ETF Components for DHS - WisdomTree High-Yielding Equity Fund


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
XOM B 1.34 6.34
MO A 0.09 4.97
ABBV F 2.37 4.80
CVX A 0.19 4.51
IBM C 3.63 4.34
PM B 0.63 4.08
MS A 2.51 3.47
C A 0.98 2.27
BMY B 0.60 2.06
GILD C 1.27 1.63
UPS C -0.55 1.55
USB A 1.28 1.48
EOG A -0.54 1.45
SO C 0.19 1.44
PNC B 0.88 1.44
DUK C 0.98 1.44
OKE A 3.17 1.36
WMB A 1.77 1.29
D C 0.99 1.07
KMB C 0.48 1.00
PEG A 2.06 0.96
PRU A 1.73 0.91
ETR B 0.56 0.86
BK A 1.30 0.85
AEP C 1.32 0.84
ED C 0.84 0.71
KVUE A 1.30 0.70
GLW B 1.03 0.68
KHC F 0.68 0.68
DOW F 2.00 0.68
FITB B 1.75 0.63
MTB A 1.45 0.61
HBAN A 0.86 0.59
RF A 1.83 0.59
EIX B 1.13 0.58
EXC C 1.50 0.58
HPQ B 3.35 0.58
TROW B 0.56 0.54
K A 0.30 0.51
STT B 1.09 0.49
WEC A 1.70 0.48
FE C 1.13 0.46
IP A 0.58 0.45
BBY D -0.30 0.44
CRBG B 2.71 0.42
PPL A 1.69 0.42
ES C 1.85 0.40
DTE C 1.47 0.39
NTRS A 0.98 0.38
VTRS A 0.91 0.37
PSA C 0.90 0.36
OMF A 1.11 0.36
CG B 3.05 0.36
SPG A 0.49 0.36
AM A 2.27 0.35
FNF B 0.97 0.34
EVRG A 0.30 0.34
TSN B 0.82 0.34
PNW A 1.99 0.34
DLR B 0.79 0.33
JXN C 0.36 0.31
OGE A 1.62 0.30
NI A 1.47 0.30
TPR B 2.01 0.29
CMA B 1.50 0.29
DTM A 5.53 0.28
CAG F 0.18 0.28
O C 0.90 0.28
CCI C 0.12 0.27
LNT A 1.56 0.27
CHRD D 1.94 0.27
CNA C 0.78 0.26
LNC C 1.60 0.26
OWL A 3.66 0.26
SNV C 1.80 0.25
BEN C 0.37 0.24
CIVI D 1.32 0.24
EMN C 2.20 0.24
ZION B 0.82 0.24
COLB B 2.30 0.23
ALLY C 4.67 0.23
IPG D 2.71 0.22
SJM D 1.61 0.22
OGN F 1.09 0.22
TPG A 3.17 0.21
WBS A 1.58 0.21
TFSL A 2.06 0.20
NFG A 2.98 0.20
IRM C 2.09 0.20
AVB B 1.09 0.20
CNS B 2.35 0.20
VCTR B 3.37 0.20
EXR C 1.11 0.20
GBCI B 2.24 0.19
AROC A 5.84 0.19
RDN D 1.28 0.19
VICI C 0.78 0.19
UGI C 1.93 0.18
WU F 1.31 0.18
EQR C 1.53 0.18
MC C 1.72 0.18
JWN D 0.54 0.17
UBSI B 0.82 0.17
FNB A 2.13 0.17
TNL A 2.29 0.17
WEN D 1.06 0.17
KTB B 0.33 0.17
FLO D 0.54 0.17
VIRT A 2.27 0.17
VTR B 0.28 0.16
CCOI B 2.94 0.16
ALE A -0.03 0.16
NXST C 1.37 0.16
SWX B 1.59 0.16
ASB B 0.60 0.16
KNTK A 2.56 0.16
FBP C 1.59 0.16
SON F 0.36 0.16
OGS A 1.10 0.15
SFNC C 0.37 0.15
HTLF B 2.31 0.15
FAF A 0.02 0.15
BKH A 1.38 0.15
TDS B 4.07 0.15
POR C 1.54 0.15
FHB B 1.11 0.15
FIBK B 1.32 0.15
PFS B 0.68 0.15
MTN C 2.49 0.15
VLY B 0.99 0.15
NOG B 1.85 0.14
TRN B 0.32 0.14
SMG C 1.72 0.14
PRK B 1.63 0.14
CBU B 1.56 0.14
FULT A 1.92 0.14
FFBC B 2.41 0.14
FRME B 1.59 0.13
CVBF A 2.75 0.13
BANR B 1.30 0.13
NWE B 1.69 0.13
BOH B 1.99 0.13
BKU A 1.95 0.13
NJR A 2.17 0.13
SR A 3.32 0.13
AUB B 1.58 0.13
VAC C 1.71 0.13
IBTX B 2.55 0.13
PHIN A 2.75 0.13
BKE B 0.91 0.12
ESS B 1.25 0.12
M F 3.50 0.12
CWEN C 1.54 0.12
TRMK C 1.43 0.12
INDB B 1.88 0.12
PPBI C 1.09 0.12
MAA B 0.50 0.12
AVA A 1.35 0.12
ENR B 1.14 0.11
KSS F 0.55 0.11
ARE F 1.51 0.11
LCII C 3.21 0.11
PINC B 0.85 0.11
TOWN B 1.15 0.11
STC B 1.99 0.10
WSBC B 2.79 0.10
KIM A 0.88 0.10
