ETF Components for DTD - WisdomTree Total Dividend 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
MSFT C 0.74 3.28
AAPL B 1.66 2.96
JPM B 1.92 2.85
XOM B -0.08 2.60
AVGO C 1.04 2.36
NVDA B 2.57 2.19
ABBV D -0.76 2.18
JNJ F -1.82 2.05
PG A -0.10 1.86
CVX B 0.52 1.64
HD D -0.55 1.62
KO A -0.14 1.59
PEP B -0.71 1.42
WMT C 0.83 1.40
UNH C -1.68 1.25
MRK B -1.22 1.22
BAC B 1.35 1.20
CSCO D -0.39 1.17
IBM D 0.13 1.14
PM A 0.28 1.11
META D 2.67 0.90
MS A 0.05 0.87
CMCSA D -0.36 0.86
WFC A 0.89 0.84
MCD F 0.07 0.82
LLY C -0.13 0.74
TXN A 0.96 0.71
MO A -0.33 0.68
C A 0.89 0.67
V C 0.09 0.67
AMGN B -0.22 0.65
TMUS B 0.62 0.62
QCOM B 4.26 0.62
GS A 0.66 0.61
ORCL D -0.95 0.58
RTX A 0.82 0.55
HON C 0.15 0.54
UPS D -0.32 0.53
LOW D -1.04 0.52
BMY F -0.72 0.47
COST B 1.68 0.46
CAT D -0.51 0.46
ABT F -0.27 0.44
MA D -0.01 0.44
MDLZ B -0.80 0.44
LMT A 0.06 0.43
DUK A 0.37 0.43
EOG B -0.61 0.43
SO A 0.75 0.41
UNP C -0.28 0.40
BLK D -0.34 0.40
GILD F -0.74 0.39
USB D 1.27 0.38
COP C -0.34 0.38
SPG C 2.23 0.37
CL A -0.46 0.36
ADP D -1.03 0.33
TJX C 1.98 0.33
PLD D -0.84 0.33
ITW D -0.57 0.32
OKE B 0.82 0.32
PNC B 0.98 0.32
KMB B 0.08 0.32
PCAR D 0.51 0.32
CVS F -0.20 0.31
D B 0.48 0.31
AXP A 1.16 0.30
BX D 0.43 0.30
AMT D -0.36 0.30
WMB A 0.05 0.29
SBUX F 0.72 0.29
ADI A -0.87 0.28
O B -0.25 0.28
MPC D 0.70 0.28
DOW C 1.48 0.27
MMC C -0.05 0.27
SCHW A -0.10 0.26
PRU A 1.28 0.26
PSA D -0.72 0.25
AEP A -0.35 0.25
PEG A 2.03 0.25
PSX D 0.34 0.25
TGT D 0.57 0.25
KHC C 0.14 0.25
WM B -0.32 0.25
CCI D -0.90 0.25
VICI B -1.05 0.24
PAYX D -1.14 0.24
CI D -1.55 0.24
SYK D 1.64 0.24
AFL A 1.05 0.23
GD A 1.05 0.22
VLO D -0.09 0.22
MET C 1.24 0.22
XEL C -0.61 0.21
DE B -1.13 0.21
ICE C 0.69 0.21
ED A 0.60 0.21
TMO D -0.17 0.21
BK A 1.30 0.20
NKE D 0.38 0.20
FIS C 1.94 0.20
ELV A -4.14 0.20
AMAT C 1.35 0.20
SRE B -0.03 0.20
LRCX D 1.30 0.19
APD C 0.61 0.19
KVUE C -0.46 0.19
EMR C 0.83 0.19
DHR C 0.53 0.19
CME C 1.34 0.19
SYY D 0.11 0.19
ETR A -0.24 0.19
KDP B 0.62 0.18
INTC F 2.13 0.18
INTU D -8.35 0.18
DLR D 0.37 0.17
FAST D 0.33 0.17
PH B 0.62 0.17
GIS C -1.14 0.17
EXC B -0.92 0.17
APO C 2.34 0.16
EQIX F -0.18 0.16
SPGI C 0.45 0.16
WELL A 0.91 0.16
APH A -0.12 0.16
KR B -0.60 0.16
TROW D 1.10 0.16
AVB A 0.71 0.16
GE A 1.25 0.16
FITB A 1.17 0.15
CMI B 0.36 0.15
NSC D 0.25 0.15
HPQ C 0.31 0.15
FDX D -0.68 0.15
EIX A 0.43 0.15
GLW B 0.44 0.15
AIG A 0.58 0.15
EXR D -0.04 0.15
MAR D 1.95 0.14
ECL A 0.51 0.14
NOC B 0.28 0.14
VST B 6.21 0.14
TRV D 0.51 0.14
BDX F -0.68 0.14
KLAC A 1.82 0.14
YUM C 0.96 0.14
ZTS D -0.49 0.14
ALL B 0.51 0.14
MTB A 0.77 0.13
AMP C 1.57 0.13
STZ D 1.38 0.13
HIG C 0.63 0.13
COF B 0.09 0.13
