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 A 0.24 6.34
MO A -0.21 4.97
ABBV F -0.19 4.80
CVX A 0.24 4.51
IBM C 0.69 4.34
PM A 0.29 4.08
MS B 1.56 3.47
C B 0.44 2.27
BMY B -0.55 2.06
GILD B -0.49 1.63
UPS C -0.15 1.55
USB A 1.07 1.48
EOG A 0.32 1.45
SO C -0.22 1.44
PNC B 0.25 1.44
DUK C -0.17 1.44
OKE A 0.90 1.36
WMB A -0.09 1.29
D C -0.11 1.07
KMB C 0.09 1.00
PEG A 0.21 0.96
PRU B 0.60 0.91
ETR A -0.29 0.86
BK B 0.46 0.85
AEP C -0.10 0.84
ED C -0.22 0.71
KVUE A -0.13 0.70
GLW B -0.07 0.68
KHC F -0.29 0.68
DOW F -0.28 0.68
FITB B 0.00 0.63
MTB A 0.49 0.61
HBAN B 0.29 0.59
RF A 0.88 0.59
EIX C -0.12 0.58
EXC C -0.46 0.58
HPQ B 0.58 0.58
TROW B -0.28 0.54
K A 0.02 0.51
STT A 0.22 0.49
WEC A -0.30 0.48
FE C 0.11 0.46
IP A -0.93 0.45
BBY D 0.33 0.44
CRBG B 0.13 0.42
PPL A -0.09 0.42
ES C 0.00 0.40
DTE C 0.19 0.39
NTRS A 0.18 0.38
VTRS A -0.04 0.37
PSA D -0.26 0.36
OMF A 0.07 0.36
CG B 0.18 0.36
SPG A -0.08 0.36
AM A 0.70 0.35
FNF D 0.00 0.34
EVRG A -1.03 0.34
TSN B 0.06 0.34
PNW A -0.07 0.34
DLR A -0.07 0.33
JXN C 0.31 0.31
OGE A 0.07 0.30
NI A -0.21 0.30
TPR B -0.38 0.29
CMA B 0.47 0.29
DTM A 2.58 0.28
CAG D 0.00 0.28
O D -0.25 0.28
CCI C -0.34 0.27
LNT A 0.00 0.27
CHRD F 0.81 0.27
CNA C 0.00 0.26
LNC B 0.96 0.26
OWL A 0.58 0.26
SNV B 0.00 0.25
BEN C -0.09 0.24
CIVI F 0.00 0.24
EMN D -0.68 0.24
ZION B 0.32 0.24
COLB B 0.75 0.23
ALLY C 0.80 0.23
IPG D 0.00 0.22
SJM D -0.43 0.22
OGN F 0.64 0.22
TPG A 0.22 0.21
WBS A 0.37 0.21
TFSL B 0.00 0.20
NFG A 0.91 0.20
IRM C 0.65 0.20
AVB B 0.11 0.20
CNS B 0.00 0.20
VCTR B 1.33 0.20
EXR C -0.36 0.20
GBCI B 0.00 0.19
AROC A 0.72 0.19
RDN D 0.46 0.19
VICI C -0.02 0.19
UGI C 0.00 0.18
WU F 0.56 0.18
EQR C 0.00 0.18
MC B -0.15 0.18
JWN D -0.63 0.17
UBSI B 0.63 0.17
FNB B 0.79 0.17
TNL B 0.00 0.17
WEN D -0.53 0.17
KTB B 0.00 0.17
FLO D -0.32 0.17
VIRT A 0.19 0.17
VTR B 0.08 0.16
CCOI B 0.06 0.16
ALE A 0.05 0.16
NXST D -0.50 0.16
SWX A 0.00 0.16
ASB B 0.41 0.16
KNTK A 0.00 0.16
FBP B 0.58 0.16
SON D 0.00 0.16
OGS A 0.33 0.15
SFNC B 0.62 0.15
HTLF B 0.00 0.15
FAF A 0.00 0.15
BKH A 0.34 0.15
TDS B 0.32 0.15
POR C 0.02 0.15
FHB B 0.00 0.15
FIBK A 0.82 0.15
PFS B 0.58 0.15
MTN C 0.36 0.15
VLY B 0.49 0.15
NOG A 0.65 0.14
TRN B 0.00 0.14
SMG C 0.49 0.14
PRK B 0.00 0.14
CBU B 0.00 0.14
FULT B 0.00 0.14
FFBC B 1.15 0.14
FRME B 0.00 0.13
CVBF A 0.00 0.13
BANR B 0.98 0.13
NWE C 0.37 0.13
BOH B 0.00 0.13
BKU A 0.00 0.13
NJR A 0.72 0.13
SR A 0.42 0.13
AUB B 0.00 0.13
VAC C 0.07 0.13
IBTX B 0.00 0.13
PHIN A 1.06 0.13
BKE B -0.53 0.12
ESS B -0.02 0.12
M F 0.58 0.12
CWEN C 0.00 0.12
TRMK B 0.00 0.12
INDB B 0.00 0.12
PPBI B 0.00 0.12
