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DHS | WisdomTree U.S. High Dividend Fund ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
JNJ Johnson & Johnson 347.83B 5.01%
144.47 0.62% 19.93% 50.22%
XOM Exxon Mobil Corporation 465.31B 4.84%
105.87 0.34% 25.38% 43.45%
PM Philip Morris International Inc. 193.14B 4.52%
124.22 1.68% 22.70% 63.98%
ABBV AbbVie Inc. 310.27B 4.36%
175.58 2.37% 25.31% 55.38%
PEP PepsiCo, Inc. 209.63B 4.03%
152.79 0.87% 21.94% 54.48%
CVX Chevron Corporation 256.71B 3.83%
142.85 1.20% 22.44% 37.45%
MO Altria Group, Inc. 91.25B 3.78%
53.84 1.60% 21.98% 54.51%
MRK Merck & Co., Inc. 248.03B 3.05%
98.05 -1.48% 25.78% 55.19%
T AT&T Inc. 163.24B 2.95%
22.75 0.80% 29.51% 66.90%
IBM International Business Machines Corporat... 206.53B 2.31%
223.36 -0.25% 25.08% 34.86%
GILD Gilead Sciences, Inc. 115.37B 2.28%
92.57 1.62% 36.85% 46.92%
SECURITY NAME TBD 2.06%
BMY Bristol-Myers Squibb Company 116.28B 1.90%
57.33 1.83% 28.90% 41.38%
AMGN Amgen Inc. 141.58B 1.82%
263.38 0.84% 25.97% 20.88%
C Citigroup Inc. 130.86B 1.67%
69.19 1.13% 24.58% 36.46%
DUK Duke Energy Corporation 83.64B 1.60%
108.28 1.12% 21.27% 55.78%
SO The Southern Company 90.79B 1.57%
82.86 1.32% 19.64% 57.83%
USB U.S. Bancorp 74.76B 1.21%
47.92 1.08% 28.39% 48.18%
TFC Truist Financial Corporation 57.51B 1.10%
43.32 1.81% 23.64% 45.94%
PNC The PNC Financial Services Group, Inc. 76.48B 1.03%
192.76 1.44% 22.20% 48.13%
KMB Kimberly-Clark Corporation 43.79B 1.02%
131.32 -0.10% 20.13% 59.13%
AEP American Electric Power Company, Inc. 49.40B 0.96%
92.75 1.66% 24.88% 58.61%
TGT Target Corporation 60.25B 0.93%
131.48 0.81% 28.07% 22.59%
KMI Kinder Morgan, Inc. 59.65B 0.81%
26.85 2.32% 28.05% 98.37%
PRU Prudential Financial, Inc. 41.95B 0.79%
117.83 2.04% 27.61% 39.29%
SPG Simon Property Group, Inc. 55.99B 0.75%
171.61 1.39% 22.74% 12.02%
WMB The Williams Companies, Inc. 65.20B 0.73%
53.49 1.75% 23.55% 70.22%
OKE ONEOK, Inc. 58.47B 0.70%
100.08 2.48% 29.29% 77.32%
D Dominion Energy, Inc. 45.07B 0.70%
53.66 1.26% 23.56% 27.72%
KVUE Kenvue Inc. 41.74B 0.69%
21.77 0.74% 26.99% 32.68%
DTD WisdomTree U.S. Total Dividend Fund 0.67% 76.29 1.13% 15.52% N/A
EOG EOG Resources, Inc. 66.95B 0.67%
119.04 0.69% 25.87% 36.99%
GIS General Mills, Inc. 35.31B 0.63%
63.61 -0.62% 26.86% 66.91%
EIX Edison International 30.79B 0.55%
79.52 2.04% 23.54% 41.39%
PLD Prologis, Inc. 95.69B 0.54%
103.32 1.89% 29.62% 33.52%
TROW T. Rowe Price Group, Inc. 25.80B 0.53%
116.12 2.79% 27.13% 13.18%
HPQ HP Inc. 30.89B 0.52%
32.94 1.48% 29.63% 27.25%
PSX Phillips 66 45.58B 0.52%
110.37 0.02% 30.38% 47.62%
CNA CNA Financial Corporation 13.06B 0.51%
48.21 1.15% 36.25% 66.66%
ED Consolidated Edison, Inc. 31.19B 0.51%
90.03 1.08% 21.56% 53.96%
STT State Street Corporation 28.79B 0.51%
98.20 2.91% 31.29% 77.19%
ADM Archer-Daniels-Midland Company 24.16B 0.50%
50.49 2.25% 26.21% 23.40%
FITB Fifth Third Bancorp 28.79B 0.50%
42.93 1.59% 23.19% 11.70%
WEC WEC Energy Group, Inc. 29.90B 0.47%
94.50 1.33% 19.16% 23.37%
HBAN Huntington Bancshares Incorporated 23.71B 0.47%
16.32 2.58% 26.10% 35.98%
EXC Exelon Corporation 37.20B 0.46%
37.02 -0.46% 18.81% 57.36%
RF Regions Financial Corporation 21.60B 0.46%
23.77 2.59% 30.42% 52.26%
