ETF:IHDG | ETF Holdings Page 2 | WisdomTree International Hedged Quality Dividend Growth Fund

IHDG 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 Hedged Quality Dividend Growth Fund
Report date2026-03-31
Reported holdings350
SEC series IDS000043768

Positions 101–200 of 350

TickerIssuerWeightValue (USD)Balance
AMSAmadeus IT Group SA0.238802%5,116,166.1791,215 NS
RYARyanair Holdings PLC0.235903%5,054,063.15183,764 NS
KBXKnorr-Bremse AG0.235792%5,051,681.3545,130 NS
JMTJeronimo Martins - S.G.P.S., S.A.0.228089%4,886,661.47206,282 NS
EVOEvolution AB0.226033%4,842,608.7178,831 NS
CONContinental AG0.225418%4,829,433.1870,327 NS
LHADeutsche Lufthansa AG0.223041%4,778,509.48576,333 NS
NXTNext PLC0.220724%4,728,870.1528,292 NS
IAGINTERNATIONAL CONSOLIDATED AIRLINES GROUP SA0.216644%4,641,451.041,006,209 NS
NSTNorthern Star Resources Ltd.0.216402%4,636,275.21332,479 NS
1928SANDS CHINA LTD0.216135%4,630,543.12,201,600 NS
MONRFMoncler S.p.A.0.214443%4,594,289.0177,576 NS
1913Prada S.p.A.0.208964%4,476,906.71950,700 NS
LSRCFLASERTEC CORP0.199607%4,276,447.2920,400 NS
SGXSingapore Exchange Ltd.0.198233%4,246,997.64280,700 NS
6857Advantest Corp.0.196835%4,217,046.9533,000 NS
DISPFDISCO CORP0.190454%4,080,357.0310,600 NS
ACAccor SA0.189463%4,059,121.6686,729 NS
8359Hachijuni Nagano Bank Ltd.0.185497%3,974,157.4328,100 NS
RHMRheinmetall AG0.18458%3,954,501.932,376 NS
EPIAEpiroc AB0.181345%3,885,194.5161,551 NS
MOWIMowi ASA0.180216%3,860,998.57171,265 NS
SKFBSKF AB0.177115%3,794,566.61161,231 NS
FROFrontline Plc0.174301%3,734,278.3107,018 NS
EXPNExperian PLC0.174247%3,733,119.92108,965 NS
LDOLeonardo S.p.A.0.173818%3,723,927.6655,686 NS
23Bank of East Asia Ltd. (The)0.172211%3,689,513.532,213,200 NS
PRYMFPrysmian S.p.A.0.170023%3,642,626.6732,005 NS
7735Screen Holdings Co Ltd.0.16472%3,529,021.3162,800 NS
CNACentrica PLC0.161926%3,469,151.341,237,994 NS
WKLWolters Kluwer NV0.160894%3,447,050.2446,297 NS
EDENEdenred SA0.160332%3,434,998.14174,751 NS
AAFAirtel Africa PLC0.159107%3,408,764.51750,129 NS
ATCOBAtlas Copco AB0.158103%3,387,251.01222,767 NS
AXFOAxfood AB0.152574%3,268,786.0696,796 NS
SOONSonova Holding AG0.151223%3,239,843.214,544 NS
NWMDNewmed Energy Limited Partnership0.148985%3,191,901.75560,224 NS
ANDRAndritz AG0.148761%3,187,094.7946,489 NS
LNFGYLion Finance Group PLC0.146455%3,137,702.5425,640 NS
VTTGFVAT Group AG0.144644%3,098,896.95,147 NS
UCBUCB SA0.143637%3,077,320.6710,332 NS
6098Recruit Holdings Co Ltd.0.140346%3,006,825.0773,300 NS
ITRKIntertek Group PLC0.139668%2,992,298.7462,202 NS
2802Ajinomoto Co Inc.0.135842%2,910,328.12105,300 NS
IHGInterContinental Hotels Group PLC0.134896%2,890,055.222,163 NS
VALMTValmet Oyj0.134456%2,880,635.9102,590 NS
7261Mazda Motor Corp.0.133914%2,869,021.94439,300 NS
HSXHiscox Ltd0.133876%2,868,202.68143,946 NS