MAA B -0.08 0.12
AVA C 0.00 0.12
ENR A 0.61 0.11
KSS F 0.31 0.11
ARE F 0.24 0.11
LCII C 0.00 0.11
PINC B 0.09 0.11
TOWN B 0.00 0.11
STC B 0.00 0.10
WSBC B 0.00 0.10
KIM A 0.16 0.10
UPBD C 1.03 0.10
FCF B 0.78 0.10
NWBI B 0.00 0.10
MAN F -0.05 0.10
HUN F -0.46 0.10
CVI D -0.64 0.10
CPT C 0.00 0.09
HOPE B 0.00 0.09
STBA B 0.00 0.09
PTVE B 0.00 0.09
HMN B 1.11 0.09
UDR C -0.02 0.09
SASR B 0.00 0.09
VRTS B 0.00 0.09
WWW A 0.00 0.09
CRI F 0.00 0.09
KRO F 0.00 0.08
KALU C 0.39 0.08
PDCO F -0.90 0.08
NAVI F 0.00 0.08
GLPI C -0.03 0.08
BUSE B 0.00 0.08
HST D 0.00 0.08
NWN A 0.46 0.08
REG A 0.00 0.08
KLG D -0.53 0.08
GEF A -0.47 0.08
VBTX B 0.41 0.08
OCFC B 0.00 0.07
CRGY A 0.00 0.07
PEBO B 0.00 0.07
LAMR D 0.00 0.07
AMSF B 0.00 0.07
SAFT B 0.00 0.07
WPC C 0.00 0.07
DCOM A 0.00 0.07
UVV B 0.42 0.07
CC C 1.82 0.07
PBI C -1.20 0.07
BLMN F 1.95 0.06
FRT B 0.00 0.06
PFC B 0.91 0.06
SXC A 0.08 0.06
DLX B 0.00 0.06
TMP B 0.00 0.06
GRNT B 0.00 0.06
SBSI B 0.30 0.06
CTBI B 0.47 0.06
LEG F -0.80 0.06
XRX F -1.19 0.06
CUBE D -0.11 0.06
IBCP B 0.00 0.05
HBNC B 0.00 0.05
FCBC B 0.00 0.05
EGBN B 0.00 0.05
CWEN C 0.00 0.05
CBRL C 0.00 0.05
NNN C -0.36 0.05
BRX A 0.00 0.05
HFWA B 0.00 0.05
UVSP B 0.00 0.05
CFFN B 0.00 0.05
MNRO D -0.88 0.05
BRKL B 0.00 0.05
GES F 0.00 0.05
HTBK B 0.90 0.04
WASH B 0.00 0.04
CAC B 0.00 0.04
UVE A 0.67 0.04
REPX A 0.78 0.04
TRST B 0.00 0.04
HAFC B 0.00 0.04
ETD D -0.24 0.04
STAG D 0.00 0.04
RHP B 0.00 0.04
JBSS F -0.05 0.04
MBWM B 0.00 0.04
HBT B 0.00 0.04
ANET D 3.41 0.04
ADC A 0.00 0.04
CPF B 0.00 0.04
KRC C 0.00 0.03
BGS F -1.35 0.03
RBB B 0.00 0.03
SLG B 0.74 0.03
BSRR C 1.24 0.03
GCMG A 0.00 0.03
SBRA B 0.00 0.03
DHIL A 0.00 0.03
BHRB B 0.00 0.03
IRT A 0.56 0.03
MOFG B 0.78 0.03
FFIC B 0.00 0.03
RYN D 0.00 0.03
SHBI B 0.91 0.03
NPK C 0.00 0.03
ITIC A -0.14 0.03
MPB B -0.22 0.03
KRNY B 0.87 0.03
UWMC D 0.66 0.03
EPRT A 0.00 0.03
EBF F 0.05 0.03
DIN C 0.00 0.03
MSBI B 0.00 0.03
BHB B 0.00 0.03
NFBK B 0.00 0.03
PLOW F 0.00 0.03
FMNB B 0.00 0.03
EGY F 0.00 0.03
THFF B 0.00 0.03
ACCO B 0.00 0.03
SPTN F 0.00 0.03
SWBI D -0.73 0.03
PCB B 0.00 0.02
PKBK B 0.00 0.02
RM D 0.00 0.02
LXP D 0.00 0.02
FLIC B 0.00 0.02
CZNC B 0.00 0.02
BRY F 0.72 0.02
FRST B 0.00 0.02
HVT F 0.69 0.02
IIPR F 0.19 0.02
FNLC B 0.00 0.02
SPOK B 0.00 0.02
AKR A 0.00 0.02
BNL D 0.00 0.02
NEWT B 0.58 0.02
UE B 0.00 0.02
CIVB B 0.00 0.02
AROW B 0.46 0.02
EPR D 0.52 0.02
MSB B 1.09 0.02
VLGEA C 0.00 0.02
PK D 0.00 0.02
PFIS B 0.00 0.02
WSBF B 0.00 0.02
GTN F 2.61 0.02
PCH D 0.00 0.02
LGTY B 0.93 0.02
CDP D 0.00 0.02
CTRE C 0.00 0.02
WTBA B 0.00 0.02
MPX C 0.00 0.02
NHI D 0.00 0.02
