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
AAPL C -2.91 4.14
MSFT C -2.23 3.83
NVDA C -3.66 3.66
GOOGL C 0.69 2.43
AMZN C -0.64 2.34
META A 0.70 1.73
BRK.A C -0.89 1.16
LLY D -0.16 1.01
TSLA B -1.38 0.97
AVGO C -2.92 0.97
WMT A 0.64 0.74
JPM D -1.81 0.70
V C 0.96 0.68
UNH B -0.24 0.63
XOM B 2.31 0.60
MA A 0.52 0.56
ORCL C -1.90 0.54
PG C -0.09 0.49
COST C -1.03 0.46
JNJ C -0.04 0.45
HD A 0.95 0.45
ABBV A -0.26 0.40
NFLX C -0.44 0.38
BAC D -1.16 0.36
KO B -0.21 0.35
MRK F 1.04 0.34
AMD D -2.64 0.33
CRM C -1.04 0.33
CVX D 1.65 0.32
TMUS A -0.13 0.29
TMO C -0.91 0.29
CSCO A -0.90 0.27
ADBE F -2.89 0.27
PEP D 0.78 0.26
MCD A -0.50 0.25
DHR B -1.24 0.24
IBM C -0.78 0.24
WFC D -1.95 0.24
ABT C -0.39 0.24
GE C -1.21 0.23
QCOM D -2.51 0.23
CAT A 0.32 0.23
PM B -0.67 0.22
TXN C -2.41 0.22
INTU F -2.37 0.22
AXP A -0.96 0.22
AMAT D -2.40 0.21
BX C -0.84 0.21
NOW C -3.04 0.21
ISRG C -1.33 0.20
RTX A 2.67 0.20
AMGN D -0.59 0.20
MS B 0.17 0.20
UBER C -1.22 0.19
GS D -1.00 0.19
SPGI C -0.85 0.19
NEE A 0.88 0.19
LOW A 0.66 0.18
VZ A 0.67 0.18
BLK B -1.63 0.17
T A 0.59 0.17
PGR C 0.20 0.17
BKNG C -2.64 0.17
DIS D -2.22 0.16
NKE D 0.83 0.16
TJX C -0.77 0.16
CMCSA B -0.17 0.16
LMT A 3.64 0.16
UNP C -0.38 0.16
SYK C -1.10 0.16
COP D 3.88 0.15
ELV F -1.68 0.15
PFE D -0.93 0.15
MU D -3.28 0.15
HON B -0.31 0.15
BSX A 0.41 0.14
ADP A 1.21 0.14
LRCX F -2.29 0.14
ADI C -2.82 0.14
ANET B -0.51 0.14
UPS D -2.25 0.14
DE A -0.21 0.14
VRTX D 1.01 0.14
GILD A 0.12 0.13
MDLZ C -0.92 0.13
SBUX B -0.06 0.13
PANW D -3.66 0.13
MMC D -0.13 0.13
REGN D -0.41 0.13
SCHW D -1.39 0.13
KKR C -0.54 0.13
SO A 0.78 0.12
DELL D -4.54 0.12
PLD D -1.32 0.12
APO A 5.68 0.12
CI C 0.48 0.12
C B -1.26 0.12
HCA A -0.24 0.12
KLAC D -2.68 0.12
DUK B 0.80 0.11
AMT C -0.21 0.11
SHW B -0.29 0.11
ZTS B -0.49 0.11
CL D -1.43 0.10
ABNB D -1.06 0.10
CEG B 2.15 0.10
EQIX B -0.52 0.10
PH B -0.27 0.10
CME A 2.10 0.10
MO B -0.22 0.10
PLTR C -1.99 0.10
BA F 1.43 0.10
ICE A 0.31 0.10
BMY B 2.24 0.10
SCCO B 1.22 0.10
EOG D 3.28 0.09
MAR B -1.01 0.09
APH D -2.36 0.09
BDX B 0.24 0.09
GD A 1.04 0.09
INTC D -3.28 0.09
WM D 0.16 0.09
TDG A 0.62 0.09
NOC B 2.99 0.09
CDNS D -2.84 0.09
MCO C -0.67 0.09
CTAS C -0.98 0.09
ITW B -0.27 0.09
CMG C -0.78 0.09
MMM B 0.26 0.09
SNPS F -2.14 0.09
FCX B 0.92 0.09
FDX D -1.51 0.08
APD C -1.53 0.08
MPC F 1.79 0.08
EMR B -0.10 0.08
MET A -0.85 0.08
WDAY D -1.53 0.08
ORLY A 0.90 0.08
ECL A -0.70 0.08
CRWD D -1.90 0.08
MSI A -0.12 0.08
GEV A 0.61 0.08
WELL B -0.35 0.08
MRVL C -2.51 0.08
