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
MSFT C -0.37 4.30
AAPL B 0.70 3.50
NVDA C -2.37 3.12
AMZN A -0.17 2.42
GOOGL B 1.48 1.46
META D -0.40 1.31
GOOG B 1.16 1.30
LLY C 0.95 0.83
JPM B 0.36 0.80
AVGO C -0.43 0.75
BRK.A D 0.34 0.69
TSLA C -3.34 0.67
XOM B -0.42 0.66
UNH C 0.71 0.65
V D 0.78 0.60
MA D 0.39 0.55
PG A 0.48 0.54
JNJ F 0.65 0.48
HD D 0.51 0.47
COST C 1.15 0.46
MRK B 0.63 0.45
CVX B 0.20 0.40
CRM D 0.86 0.38
ABBV D 0.53 0.38
WMT C 1.24 0.37
BAC B 1.06 0.36
KO A 0.30 0.35
AMD D -0.02 0.34
NFLX D 0.26 0.34
PEP B 0.75 0.33
LIN D 0.69 0.31
TMO D -0.45 0.31
DIS C -9.04 0.30
WFC B 0.36 0.30
ADBE D 0.24 0.29
ACN D 1.78 0.29
MCD F -0.06 0.28
BRK.A D 0.34 0.28
ABT F 0.62 0.27
ORCL D 0.48 0.27
CSCO F 0.47 0.26
QCOM A 0.29 0.25
INTU D 0.22 0.25
DHR D -0.21 0.24
VZ D 0.05 0.23
AMAT C -0.38 0.23
CAT D 1.60 0.23
GE A 0.36 0.22
IBM D 0.19 0.21
PFE D 0.62 0.21
COP C 0.76 0.21
UNP D 1.37 0.21
NOW D -2.29 0.21
CMCSA F 0.00 0.21
TXN A 0.48 0.21
AMGN B 0.48 0.20
NEE B 0.55 0.20
AXP B 0.03 0.20
GS A 0.63 0.20
ISRG D 0.80 0.19
LOW D 0.98 0.19
SPGI C 0.31 0.19
UBER D 0.08 0.19
SYK D 1.61 0.18
HON D 0.85 0.18
PM B 0.27 0.18
ELV B 0.86 0.18
MU B 0.19 0.18
INTC F 1.07 0.18
ETN A -0.02 0.18
LRCX D 0.05 0.17
MS A 0.56 0.17
RTX A 0.69 0.17
C A -0.27 0.17
T B 1.06 0.17
PGR A -0.46 0.17
NKE D 0.74 0.16
TJX C 0.65 0.16
BKNG C -0.70 0.16
DE B 1.04 0.15
LMT B 0.33 0.15
UPS F 0.56 0.15
CI C 0.81 0.15
SCHW A -0.33 0.15
BLK D 1.26 0.15
ADI A 0.75 0.14
ADP D -0.02 0.14
CB C 0.02 0.14
SBUX F -0.74 0.14
BSX B 0.81 0.14
MDT D 0.28 0.14
BA F -0.49 0.14
PLD D 1.13 0.13
MMC C 0.11 0.13
KLAC A -0.67 0.13
MDLZ D 0.79 0.13
PANW B 0.76 0.13
CVS F 0.96 0.12
BMY F 0.44 0.12
CMG A -0.29 0.12
TMUS C -0.24 0.12
BX D 0.77 0.12
VRTX D 1.10 0.12
WM A -0.05 0.11
ZTS D 2.74 0.11
CL A 0.25 0.11
ICE D 1.65 0.11
MPC D -0.79 0.11
MO A 0.75 0.11
SO A 0.92 0.11
REGN C 0.39 0.11
CME D -0.07 0.11
EOG B 0.51 0.11
SNPS D 0.75 0.11
AMT D 0.51 0.11
SLB F -0.04 0.10
ABNB C -0.53 0.10
CSX D 0.87 0.10
DUK A 0.75 0.10
GD A 0.19 0.10
KKR C 0.96 0.10
FCX B 0.29 0.10
CRWD C -1.77 0.10
GILD F 0.06 0.10
ANET D -1.84 0.10
SHW D 0.84 0.10
PH B 0.38 0.10
PYPL B 0.72 0.10
TGT D 1.14 0.10
CDNS D 0.46 0.10
CTAS B 1.22 0.09
ORLY D 0.35 0.09
PXD B 0.00 0.09
MAR D 0.15 0.09
ITW F 1.03 0.09
HCA D 0.40 0.09
PSX D -0.01 0.09
TT A -0.17 0.09
BDX F 0.49 0.09
EQIX F 0.98 0.09
EMR D 0.05 0.09
NOC B 0.66 0.09
APH A -0.09 0.09
USB D -0.13 0.09
MCK B 1.03 0.09
WDAY F 0.26 0.08
SNOW D -3.04 0.08
VLO D -0.61 0.08