SKT A -0.19 0.02
FISI B 0.00 0.02
BMRC B 0.00 0.02
NSA C -0.10 0.02
DGICA A 0.00 0.02
CUZ B 0.26 0.02
FMAO B -0.44 0.02
NVEC D 0.87 0.02
MAC A 0.15 0.02
NRIM A 0.00 0.02
ALRS D 0.00 0.02
PLYM F 0.00 0.01
OLP B 0.00 0.01
WSR B 0.00 0.01
EVC C -0.42 0.01
AAT A 0.00 0.01
NXRT A 0.00 0.01
MOV D -0.48 0.01
CBL A 3.42 0.01
ALEX A -0.03 0.01
LTC B 0.00 0.01
NUS C -1.73 0.01
ROIC A 0.00 0.01
SAVE F 0.00 0.01
III C 0.00 0.01
ALX D 0.00 0.01
DEA D 0.00 0.01
JBGS D 0.00 0.01
UMH B 0.00 0.01
KW C -0.09 0.01
GTY A -0.09 0.01
ELME D 0.22 0.01
NWFL C 0.00 0.01
RGP F 0.72 0.01
FCPT C 0.00 0.01
DEI A 0.16 0.01
FF F 0.82 0.01
NXDT F 0.00 0.00
BRT A -0.25 0.00
PKST F 0.00 0.00
PSTL D 0.00 0.00
CHCT C 0.00 0.00
RMR F 0.00 0.00
NTST D 0.00 0.00
CSR B 0.00 0.00
AHH D 0.00 0.00
CTO B 0.00 0.00
LAND F -0.17 0.00
BFS C 0.00 0.00
GMRE F 0.00 0.00
INN D 0.00 0.00

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

Date Stock Title
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 XOM Exxon Mobil's (NYSE:XOM) investors will be pleased with their strong 111% return over the last three years
Nov 21 VTRS Viatris Inc. (VTRS) Management Presents at Jefferies London Healthcare Conference (Transcript)
Nov 21 XOM Exxon targets $200M to expand plastics recycling operations at Texas plants
Nov 21 XOM Exxon, under fire over plastic recycling, spending $200 million to expand Texas plants
Nov 21 EPR EPR Properties: The Simon Property Group Effect
Nov 21 MO Top Dividend Stock Altria Is Currently Trading In A Buy Zone
Nov 21 EOG Oil Price Ticks Lower on Inventory Gain, China Weakness
Nov 21 XOM ExxonMobil to Expand Advanced Recycling Capacity
Nov 21 XOM Oil Price Ticks Lower on Inventory Gain, China Weakness
Nov 21 UPBD Upbound Group, Inc. Collaborates with Google Cloud to Transform Customer Experience with a Comprehensive AI Roadmap
Nov 21 XOM LG Chem agrees to source lithium from ExxonMobil
Nov 21 CVX 3 No-Brainer Warren Buffett Stocks to Buy Right Now
Nov 21 XOM ExxonMobil transfers 50% interest in Suriname’s Block 52 to PETRONAS
Nov 21 KLG How Froot Loops Landed at the Center of U.S. Food Politics
Nov 21 MS Japan’s Ishiba Set to Announce $140 Billion Stimulus Package
Nov 21 UGI Earnings Scheduled For November 21, 2024
Nov 21 LGTY Earnings Scheduled For November 21, 2024
Nov 21 PM Mohamed El-Erian Warns Against Simplistic Narratives As Trump Plans Aggressive Tariff Strategy: 'The Issue Is Quite Complex'
Nov 20 TSN Tyson Foods Queried in Indiana Probe on Illegal Immigration
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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