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WisdomTree U.S. Short-Term Corporate Bond Fund

Open-end / ETF
Registrant
WisdomTree Trust
Class ticker
Net Assets
$53,168,204
Holdings
612
Latest Report
Jun 30, 2026

Net Assets Over Time

Holdings · 612

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Showing 1–50 of 612 holdings by value · page 1 of 13
Holding Balance Value % of Fund Open
DREYFUS TRSY OBLIG CASH M
772,291 $772,291 1.45%
GOLDMAN SACHS GROUP INC (THE)
419,000 $421,606 0.79%
DREY INST PREF GOV MM-M
412,550 $412,550 0.78%
GOLDMAN SACHS GROUP INC (THE)
303,000 $298,292 0.56%
BANK OF AMERICA CORP
285,000 $287,706 0.54%
ONEOK INC
264,000 $269,614 0.51%
ELEVANCE HEALTH INC
252,000 $250,256 0.47%
ARES STRATEGIC INCOME FUND
253,000 $249,320 0.47%
L3HARRIS TECHNOLOGIES INC
247,000 $246,258 0.46%
HALEON US CAPITAL LLC
250,000 $242,201 0.46%
MORGAN STANLEY
238,000 $240,163 0.45%
GOLDMAN SACHS GROUP INC (THE)
238,000 $236,990 0.45%
FISERV INC
246,000 $236,149 0.44%
GOLDMAN SACHS GROUP INC (THE)
236,000 $235,802 0.44%
DELTA AIR LINES INC
226,000 $228,485 0.43%
BANK OF AMERICA CORP
227,000 $222,799 0.42%
WELLS FARGO & COMPANY
218,000 $221,739 0.42%
DELL INTERNATIONAL LLC / EMC CORP
218,000 $219,953 0.41%
DUKE ENERGY CORP
218,000 $217,282 0.41%
NISOURCE INC
214,000 $216,435 0.41%
DEUTSCHE BANK AG NEW YORK BRANCH
205,000 $214,397 0.40%
WELLS FARGO & COMPANY
209,000 $211,399 0.40%
MORGAN STANLEY
201,000 $208,143 0.39%
ABBVIE INC
217,000 $207,826 0.39%
ORACLE CORP
206,000 $201,811 0.38%
BLUE OWL CAPITAL CORP
213,000 $201,735 0.38%
MORGAN STANLEY
203,000 $200,251 0.38%
MORGAN STANLEY
201,000 $199,214 0.37%
HEWLETT PACKARD ENTERPRISE COMPANY
202,000 $198,382 0.37%
EATON CORP
200,000 $196,104 0.37%
GENERAL MILLS INC
194,000 $192,824 0.36%
BROADCOM INC
190,000 $189,381 0.36%
HEWLETT PACKARD ENTERPRISE COMPANY
190,000 $188,941 0.36%
PACIFIC GAS & ELECTRIC COMPANY
189,000 $186,193 0.35%
WELLS FARGO & COMPANY
179,000 $185,160 0.35%
TRUIST FINANCIAL CORP
174,000 $183,332 0.34%
STARBUCKS CORP
185,000 $182,294 0.34%
MORGAN STANLEY
195,000 $181,192 0.34%
EQT CORP
176,000 $178,995 0.34%
SYNCHRONY FINANCIAL
180,000 $178,222 0.34%
ENTERPRISE PRODUCTS OPERATING LLC
179,000 $177,720 0.33%
HCA INC
186,000 $176,382 0.33%
HCA INC
178,000 $175,354 0.33%
CAPITAL ONE FINANCIAL CORP
177,000 $174,874 0.33%
AMPHENOL CORP
185,000 $173,821 0.33%
DTE ENERGY COMPANY
172,000 $172,792 0.32%
JP MORGAN CHASE & COMPANY
172,000 $172,768 0.32%
CARDINAL HEALTH INC
171,000 $172,742 0.32%
HP INC
174,000 $170,626 0.32%
BANK OF AMERICA CORP
182,000 $167,982 0.32%