ETF:EMMF | ETF Holdings | WisdomTree Emerging Markets Multifactor Fund

EMMF ETF holdings

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 Emerging Markets Multifactor Fund
Report date2026-03-31
Reported holdings244
SEC series IDS000062304

Positions 1–100 of 244

TickerIssuerWeightValue (USD)Balance
2330Taiwan Semiconductor Manufacturing Co., Ltd.7.008108%10,597,435.1192,500 NS
005930Samsung Electronics Co Ltd.3.619604%5,473,448.8950,140 NS
005380Hyundai Motor Co.2.896572%4,380,102.8315,059 NS
000660SK Hynix Inc.2.575237%3,894,190.587,391 NS
MELIMercadolibre Inc2.113012%3,195,228.961,848 NS
CPNGCoupang Inc.2.037977%3,081,763.52163,229 NS
700TENCENT HOLDINGS LTD1.935069%2,926,149.8447,400 NS
9888BAIDU INC1.500486%2,268,986.76168,300 NS
9988ALIBABA GROUP HOLDING LTD1.082028%1,636,208.26107,800 NS
PETR4Petroleo Brasileiro SA1.075485%1,626,313.09174,492 NS
3481Innolux Corp.1.031573%1,559,910.852,091,000 NS
3034NOVATEK MICROELECTRONICS CORP1.004799%1,519,424.46128,000 NS
RELIANCEReliance Industries Ltd.0.975089%1,474,498.06104,066 NS
902Huaneng Power International Inc.0.915678%1,384,658.551,840,000 NS
MOLMOL Hungarian Oil & Gas PLC0.882949%1,335,166.96113,119 NS
2360Chroma Ate Inc0.878806%1,328,902.129,000 NS
PKNOrlen SA0.864123%1,306,698.4336,262 NS
009150SAMSUNG ELECTRO MECHANICS0.837657%1,266,678.094,761 NS
2308Delta Electronics Inc.0.827817%1,251,798.5629,000 NS
UMCUnited Microelectronics Corp.0.809914%1,224,726.31693,000 NS
018260Samsung Sds Co Ltd0.80192%1,212,638.2712,374 NS
FIGIFFuyao Glass Industry Group Co Ltd.0.779645%1,178,954.62157,600 NS
TOTS3Totvs SA0.773241%1,169,270.07174,753 NS
TIMBTim S A0.745925%1,127,963.69214,500 NS
AMMAMMB Holdings Berhad0.744807%1,126,273.15692,000 NS
MAYMalayan Banking Berhad0.744189%1,125,338.6401,100 NS
AXSBAxis Bank Ltd.0.742581%1,122,906.8191,713 NS
BCIBanco de Credito e Inversiones0.718593%1,086,632.8916,910 NS
BBDC4Banco Bradesco SA0.708576%1,071,485.51291,875 NS
3017ASIA VITAL COMPONENTS COMPANY LTD0.699777%1,058,179.5417,000 NS
ITUB4Itau Unibanco Holding SA0.669192%1,011,931.34121,533 NS
5274ASPEED TECHNOLOGY INC0.663991%1,004,066.313,000 NS
VBBR3Vibra Energia SA0.656377%992,551.74163,917 NS
VIPSVIPSHOP HOLDINGS LTD0.650478%983,631.8462,572 NS
PKOPowszechna Kasa Oszczednosci Bank Polski SA0.646307%977,324.9941,947 NS
168Tsingtao Brewery Group Co Ltd.0.646089%976,995.48158,000 NS
1044HENGAN INTERNATIONAL GROUP COMPANY LTD0.623962%943,534.6269,000 NS
032640LG UPLUS CORP0.621633%940,012.9192,709 NS
VIVTelefonica Brasil S.A0.61608%931,615.85117,993 NS
CPFE3CPFL Energia SA0.596985%902,740.9496,679 NS
UNTRUTD Tractors0.595542%900,558.71492,900 NS
TTelekom Malaysia Berhad0.592675%896,223.76511,100 NS
KTB-RKrung Thai Bank Public Co Ltd.0.59043%892,828.99841,300 NS
PZUPowszechny Zaklad Ubezpieczen SA0.588211%889,473.5451,764 NS
2382Quanta Computer Inc.0.58184%879,840.48101,000 NS
BRITBritannia Industries Ltd.0.569307%860,887.5815,057 NS
SBSCompanhia de Saneamento Basico do Estado de Sao Paulo - SABESP0.558837%845,055.7527,887 NS
