Holdings

Symbol Grade Price % Change Allocation
CSWI B 0.00 0.88
HRI C 0.52 0.87
FOUR A 1.59 0.86
CRVL A 0.50 0.85
IESC B 2.12 0.82
PIPR B 0.00 0.82
STRL B 1.65 0.81
GPI B 0.00 0.77
MATX B -0.35 0.77
SKY A 1.13 0.76
SNDR A 0.00 0.76
INSP F -0.19 0.76
UPST B 1.21 0.76
CORT B 0.80 0.75
MC B 0.55 0.75
HIMS C 1.26 0.74
CNS B 0.00 0.71
SEM B 0.12 0.70
BOX B 0.78 0.70
LOPE B -0.08 0.69
KTB B 0.00 0.69
ACA A 1.02 0.69
ROAD B 1.86 0.69
FELE B 0.00 0.68
RUSHA B 0.57 0.68
CALM A 0.53 0.66
IDCC B 0.62 0.64
KAI B 0.00 0.64
STEP B 0.05 0.63
FIZZ C -0.53 0.63
HGV C 0.27 0.62
WHD B 0.00 0.62
GOLF B 0.68 0.61
LRN A 1.19 0.60
POWL C 4.81 0.60
ASGN F 0.12 0.60
INTA A 0.99 0.59
DORM B 0.18 0.59
PRIM A 2.46 0.59
MHO D 0.59 0.59
AEIS B 0.54 0.58
UAA C 0.00 0.58
VCTR B 1.46 0.58
NOG A 1.52 0.58
GEF A -0.54 0.57
KFY B 1.04 0.57
FTDR A 1.05 0.57
GMS B 1.21 0.56
IPAR B 1.04 0.56
CRK A 3.38 0.56
TPH D 0.54 0.55
USLM B 0.00 0.55
CEIX B 3.15 0.55
MWA B 0.40 0.54
CBZ B 0.74 0.54
CCOI B 0.57 0.54
VRRM F 0.04 0.54
ENS D 0.00 0.54
CVCO A 2.34 0.53
WDFC B -0.57 0.53
PJT B 0.54 0.53
BOOT D 0.41 0.53
ASO F -0.54 0.52
CARG B -0.68 0.52
ALKT B -0.45 0.52
SAM C -0.44 0.52
BL C 3.45 0.51
SMPL B -0.38 0.51
HCC B 1.84 0.51
POWI D 0.00 0.50
BTU B 2.16 0.50
CAR C 1.05 0.50
HAYW B 0.00 0.49
FHI B -0.18 0.49
TEX D -0.01 0.49
DV C 0.62 0.48
YETI D 1.10 0.47
DOCN D 2.46 0.47
SHOO D 0.31 0.46
KNTK A 1.00 0.46
AGYS A 1.64 0.45
RRR F 0.00 0.44
ARCH B 2.32 0.44
LBRT F 0.00 0.43
NMIH C 0.03 0.43
SNEX A 0.00 0.43
AMR C 0.45 0.42
GSHD A 0.71 0.42
KWR C 0.52 0.42
GRBK D 0.62 0.42
ALRM C 0.28 0.42
IOSP C 0.00 0.41
PATK C 0.93 0.41
TMDX F 1.81 0.41
LCII C 0.00 0.41
NARI C 0.58 0.41
ACAD C -3.63 0.41
HUBG A 0.21 0.41
ENVA B 0.88 0.40
NSP F -0.07 0.40
MGRC B 0.00 0.40
PRGS B 1.61 0.40
CCS F 1.44 0.39
FLYW B 0.00 0.39
VSCO A -3.16 0.39
VC F 0.35 0.38
DFH F 13.15 0.38
UFPT C 0.51 0.37
CPRX C -1.16 0.37
VCEL A 0.11 0.37
DIOD F 0.00 0.37
MCW C 0.00 0.37
PSMT D 0.10 0.37
ARCB C 1.53 0.37
DRVN B 0.47 0.37
AZZ A 3.10 0.36
HWKN B 0.06 0.36
VICR C -0.04 0.36
YELP C -3.38 0.36
MYRG C 0.92 0.35
PLMR A 0.00 0.35
LGIH F 0.63 0.35
VSTO A 0.14 0.35
PLUS F 0.00 0.35
KLIC C 0.28 0.35
RVLV A 1.83 0.35
CAKE B -0.33 0.34
MTRN C 0.96 0.34
STRA C 0.00 0.33
