Holdings

Symbol Grade Price % Change Allocation
KTB D -0.25 1.91
CNS B -0.06 1.87
VAC F -1.25 1.79
SLM D -2.59 1.75
VCTR D -1.88 1.68
VIRT C -0.58 1.50
CRI F -0.24 1.37
SEM A -0.50 1.36
STEP B -1.82 1.35
PDCO F -0.46 1.30
IBOC C -1.22 1.30
WD D -0.15 1.27
SXT C 0.14 1.21
TGNA D -0.86 1.19
ENR C -0.71 1.16
HRI F -3.50 1.11
RRR B 0.11 1.02
STRA C -0.17 1.01
SPB D -1.26 1.00
SHOO C -0.07 0.97
CNO B -0.61 0.97
CAKE C 0.83 0.96
BLMN F -2.97 0.95
SLVM D -4.22 0.92
BANC D -1.85 0.91
BKE D 0.08 0.91
KMT F -1.04 0.88
HI F -0.75 0.87
PATK D -1.78 0.87
MGEE D 0.05 0.87
PIPR A 0.45 0.86
VRTS D -2.31 0.86
MATX B -1.85 0.85
GES D 1.90 0.80
MLKN D -0.42 0.78
AWR D 1.54 0.78
JJSF B 0.77 0.75
CPK C -0.57 0.74
MWA C 0.71 0.74
LBRT D -2.82 0.73
BCO B 0.19 0.70
BRC B -0.25 0.69
TEX D -1.35 0.69
DLX D -2.66 0.68
KFY B -2.09 0.67
OXM D -1.46 0.66
MGRC D -0.54 0.65
CABO F -0.80 0.64
KLIC B -0.73 0.61
GEF F -1.05 0.60
GFF D -1.36 0.59
ENS C -1.76 0.59
WDFC D 0.27 0.58
IOSP D -1.46 0.57
WIRE A 0.00 0.56
SCS C -0.93 0.54
WHD C -1.41 0.54
HEES F -1.93 0.53
CACC B 0.49 0.52
BHE D -2.41 0.52
BRKL D -1.06 0.51
BTU C -0.43 0.51
ETD D -1.83 0.50
WTTR B -2.55 0.50
AEIS C -0.47 0.49
NNI C -0.01 0.49
EPC B -1.83 0.49
SSTK F -1.74 0.48
EGY C -3.54 0.48
CSWI A 1.21 0.47
SCL D -0.63 0.46
PSMT D -0.13 0.46
LZB C -1.15 0.45
CCS D -1.22 0.45
UWMC D -1.88 0.45
BDC C -1.53 0.44
JBSS D -0.78 0.44
WGO F -2.67 0.43
SAH D -2.81 0.43
WERN F -1.73 0.43
AIN D -0.42 0.42
PRGS B 1.19 0.42
KWR F -1.90 0.41
JOE D -1.05 0.41
RES F -4.03 0.41
GVA B -0.16 0.41
KAI B 0.30 0.39
USPH F -0.80 0.38
APOG D -1.53 0.38
BGC C 0.23 0.38
CSGS F -0.07 0.38
BRY D -3.46 0.37
PJT A 0.78 0.37
NPO D -0.94 0.37
REPX C -3.84 0.37
HCC C -2.91 0.36
KFRC D -1.40 0.36
MCRI D -0.72 0.35
JBT F -0.83 0.35
TNC D -1.11 0.33
EBF B -0.75 0.33
AGX C -1.78 0.33
GIC F -2.77 0.32
ANDE D -2.06 0.32
ACCO F -2.40 0.32
ESE D -1.19 0.31
MTX C -1.09 0.31
ARCB D -1.00 0.31
ICFI D -0.33 0.31
NMRK C -1.56 0.31
ARCH C -1.58 0.31
SWBI D -1.55 0.31
PLOW F -2.39 0.31
KRT C -2.33 0.30
CALM B 0.29 0.30
ATRI B -0.29 0.30
ALX B -1.67 0.29
GRC C -0.87 0.29
PRIM D -2.18 0.29
AMRK C 1.36 0.28
CRAI C -1.11 0.28
SCVL C -1.76 0.27
MRTN C -1.27 0.26
CWH F -2.42 0.26
LMAT A 2.30 0.26
SMP F -1.70 0.26
NSSC B -0.92 0.26
HWKN B -0.43 0.26
ATEN C 0.15 0.26
MOV D -1.86 0.26
REVG D -2.06 0.25
NVEC D -1.66 0.25
GTN F -4.09 0.25
MTRN F -1.14 0.25
USLM C -0.79 0.24
AROW B -1.13 0.24
HIBB A 0.05 0.24
RMR D -0.13 0.24
CNMD D 2.00 0.24
RYI F -4.88 0.23
EVTC F 0.37 0.23
SXI D -1.51 0.23
ALG F -1.82 0.23
EPAC B -0.31 0.23
LNN D -0.46 0.22
HPK C -1.27 0.22
ULH D -3.27 0.22
RGP F -3.03 0.21
DHIL F -1.49 0.21
ASIX F -3.97 0.21
CASS D -3.37 0.21
HLIO D -1.59 0.20
AAN B -0.10 0.20
MYE F -3.62 0.20
CNXN D -1.21 0.19
HAYN C 0.05 0.19
SOI D -4.26 0.19
SD D -1.99 0.19
RM D -5.14 0.18
MGPI F 1.57 0.18
HSII D -3.11 0.18
LOB F -0.39 0.17
VSEC B 1.25 0.16
HCKT D -1.53 0.16
ARKO D -6.53 0.16
CAL F -2.69 0.16
CASH B -1.67 0.16
RGR F -0.31 0.15
SHBI C -2.29 0.15
BBSI B -0.67 0.13
PFIS C -5.22 0.13
MPX F -2.40 0.13
CMCO F -2.61 0.12
IMKTA F -0.29 0.12
ARTNA C 1.00 0.12
MEI F -3.92 0.12
NGVC A 0.23 0.12
TRS D -1.67 0.12
OFLX F 1.42 0.12
NX F -0.78 0.12
DBI F -0.75 0.12
EPM F -2.07 0.12
JOUT F -0.99 0.11
CLB B -1.03 0.11
HTLD C 1.24 0.11
SLP F -2.51 0.11
CZFS D -5.53 0.10
OPY B 0.02 0.10
SHEN C -1.60 0.10
SHYF F -8.92 0.10
CSV C -3.68 0.10
MOFG C -2.19 0.10
KOP F -4.22 0.09
NRC F 0.17 0.09
TILE D -2.56 0.09
WEYS D -2.26 0.09
SAMG D -3.79 0.08
LYTS D -0.85 0.08
CRD.B F 0.37 0.08
BELFB C -3.02 0.08
MVBF F -3.62 0.08
TPB B 0.18 0.08
RNGR C -0.58 0.07
FRBA C -2.77 0.07
PLPC F -1.30 0.07
BSVN B -2.71 0.07
RCKY C -3.25 0.07
PLBC F -4.86 0.06
ESQ D -1.77 0.06
PKBK F -1.27 0.06
TSQ C -1.94 0.06
HBB D -2.31 0.06
UNTY C -3.11 0.06
IIIN F -1.46 0.06
ZEUS F -4.70 0.06
III F -2.29 0.05
RICK F -1.02 0.05
GWRS D -1.33 0.05
UTMD F -0.89 0.05
BSET D -2.72 0.05
ARC B -0.67 0.05
ESCA F -4.44 0.05
NBN B -3.61 0.05
CBNK D -2.03 0.05
TRAK C -0.67 0.04
PHX D -0.31 0.04
VOC D 0.62 0.03
RELL C -0.17 0.03
INBK C -2.50 0.03
HQI F 0.25 0.03
SGA F -3.08 0.03
ACU D 0.14 0.02
LAKE B 2.07 0.02