UPBD B 2.74 0.10
FCF B 0.92 0.10
NWBI B 1.18 0.10
MAN F 0.68 0.10
HUN F 1.03 0.10
CVI F 0.21 0.10
CPT B 1.19 0.09
HOPE C 0.97 0.09
STBA B 1.33 0.09
PTVE B 0.08 0.09
HMN B 1.36 0.09
UDR B 1.06 0.09
SASR B 1.64 0.09
VRTS B 2.10 0.09
WWW A 3.25 0.09
CRI F 2.86 0.09
KRO C 2.29 0.08
KALU C 1.17 0.08
PDCO F 1.10 0.08
NAVI F 1.01 0.08
GLPI C 0.22 0.08
BUSE B 1.44 0.08
HST C 2.70 0.08
NWN A 2.59 0.08
REG A -0.09 0.08
KLG B 5.32 0.08
GEF A -0.56 0.08
VBTX B 1.35 0.08
OCFC B 0.80 0.07
CRGY B 4.26 0.07
PEBO B 1.26 0.07
LAMR C 1.36 0.07
AMSF B 0.40 0.07
SAFT B 1.33 0.07
WPC C 0.46 0.07
DCOM B 0.89 0.07
UVV B 1.44 0.07
CC C 8.05 0.07
PBI B 2.40 0.07
BLMN F 1.59 0.06
FRT B 1.10 0.06
PFC B 2.76 0.06
SXC A 0.40 0.06
DLX B 2.00 0.06
TMP B 2.63 0.06
GRNT B 1.38 0.06
SBSI C 1.00 0.06
CTBI B 1.68 0.06
LEG F 1.15 0.06
XRX F 4.29 0.06
CUBE C 0.60 0.06
IBCP B 1.75 0.05
HBNC B 1.16 0.05
FCBC C 1.22 0.05
EGBN B 1.73 0.05
CWEN C 1.54 0.05
CBRL C 2.74 0.05
NNN C -0.52 0.05
BRX A 0.34 0.05
HFWA C 1.18 0.05
UVSP B 1.54 0.05
CFFN C 0.45 0.05
MNRO D -0.15 0.05
BRKL B 1.91 0.05
GES F 2.65 0.05
HTBK B 1.81 0.04
WASH C 0.55 0.04
CAC C 0.96 0.04
UVE B 1.39 0.04
REPX A 2.14 0.04
TRST B 1.32 0.04
HAFC B 1.58 0.04
ETD C 1.17 0.04
STAG D 0.36 0.04
RHP B 1.46 0.04
JBSS F 0.74 0.04
MBWM B 1.47 0.04
HBT B 1.10 0.04
ANET C 6.09 0.04
ADC A 0.14 0.04
CPF B 2.35 0.04
KRC B 2.61 0.03
BGS F 1.75 0.03
RBB B 1.77 0.03
SLG B 1.83 0.03
BSRR B 3.66 0.03
GCMG B -1.53 0.03
SBRA C -0.22 0.03
DHIL B -0.01 0.03
BHRB B 0.00 0.03
IRT A 0.61 0.03
MOFG B 1.87 0.03
FFIC B 2.05 0.03
RYN D 0.43 0.03
SHBI B 1.00 0.03
NPK B 1.28 0.03
ITIC A 1.43 0.03
MPB B 0.64 0.03
KRNY C 1.49 0.03
UWMC D -0.82 0.03
EPRT B -0.18 0.03
EBF F 0.39 0.03
DIN C 0.65 0.03
MSBI B 1.98 0.03
BHB C 0.00 0.03
NFBK C 1.92 0.03
PLOW D 0.81 0.03
FMNB B 1.91 0.03
EGY D 2.08 0.03
THFF B 1.51 0.03
ACCO C 0.35 0.03
SPTN D 2.26 0.03
SWBI C 2.00 0.03
PCB B 0.34 0.02
PKBK A 0.83 0.02
RM C 1.16 0.02
LXP D 0.22 0.02
FLIC B 3.39 0.02
CZNC C 1.21 0.02
BRY F 1.67 0.02
FRST B 1.64 0.02
HVT D 2.35 0.02
IIPR D 0.45 0.02
FNLC C 1.96 0.02
SPOK B 0.56 0.02
AKR B 0.20 0.02
BNL D 0.82 0.02
NEWT C 2.03 0.02
UE B -0.17 0.02
CIVB B 0.81 0.02
AROW B 0.96 0.02
EPR C 1.17 0.02
MSB A 3.23 0.02
VLGEA C 2.97 0.02
PK C 3.38 0.02
PFIS A 4.10 0.02
WSBF C 0.85 0.02
GTN F 3.56 0.02
PCH F 0.34 0.02
LGTY C 0.00 0.02
CDP C 1.53 0.02
CTRE C 0.26 0.02
WTBA B 1.48 0.02
MPX C 2.93 0.02
NHI D 0.95 0.02
SKT A 0.66 0.02
FISI B 4.09 0.02
BMRC B 0.61 0.02
NSA C 0.59 0.02
DGICA A 0.25 0.02
CUZ B 1.35 0.02
FMAO B 1.60 0.02
NVEC B 3.76 0.02
MAC B 0.46 0.02
NRIM A 4.00 0.02
ALRS D 1.81 0.02
PLYM F 0.27 0.01
OLP B 0.46 0.01
WSR A 1.59 0.01
EVC C 3.35 0.01
AAT B 0.61 0.01
NXRT B 0.90 0.01
MOV D 1.71 0.01
CBL B 2.54 0.01
ALEX B -0.82 0.01
LTC B 1.36 0.01
NUS D -2.54 0.01
ROIC A 0.06 0.01
SAVE F 0.00 0.01
