ETF Components for NTSX - WisdomTree 90/60 U.S. Balanced 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
NVDA B 0.53 7.09
AAPL C -0.21 6.60
MSFT D -0.43 6.09
GOOGL C -4.74 4.39
AMZN C -2.22 4.13
META D -0.43 2.89
TSLA B -0.70 2.02
BRK.A B 0.56 1.92
AVGO D 0.42 1.55
LLY F -0.46 1.48
JPM A 1.65 1.30
WMT A 1.39 1.28
V A 0.82 1.25
UNH B -0.50 1.09
XOM B 1.34 1.03
ORCL A 0.88 0.98
MA B 0.50 0.97
COST A 2.97 0.77
PG C 1.09 0.76
HD B 2.61 0.75
NFLX A 1.54 0.70
JNJ C 1.56 0.69
BAC A 0.87 0.68
CRM B 3.09 0.66
ABBV F 2.37 0.58
TMUS B 0.47 0.56
CVX A 0.19 0.56
WFC A 1.70 0.50
KO D 1.22 0.50
MRK D 2.48 0.48
CSCO B 0.10 0.48
ADBE C 0.99 0.45
AMD F -0.08 0.45
TMO F 0.64 0.42
MS A 2.51 0.42
MCD D -0.84 0.41
BX A 4.85 0.41
ABT B 1.15 0.41
NOW A 2.35 0.41
PEP F 1.01 0.40
AXP A 1.84 0.39
INTU B 4.32 0.39
IBM C 3.63 0.37
CAT B 2.12 0.37
TXN C 0.01 0.36
PM B 0.63 0.36
GE D 0.40 0.36
GS A 2.44 0.36
QCOM F 0.77 0.35
ISRG A 1.62 0.35
RTX D 1.16 0.33
DHR F 0.84 0.33
BKNG A 3.88 0.32
SPGI C 1.64 0.31
AMGN F 0.71 0.31
AMAT F 3.33 0.30
SYK B 1.16 0.29
LOW C 0.83 0.29
HON C -0.26 0.28
CMCSA B 1.19 0.28
T A 0.66 0.28
NEE C 0.62 0.28
UBER F 0.06 0.28
PGR A 2.50 0.28
DIS B 0.40 0.27
PLTR B -1.22 0.27
LMT D 1.36 0.26
TJX A 0.03 0.26
UNP C 2.34 0.26
SCHW B 0.42 0.26
VZ C 0.66 0.26
ADP A 2.00 0.25
APO B 1.31 0.25
COP C -1.35 0.25
KKR A 3.61 0.25
FI A -0.24 0.24
PANW B 1.22 0.24
VRTX D -0.19 0.24
ANET C 6.09 0.23
GILD C 1.27 0.23
MU D 4.46 0.23
BSX A 1.47 0.23
PFE F 0.76 0.22
NKE F 2.37 0.22
DE B 8.05 0.22
C A 0.98 0.22
UPS C -0.55 0.22
SBUX A 1.83 0.21
MMC B 1.11 0.21
ADI D 1.40 0.21
LRCX F 4.40 0.20
BMY B 0.60 0.20
DELL B 3.70 0.20
ELV F 1.54 0.19
CI D 2.07 0.19
SHW B 3.14 0.18
MDLZ F 0.57 0.18
APP B -2.15 0.18
SO C 0.19 0.18
DUK C 0.98 0.17
ICE C 1.66 0.17
KLAC F 2.65 0.17
REGN F 0.15 0.17
GEV B -0.85 0.17
PLD F -0.50 0.17
MO A 0.09 0.17
MRVL B 3.43 0.17
HCA F -0.23 0.17
PH A 1.77 0.17
MCK A 1.15 0.16
CMG B 1.87 0.16
BA F -1.83 0.16
ABNB C -1.47 0.16
WM B 1.26 0.16
CRWD B 2.11 0.16
CDNS B 0.82 0.16
MAR A 1.39 0.16
EQIX A 0.51 0.16
CTAS B 1.25 0.16
ZTS D 0.59 0.16
SNPS B 3.02 0.16
CME B -0.63 0.16
EMR B -0.64 0.15
SCCO F -2.25 0.15
MSI B 0.45 0.15
WELL A 0.35 0.15
CSX C 2.23 0.15
INTC C 1.79 0.15
MCO B 0.70 0.15
GD D -0.04 0.15
NOC D 0.90 0.15
APH A 3.31 0.15
EOG A -0.54 0.15
ITW B 1.30 0.15
CL D 0.36 0.14
WDAY B 3.33 0.14
PNC B 0.88 0.14
BDX F 1.38 0.14
CEG C 6.97 0.14
TDG D -4.10 0.14
GM C 1.48 0.14
MMM D -0.41 0.14
COF C 1.08 0.14
AMT C 0.96 0.14
FTNT C 1.70 0.14
MET A 3.14 0.13
SRE A 1.69 0.13
TFC A 1.36 0.13
APD A 0.31 0.13
CHTR C -1.36 0.13
FCX F 0.14 0.13