CSX D -0.03 0.08
DASH B -0.56 0.07
PSX F 1.17 0.07
ADSK C -2.91 0.07
SPG A 0.31 0.07
TTD C -0.85 0.07
O A -0.25 0.07
MNST D -1.11 0.07
AIG F -0.70 0.07
DHI B 1.02 0.07
FTNT C -1.37 0.07
COF C -1.96 0.07
SRE A 0.35 0.07
AFL A 0.91 0.07
GM D 0.09 0.07
NSC B -0.14 0.07
AJG D 1.75 0.07
TFC D -2.45 0.07
PSA C -1.05 0.07
HLT B -0.29 0.07
NEM C 1.29 0.07
PNC C -2.68 0.07
CARR C -1.42 0.07
MCK F 0.82 0.07
KVUE C -1.51 0.06
AMP A 0.71 0.06
PPG D -1.30 0.06
PRU C -1.44 0.06
IQV F -2.36 0.06
CPRT B 0.15 0.06
OXY F 3.32 0.06
ALL C 0.12 0.06
KMB B 0.09 0.06
RSG D 0.22 0.06
STZ B 0.00 0.06
ET C 0.31 0.06
MCHP F -3.49 0.06
URI B -0.36 0.06
USB C -2.78 0.06
KDP C -0.77 0.06
EPD B 0.69 0.06
WMB A 1.56 0.06
AZO D 0.73 0.06
DLR C -0.96 0.06
BK C -1.04 0.06
CVS D -2.13 0.06
PAYX A 4.92 0.06
PCAR D -0.64 0.06
TRV C 0.43 0.06
OKE C 1.26 0.06
ROST C -1.54 0.06
ROP C -1.47 0.06
EXC A 0.54 0.06
LEN B 0.44 0.06
AEP B -0.37 0.06
CHTR D 1.50 0.06
TGT C -2.35 0.06
FIS C -0.10 0.06
CBRE A -0.59 0.05
VRSK D 0.25 0.05
NDAQ C 0.05 0.05
IR B -0.16 0.05
COIN F -7.39 0.05
IT C -1.09 0.05
LHX A 3.12 0.05
CNC F -1.78 0.05
EW F -1.35 0.05
AME D -1.52 0.05
HPQ C -3.09 0.05
OTIS A -0.16 0.05
DD B -1.34 0.05
PEG A 1.70 0.05
HWM A 0.67 0.05
HES D 2.33 0.05
PWR B -0.67 0.05
VICI C -1.62 0.05
PYPL B -0.72 0.05
GWW A 0.10 0.05
CTVA B -1.36 0.05
IDXX D -1.94 0.05
FICO C -1.43 0.05
GEHC B -2.32 0.05
MPWR C -3.54 0.05
APP B 0.08 0.05
KMI A 2.26 0.05
CMI B 0.77 0.05
SYY B -0.41 0.05
DAL B -1.63 0.05
ODFL D -1.96 0.05
CPNG C -0.49 0.05
HSY D 0.02 0.05
CTSH C -1.41 0.05
MSCI B -1.23 0.05
NUE D 1.58 0.05
TEAM D 1.64 0.05
GIS B 1.04 0.05
VLO F 1.81 0.05
F D 1.80 0.05
PCG B 0.30 0.05
A B -1.14 0.05
AXON A -0.10 0.04
HUBS D -0.93 0.04
CDW D -3.75 0.04
EBAY A 1.11 0.04
MTD B -1.47 0.04
EQR C -0.78 0.04
BKR B 1.66 0.04
FANG F 2.97 0.04
DTE A 0.23 0.04
HEI C 0.31 0.04
FTV B -1.69 0.04
TROW D -1.67 0.04
EVRG B -0.60 0.04
HAL F 3.03 0.04
WAB A -0.18 0.04
XYL B -0.47 0.04
LYV A 1.02 0.04
EFX D -1.23 0.04
MLM D -0.61 0.04
VST A 3.38 0.04
VRT B -1.88 0.04
ON F -2.15 0.04
ALNY B 0.37 0.04
HIG A 0.30 0.04
DFS C -2.77 0.04
ED A 0.98 0.04
EA D -0.83 0.04
IRM B -0.50 0.04
TRGP C 1.74 0.04
VEEV C -1.07 0.04
MPLX A 0.49 0.04
ROK D -1.19 0.04
EIX A 0.73 0.04
RMD C -2.20 0.04
YUM B -0.34 0.04
KR B -1.03 0.04
DVN F 1.64 0.04
VMC D -1.17 0.04
WEC A 0.59 0.04
DDOG D -0.94 0.04
EXR C -1.06 0.04
FAST C -0.46 0.04
GLW C -1.35 0.04
INCY B 2.97 0.03
HUBB A -0.25 0.03
DECK C -2.40 0.03
HRL F -0.13 0.03
IOT C -2.87 0.03
CINF A 0.85 0.03
ROL B -0.14 0.03