CTAS B -1.90 0.13
HBAN A 1.18 0.13
STT C 0.78 0.12
DRI F -0.04 0.12
WEC B 0.04 0.12
FE A -0.43 0.12
MCHP B 0.09 0.12
MU B 2.55 0.12
MSI A 0.34 0.12
LHX A 0.06 0.12
RF B 1.06 0.12
SHW D 0.58 0.12
PPG D 0.31 0.11
PPL A -0.35 0.11
ARES A 0.87 0.11
FANG B 0.78 0.11
CSX D 0.84 0.11
CRBG A 0.92 0.11
HCA D 1.07 0.11
MCO C 0.88 0.11
PGR A 0.36 0.11
OTIS D 0.45 0.11
EQR A 0.49 0.11
AEE C -0.22 0.11
ADM C -0.38 0.10
OXY C -0.02 0.10
TSCO B -0.06 0.10
CARR A 2.02 0.10
DFS C 0.33 0.10
CAG B -0.53 0.10
BBY D 2.69 0.10
K B -0.47 0.10
RSG C 0.26 0.10
BKR D 1.76 0.10
ES B 0.00 0.10
LVS D 0.18 0.09
EBAY D 3.03 0.09
CEG A 4.28 0.09
IRM C 1.20 0.09
ATO A -0.51 0.09
NTAP B 1.43 0.09
IP C 2.94 0.09
TSN B -1.01 0.09
OMC B 0.94 0.09
GWW D 1.23 0.09
GM B 0.87 0.09
DD A 2.77 0.09
VTRS C -1.14 0.09
HRL B 1.04 0.09
PKG D 1.96 0.09
KKR C 2.36 0.09
HSY B -2.01 0.09
PFG C 0.98 0.09
DTE A 0.80 0.09
HES B 0.74 0.08
MCK B 0.48 0.08
CMS A 0.92 0.08
ARE D -0.16 0.08
WPC C -0.96 0.08
HPE D 0.93 0.08
DELL B 4.30 0.08
OGE A 0.08 0.07
CHRD B 1.77 0.07
LEN D 1.20 0.07
AJG C 0.44 0.07
WSM B 1.14 0.07
SYF B 1.10 0.07
GLPI D 0.34 0.07
URI D 1.02 0.07
WRB D 0.56 0.07
CINF D 0.49 0.07
CTSH D -0.22 0.07
DOV A -0.05 0.07
CPB B -0.66 0.07
HAL F 0.36 0.07
FNF B 1.68 0.07
NUE F -0.15 0.07
AM A 0.07 0.07
RGA A -0.19 0.07
AWK B -0.29 0.07
BR D -0.57 0.07
TRGP B 0.38 0.07
NDAQ D 1.15 0.07
PNW B 0.44 0.07
NRG B 6.06 0.07
ROK F 0.82 0.07
NTRS C 0.54 0.07
LNG D -0.08 0.07
VTR B 0.66 0.07
SNA D 0.23 0.07
GPC B -0.30 0.07
CNA B 0.02 0.06
RS D -0.33 0.06
TXRH B 1.43 0.06
WRK A 2.09 0.06
CBOE C 1.20 0.06
EWBC A 0.15 0.06
ROP D 0.01 0.06
SJM F -0.57 0.06
IPG D 0.96 0.06
EMN A 1.19 0.06
SWK F 0.15 0.06
CNP B 0.55 0.06
CIVI B 0.88 0.06
LUV D 0.71 0.06
MKC B 0.08 0.06
LAMR B 0.99 0.06
CAH F 0.35 0.06
BEN F 0.86 0.06
ORI A 0.64 0.06
DHI D 1.26 0.06
WSO B 2.24 0.06
CLX F 0.18 0.06
EVRG B 0.04 0.06
ROST D 7.79 0.06
CG D 1.34 0.06
CF F -0.96 0.05
BAH B 4.04 0.05
ACI D -0.54 0.05
JXN A 0.50 0.05
OGN B -1.69 0.05
FOX B 1.57 0.05
EXPD D 1.09 0.05
DAL A 1.25 0.05
TPR D 2.27 0.05
ITT A 0.76 0.05
ODFL F 0.87 0.05
AME D 0.54 0.05
JEF B 1.29 0.05
CSL A 1.12 0.05
HRB B -3.65 0.05
MLM C 0.99 0.05
STLD D -0.17 0.05
ETRN B 0.87 0.05
LNC C 3.19 0.05
CHD A 0.05 0.05
CE C 0.84 0.05
JNPR D 0.29 0.05
VMC C 0.79 0.05
KIM C -0.54 0.05
MAA B 0.21 0.05
VRSK B 0.93 0.05
UNM B 0.59 0.05
HUBB D 3.09 0.05
ALLY B 1.15 0.05
PHM B 1.38 0.05
OMF B 0.96 0.05
MSCI D 0.53 0.05
HLT D 1.60 0.05
OWL B 2.34 0.05
WTRG B 0.32 0.05
EQH A 1.39 0.05
NNN B 0.46 0.05
RJF C 2.00 0.05
DINO D -0.44 0.05
MAS D 0.52 0.05
INVH B -0.12 0.05
UDR B 0.39 0.05
OVV C 0.02 0.05
SWKS F 1.04 0.05
LNT B -0.12 0.05
ESS A 0.55 0.05
