Components WisdomTree Emerging Markets High Dividend Fund - USD

ETF

DEM

US97717W3152

Market Closed - Nyse 04:00:00 2024-04-26 pm EDT 5-day change 1st Jan Change
41.91 USD +1.01% Intraday chart for WisdomTree Emerging Markets High Dividend Fund - USD +1.65% +3.02%

Composition of WisdomTree Emerging Markets High Dividend Fund - USD

Weight
1,005 TWD +2.45%+1.21%-0.99%5.75%
62.74 BRL -0.93%-0.98%-18.73%3.97%
4.97 HKD -0.40%+2.05%+6.88%2.49%
155 TWD +2.31%+8.39%+48.33%2.25%
31.95 HKD -0.47%-2.74%+19.44%2.07%
142.5 TWD -1.72%-2.40%+5.56%1.96%
7.54 HKD +2.45%+0.67%+46.12%1.95%
173.2 MXN -1.08%-0.09%+1.43%1.78%
49.8 TWD +0.61%+1.43%-5.32%1.77%
67.32 PLN +0.93%-0.49%+2.78%1.53%
455.8 INR +0.74%+4.71%+21.22%1.45%
3.46 HKD -0.86%+2.98%+16.11%1.37%
4.15 HKD -0.48%+0.97%+8.64%1.36%
4,880 IDR -1.41%-0.41%-13.63%1.28%
292.2 INR -0.36%+3.76%+23.21%1.25%
854.5 CZK +0.65%-2.01%-10.85%1.17%
27.55 BRL +0.58%-0.58%-0.52%1.16%
4,830 IDR -6.21%-8.44%-15.63%1.11%
82 SAR +4.06%+2.89%-1.80%1.06%
282.9 INR +0.34%+2.78%+37.97%1.00%
106.7 MXN +3.62%+4.10%+13.30%0.94%
172.8 ZAR +0.19%+3.15%-16.95%0.87%
12.01 BRL +0.50%+0.50%-12.53%0.84%
603 TWD +1.01%+2.55%+16.63%0.82%
114.2 SAR +4.96%-0.52%-17.37%0.80%
24.94 MXN -2.65%-4.55%-18.42%0.78%
67.7 TWD -0.29%+0.89%-14.52%0.77%
9.79 MYR +0.10%+1.45%+10.12%0.74%
192.1 TRY +1.32%+1.16%+34.34%0.68%
5.39 HKD -0.92%+1.13%+10.68%0.66%
63.54 ZAR +3.65%+6.02%-13.56%0.65%
55.6 TWD -0.36%+1.09%-16.39%0.64%
76.5 TWD +0.53%+0.66%+2.68%0.60%
88,900 KRW -0.11%-0.78%+2.30%0.57%
101 TWD +1.61%+5.10%-13.68%0.57%
171.6 INR +0.79%+2.94%+32.11%0.53%
396.6 INR +4.07%+2.75%+53.37%0.48%
60,000 KRW +6.01%+14.50%+38.25%0.48%
103.5 TWD +0.98%+1.47%+4.97%0.48%
3.51 HKD -1.13%+0.86%+16.61%0.46%
130.2 ZAR +1.67%-17.06%-29.72%0.45%
202.5 TWD +0.75%+1.76%+15.71%0.42%
182.5 TWD -0.82%+7.35%+3.69%0.42%
32.09 BRL -2.58%-2.64%-4.64%0.41%
6.61 MYR -1.05%+0.76%+12.99%0.41%
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ETF Ratings

Description

US97717W3152
Total Expense Ratio 0.63%
Asset Class
Sector
Size
Currency
Provider
Underlying WisdomTree Emerging Markets High Dividend Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2007-07-12
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 2,593 M€
AuM 1M 2,537 M€
AuM 3 months 2,454 M€
AuM 6 months 2,397 M€
AuM 12 months 1,965 M€
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  4. Components WisdomTree Emerging Markets High Dividend Fund - USD