Components WisdomTree Emerging Markets High Dividend Fund - USD

ETF

DEM

US97717W3152

Market Closed - Nyse 01:30:00 14/05/2024 am IST 5-day change 1st Jan Change
43.93 USD +0.48% Intraday chart for WisdomTree Emerging Markets High Dividend Fund - USD +1.81% +7.99%

Composition of WisdomTree Emerging Markets High Dividend Fund - USD

Weight
1,115 TWD +1.83%+7.73%+9.85%5.75%
64.67 BRL +0.59%+0.76%-16.23%3.97%
5.57 HKD -1.07%+6.30%+19.78%2.49%
169.5 TWD 0.00%+1.19%+62.20%2.25%
35.5 HKD -1.80%+4.72%+32.71%2.07%
148 TWD -2.31%0.00%+9.63%1.96%
7.55 HKD -0.92%+4.28%+46.32%1.95%
178.2 MXN +1.42%+2.98%+4.37%1.78%
52.4 TWD +0.38%+1.35%-0.38%1.77%
68.91 PLN +0.63%+2.48%+5.33%1.53%
448.9 INR +1.10%-1.60%+19.34%1.45%
3.69 HKD -1.07%+3.36%+23.83%1.37%
4.49 HKD -1.10%+4.18%+17.54%1.36%
5,075 IDR -0.98%-0.49%-10.18%1.28%
311.1 INR +1.48%+5.37%+31.16%1.25%
908.8 CZK -0.90%+5.04%-4.33%1.17%
27.83 BRL +0.76%-1.94%+0.49%1.16%
4,680 IDR 0.00%-2.30%-18.25%1.11%
81 SAR +0.25%+0.74%-2.63%1.06%
269.4 INR +0.96%-1.57%+31.33%1.00%
102.6 MXN -1.16%-3.07%+8.99%0.94%
188.3 ZAR +1.65%+3.52%-9.52%0.87%
12.06 BRL +0.17%-3.13%-12.16%0.84%
587 TWD -0.17%-7.56%+13.54%0.82%
111.8 SAR -0.18%-0.88%-18.96%0.80%
25.44 MXN +1.07%-0.74%-16.78%0.78%
68.7 TWD +0.15%-0.43%-13.26%0.77%
9.87 MYR 0.00%+0.41%+11.02%0.74%
184.4 TRY -0.22%-7.06%+28.88%0.68%
6 HKD -1.15%+6.19%+23.20%0.66%
67.48 ZAR +0.57%+4.25%-8.20%0.65%
56.4 TWD -1.05%-2.25%-15.19%0.64%
78.2 TWD +1.30%+0.77%+4.97%0.60%
90,100 KRW -0.55%-2.17%+3.68%0.57%
105 TWD 0.00%+5.63%-10.26%0.57%
159.4 INR +0.76%-0.47%+22.64%0.53%
437 INR +5.54%+10.20%+68.79%0.48%
63,600 KRW +2.42%+9.66%+46.54%0.48%
105.5 TWD +0.48%+0.48%+7.00%0.48%
3.68 HKD -1.60%+4.55%+22.26%0.46%
138 ZAR +0.68%+3.70%-25.51%0.45%
196.5 TWD -0.25%-6.21%+12.29%0.42%
186.5 TWD -1.84%+1.36%+5.97%0.42%
33.6 BRL +1.42%+1.02%-0.15%0.41%
6.8 MYR +0.44%+0.74%+16.24%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
12/07/2007
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 2,646 M€
AuM 1M 2,600 M€
AuM 3 months 2,457 M€
AuM 6 months 2,249 M€
AuM 12 months 2,010 M€
  1. Stock Market
  2. ETF
  3. DEM ETF
  4. Components WisdomTree Emerging Markets High Dividend Fund - USD
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