8377HOKUHOKU FINANCIAL GROUP INC0.133578%2,861,814.0778,000 NS
7832Bandai Namco Holdings Inc.0.129566%2,775,858.95114,200 NS
VPKKoninklijke Vopak N.V.0.127976%2,741,788.7950,738 NS
5332Toto Ltd0.126937%2,719,529.8385,000 NS
ADSAdidas AG0.125426%2,687,166.8617,067 NS
RECRecordati Industria Chimica e Farmaceutica S.p.A.0.121008%2,592,511.0245,882 NS
4307Nomura Research Institute Ltd0.120362%2,578,668.6894,700 NS
TBCGTBC Bank Group PLC0.120053%2,572,049.1147,805 NS
ALLAristocrat Leisure Ltd.0.119563%2,561,555.2682,507 NS
LOGNLogitech International SA0.115831%2,481,608.9627,558 NS
4684OBIC CO LTD0.111433%2,387,373.1898,600 NS
SGEThe Sage Group PLC0.110118%2,359,203.29213,540 NS
3092ZOZO Inc.0.107083%2,294,182.54330,300 NS
NDEKFNitto Denko Corp.0.105807%2,266,847.7117,700 NS
6361Ebara Corp.0.10484%2,246,124.8384,000 NS
XZJCFMitsui Kinzoku Co Ltd.0.103657%2,220,780.6912,600 NS
HWDNHowden Joinery Group PLC0.101607%2,176,858.19208,693 NS
SFSNSFS Group AG0.098174%2,103,309.0714,323 NS
3769GMO Payment Gateway Inc.0.097002%2,078,202.2840,300 NS
REAREA Group Ltd.0.096734%2,072,469.8919,345 NS
1911Sumitomo Forestry Co Ltd.0.09639%2,065,095.23234,000 NS
SUNSulzer AG0.096118%2,059,266.7510,053 NS
ASMASM International N.V.0.095442%2,044,788.312,786 NS
RBREWRoyal Unibrew A/S0.093341%1,999,770.4824,727 NS
N/ABARCLAYS PLC0.092925%1,990,844.691 NC
N/AGOLDMAN SACHS & CO. LLC0.092925%1,990,844.691 NC
N/ADEUTSCHE BANK AKTIENGESELLSCHAFT0.092912%1,990,572.121 NC
N/ARBC DOMINION SECURITIES INC.0.092909%1,990,512.991 NC
N/AUBS Securities LLC0.092803%1,988,243.121 NC
MAIREMaire S.p.A.0.091531%1,960,999.3127,967 NS
STMNStraumann Holding AG0.091481%1,959,917.8619,206 NS
7532Pan Pacific International Holdings Corp.0.089679%1,921,307.06315,700 NS
2181Persol Holdings Co Ltd.0.088594%1,898,065.251,307,200 NS
KCRKonecranes Oyj0.08825%1,890,695.5758,731 NS
6113Amada Co Ltd0.086227%1,847,356.84136,000 NS
EPIBEpiroc AB0.08416%1,803,076.785,797 NS
SCHPSchindler Holding AG0.083389%1,786,553.675,513 NS
9766Konami Group Corp.0.082255%1,762,257.2114,500 NS
BIMBioMerieux SA0.081954%1,755,814.2916,600 NS
4716Oracle Corp Japan0.081565%1,747,476.932,300 NS
SAABBSaab AB0.081329%1,742,427.426,885 NS
7936Asics Corp0.081208%1,739,830.2866,600 NS
SYNSYSyensqo SA0.080959%1,734,498.0430,424 NS
PNDORAPandora A/S0.08003%1,714,579.4124,509 NS
ESLTElbit Systems Ltd0.0796%1,705,385.272,042 NS
TRELBTrelleborg AB0.078256%1,676,583.3445,790 NS
EVDCTS Eventim AG & Co. KGaA0.077782%1,666,424.1429,124 NS
6856Horiba Ltd.0.076001%1,628,276.4514,500 NS
7276KOITO MANUFACTURING CO LTD0.074993%1,606,683.01104,800 NS
3405Kuraray Co Ltd0.074674%1,599,835.63154,300 NS
5929Sanwa Holdings Corp0.073886%1,582,968.1371,200 NS
9697Capcom Co Ltd.0.073573%1,576,247.4174,900 NS

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