CABO B 0.00 0.33
BKE B -0.69 0.33
ACLS F 0.32 0.33
ALG C 1.22 0.32
TR B -0.40 0.32
VSH F 0.36 0.32
EVTC C 2.55 0.32
AMPH F -0.86 0.32
SAH B 1.80 0.31
PTGX D 4.06 0.31
ROCK D 0.00 0.31
LMAT A 1.61 0.31
VZIO A 0.13 0.30
WOR F 0.62 0.30
CALX F 0.69 0.30
EVCM B 0.00 0.30
HURN B 0.84 0.30
HEES C 0.81 0.30
ASTH F 1.68 0.29
KOS D 0.00 0.28
ADUS D 0.00 0.28
SUPN B -0.25 0.28
UPWK C -0.53 0.28
CVI D 0.11 0.27
WGO D 2.09 0.27
SEMR C 0.00 0.27
HRMY F -0.65 0.27
DSGR C 1.58 0.26
MBIN F 2.38 0.26
GO C -1.95 0.26
NABL F 0.98 0.26
DFIN D 0.00 0.25
DVAX C 0.90 0.25
ATRC C -0.74 0.25
SONO C 0.85 0.24
PLAY D 0.39 0.24
VRTS B 0.00 0.24
MODG F 0.43 0.24
ANDE F 0.56 0.23
CHEF A -0.31 0.23
GDRX F 1.16 0.23
PZZA F -1.06 0.23
ATSG A -0.07 0.22
UCTT F 0.45 0.22
WINA B 0.00 0.22
MCRI A 0.00 0.22
PLAB C 0.87 0.22
FOXF F 0.47 0.21
NVEE F 0.94 0.21
AMRC F -0.22 0.20
GDYN C 1.25 0.20
ULH B 1.00 0.20
MRTN D 0.36 0.20
LNN B 0.72 0.20
REVG B 2.00 0.20
PGNY F 2.79 0.19
CRAI B 0.00 0.19
IMKTA C 0.82 0.19
UTZ D 0.00 0.19
STAA F -0.87 0.19
SPT C -0.51 0.18
NSSC F 0.49 0.18
IDT B -0.03 0.18
COHU D 0.12 0.18
RES D 1.84 0.18
XPEL C 0.32 0.17
COUR F -0.16 0.17
PDFS D 0.83 0.17
HCI C 0.12 0.17
OXM F 0.92 0.17
CARS C -0.22 0.17
CWH C 0.97 0.16
UNFI A 0.85 0.16
SCVL F 3.63 0.16
VITL D -2.52 0.16
BBSI A 0.00 0.16
VMEO B -1.45 0.16
SSTK F 0.00 0.16
VTOL B 0.44 0.15
UTI B 0.00 0.15
GIC F 0.00 0.15
BXC B 2.26 0.15
VIR F -1.41 0.15
MGPI F 0.00 0.15
ACMR F 1.23 0.15
BLMN F 2.14 0.15
EVRI A 0.00 0.15
JBI F 1.41 0.15
CRCT F 0.00 0.15
KRUS C 0.00 0.14
BASE C 2.53 0.14
ACEL C 0.35 0.14
JBSS F 0.60 0.14
LMB A 2.82 0.14
NX C 0.94 0.14
BELFB D 0.80 0.14
COLL F 1.32 0.14
HOV D 0.90 0.14
RSI A 1.72 0.13
MLR C 0.55 0.13
AMN F -0.85 0.13
WNC D 0.49 0.13
TRNS F 0.96 0.13
CTKB C -1.14 0.13
TPB A 1.11 0.13
VTLE C 2.71 0.13
HTLD C 0.00 0.13
TH C 0.58 0.13
SNCY C 0.00 0.12
FWRD D 2.20 0.12
REX D 1.47 0.12
RYI C 0.57 0.12
SHLS F 0.68 0.12
HCKT B 0.00 0.12
MBUU C 2.66 0.12
PARR F 0.93 0.11
PUBM C 0.88 0.11
KOP C 0.00 0.11
LPRO C 0.80 0.11
MRVI F -0.83 0.11
FIGS F -0.84 0.11
ARKO D 0.00 0.11
HAYN A 0.00 0.11
LQDT B 0.00 0.11
ARRY F -0.15 0.11
PCRX C 0.76 0.10
PLPC B 0.78 0.10
EYE C -0.71 0.10
METC C 1.21 0.10
IMXI B -0.52 0.10
HZO F 0.41 0.10
