DEM WisdomTree Emerging Markets High Dividend Fund

69

NYSE ARCA | ETF

Price
$46.47
Increased by +0.63%
Dollar volume (20D)
9.09 M
ADR%
0.77
Financial Services - 26.00%Technology - 13.44%Industrials - 10.89%Energy - 10.19%Consumer Defensive - 7.96%Consumer Cyclicals - 7.77%Basic Materials - 6.95%Utilities - 5.48%Communication Services - 5.19%Real Estate - 4.57%Healthcare - 1.55%
Financial Services - 26.00%
Technology - 13.44%
Industrials - 10.89%
Energy - 10.19%
Consumer Defensive - 7.96%
Consumer Cyclicals - 7.77%
Basic Materials - 6.95%
Utilities - 5.48%
Communication Services - 5.19%
Real Estate - 4.57%
Healthcare - 1.55%

Under normal circumstances, at least 95% of the fund's total assets will be invested in constituent securities of the index and investments that have economic characteristics that are substantially identical to the economic characteristics of such constituent securities.

The index is a fundamentally weighted index that is comprised of the highest dividend-yielding common stocks selected from the WisdomTree Emerging Markets Dividend Index.

The fund is non-diversified.

Top 20 Holdings

Asset Name Sector Industry Weight
0939 China Construction Bank Corp Financial Services Banks - Diversified 4.62%
2317 Hon Hai Precision Industry Co Ltd Technology Electronic Components 4.18%
VALE3 Vale S.A. Basic Materials Other Industrial Metals & Mining 3.71%
1398 Industrial and Commercial Bank of China Financial Services Banks - Diversified 2.83%
0857 PetroChina Company Limited Energy Oil & Gas Integrated 2.26%
2222 Saudi Aramco Energy Oil & Gas Integrated 2.16%
2454 MediaTek Inc Technology Semiconductors 2.11%
PETR3 Petróleo Brasileiro S.A. - Petrobras Energy Oil & Gas Integrated 2.08%
600036 China Merchants Bank Co Ltd Financial Services Banks - Regional 2.03%
3988 Bank of China Ltd H Financial Services Banks - Diversified 1.88%
GFNORTEO Grupo Financiero Banorte S.A.B. de C.V Financial Services Banks - Regional 1.81%
2318 Ping An Insurance Financial Services Insurance - Life 1.71%
601166 Industrial Bank Co Ltd Financial Services Banks - Regional 1.68%
POWERGRID POWER GRID CORPORATION OF INDIA LTD. Utilities Utilities - Regulated Electric 1.63%
PKN Polski Koncern Naftowy ORLEN SA Energy Oil & Gas Integrated 1.52%
TCS Tata Consultancy Services Limited Technology Information Technology Services 1.40%
2382 Quanta Computer Inc Technology Computer Hardware 1.36%
FEMSAUBD Fomento Económico Mexicano S.A.B. de C.V Consumer Defensive Beverages - Brewers 1.26%
PKO Powszechna Kasa Oszczednosci Bank Polski SA Financial Services Banks - Regional 1.20%
005380 Hyundai Motor Co. Ltd. Consumer Cyclical Auto Manufacturers 1.15%
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