ETF:DWM | ETF Holdings Page 3 | WisdomTree International Equity Fund

DWM ETF holdings Page 3

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 201–300 of 1,433

TickerIssuerWeightValue (USD)Balance
RYARyanair Holdings PLC0.102236%644,615.5523,438 NS
6954Fanuc Corp.0.102013%643,212.0219,300 NS
GTTGaztransport Et Technigaz SA0.101854%642,210.382,743 NS
TELIATelia Company AB0.101091%637,398.46125,871 NS
BXBBRAMBLES LTD0.100877%636,052.4641,092 NS
6Power Assets Holdings Ltd.0.100651%634,623.4881,500 NS
6902Denso Corp.0.100375%632,885.4751,700 NS
HLNHaleon PLC0.100352%632,739.47128,363 NS
6758Sony Group Corp.0.100132%631,351.4431,300 NS
FORTUMFortum Oyj0.099946%630,177.6824,997 NS
IGItalgas SpA0.099565%627,775.6954,322 NS
7936Asics Corp0.099436%626,965.8724,000 NS
GETGetlink SE0.099251%625,800.4729,248 NS
IHGInterContinental Hotels Group PLC0.098981%624,094.44,786 NS
LIKlepierre SA0.098967%624,003.8916,705 NS
1972Swire Properties Ltd.0.098625%621,853.52214,400 NS
669Techtronic Industries Co. Ltd.0.098105%618,574.7847,500 NS
5108Bridgestone Corp.0.097708%616,066.3830,000 NS
8801Mitsui Fudosan Co Ltd.0.097373%613,957.5159,000 NS
CCHCoca-Cola HBC AG0.097319%613,616.0210,959 NS
ASMASM International N.V.0.097314%613,583.28836 NS
REAREA Group Ltd.0.097121%612,366.915,716 NS
ACLNAccelleron Industries AG.0.095571%602,594.746,796 NS
SDZSandoz Group AG0.095549%602,455.787,841 NS
UCBUCB SA0.09542%601,644.192,020 NS
BT/ABT Group PLC0.095019%599,117.08215,831 NS
AKERAker ASA0.094616%596,571.185,431 NS
SGSNSGS SA0.094532%596,041.945,695 NS
4186TOKYO OHKA KOGYO CO LTD0.09407%593,133.4512,800 NS
TRNTERNA - Rete Elettrica Nazionale S.p.A.0.093762%591,188.7752,017 NS
KERKering S.A.0.093687%590,717.651,998 NS
SEBASkandinaviska Enskilda Banken AB (publ)0.093027%586,557.0432,430 NS
FNLPFFresnillo PLC0.092734%584,707.0413,420 NS
AIXAAixtron SE0.092716%584,595.3215,516 NS
EDPEDP SA0.092062%580,467.77111,335 NS
WRT1VWartsila Oyj Abp0.091937%579,684.2515,866 NS
PUBPublicis Groupe SA0.0916%577,556.127,076 NS
METSOMetso Oyj0.091527%577,096.833,980 NS
AMDassault Aviation SA0.091461%576,682.471,568 NS
MLCompagnie Generale des Etablissements Michelin0.0906%571,251.6316,985 NS
ENBouygues SA0.090553%570,952.9210,029 NS
APAAPA GROUP0.090419%570,108.8483,658 NS
POLIBank Hapoalim BM0.089842%566,473.9224,395 NS
ATCOBAtlas Copco AB0.089799%566,201.7537,237 NS
1928SANDS CHINA LTD0.089799%566,198.31269,200 NS
GALDGalderma Group AG0.08965%565,263.392,961 NS
BANBBachem Holding AG0.089585%564,849.926,999 NS
27Galaxy Entertainment Group Ltd.0.08921%562,485.65126,000 NS
PRXProsus NV0.089082%561,678.8512,506 NS
