG0.191021%1,204,426.611,451 NS
GAssicurazioni Generali S.p.A.0.190153%1,198,956.1430,153 NS
8015Toyota Tsusho Corp.0.188033%1,185,586.7731,700 NS
TEFTelefonica, S.A.0.186627%1,176,718.7269,112 NS
8002Marubeni Corp.0.183142%1,154,746.3732,700 NS
HMBH and M Hennes and Mauritz AB0.18125%1,142,82162,157 NS
DANSKEDanske Bank A/S0.179498%1,131,770.8923,503 NS
HOLNHolcim AG0.17812%1,123,082.4713,901 NS
RELRelx PLC0.177905%1,121,724.9134,355 NS
KNEBVKone Oyj0.175762%1,108,217.1917,558 NS
SANDSandvik AB0.175508%1,106,612.8229,496 NS
5802Sumitomo Electric Industries Ltd.0.174602%1,100,898.8620,900 NS
SSESse PLC0.172453%1,087,348.3331,775 NS
FKURFFujikura Ltd.0.17125%1,079,766.1742,000 NS
6503Mitsubishi Electric Corp.0.170561%1,075,418.9534,300 NS
BAMIBanco BPM S.p.A.0.169713%1,070,072.2178,307 NS
6301Komatsu Ltd.0.169043%1,065,853.2928,200 NS
RKTReckitt Benckiser Group PLC0.164695%1,038,435.8115,477 NS
UOBUnited Overseas Bank Ltd.0.163551%1,031,222.4536,301 NS
7011Mitsubishi Heavy Industries Ltd.0.161663%1,019,317.3738,400 NS
288WH GROUP LTD0.160954%1,014,850.39775,500 NS
NXSNNext Vision Stabilized Systems Ltd0.159634%1,006,524.1510,420 NS
LSRCFLASERTEC CORP0.159586%1,006,222.894,800 NS
1605Inpex Corp.0.158095%996,820.6733,900 NS
PSTPoste Italiane S.p.A.0.157519%993,187.0442,800 NS
ATCOAAtlas Copco AB0.15548%980,330.0557,241 NS
4503Astellas Pharma Inc.0.154189%972,195.6161,400 NS
RORoche Holding AG0.15312%965,454.792,371 NS
DISPFDISCO CORP0.152628%962,348.362,500 NS
SRGSnam S.p.A.0.151784%957,026.49126,733 NS
KPNKoninklijke KPN N.V.0.151688%956,421.82172,826 NS
EBSErste Group Bank AG0.149526%942,793.288,846 NS
HOTHochtief AG0.148089%933,728.462,117 NS
6857Advantest Corp.0.147951%932,861.97,300 NS
BPEBPER Banca S.p.A.0.147512%930,092.3872,495 NS
STESingapore Technologies Engineering Ltd.0.147315%928,848.09110,856 NS
BARCBarclays PLC0.145366%916,563.81178,470 NS
CSLCSL Ltd.0.13948%879,448.949,121 NS
FERFerrovial SE0.13921%877,749.6613,746 NS
TSCOTesco PLC0.13903%876,615.29140,511 NS
RWERWE AG0.138595%873,867.913,149 NS
8TRATraton SE0.138361%872,393.824,567 NS
VIEVeolia Environnement S.A.0.138218%871,492.7823,159 NS
KNINKuehne & Nagel International AG0.138146%871,040.513,882 NS
CCEPCoca-Cola Europacific Partners PLC0.137432%866,537.749,565 NS
BMPSBanca Monte dei Paschi di Siena S.p.A.0.136822%862,687.41100,812 NS
HOThales SA0.136362%859,789.952,960 NS
16Sun Hung Kai Properties Ltd.0.135906%856,916.9252,000 NS
ADKoninklijke Ahold Delhaize NV0.135883%856,766.8618,456 NS
ESLTElbit Systems Ltd0.135236%852,692.641,021 NS
7974Nintendo Co Ltd.0.131219%827,361.8715,000 NS
7741HOYA Corp.0.129694%817,744.674,900 NS
UMGUniversal Music Group N.V0.129625%817,312.5742,642 NS
RACEFERRARI NV0.128807%812,152.252,439 NS
CPGCompass Group PLC0.127545%804,197.7529,249 NS
HEIAHeineken N.V.0.127031%800,958.0510,485 NS
LRLegrand SA0.126037%794,687.095,237 NS
MQGMacquarie Group Ltd.0.125115%788,873.885,704 NS
VOLVAVolvo AB0.125101%788,786.524,669 NS
SRENSwiss RE AG0.123105%776,205.094,718 NS
HEIHeidelberg Materials AG0.122511%772,455.113,759 NS
RHMRheinmetall AG0.121688%767,266.58461 NS
VTTGFVAT Group AG0.119552%753,8021,252 NS
SGOCompagnie de Saint-Gobain SA0.118898%749,675.629,287 NS
SHLSiemens Healthineers AG0.118306%745,946.2717,835 NS
6861Keyence Corp.0.114851%724,156.142,100 NS
7751Canon Inc.0.114236%720,278.4626,300 NS
7747Asahi Intecc Co Ltd.0.112144%707,087.8133,700 NS
1038CK INFRASTRUCTURE HOLDINGS LTD0.111981%706,062.9888,500 NS
3563Food & Life Companies Ltd.0.111821%705,053.7412,100 NS
4568Daiichi Sankyo Co Ltd.0.111677%704,148.640,500 NS
VODVodafone Group PLC0.111569%703,462.14470,831 NS
MRAAFMurata Manufacturing Co Ltd.0.11113%700,699.632,700 NS
ANTOAntofagasta PLC0.110246%695,125.815,844 NS
BESIBE Semiconductor Industries NV0.110137%694,434.993,368 NS
6525Kokusai Electric Corp.0.109924%693,091.9622,000 NS
2802Ajinomoto Co Inc.0.109586%690,961.0925,000 NS
TENTenaris SA0.109413%689,868.1323,480 NS
293Cathay Pacific Airways Ltd.0.109399%689,783.42482,000 NS
VNAVonovia SE0.108546%684,406.227,551 NS
TEL2BTele2 AB (publ)0.108116%681,694.9633,371 NS
AMSAmadeus IT Group SA0.107175%675,761.3312,048 NS
SAABBSaab AB0.106345%670,528.3210,346 NS
WOWWoolworths Group Ltd.0.105955%668,067.926,790 NS
EVOEvolution AB0.105466%664,982.5510,825 NS
PHIAKoninklijke Philips NV0.105003%662,062.6224,619 NS
IFXInfineon Technologies AG0.104869%661,219.8315,102 NS
COLColes Group Ltd.0.104654%659,867.7243,873 NS
1CK HUTCHISON HOLDINGS LTD0.104288%657,559.7686,500 NS
GAWGames Workshop Group PLC0.103504%652,613.732,796 NS
AIBRFAIB Group PLC0.10292%648,932.9262,475 NS
66MTR Corp Ltd.0.102572%646,734.13158,553 NS

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