Recent News for WisdomTree U.S. SmallCap Dividend Growth Fund & its Holdings

Date Stock Title
Jul 5 SAH Sonic Automotive warns that June CDK hack will have 'material' impact on FQ2
Jul 5 BSET Bassett Furniture, USA Compression Partners, and More Stocks See Action From Activist Investors
Jul 5 BANC Banc of California Is Selling $2 Billion of Residential Loans
Jul 5 PRGS Progress Software Boosts Outlook Amid Market Challenges
Jul 5 EPC UC Berkeley study finds toxic metals in tampons
Jul 5 REVG Is REV Group, Inc.'s (NYSE:REVG) Recent Performance Tethered To Its Attractive Financial Prospects?
Jul 5 KFY Korn Ferry's (NYSE:KFY) investors will be pleased with their favorable 86% return over the last five years
Jul 5 ARKO Are Investors Undervaluing Arko Corp. (NASDAQ:ARKO) By 32%?
Jul 5 ACCO ACCO Brands (NYSE:ACCO) investors are sitting on a loss of 35% if they invested three years ago
Jul 5 TILE Interface, Inc. to Host Second Quarter 2024 Results Conference Call on August 2, 2024
Jul 5 GEF The total return for Greif (NYSE:GEF) investors has risen faster than earnings growth over the last five years
Jul 5 WDFC WD-40 Company: High-Quality Compounder Worth Paying >9x Capital For
Jul 5 SCS 4 Stocks Worth Buying Now on Solid Net Profit Margin
Jul 5 SLVM Sylvamo's (NYSE:SLVM) Upcoming Dividend Will Be Larger Than Last Year's
Jul 5 IMKTA Ingles Markets (NASDAQ:IMKT.A) Is Paying Out A Dividend Of $0.165
Jul 5 NMRK Spotting Winners: RE/MAX (NYSE:RMAX) And Real Estate Services Stocks In Q1
Jul 5 KLIC Winners And Losers Of Q1: IPG Photonics (NASDAQ:IPGP) Vs The Rest Of The Semiconductor Manufacturing Stocks
Jul 5 WIRE Reflecting On Electrical Systems Stocks’ Q1 Earnings: Hubbell (NYSE:HUBB)
Jul 5 WIRE Q1 Rundown: Evolv (NASDAQ:EVLV) Vs Other Electrical Systems Stocks
Jul 5 RELL Hudson Technologies (NASDAQ:HDSN): Strongest Q1 Results from the Specialty Equipment Distributors Group
The investment seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. SmallCap Dividend Growth Index. The index is a fundamentally weighted index that consists of the small-capitalization segment of dividend-paying U.S. common stocks with growth characteristics. Under normal circumstances, at least 80% of the fund's total assets (exclusive of collateral held from securities lending) will be invested in component securities of the index and investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities. It is non-diversified.
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