TTD B 2.78 0.13
TEAM A 3.47 0.13
DASH B 0.56 0.13
FDX B 2.48 0.13
COIN C -7.74 0.13
ORLY B 1.33 0.13
SPG A 0.49 0.12
MPC D -0.06 0.12
MNST C 0.52 0.12
PCAR B 3.69 0.12
AJG A 2.22 0.12
ADSK A 2.46 0.12
OKE A 3.17 0.12
WMB A 1.77 0.12
ECL D 0.68 0.12
NSC B 2.06 0.12
HLT A 0.68 0.12
PSX C -0.03 0.11
PSA C 0.90 0.11
BK A 1.30 0.11
USB A 1.28 0.11
TRV B 1.41 0.11
AMP A 1.57 0.11
DLR B 0.79 0.11
FIS C -0.47 0.11
PAYX B 1.59 0.11
AFL B 1.35 0.11
AIG B 1.77 0.11
CARR C 2.03 0.11
AEP C 1.32 0.10
DHI F -0.77 0.10
PRU A 1.73 0.10
EXC C 1.50 0.10
ODFL C 1.89 0.10
AZO C 0.63 0.10
FICO B 1.22 0.10
ALL A 3.14 0.10
O C 0.90 0.10
RSG A 0.68 0.10
ET A 3.77 0.10
CPRT B 2.67 0.10
EPD A 1.76 0.10
TGT F -0.11 0.10
DAL B -0.47 0.10
KMI A 1.93 0.10
ROP B 0.88 0.10
URI C 2.46 0.10
LHX C 0.92 0.09
AXON A 3.52 0.09
PYPL B 0.09 0.09
AME A 1.26 0.09
KDP F 0.62 0.09
PWR A 2.31 0.09
VLO C -0.06 0.09
TRGP A 2.39 0.09
KMB C 0.48 0.09
NUE C 1.23 0.09
STZ D 0.42 0.09
HWM A -0.95 0.09
NEM D 0.77 0.09
CTSH B 1.66 0.09
F C 0.65 0.09
CVS D 0.48 0.09
KVUE A 1.30 0.09
MSCI C -0.11 0.09
CMI A 2.19 0.09
GWW B 1.35 0.09
LEN D -0.10 0.09
PCG A 0.62 0.09
ROST D 2.61 0.09
OXY D 1.24 0.09
VICI C 0.78 0.08
HUBS A 3.67 0.08
GIS D 0.50 0.08
DDOG A 6.21 0.08
EW C 1.21 0.08
PEG A 2.06 0.08
HPQ B 3.35 0.08
GLW B 1.03 0.08
VST A 7.75 0.08
VRT B 2.87 0.08
CTVA C 3.40 0.08
CBRE B -0.10 0.08
VRSK A 1.18 0.08
IR B -0.07 0.08
NDAQ A 1.00 0.08
UAL A -0.24 0.08
VMC B 1.21 0.08
MCHP F 2.13 0.08
IT C 0.24 0.08
A D 2.71 0.08
HSY F 0.55 0.08
COR B 1.02 0.08
PPG F 1.15 0.08
CPNG D 0.13 0.08
FAST B 0.66 0.08
SYY D 1.97 0.08
IQV F 1.66 0.08
DFS B 1.65 0.08
HES B 0.35 0.08
EIX B 1.13 0.07
EXR C 1.11 0.07
TROW B 0.56 0.07
TTWO A 0.58 0.07
HIG B 1.21 0.07
SQ A 3.34 0.07
HAL C 2.21 0.07
YUM D 1.01 0.07
RBLX C -4.21 0.07
IDXX F -0.01 0.07
ZS B 3.17 0.07
WAB B 1.85 0.07
ROK C -0.64 0.07
MPLX A 1.45 0.07
RMD C 0.85 0.07
DVN F 1.04 0.07
MLM C 0.91 0.07
DD C 1.10 0.07
WEC A 1.70 0.07
BKR A 1.29 0.07
GEHC D -3.42 0.07
OTIS C 0.26 0.07
EA A 0.76 0.07
KR B 1.68 0.07
LYV A 1.51 0.07
VEEV C 1.86 0.07
TSCO D 1.34 0.06
MPWR F 2.22 0.06
TDY B 2.08 0.06
AVB B 1.09 0.06
CPAY A 1.68 0.06
EBAY D 0.97 0.06
DRI B 1.21 0.06
ZM C 2.97 0.06
ARES A 1.82 0.06
EFX F 2.36 0.06
EQR C 1.53 0.06
XYL D 2.07 0.06
DTE C 1.47 0.06
FTV C 1.58 0.06
CAH B 2.56 0.06
FCNCA A 2.90 0.06
HPE B 2.64 0.06
TPL A 4.47 0.06
STT B 1.09 0.06
AEE A 1.88 0.06
CNC D 2.12 0.06
HEI A -0.03 0.06
ETR B 0.56 0.06
ON D 1.72 0.06
ED C 0.84 0.06
NET B 8.05 0.06
RJF A 0.99 0.06
MTB A 1.45 0.06
FANG C 0.68 0.06
ALNY D -0.80 0.06
EVRG A 0.30 0.06
IRM C 2.09 0.06
