Components WisdomTree International MidCap Dividend Fund - USD

ETF

DIM

US97717W7781

Market Closed - Nyse 01:40:00 08/06/2024 am IST 5-day change 1st Jan Change
63.06 USD -1.24% Intraday chart for WisdomTree International MidCap Dividend Fund - USD -1.25% +3.77%

Composition of WisdomTree International MidCap Dividend Fund - USD

Weight
65.95 EUR -1.12%-6.65%+7.06%0.83%
3.51 EUR +0.06%+1.92%+12.57%0.71%
16.98 AUD +1.13%+3.41%+5.40%0.66%
14.34 EUR -0.21%-1.21%+28.02%0.65%
44.05 HKD +0.46%+1.73%-2.65%0.65%
5.91 HKD +0.17%-2.64%-1.17%0.62%
35.27 NOK +0.77%-5.06%+9.67%0.61%
3,315 ILa -1.46%-2.50%+0.76%0.58%
34.64 EUR -2.28%-3.78%+1.52%0.57%
51.32 CHF -0.35%-5.10%+8.84%0.56%
33.9 HKD -0.59%+3.35%-22.69%0.56%
10.83 EUR -0.91%+2.65%+26.90%0.55%
13.98 HKD -0.43%-2.51%-11.52%0.55%
27.05 EUR -0.11%-2.73%+9.20%0.55%
3.21 AUD -0.31%+1.90%+7.36%0.53%
6.506 EUR +0.25%-1.48%+36.08%0.52%
971.5 JPY -1.21%+2.21%+52.34%0.51%
43.8 EUR -0.14%-4.16%+11.42%0.51%
6.63 SGD -0.30%-1.34%-6.22%0.51%
28.2 EUR -0.42%+2.17%+23.31%0.50%
5.944 EUR +0.99%0.00%+13.26%0.50%
99.6 EUR -2.21%-1.73%+2.66%0.48%
32.2 EUR -2.72%-1.68%+51.03%0.48%
1,709 ILa +0.47%-1.27%-6.00%0.46%
10.93 EUR -1.62%-0.82%+8.65%0.46%
18.42 EUR -0.86%-8.68%-0.43%0.46%
41.26 EUR +0.78%+0.34%+2.74%0.46%
9,246 GBX -0.39%-0.99%+13.90%0.46%
144.3 DKK -0.35%+2.20%-1.77%0.44%
3,635 JPY -0.95%+2.92%+16.06%0.44%
3,060 ILa -1.54%-0.33%+3.73%0.44%
14.65 AUD 0.00%+2.88%+7.72%0.44%
19.08 EUR -0.37%-1.22%+43.03%0.44%
16.53 AUD +0.85%+3.90%+19.35%0.43%
43.72 EUR +0.28%+2.39%+4.42%0.43%
6.27 AUD -0.63%-2.94%+26.67%0.43%
26.68 EUR -1.19%+0.30%+8.10%0.41%
16.98 EUR 0.00%+2.66%+13.88%0.41%
2,704 GBX -0.44%+2.11%+17.31%0.40%
370.4 GBX -0.54%-2.78%+20.53%0.40%
777.8 JPY -0.59%-4.02%+38.79%0.40%
2.216 EUR -0.54%+0.27%+14.05%0.40%
43.62 EUR -1.18%-2.42%+21.57%0.37%
3.666 EUR -1.82%-8.67%+3.33%0.37%
47.48 EUR -1.10%-1.90%-16.29%0.37%
1,984 JPY -0.13%-5.39%+9.25%0.36%
99.7 EUR -0.99%-0.40%-0.60%0.36%
7,938 GBX -0.63%+0.48%+11.96%0.36%
96.2 CHF +0.42%+1.21%-11.34%0.36%
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ETF Ratings

Description

US97717W7781
Total Expense Ratio 0.58%
Asset Class
Sector
Size
Currency
Provider
Underlying WisdomTree International MidCap Dividend Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
16/06/2006
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 126 M€
AuM 1M 123 M€
AuM 3 months 122 M€
AuM 6 months 126 M€
AuM 12 months 120 M€
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  4. Components WisdomTree International MidCap Dividend Fund - USD