TELPLDT Inc.0.545761%825,282.7238,715 NS
KBANK-RKasikornbank Public Co Ltd.0.541159%818,323.23141,300 NS
PINFRA*Promotora y Operadora de Infraestructura SA0.536666%811,529.0450,520 NS
IHHIHH Healthcare BHD0.534156%807,734.26364,200 NS
KMBKotak Mahindra Bank Ltd.0.5337%807,044.34216,602 NS
2688ENN ENERGY HOLDINGS LTD0.53167%803,975.0399,500 NS
3998BOSIDENG INTERNATIONAL HOLDINGS LTD0.528354%798,959.211,566,000 NS
4938Pegatron Corp.0.526452%796,083.83334,000 NS
BBSE3BB Seguridade Participacoes SA0.514021%777,286.35116,603 NS
MRCOMarico Ltd.0.513728%776,842.9100,119 NS
MMMahindra & Mahindra Ltd.0.507251%767,048.3624,623 NS
HMCLHero Motocorp Ltd.0.486012%734,932.0313,768 NS
PSYSPersistent Systems Ltd.0.481473%728,067.3214,159 NS
ADVANC-RAdvanced Info Service Public Co Ltd.0.480916%727,225.5964,300 NS
ASIIAstra International Tbk PT0.478602%723,726.791,967,900 NS
HLBKHong Leong Bank Bhd0.474643%717,740.18132,700 NS
EIMEicher Motors Ltd.0.472412%714,366.4810,288 NS
LPLLG Display Co Ltd.0.472266%714,145.56100,813 NS
N/AHSBC BANK PLC0.466769%705,833.141 NC
VODVodacom Group Limited0.465362%703,704.9183,465 NS
GRUMABGruma S.A.B.de C.V.0.464718%702,731.5438,577 NS
2376GIGA-BYTE TECHNOLOGY COMPANY LTD0.460243%695,964.97100,000 NS
267250HD HYUNDAI CO LTD0.45641%690,168.774,423 NS
ICTInternational Container Terminal Services Inc.0.45565%689,019.2660,840 NS
UNBKUnion Bank of India0.449423%679,603.07392,567 NS
SHPShoprite Holdings Ltd.0.442726%669,476.6141,551 NS
APHSApollo Hospitals Enterprise Ltd.0.441952%668,305.448,544 NS
KIMBERAKimberly-Clark de Mexico S.A.B. de C.V.0.439156%664,077.77282,370 NS
TTB-RTmbthanachart Bank Public Co Ltd.0.436744%660,430.569,470,000 NS
ABEVAmbev S.A.0.43312%654,950.26224,270 NS
FSRFirstrand Ltd0.429134%648,922.17128,952 NS
6862HAIDILAO INTERNATIONAL HOLDING LTD0.421274%637,037.32350,000 NS
KEPKorea Electric Power Corp.0.41817%632,343.6223,254 NS
TRPTorrent Pharmaceuticals Ltd.0.415702%628,611.1914,128 NS
PEOBank Polska Kasa Opieki SA0.411123%621,686.9410,656 NS
BIDBID CORP LTD0.410201%620,293.0726,051 NS
DSVXXDREY INST PREF GOV MM-M0.407112%615,621.87615,621.87 NS
CMIG4Companhia Energetica De Minas Gerais SA0.403164%609,651.77252,464 NS
BOBBank of Baroda0.401131%606,577.09232,363 NS
LTMLATAM Airlines Group SA0.400475%605,585.5524,789,184 NS
2207Hotai Motor Co Ltd.0.40005%604,942.1340,000 NS
KOFUBLCoca-Cola FEMSA SAB de CV0.398102%601,996.7562,169 NS
780Tongcheng Travel Holdings Ltd0.39414%596,005.2259,600 NS
ACAyala Corp.0.392927%594,171.4471,690 NS
SUZSuzano S A0.392277%593,188.2959,684 NS
4904Far Eastone Telecommunications Co., Ltd.0.389697%589,286.83205,000 NS
AMXBAmerica Movil S.A.B. de C.V.0.388724%587,815.29465,543 NS
MAXISMAXIS BHD0.375595%567,962.46638,800 NS
2345Accton Technology Corp.0.374814%566,781.3612,000 NS
AC*Arca Continental S.A.B. de C.V.0.372701%563,585.9949,187 NS
CEZCEZ AS0.36992%559,381.659,939 NS
IOCLIndian Oil Corp Ltd.0.369596%558,891.74391,508 NS
CPINCharoen Pokphand Indonesia Tbk0.360517%545,162.852,259,700 NS

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