RGR F 0.23 0.10
AMRK D -0.23 0.10
WRLD D 0.00 0.10
IRMD B 0.79 0.10
REPX A 2.18 0.10
CDMO A 0.65 0.10
FLGT F 0.75 0.09
SWBI D 0.00 0.09
LEGH D 0.40 0.09
EVER F 1.06 0.09
LXU C 0.00 0.09
CTLP B 0.06 0.09
CSV B 0.63 0.08
UWMC D -0.25 0.08
RICK C 1.27 0.08
SLP F 1.05 0.08
EGY F 0.00 0.08
IIIN C 0.57 0.08
HUMA F 1.47 0.08
IIIV B 0.95 0.08
MCFT C 0.10 0.07
LESL D -2.00 0.07
DHIL A 0.00 0.07
KE C 0.73 0.07
CRSR C 1.45 0.07
LOVE A 3.18 0.07
THRY F 0.00 0.07
BBW B 0.77 0.07
BAND D 0.78 0.07
GCMG A 0.00 0.07
HNRG B 0.54 0.06
MYE F -2.39 0.06
EWCZ F 0.00 0.06
ODC C 0.00 0.06
CLFD F 0.72 0.06
ORGO B 0.25 0.06
SD D 1.03 0.06
REI F 2.60 0.05
RNGR A 0.00 0.05
LSEA F 0.66 0.05
CCRN F -1.08 0.05
HVT F -0.22 0.05
SMLR A 11.35 0.05
LAW F 0.82 0.05
IPI B 0.00 0.05
VYGR F -2.24 0.05
BRY F 0.36 0.05
TITN D 1.85 0.05
MITK D 1.03 0.05
TCMD B 0.00 0.05
NEWT B 0.58 0.05
ONEW F 0.75 0.05
UTMD F 0.00 0.04
ZYXI D -0.38 0.04
AMPY F 0.60 0.04
HDSN F 0.17 0.04
CLW F 0.65 0.04
ZEUS C 0.27 0.04
NRC F -0.22 0.04
OSUR F 0.92 0.04
AEHR F 0.40 0.04
CRMT F 0.00 0.03
EPM A 0.00 0.03
RCMT C 0.00 0.03
MED D 1.49 0.03
EVC C 0.00 0.03
TTEC F 0.00 0.03
DSP A 0.00 0.03
INTT C -0.13 0.02
LUNA F 1.83 0.00
NRDY D 0.00 0.00

Recent News for WisdomTree U.S. SmallCap Quality Growth Fund & its Holdings

Date Stock Title
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Nov 21 SCVL Shoe Carnival: Fiscal Q3 Earnings Snapshot
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Nov 21 SCVL Shoe Carnival Reports Third Quarter Fiscal 2024 Results
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Nov 21 SCVL Earnings Scheduled For November 21, 2024
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Nov 21 POWL Powell Industries Inc (POWL) Q4 2024 Earnings Call Highlights: Record Revenue and Strategic ...
Under normal circumstances, the fund invests at least 80% of its net assets in the constituent securities of the index, each of which is a security issued by a small-cap company, identified in accordance with the index provider"s market-capitalization selection parameters, that is incorporated and headquartered in the United States.
Index Fund Investment Management Stock Fund
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