III C 2.62 0.01
ALX D 0.26 0.01
DEA D 2.38 0.01
JBGS F 0.71 0.01
UMH B 0.73 0.01
KW C -0.09 0.01
GTY A 0.00 0.01
ELME D 0.83 0.01
NWFL C 2.05 0.01
RGP F 1.33 0.01
FCPT C 0.73 0.01
DEI B 1.49 0.01
FF F 0.00 0.01
NXDT F 0.19 0.00
BRT A -0.10 0.00
PKST F -0.08 0.00
PSTL D -0.14 0.00
CHCT C 0.76 0.00
RMR F 0.82 0.00
NTST C 1.38 0.00
CSR B 0.66 0.00
AHH D -0.46 0.00
CTO B 0.98 0.00
LAND F -0.25 0.00
BFS C 0.20 0.00
GMRE F 1.04 0.00
INN D 2.47 0.00

Recent News for WisdomTree High-Yielding Equity Fund & its Holdings

Date Stock Title
Nov 22 SAVE Spirit Airlines CEO Gets $3.8 Million Bonus 1 Week Before Company Files Bankruptcy
Nov 21 MTB M&T Bank Corporation Announces Conference Call Dates to Review Quarterly 2026 Earnings and Revised Dates to Review 2025 Earnings
Nov 21 NJR UGI (UGI) Reports Q4 Loss, Lags Revenue Estimates
Nov 21 NXDT NexPoint Reminds UDF IV Shareholders That Actions Speak Louder Than Words and Urges Them to Vote for New Board Representatives
Nov 21 WBS Marathon Asset Management and Webster Bank Provide Senior Secured Financing for Littlejohn’s Acquisition of Sunbelt Modular
Nov 21 SLG SL Green starts $40M share offering; stock dips
Nov 21 XOM Exxon-led group ends talks with Guyana over shallow water oil block, government says
Nov 21 UGI UGI: Fiscal Q4 Earnings Snapshot
Nov 21 NWE NorthWestern Energy Welcomes New Board Member
Nov 21 UGI Earnings Breakdown: UGI Q4
Nov 21 UGI UGI Non-GAAP EPS of $3.06 beats by $0.12
Nov 21 UGI UGI Reports Strong Fiscal 2024 Results
Nov 21 SLG SL Green Realty files for automatic mixed securities shelf
Nov 21 SKT Tanger Earns Sustainability Certifications for Taking Steps to Address Climate Change and Well-Being Across its Portfolio
Nov 21 EXC Delmarva Power and Delaware Nature Society Award $40,000 To Fund Environmental and Community Development Projects
Nov 21 SLG SL Green Realty Corp. Announces Proposed Offering of Common Stock
Nov 21 ARE Alexandria Real Estate Equities, Inc. Announces Long-Term 258,581 RSF Lease With Longstanding Tenant Vaxcyte, Inc. at the Alexandria Center for Life Science - San Carlos Mega Campus
Nov 21 LGTY Logility Supply Chain Solutions Non-GAAP EPS of $0.11 beats by $0.02, revenue of $25.3M misses by $0.63M
Nov 21 LGTY Logility Reports Second Quarter Fiscal Year 2025 Financial Results
Nov 21 SLG SL Green and Mori Building Co., Ltd. Complete Investment in One Vanderbilt Avenue
The investment seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Equity Income Index. Under normal circumstances, at least 95% 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. The index is a fundamentally weighted index that is comprised of companies with high dividend yields selected from the WisdomTree Dividend Index. The fund is non-diversified.
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