NTRS C -1.46 0.03
LDOS A 1.23 0.03
CNP B 1.60 0.03
DLTR F 0.17 0.03
BLDR B 0.51 0.03
FOXA A -0.02 0.03
ULTA D -2.57 0.03
CAG B 0.62 0.03
TW A 0.95 0.03
WMG D 0.29 0.03
SSNC C -0.81 0.03
MGM D -1.20 0.03
ANSS D -1.75 0.03
BR B -0.16 0.03
TYL C -0.87 0.03
BALL B -0.44 0.03
ZBRA C -1.63 0.03
CE D -0.70 0.03
ZM B -1.58 0.03
SUI C -1.04 0.03
WLK B -0.77 0.03
KEYS C -2.66 0.03
MKL B 0.26 0.03
CPAY A 0.67 0.03
GPC D -0.02 0.03
PPL A 0.45 0.03
DKNG D -2.42 0.03
DOV C -0.69 0.03
BAX D -2.79 0.03
RF C -3.39 0.03
TSN D 0.34 0.03
ADM D -0.37 0.03
CHD B -0.23 0.03
RJF B 0.81 0.03
NTAP D -1.78 0.03
MKC B 2.17 0.03
FSLR C -3.52 0.03
PFG C -0.88 0.03
OMC A -0.68 0.03
K B -0.07 0.03
INVH D -1.62 0.03
BRO A 1.36 0.03
FITB C -2.29 0.03
VLTO C -1.64 0.03
TDY B 0.42 0.03
XEL A 0.03 0.03
WDC C -2.24 0.03
FCNCA D -1.20 0.03
CSGP F -1.05 0.03
SQ D -1.77 0.03
WST D -0.12 0.03
FE A 0.36 0.03
PHM A 0.75 0.03
DOW B -0.16 0.03
CAH B 0.29 0.03
MTB C -3.03 0.03
ARES B 0.30 0.03
GLPI B -0.60 0.03
NVR A 0.82 0.03
KHC B 0.17 0.03
UAL B -1.63 0.03
ETR A 1.02 0.03
VTR B 0.33 0.03
HUM F -11.77 0.03
AVB C -1.36 0.03
ZS F -2.31 0.03
STT C -1.21 0.03
HPE C -2.49 0.03
TTWO F -2.10 0.03
RBLX C -1.65 0.03
NET D -3.44 0.03
AEE A 0.05 0.03
DRI C -0.01 0.03
TSCO A 1.45 0.03
EXPD B -2.39 0.02
HBAN C -2.59 0.02
MDB D -4.71 0.02
SOLV D -3.47 0.02
RS D 0.26 0.02
MORN C -0.82 0.02
OVV F 5.27 0.02
ACM B -0.66 0.02
AMH D -0.76 0.02
DXCM F -1.55 0.02
WSO B 0.78 0.02
SNA B -0.59 0.02
MRO D 3.79 0.02
FNF A -1.39 0.02
FDS C -1.06 0.02
MANH C -2.36 0.02
ROKU D -0.43 0.02
LNT A 0.54 0.02
DPZ D 0.12 0.02
OC B -1.12 0.02
GGG B -1.25 0.02
ELS D -1.64 0.02
MRNA F -4.34 0.02
WRB B 0.93 0.02
LVS B 2.96 0.02
PINS D 1.20 0.02
L D 0.32 0.02
BSY D -2.03 0.02
LBRDK C 2.32 0.02
D A 0.78 0.02
BIIB F -1.57 0.02
BMRN F -0.27 0.02
H C -1.77 0.02
TWLO C -2.28 0.02
TXT D -1.28 0.02
GDDY D -2.31 0.02
WSM C -2.50 0.02
MAS A -0.14 0.02
CLX B 1.48 0.02
AVY B -0.43 0.02
NDSN B -0.69 0.02
JBL D -0.56 0.02
CCI A 0.40 0.02
IP B 0.74 0.02
PKG A -0.05 0.02
TAP D -0.30 0.02
LII C -1.27 0.02
KEY C -3.04 0.02
MOS F 1.01 0.02
CRBG C -1.92 0.02
DGX C -0.84 0.02
NWSA D -0.83 0.02
DT C -2.52 0.02
POOL B -0.32 0.02
BAH A 0.39 0.02
HOLX D -1.10 0.02
PODD C 0.78 0.02
LPLA D -1.20 0.02
ESS C -0.92 0.02
WAT B -0.43 0.02
SNOW F -4.03 0.02
ATO A 0.19 0.02
SNAP D -2.62 0.02
BBY B -1.89 0.02
AVTR D -1.74 0.02
STLD C 2.50 0.02
J D 0.89 0.02
CG C 0.33 0.02
WY B -0.47 0.02
HST D -0.28 0.02
LKQ F 0.18 0.02
BEN F -2.18 0.02
CFG D -2.80 0.02
AGR C -0.17 0.02