EXPNExperian PLC0.088057%555,214.4416,206 NS
SVTSevern Trent PLC0.088033%555,066.6413,622 NS
ASSABAssa Abloy AB0.087627%552,506.4315,646 NS
ADMAdmiral Group PLC0.087555%552,053.6813,290 NS
SIKASika AG0.087377%550,929.253,408 NS
DB1Deutsche Boerse AG0.085989%542,180.771,874 NS
RYKKFRyohin Keikaku Co Ltd.0.085752%540,682.6325,800 NS
MGORMEGA OR HOLDINGS LTD0.085417%538,571.083,397 NS
6787Meiko Electronics Co Ltd.0.084229%531,083.033,500 NS
FROFrontline Plc0.083438%526,095.7415,077 NS
ACAccor SA0.082631%521,003.8411,132 NS
MONRFMoncler S.p.A.0.082534%520,393.138,787 NS
DPLMFDiploma PLC0.081989%516,956.236,572 NS
5016JX Advanced Metals Corp.0.081884%516,296.4424,800 NS
DTRXXDREYFUS TRSY OBLIG CASH M0.08188%516,270.1516,270.1 NS
2CLP Holdings Ltd.0.081776%515,611.8555,000 NS
5401Nippon Steel Corp.0.081353%512,948.83141,700 NS
6752Panasonic Holdings Corp.0.081192%511,931.9331,500 NS
PRYMFPrysmian S.p.A.0.080832%509,660.444,478 NS
KEPKeppel Ltd.0.079435%500,851.0654,900 NS
5344Maruwa Co Ltd0.078956%497,831.421,500 NS
MRLMerlin Properties Socimi SA0.078919%497,598.2431,025 NS
3064Monotaro CoLtd0.078698%496,206.5546,300 NS
3092ZOZO Inc.0.078213%493,148.5371,000 NS
HLMAHalma PLC0.077815%490,640.169,786 NS
SCGSCENTRE GROUP LTD0.077718%490,025.43215,503 NS
SALMSalMar ASA0.077365%487,801.58,410 NS
4816TOEI ANIMATION COMPANY LTD0.077092%486,083.3529,800 NS
SUBCSubsea 7 SA0.077024%485,650.715,748 NS
7550Zensho Holdings Co., Ltd.0.076857%484,601.178,400 NS
BEANBELIMO Holding AG0.076513%482,427.98610 NS
NSTNorthern Star Resources Ltd.0.076159%480,195.0634,436 NS
3Hong Kong & China Gas Co Ltd. (Towngas)0.075916%478,667.25528,570 NS
NXTNext PLC0.075551%476,363.632,850 NS
SLHNSwiss Life Holding AG0.075274%474,614.9441 NS
6701NEC Corp.0.075149%473,829.9119,600 NS
GALPGalp Energia SGPS SA0.075113%473,599.8119,564 NS
EPIAEpiroc AB0.075109%473,579.5519,692 NS
3110Nitto Boseki Co Ltd.0.074729%471,179.844,000 NS
GIVNGivaudan SA0.074695%470,965.09141 NS
LDOLeonardo S.p.A.0.073681%464,571.456,947 NS
7012Kawasaki Heavy Industries Ltd0.073646%464,350.3725,500 NS
IAGINTERNATIONAL CONSOLIDATED AIRLINES GROUP SA0.073623%464,205.53100,634 NS
SIASingapore Airlines Ltd.0.073508%463,480.9990,600 NS
9766Konami Group Corp.0.073246%461,832.923,800 NS
9697Capcom Co Ltd.0.073095%460,878.7521,900 NS
NESTENeste Oyj0.073043%460,549.214,301 NS
7832Bandai Namco Holdings Inc.0.072475%456,971.5318,800 NS
CBKCommerzbank AG0.072329%456,046.9812,855 NS
PGHNPartners Group Holding AG0.072151%454,929.25432 NS
GMGGoodman Group0.071449%450,497.9325,754 NS

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