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DTD · WisdomTree U.S. Total Dividend Fund ETF

WisdomTree Trust

SEC fund profile
$97.20 -0.44% At close · Sep 4
Net assets $1,613,060,902
Holdings824
1 month
-0.01%
Year to date
+15.71%
52-week range
$82.13–$98.26
30-session avg volume
24,356

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000012379
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings21.02%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC99.65%
STIV0.46%

Country allocation

US100.02%
PR0.09%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA CORP$54,347,6453.37%
MICROSOFT CORP$49,543,0243.07%
JP MORGAN CHASE & COMPANY$42,999,3782.67%
APPLE INC$33,796,3802.10%
BROADCOM INC$30,987,9661.92%
JOHNSON & JOHNSON$29,064,5811.80%
EXXONMOBIL HOLDINGS CORP$27,598,7091.71%
ABBVIE INC$24,960,4231.55%
META PLATFORMS INC$23,593,4021.46%
CHEVRON CORP$22,246,9811.38%
ALPHABET INC$21,507,2411.33%
MORGAN STANLEY$21,381,4471.33%
PHILIP MORRIS INTERNATIONAL INC$20,507,0531.27%
ALPHABET INC$19,889,6521.23%
MERCK & COMPANY INC$19,868,6701.23%
COCA-COLA COMPANY (THE)$18,887,7171.17%
PROCTER & GAMBLE COMPANY (THE)$18,531,3371.15%
ELI LILLY & COMPANY$18,455,6291.14%
CISCO SYSTEMS INC$18,351,1281.14%
UNITEDHEALTH GROUP INC$18,347,5711.14%
HOME DEPOT INC (THE)$16,985,4211.05%
BANK OF AMERICA CORP$16,479,8701.02%
GOLDMAN SACHS GROUP INC (THE)$16,249,6821.01%
TEXAS INSTRUMENTS INC$15,738,9900.98%
VERIZON COMMUNICATIONS INC$15,557,1560.96%
AMGEN INC$15,092,0750.94%
WELLS FARGO & COMPANY$14,827,5990.92%
INTERNATIONAL BUSINESS MACHINES CORP$14,029,5670.87%
WALMART INC$13,981,8340.87%
VISA INC$13,223,7180.82%
PEPSICO INC$13,220,7270.82%
MICRON TECHNOLOGY INC$12,391,3030.77%
AT&T INC$12,138,1280.75%
PFIZER INC$11,881,3850.74%
GILEAD SCIENCES INC$11,150,8950.69%
CITIGROUP INC$11,026,6090.68%
ALTRIA GROUP INC$10,569,5270.66%
LAM RESEARCH CORP$10,227,8880.63%
CATERPILLAR INC$9,772,5870.61%
BRISTOL-MYERS SQUIBB COMPANY$9,734,0920.60%
NEXTERA ENERGY INC$9,014,4180.56%
CONOCOPHILLIPS$8,856,5600.55%
DUKE ENERGY CORP$8,755,1590.54%
CVS HEALTH CORP$8,655,7650.54%
CORNING INC$8,647,3270.54%
MCDONALD'S CORP$8,622,8890.53%
RTX CORP$7,809,0970.48%
QUALCOMM INC$7,606,1410.47%
COMCAST CORP$7,569,9430.47%
ORACLE CORP$7,529,1530.47%