CSL A -0.30 0.02
EXPE B -1.05 0.02
TPL B 3.35 0.02
SYF C -1.74 0.02
AWK C -0.39 0.02
MAA C -0.69 0.02
AKAM D -1.12 0.02
PTC D -2.60 0.02
CMS A 0.59 0.02
MOH D -0.77 0.02
IPG C -1.30 0.02
KIM C -0.60 0.02
SWK A -0.70 0.02
ERIE A -0.10 0.02
ENTG D -2.50 0.02
WPC C -1.57 0.02
TER D -3.69 0.02
EL D -2.46 0.01
CF A 1.64 0.01
SJM B 0.09 0.01
VRSN C -1.48 0.01
EQT C -1.06 0.01
LUV C 0.84 0.01
ES A -0.47 0.01
WBD D -1.09 0.01
ILMN C -1.10 0.01
SBAC B 0.81 0.01
RPM C -0.75 0.01
ARE D -1.38 0.01
SWKS F -3.38 0.01
SMCI F -2.62 0.01
ALGN D -3.53 0.01
CPB D -1.14 0.01
GPN F -1.95 0.01
ENPH D -1.61 0.01
JBHT D -1.58 0.01
ACI F 0.43 0.01
RIVN F -6.95 0.01
IFF C -1.72 0.01
WBA F -2.90 0.01
IEX D -0.92 0.01
ZBH F -0.57 0.01
LW D 0.26 0.00
DG F -0.12 0.00
ALB D -0.41 0.00
CTRA D 0.84 0.00
EPAM F -1.33 0.00

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

Date Stock Title
Oct 2 MSFT Oracle to Invest $6.5 Billion in AI and Cloud Infrastructure in Malaysia
Oct 2 ORCL Oracle to Invest $6.5 Billion in Malaysia AI, Cloud Services Hub
Oct 2 LUV The Winners and Losers in the Southwest Airlines Seating Shakeup
Oct 2 GPN Global Payments: Lowered Expectations Provide A Favorable Risk/Reward
Oct 2 ORCL Oracle to Invest More Than US$6.5 Billion in AI and Cloud Computing in Malaysia
Oct 2 CG Carlyle-Backed StandardAero Nears Pricing IPO Above Range
Oct 2 GOOGL Oracle to invest $6.5 billion to set up cloud facilities in Malaysia
Oct 2 ORCL Oracle to invest $6.5 billion to set up cloud facilities in Malaysia
Oct 1 EQT EQT to lay off 15% of workforce in Equitrans acquisition: CEO
Oct 1 ETR Entergy Arkansas Donates Nearly $380,000 To Help Vulnerable Customers This Summer
Oct 1 NKE Nike earnings: The biggest takeaways and the stocks falling along with the Swoosh
Oct 1 LW Lamb Weston (LW) Matches Q1 Earnings Estimates
Oct 1 EQT Iran and Israel market impact: Market Domination Overtime
Oct 1 LW Lamb Weston cuts jobs, shuts plant, and trims forecast as part of restructuring efforts; shares fall
Oct 1 BA Market trends, Signet Jewelers: Market Domination
Oct 1 HPQ Market trends, Signet Jewelers: Market Domination
Oct 1 COST Costco Is A Phenomenal Company, But It's An Overpriced Investment
Oct 1 NKE Nike posts mixed Q1 earnings: One analyst's take on the results
Oct 1 UAL Here's Why United Airlines (UAL) Fell More Than Broader Market
Oct 1 DOW Dow Inc. (DOW) Stock Moves -0.16%: What You Should Know
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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