A C 0.07 0.05
XYL A 0.37 0.05
CDW F -0.22 0.05
IR D 0.42 0.05
NI A -0.14 0.05
CUBE D 0.14 0.05
WLK B 1.19 0.04
BRO C 0.28 0.04
BPOP A 0.89 0.04
BBWI C -0.06 0.04
EFX D 1.21 0.04
FTV D 0.41 0.04
VCTR A 2.30 0.04
PCG B 0.44 0.04
AIT C 0.08 0.04
AVY A 0.01 0.04
FLO B -0.76 0.04
MTG B 0.78 0.04
MRO D -0.81 0.04
INGR A 0.04 0.04
PAG F 0.91 0.04
EVR C 2.16 0.04
TKR B -0.99 0.04
SSNC C -0.23 0.04
MSM F -0.32 0.04
SON C -0.05 0.04
DPZ B 0.01 0.04
ERIE C 1.56 0.04
LDOS A 0.92 0.04
GPN F -0.46 0.04
RPM D 0.95 0.04
RDN C 1.33 0.04
OC B 2.65 0.04
WY F 0.30 0.04
FNB A 0.73 0.04
HST D 0.83 0.04
UGI B -1.55 0.04
BALL B 0.47 0.04
DTM A 1.19 0.04
CMA B 1.05 0.04
BRX C -0.55 0.04
PWR B 2.49 0.04
WU C 0.47 0.04
LKQ D 1.23 0.04
LECO D -1.51 0.04
DGX B 0.89 0.04
LII C 2.36 0.04
ROL B 1.78 0.04
EA F 0.49 0.04
WAB A 0.25 0.04
TAP F -0.41 0.04
MPWR B 0.94 0.04
HUM F -0.83 0.04
CHK B 0.68 0.04
RMD B 0.79 0.04
CPT B -0.39 0.03
GEF D 0.59 0.03
SWX A -0.33 0.03
GGG D -0.10 0.03
OFG A 0.85 0.03
MDU A 0.12 0.03
KBH B 1.89 0.03
FCNCA B 1.89 0.03
EHC A -0.07 0.03
WWD A 1.55 0.03
SNV C 0.95 0.03
LEA F 1.51 0.03
BRC B 0.32 0.03
VRTS C 1.29 0.03
RL D 2.29 0.03
SMG D 0.86 0.03
IDA B 0.72 0.03
SF A 0.22 0.03
AIZ D 1.37 0.03
NOG B 0.05 0.03
ZBH D 0.48 0.03
CVI F 0.24 0.03
NWSA D 3.32 0.03
ACT A 0.78 0.03
SAIC C 0.67 0.03
NXST C 0.39 0.03
NYCB D 3.10 0.03
MC C 2.17 0.03
KSS F 1.30 0.03
CBT B 1.29 0.03
SCI D 0.87 0.03
AVT A 1.80 0.03
MUR C 0.31 0.03
FRT B -0.60 0.03
FBP A 1.75 0.03
HOMB B 0.85 0.03
COLB C -0.16 0.03
JBHT F -0.16 0.03
PATK C 1.89 0.03
TER B 2.68 0.03
WH F 1.47 0.03
R A 0.99 0.03
FAF D 1.18 0.03
PRI D 0.87 0.03
FLS A 1.33 0.03
JKHY D 0.49 0.03
MTN F 1.09 0.03
CCOI F 1.11 0.03
POOL F -0.72 0.03
ALB C 3.77 0.03
GPK C 1.86 0.03
GPS D 0.58 0.03
DCI B 0.64 0.03
WST D 0.93 0.03
VRT A 4.87 0.03
WBS D 1.12 0.03
ALE B 0.56 0.03
CFR D 0.47 0.03
HEI A 0.67 0.03
AOS C 0.84 0.03
WEN B -0.06 0.03
AROC B 1.33 0.03
NJR B 0.33 0.03
EQT B 0.60 0.03
HLI A 1.22 0.03
ZION B 1.25 0.03
KTB B 0.88 0.03
SIRI F 0.73 0.03
HII D 1.31 0.03
MLI B 1.44 0.03
DKS C 1.81 0.03
AFG C 0.36 0.03
REG F 0.03 0.03
JWN B 0.84 0.03
MOS F -0.19 0.03
HWM A 2.79 0.03
OZK B 0.22 0.03
CHRW C 2.51 0.03
NFG A 0.42 0.03
GEHC D 0.66 0.03
APA F -0.54 0.03
RNST C 0.97 0.02
BOH D -0.14 0.02
KALU B 0.26 0.02
BANC C -0.36 0.02
ARMK C 1.11 0.02
OLED B 1.28 0.02
CCK C 0.36 0.02
PDCO D 0.55 0.02
TECH B 0.47 0.02
SXT A 1.22 0.02
SHOO D 3.35 0.02
BCO B 1.68 0.02
CHX D -0.49 0.02
TGNA D 2.14 0.02
NBTB B -0.05 0.02
FCF B 0.07 0.02
BERY D 1.38 0.02
UTZ B 0.50 0.02
APOG A 1.87 0.02
NWE B -0.29 0.02
IEX D -0.18 0.02
PII F 0.18 0.02
NSA D -0.25 0.02
AVA B 0.19 0.02
KFY C 1.16 0.02