ECL A 0.45 0.08
MELI C 1.85 0.08
COF B 0.24 0.08
NSC D 0.16 0.08
TDG A -2.98 0.08
FDX C 0.23 0.08
PNC B 0.22 0.08
AON F 0.51 0.08
PCAR D 1.58 0.08
MCO C 0.53 0.08
DXCM D 0.12 0.07
COIN D -3.01 0.07
O B -0.49 0.07
AZO D 0.93 0.07
NEM B 0.60 0.07
AJG D -0.07 0.07
APD C 0.02 0.07
STZ D 0.64 0.07
MCHP A -1.00 0.07
APO C 1.46 0.07
F C -0.96 0.07
GM B 1.29 0.07
AIG A 0.49 0.07
EW D 0.68 0.07
WELL A 0.46 0.07
NXPI A 0.04 0.07
ROP F 0.63 0.07
CPRT C 0.38 0.07
MSI A 1.54 0.07
MMM B 0.01 0.07
MRVL C -0.70 0.07
TFC A 0.66 0.07
HLT D 0.10 0.07
SYY D 0.51 0.06
ODFL F 2.51 0.06
IDXX F 1.51 0.06
BK A 0.45 0.06
IQV D 0.91 0.06
SMCI D -1.12 0.06
SQ D -1.27 0.06
DOW D 0.28 0.06
CCI D 0.98 0.06
SRE B -0.01 0.06
WCN C -0.28 0.06
DDOG B -10.56 0.06
DHI D 1.11 0.06
RSG C 0.57 0.06
SPG D 4.10 0.06
D B 1.07 0.06
HES B 0.01 0.06
MNST D 0.13 0.06
AMP C -0.02 0.06
FTNT F -0.51 0.06
ROST D -0.03 0.06
TEL C 1.04 0.06
URI C 0.32 0.06
DASH D -2.19 0.06
ADSK D -0.92 0.06
AFL A 0.90 0.06
AEP A 0.28 0.06
MET C 0.42 0.06
AME D 0.95 0.06
JCI B 1.31 0.06
WMB A 1.29 0.06
KMB B 0.71 0.06
OXY B 0.29 0.06
CEG A 2.67 0.06
TRV D 0.51 0.06
PLTR C -14.97 0.06
ALL B -0.31 0.06
OKE B 0.69 0.06
IR D 0.87 0.05
VMC C -0.01 0.05
DAL A -1.32 0.05
GEHC D 0.76 0.05
IT D 0.68 0.05
PCG B 0.17 0.05
TTD B -0.16 0.05
LNG D 0.02 0.05
DELL B -0.17 0.05
KR B 0.29 0.05
CNC D 0.40 0.05
KHC C 0.23 0.05
PAYX D 0.64 0.05
EXC B 0.01 0.05
LHX A 0.41 0.05
LULU F 0.71 0.05
SPOT B -0.47 0.05
EL F -0.41 0.05
KDP B 0.57 0.05
KMI A 1.02 0.05
NUE D 0.11 0.05
YUM C -0.10 0.05
GIS B 1.11 0.05
MSCI D -0.04 0.05
CARR A 0.78 0.05
PSA D 1.63 0.05
PRU C 1.24 0.05
CSGP B 0.25 0.05
OTIS D 0.77 0.05
HUM F 0.41 0.05
MRNA B -1.73 0.05
FANG B 0.05 0.05
PWR A 0.30 0.05
CTVA B 1.63 0.05
A D -0.14 0.05
CMI C 1.33 0.05
FIS C 5.59 0.05
FAST D 0.30 0.05
LEN C 0.84 0.05
MLM C -0.51 0.05
DLR C 0.77 0.05
GWW D 0.36 0.05
AWK B 0.78 0.04
VICI D 1.27 0.04
CAH F 1.02 0.04
HSY C 0.86 0.04
RCL A 0.13 0.04
CBRE D 0.39 0.04
ADM C 1.86 0.04
FICO C -0.45 0.04
LYB D 0.17 0.04
MDB F -3.85 0.04
TRGP B 0.03 0.04
HWM A -0.10 0.04
HIG C 0.38 0.04
CPNG A 0.54 0.04
EBAY C 1.53 0.04
HPQ D 0.88 0.04
PPG D 1.35 0.04
TSCO B 1.20 0.04
BIIB D -0.82 0.04
BKR D 0.52 0.04
HAL F 0.95 0.04
HUBS D -0.32 0.04
ANSS D 1.17 0.04
DVN B 0.41 0.04
GPN F 0.04 0.04
XEL C 0.09 0.04
MPWR C -3.34 0.04
EA D 0.70 0.04
ED A 0.25 0.04
DD A 1.15 0.04
ACGL A 0.29 0.04
CHTR F 0.80 0.04
CTSH F 0.99 0.04
PEG A 0.66 0.04
VEEV D 0.33 0.04
DFS B 0.64 0.04
VRT A -0.83 0.04
NU C -0.46 0.04