WMG D -7.40 0.05
EXPE B 2.46 0.05
TW A 0.05 0.05
WDC D 3.20 0.05
VLTO C 0.86 0.05
KEYS A 2.99 0.05
NTAP C 2.62 0.05
CINF A 2.13 0.05
ANSS B 1.96 0.05
DECK A 3.15 0.05
INVH D 0.36 0.05
BR A 0.92 0.05
TYL B -0.65 0.05
PPL A 1.69 0.05
FOXA A 2.06 0.05
DKNG B -0.57 0.05
PHM D 0.05 0.05
TWLO A 3.69 0.05
ZBRA B 2.02 0.05
LH B 0.98 0.05
MKL A 1.44 0.05
LPLA A 1.95 0.05
CDW F 1.24 0.05
KHC F 0.68 0.05
FE C 1.13 0.05
DOV A 2.20 0.05
OMC C 2.89 0.05
K A 0.30 0.05
PFG D 0.65 0.05
HUM C 0.59 0.05
CHD A 0.86 0.05
TSN B 0.82 0.05
MTD F 2.56 0.05
SYF B 1.15 0.05
NTRS A 0.98 0.05
NVR D -0.59 0.05
INCY C -0.93 0.05
GLPI C 0.22 0.05
CSGP D 0.96 0.05
LDOS C 1.57 0.05
BRO B 1.04 0.05
RF A 1.83 0.05
XEL A 1.90 0.05
VTR B 0.28 0.05
FITB B 1.75 0.05
WST C 2.96 0.05
DT D 2.70 0.04
HST C 2.70 0.04
WPC C 0.46 0.04
GEN B 1.26 0.04
DGX A 1.59 0.04
ESS B 1.25 0.04
DLTR F 4.08 0.04
CRBG B 2.71 0.04
CAG F 0.18 0.04
AGR A 0.42 0.04
IPG D 2.71 0.04
ENTG D 5.28 0.04
MOH F 0.49 0.04
BEN C 0.37 0.04
PKG A 0.49 0.04
CSL C 2.27 0.04
SNAP D 0.38 0.04
ATO A 2.06 0.04
TAP C 0.15 0.04
WAT C 3.00 0.04
CMS C 1.01 0.04
MAA B 0.50 0.04
NWSA A 1.34 0.04
GDDY A 1.52 0.04
WLK D 0.98 0.04
SNOW B 32.71 0.04
IP A 0.58 0.04
BAH F 3.95 0.04
HRL D 0.93 0.04
BALL F 0.68 0.04
KEY B 1.05 0.04
ULTA F -1.31 0.04
BLDR D 0.62 0.04
GPC D 1.60 0.04
LBRDK C -1.22 0.04
PTC B 2.25 0.04
PODD C -1.72 0.04
ADM D 0.32 0.04
BAX F 1.10 0.04
STLD B 0.64 0.04
SUI C 1.79 0.04
CFG B 1.41 0.04
MGM D 1.33 0.04
DOW F 2.00 0.04
ROL B 0.38 0.04
KIM A 0.88 0.04
HUBB B 2.45 0.04
SSNC B 2.36 0.04
CG B 3.05 0.04
CNP A 1.18 0.04
IOT A 4.28 0.04
MKC C 1.06 0.04
GPN B 1.31 0.03
WBA F 0.73 0.03
SOLV D 1.81 0.03
IEX C 1.95 0.03
MDB B 11.95 0.03
BIIB F 1.29 0.03
RS B 0.92 0.03
MORN B 1.28 0.03
WSM C -1.46 0.03
ACM B 2.82 0.03
FNF B 0.97 0.03
WSO A 2.41 0.03
OVV B 1.86 0.03
MANH D 0.12 0.03
PINS F 0.27 0.03
DXCM C -1.04 0.03
LNT A 1.56 0.03
FDS B 2.39 0.03
BMRN F 1.42 0.03
MRO B -1.28 0.03
AVTR F 1.09 0.03
DPZ C 1.57 0.03
HBAN A 0.86 0.03
ROKU D -0.04 0.03
CCI C 0.12 0.03
GGG B 1.22 0.03
ELS C 0.24 0.03
BSY F 2.33 0.03
AVY F 0.99 0.03
LVS B 0.32 0.03
D C 0.99 0.03
MAS D 1.71 0.03
H B 0.76 0.03
ERIE D 1.33 0.03
WRB A 1.97 0.03
TER F 1.87 0.03
BBY D -0.30 0.03
OC A 1.78 0.03
TXT D 2.57 0.03
L A 0.80 0.03
SWK D 2.63 0.03
NDSN B 1.59 0.03
WY F -0.23 0.03
SNA A 1.00 0.03
POOL C 0.94 0.03
MOS F 2.40 0.03
CLX A 0.65 0.03
J D 2.21 0.03
LII A 4.04 0.03
AKAM D 3.55 0.03
FSLR F -1.56 0.03
HOLX D 0.87 0.03
LKQ F 1.50 0.03
AWK C 0.65 0.03
JBL C 1.92 0.03
SBAC D 0.22 0.02
SWKS F 1.94 0.02
ARE F 1.51 0.02
WBD B 2.81 0.02
ALGN D 1.94 0.02