SR B -0.96 0.02
SSD D 1.36 0.02
WGO D -0.03 0.02
NBHC C 1.57 0.02
ALEX C 0.18 0.02
SEM A -0.30 0.02
BNL C -0.72 0.02
SEIC C 0.68 0.02
AZZ C 0.93 0.02
TPG D 3.17 0.02
HTH B 0.74 0.02
SM B 0.02 0.02
LZB D 1.85 0.02
FFIN C 1.35 0.02
FIBK B 0.00 0.02
AMKR C 1.56 0.02
ONB A 0.96 0.02
KNTK A 0.75 0.02
CBU B 0.13 0.02
NWBI C 0.27 0.02
SBRA A 1.91 0.02
HNI A 1.66 0.02
JBL D 0.68 0.02

Recent News for WisdomTree Total Dividend Fund & its Holdings

Date Stock Title
May 27 SBUX 3 Top Dividend Stocks That Should Pay You Forever
May 27 MSFT 1 Stock to Buy Before It Breaks New Ground in Artificial Intelligence (AI) Next Month
May 27 NVDA 1 Stock to Buy Before It Breaks New Ground in Artificial Intelligence (AI) Next Month
May 27 WMT Denise Incandela Takes Top Fashion Post at Wal-Mart U.S. E-commerce
May 27 WMT 4 Reasons to Forget Target and Buy Walmart Instead
May 27 VRT Looking Into Vertiv Hldgs's Recent Short Interest
May 27 NVDA Will Super Micro Follow Nvidia's Lead With Stock Split?
May 27 TECH Will Super Micro Follow Nvidia's Lead With Stock Split?
May 27 WMT Walmart, Capital One end exclusive consumer credit card agreement
May 27 TECH Amazon's AWS In Talks To Invest Billions In Italian Data Center Expansion
May 27 WMT 2 Ray Dalio Dividend Stocks To Add To Your Portfolio In June
May 27 MRK Hedge Funds Are Loading Up On This Dividend Stock
May 27 TECH Netflix 'Crushing All Of Them': Redditors Discuss Competition, Bull Case And More
May 27 TECH China A Lost Market For Nvidia, AMD? The Asian Superpower Reportedly Sets Up Biggest Semiconductor Fund To Nurture Advanced Chipmaking
May 27 AMAT China A Lost Market For Nvidia, AMD? The Asian Superpower Reportedly Sets Up Biggest Semiconductor Fund To Nurture Advanced Chipmaking
May 27 NVDA China A Lost Market For Nvidia, AMD? The Asian Superpower Reportedly Sets Up Biggest Semiconductor Fund To Nurture Advanced Chipmaking
May 27 AVGO C3.ai (AI) Gears Up to Report Q4 Earnings: What's in the Cards?
May 27 DELL C3.ai (AI) Gears Up to Report Q4 Earnings: What's in the Cards?
May 27 NVDA Workday (WDAY) Solution to Modernize HR Process in Defense Agency
May 27 DELL HP (HPQ) Gears Up to Report Q2 Earnings: What's in Store?
The investment seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Dividend Index. The fund invests at least 95% of its total assets (exclusive of collateral held from securities lending) 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 WisdomTree Dividend Index is a fundamentally-weighted index that defines the dividend-paying portion of the U.S. stock market. The fund is non-diversified.
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