XYL A 0.28 0.04
VRSK C 1.08 0.04
WAB B 0.73 0.04
ROK D 1.08 0.04
RMD B -0.36 0.04
KVUE F 5.14 0.04
CDW D 0.18 0.04
ZS F -1.59 0.03
ARE D 0.54 0.03
RF B 0.50 0.03
TSN B 0.11 0.03
LVS D -0.17 0.03
DTE A 0.48 0.03
OMC B 1.70 0.03
AEE C 0.14 0.03
FE A 0.54 0.03
ULTA F 0.62 0.03
CLX F 1.53 0.03
EQR A 0.06 0.03
AVY A 0.77 0.03
BALL B 0.91 0.03
PPL A 0.62 0.03
ILMN F -2.66 0.03
ARES A 2.14 0.03
WEC B 0.36 0.03
BRO C 0.55 0.03
HUBB D 0.49 0.03
STT C 0.87 0.03
CSL B 0.29 0.03
TYL A 0.55 0.03
STE D 0.23 0.03
BAX F -0.14 0.03
HBAN A 0.46 0.03
GPC B 0.12 0.03
RBLX C 1.17 0.03
NET F -0.19 0.03
IFF B 3.60 0.03
CTRA B 0.21 0.03
LPLA A -0.06 0.03
ALGN F 0.19 0.03
WY D 0.84 0.03
GRMN A 0.46 0.03
PINS A -0.48 0.03
GLW B 0.21 0.03
DKNG C 2.18 0.03
PHM B 0.69 0.03
BLDR C -14.84 0.03
WDC B -0.76 0.03
SBAC F 2.49 0.03
HPE D -0.58 0.03
FITB A -0.04 0.03
VLTO A 0.02 0.03
MKL A 0.10 0.03
NVR D -0.13 0.03
PTC D -0.44 0.03
TEAM F -0.41 0.03
MTB A 0.10 0.03
DOV A 0.59 0.03
IRM D 0.19 0.03
ETR A 0.80 0.03
STLD D -0.02 0.03
VST A 0.79 0.03
BR C 0.24 0.03
AXON A -4.05 0.03
TROW D 0.08 0.03
ZBH D 1.21 0.03
ON F 3.04 0.03
DG D 2.46 0.03
AVB A 0.38 0.03
RJF B 0.42 0.03
NDAQ B 0.48 0.03
EXR C 1.08 0.03
KEYS D 0.58 0.03
WTW D 0.63 0.03
EFX D 1.70 0.03
FCNCA B 0.71 0.03
TTWO D -0.16 0.03
MTD D -0.64 0.03
CHD B 1.20 0.03
FTV D 0.27 0.03
EIX A 0.69 0.03
DLTR F 0.83 0.03
WST F 0.08 0.03
JBL D -0.80 0.02
CRL D 0.66 0.02
LKQ D 0.20 0.02
AMCR A 0.35 0.02
EME A 0.37 0.02
LW D 1.37 0.02
FNF B 1.59 0.02
KMX D 1.34 0.02
STX C 0.55 0.02
OC A -0.72 0.02
EPAM D 1.21 0.02
CAG B 1.36 0.02
IP C 4.55 0.02
WSO A 1.16 0.02
NTNX C 0.35 0.02
YUMC F -0.42 0.02
SWK F 0.90 0.02
SJM F 0.30 0.02
OKTA D -0.26 0.02
BMRN F 0.56 0.02
KEY C 0.03 0.02
SUI F 0.15 0.02
LII D 0.14 0.02
WBA F 1.51 0.02
EQT B 0.07 0.02
BBY D 1.22 0.02
APP B -0.57 0.02
TRMB D 1.62 0.02
NRG A 5.33 0.02
WRB D 0.47 0.02
ALNY D 0.32 0.02
TDY D 0.46 0.02
SSNC C 0.06 0.02
EG C -0.24 0.02
LUV F -0.91 0.02
CHKP D 0.78 0.02
CF F 0.35 0.02
ES B 0.87 0.02
K B 1.48 0.02
POOL D 1.11 0.02
VRSN F 0.56 0.02
GGG D 1.04 0.02
PSTG C -0.20 0.02
HST D 1.01 0.02
LYV D 1.74 0.02
DPZ B -0.58 0.02
JBHT F 0.84 0.02
VTR B 0.45 0.02
DOC B 1.21 0.02
SYF A -0.09 0.02
MRO C 1.03 0.02
TER A 0.06 0.02
VTRS D 0.00 0.02
GDDY A 1.31 0.02
ESS A 0.48 0.02
AVTR D -0.18 0.02
UAL B -2.33 0.02
SNA D 0.79 0.02
TRU C -0.25 0.02
DGX B 0.42 0.02
TPL B 1.08 0.02
ATO B 0.07 0.02
AKAM F 0.12 0.02
RS D 0.33 0.02
LH F 0.46 0.02
L A 0.08 0.02
CCEP A 0.97 0.02
CNP B 0.56 0.02
MOH F 0.94 0.02