CPB D 1.48 0.02
IFF D 1.06 0.02
MRNA F 3.55 0.02
ILMN C 4.03 0.02
RPM A 1.39 0.02
RIVN F -0.30 0.02
EXPD C 1.49 0.02
ACI C -0.31 0.02
CE F 2.88 0.02
JBHT C -0.01 0.02
ZBH C -0.80 0.02
SIRI C 2.22 0.02
AMH C 0.24 0.02
CTRA B 2.27 0.01
EL F 2.31 0.01
EPAM B 4.57 0.01
SJM D 1.61 0.01
CF A 0.81 0.01
VRSN C 1.92 0.01
SMCI F 15.12 0.01
ENPH F 0.30 0.01
EQT B 0.75 0.01
ES C 1.85 0.01
LUV C 0.06 0.01
DG F 0.89 0.00
LW C 0.84 0.00
ALB B -0.52 0.00

Recent News for WisdomTree 90/60 U.S. Balanced Fund & its Holdings

Date Stock Title
Nov 22 NVDA Stock market today: Asian stocks track Wall Street gain with Nvidia report and bitcoin surge
Nov 22 NVDA AI Chips Update - Revolutionizing AI Integration with RISC-V Processors
Nov 22 NVDA How to Make AI Less of a Power Guzzler
Nov 22 ROST Ross Stores, Inc. (ROST) Q3 2024 Earnings Call Transcript
Nov 22 GOOGL Dow Jones Futures: Bulls Run Past Google; 7 Stocks In Buy Zones, MicroStrategy Dives
Nov 22 BKNG Agoda Finds Asian Markets Flocking to U.S. for a Thanksgiving Feast
Nov 22 INTU Dow Jones Futures: Bulls Run Past Google; 7 Stocks In Buy Zones, MicroStrategy Dives
Nov 22 NTAP Dow Jones Futures: Bulls Run Past Google; 7 Stocks In Buy Zones, MicroStrategy Dives
Nov 22 CPRT Copart, Inc. (CPRT) Q1 2025 Earnings Call Transcript
Nov 22 INTU Intuit Inc. (INTU) Q1 2025 Earnings Call Transcript
Nov 22 NVDA Nvidia earnings adjust chances for S&P 500 record year
Nov 22 NVDA Three mystery whales have each spent $10 billion-plus on Nvidia’s AI chips so far this year
Nov 22 DECK Dow Jones Futures: Bulls Run Past Google; 7 Stocks In Buy Zones, MicroStrategy Dives
Nov 22 AAPL Warren Buffett just sold 3 massively popular stocks
Nov 22 DKNG WBD and NBA, FanDuel parent, F1's Vegas return: Pomp's Playbook
Nov 22 WBD WBD and NBA, FanDuel parent, F1's Vegas return: Pomp's Playbook
Nov 22 NKE They Spent $20 Million Updating Their Oregon Home. Now It’s for Sale.
Nov 22 GOOGL Firms can use AI to help offset Budget tax hikes, says Google UK boss
Nov 22 NEM 2 Stocks to Buy as China Tightens Its Grip on Critical Minerals
Nov 21 SIRI Sirius XM: Buffett's New Darling
The investment seeks total return. The fund is actively managed using a models-based approach. It seeks to achieve its investment objective by investing in large-capitalization U.S. equity securities and U.S. Treasury futures contracts. Under normal circumstances, the fund will invest approximately 90% of its net assets in U.S. equity securities. It is non-diversified.
Exchange Traded Fund ETF Index Fund U.S. Treasury
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