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WisdomTree Emerging Markets SmallCap Dividend Fund

Open-end / ETF
Registrant
WisdomTree Trust
Class ticker
DGS
Net Assets
$1,784,849,451
Holdings
1,015
Latest Report
Jun 30, 2026

Net Assets Over Time

Holdings · 1,015

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Showing 1–50 of 1,015 holdings by value · page 1 of 21
Holding Balance Value % of Fund Open
DREY INST PREF GOV MM-M
82,180,483 $82,180,483 4.60%
WisdomTree Treasury Money Market Digital Fund
76,300,000 $76,300,000 4.27%
INNOLUX CORP
26,822,000 $57,842,870 3.24%
GROWTHPOINT PROPERTIES LTD
20,651,117 $21,734,702 1.22%
POWERTECH TECHNOLOGY INC
1,956,000 $20,722,615 1.16%
BANCO DEL BAJIO SA
5,352,909 $17,314,338 0.97%
COMPEQ MANUFACTURING COMPANY LTD
2,283,000 $16,662,141 0.93%
OLD MUTUAL LTD
20,146,386 $16,495,699 0.92%
WPG HOLDINGS LTD
4,020,000 $13,502,425 0.76%
TRANSMISSORA ALIANCA DE ENERGIA ELETRICA SA
1,686,287 $12,960,036 0.73%
GRUPO AEROPORTUARIO DEL CENTRO SAB DE CV
911,026 $12,910,123 0.72%
REDEFINE PROPERTIES LTD
31,840,240 $12,433,041 0.70%
ALIOR BANK SA
356,325 $12,323,517 0.69%
SAMSUNG SECURITIES COMPANY LTD
174,807 $12,242,019 0.69%
SYNNEX TECHNOLOGY INTERNATIONAL CORP
4,217,600 $12,061,066 0.68%
LOJAS RENNER SA
4,221,309 $12,037,698 0.67%
NATIONAL ALUMINIUM COMPANY LTD
3,113,170 $11,168,883 0.63%
BNK FINANCIAL GROUP INC
1,013,626 $11,154,924 0.62%
MOMENTUM GROUP LTD
4,385,721 $10,871,986 0.61%
TIGER BRANDS LTD
594,435 $10,739,000 0.60%
AMMB HOLDINGS BHD
6,582,500 $10,283,391 0.58%
ENERGISA SA
1,096,762 $10,170,995 0.57%
NICHIDENBO CORP
954,000 $9,657,841 0.54%
WINWAY TECHNOLOGY CO LTD
37,000 $9,390,391 0.53%
BUDIMEX SA
47,101 $9,237,628 0.52%
MONETA MONEY BANK AS
988,842 $8,674,441 0.49%
TISCO FINANCIAL GROUP PCL
2,421,400 $8,600,870 0.48%
AVI LTD
1,395,009 $8,556,452 0.48%
COMPANHIA SANEAMENTO DE MINAS GERAIS SA (COPASA)
710,618 $8,227,927 0.46%
INVESTEC LTD
1,013,106 $7,968,242 0.45%
TEST RESEARCH INC
769,115 $7,906,869 0.44%
COMPANHIA DE SANEAMENTO DO PARANA SA - SANEPAR
1,094,678 $7,837,936 0.44%
AUO CORP
7,551,000 $7,750,936 0.43%
CHICONY ELECTRONICS COMPANY LTD
2,325,652 $7,592,416 0.43%
L&K ENGINEERING COMPANY LTD
259,981 $7,532,606 0.42%
CAPITAL SECURITIES CORP
6,269,340 $7,527,577 0.42%
MR PRICE GROUP LTD
669,886 $7,347,901 0.41%
TXC CORP
1,235,549 $7,272,156 0.41%
HENGDIAN GROUP DMEGC MAGNETICS CO LTD
1,615,100 $7,252,246 0.41%
LG UPLUS CORP
799,641 $7,225,827 0.40%
SIGURD MICROELECTRONICS CORP
964,000 $7,171,786 0.40%
TATUNG CO LTD
8,338,000 $7,145,399 0.40%
TOPCO SCIENTIFIC CO LTD
411,776 $7,096,355 0.40%
ZHEJIANG LONGSHENG GROUP CO LTD
3,963,500 $7,071,005 0.40%
ORANGE POLSKA SA
1,780,087 $6,781,554 0.38%
QUALITAS CONTROLADORA SAB DE CV
672,145 $6,740,395 0.38%
MAGYAR TELEKOM TELECOMMUNICATIONS NYRT
766,937 $6,528,408 0.37%
THAIFOODS GROUP PCL
19,244,000 $6,372,090 0.36%
MACQUARIE ASSET MANAGEMENT MEXICO SA DE CV
2,495,568 $6,361,119 0.36%
BANCO ITAU CHILE
302,944 $6,175,873 0.35%