ENPH F 1.78 0.02
APTV D 0.07 0.02
WAT D -0.89 0.02
FDS D 0.08 0.02
DRI F 0.18 0.02
MAA B 0.74 0.02
DECK D 1.30 0.02
ROL A 1.04 0.02
ZBRA B 0.87 0.02
CE C 2.37 0.02
CFG A -0.08 0.02
BAH A 0.24 0.02
MAS D 0.57 0.02
PKG D 1.60 0.02
ZM F 0.19 0.02
CCL F -0.24 0.02
IEX D 0.20 0.02
MSTR D -0.11 0.02
HOLX C 0.28 0.02
TXT D 0.18 0.02
SWKS F 0.68 0.02
NDSN C 0.55 0.02
ENTG D 0.43 0.02
CMS A 0.54 0.02
J C -3.44 0.02
MKC B 0.81 0.02
EXPD D 0.56 0.02
EXPE F -0.94 0.02
FSLR B 1.27 0.02
CINF D 0.32 0.02
INVH B 0.37 0.02
AER A -0.80 0.02
NTRS C 0.33 0.02
NTAP B -0.38 0.02
WBD F 0.44 0.02
LDOS A 0.70 0.02
PFG C 0.82 0.02
PNR C 0.95 0.01
LECO D 0.54 0.01
RPRX D -0.21 0.01
MANH D 1.15 0.01
RPM D 1.01 0.01
ALB D 2.95 0.01
YNDX C 0.00 0.00

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

Date Stock Title
May 7 MA Mastercard: 12 takeaways from the Global Inclusive Growth Summit
May 7 GOOG Unveiling Long and Short-Term Catalysts for Alphabet's Growth Trajectory
May 7 WMT Does Walmart Deserve Its Premium Valuation?
May 7 DECK Get Fired Up: Sanuk and Traeger Cook Up the Ultimate Summer Barbecue Shoe
May 7 TSLA NHTSA requests more info from Tesla on autopilot recall or face $135M fine
May 7 GOOG Better AI Stock: Amazon vs. Alphabet
May 7 LLY Eli Lilly Alzheimer’s therapy set for June FDA AdCom meeting
May 7 KMI US power and natgas prices turn negative in Texas, California and Arizona
May 7 WMT Q2 2024 Symbotic Inc Earnings Call
May 7 K WK Kellogg Co Q1 Earnings: Aligns with EPS Projections, Net Income Surges
May 7 TSLA Tesla: The Second Tsunami Heading Towards Shareholders - The Path To $85
May 7 CCL Princess Cruises Expands Caribbean Program with Return to San Juan Home Port
May 7 KEY Urban League of Greater Hartford Is Awarded $150,000 Grant From KeyBank Foundation
May 7 TSLA US STOCKS-Wall St set to stall at open after recent run
May 7 AMT 3 Extremely Discounted REITs to Buy With 20% Upside
May 7 PANW Palo Alto Makes Artificial Intelligence Push At RSA Conference
May 7 SLB SLB OneSubsea and Subsea7 Awarded Integrated Contract for OKEA’s North Sea Bestla Project
May 7 JCI JOHNSON CONTROLS APPOINTS CHRIS BONTEMPO AS VICE PRESIDENT AND CHIEF MARKETING OFFICER
May 7 KMB Kimtech™ Polaris™ Nitrile Exam Glove Earns ACT Label from My Green Lab®
May 7 K CLUB® CRISPS LAUNCHES FIRST-EVER FLAVOR COLLAB WITH MIKE'S HOT HONEY® FOR THE ULTIMATE SWEET-HEAT SNACK
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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