DRI Darden Restaurants, Inc. 22.04B 0.44%
187.59 2.26% 30.15% 73.87%
HSY The Hershey Company 34.45B 0.44%
170.26 0.78% 31.54% 72.27%
BBY Best Buy Co., Inc. 18.29B 0.43%
85.55 0.41% 31.66% 30.73%
AFG American Financial Group, Inc. 11.50B 0.43%
136.98 0.38% 22.75% 72.59%
CAG Conagra Brands, Inc. 12.94B 0.41%
27.11 1.12% 30.10% 96.77%
CFG Citizens Financial Group, Inc. 19.15B 0.40%
43.45 2.36% 33.36% 42.35%
PSA Public Storage 52.12B 0.40%
297.50 2.82% 23.23% 25.39%
HRL Hormel Foods Corporation 17.39B 0.39%
31.68 0.32% 23.05% 39.03%
IP International Paper Company 18.92B 0.38%
54.45 1.13% 29.30% 41.15%
PFG Principal Financial Group, Inc. 17.68B 0.37%
77.30 2.82% 28.87% 47.70%
AMT American Tower Corporation 85.86B 0.37%
183.73 2.41% 27.79% 45.64%
VTRS Viatris Inc. 14.94B 0.36%
12.52 3.22% 30.30% 30.97%
IPG The Interpublic Group of Companies, Inc. 10.83B 0.34%
29.07 1.54% 43.50% 85.33%
TSN Tyson Foods, Inc. 20.26B 0.34%
58.02 -0.31% 27.43% 45.83%
SWK Stanley Black & Decker, Inc. 12.64B 0.33%
82.00 3.24% 32.44% 40.41%
SWKS Skyworks Solutions, Inc. 14.19B 0.33%
88.75 0.56% 36.84% 42.97%
FNF Fidelity National Financial, Inc. 15.35B 0.32%
56.11 1.67% 28.13% 63.88%
SJM The J. M. Smucker Company 11.69B 0.32%
109.89 0.84% 25.16% 21.51%
CPB Campbell Soup Company 12.37B 0.32%
41.50 -0.19% 24.47% 49.80%
OWL Blue Owl Capital Inc. 35.08B 0.31%
23.49 1.69% 38.87% 68.72%
ETR Entergy Corporation 32.22B 0.30%
75.13 0.86% 21.51% 40.47%
WHR Whirlpool Corporation 6.31B 0.30%
114.51 0.46% 32.02% 28.94%
LEAF Springleaf Holdings Inc 0.30%
O Realty Income Corporation 46.20B 0.29%
52.79 1.99% 21.20% 49.27%
MTN Vail Resorts, Inc. 6.90B 0.28%
184.32 1.43% 30.56% 37.44%
FE FirstEnergy Corp. 22.93B 0.27%
39.79 1.61% 19.45% 46.38%
EMN Eastman Chemical Company 10.64B 0.27%
91.76 1.92% 25.04% 24.81%
REYN Reynolds Consumer Products Inc. 5.80B 0.27%
27.61 0.55% 100.05% 64.98%
VICI VICI Properties Inc. 30.35B 0.26%
28.79 1.84% 23.09% 28.35%
HAS Hasbro, Inc. 8.03B 0.26%
57.58 1.89% 29.31% 13.75%
CMA Comerica Incorporated 8.04B 0.26%
61.16 1.92% 34.86% 27.06%
NU Nu Holdings Ltd. 49.30B 0.26%
10.38 0.48% 47.83% 39.02%
AGCO AGCO Corporation 6.98B 0.25%
93.50 3.26% 32.39% 64.45%
DDS Dillard's, Inc. 6.91B 0.25%
434.34 0.59% 52.40% 12.90%
COLB Columbia Banking System, Inc. 5.70B 0.24%
27.19 2.99% 48.87% 37.44%
LNC Lincoln National Corporation 5.28B 0.24%
31.00 0.98% 35.91% 31.99%
EVRG Evergy, Inc. 14.13B 0.24%
61.43 1.49% 18.09% 24.30%
FMC FMC Corporation 6.26B 0.23%
50.15 4.78% 37.90% 22.75%
SON Sonoco Products Company 4.86B 0.23%
49.42 -1.46% 30.17% 31.13%
DTE DTE Energy Company 24.89B 0.22%
120.18 1.75% 25.89% 53.05%
NXST Nexstar Media Group, Inc. 4.92B 0.22%
158.49 0.94% 29.42% 14.00%
FAF First American Financial Corporation 6.47B 0.22%
62.82 2.06% 47.86% 96.52%
VLY Valley National Bancorp 5.12B 0.22%
9.16 1.66% 36.64% 7.57%
LAZ Lazard Ltd 4.55B 0.22%
52.04 3.07% 31.48% 43.37%
LEA Lear Corporation 5.15B 0.22%
94.78 1.71% 37.11% 64.88%
MC Moelis & Company 5.21B 0.22%
73.81 2.91% 34.69% 21.33%
CALM Cal-Maine Foods, Inc. 5.02B 0.21%
102.89 -1.42% 40.94% 76.31%
OZK Bank OZK 4.97B 0.21%
43.83 0.92% 50.05% 72.36%
UBSI United Bankshares, Inc. 5.14B 0.21%
38.00 1.36% 78.36% 24.32%
MSM MSC Industrial Direct Co., Inc. 4.29B 0.21%
76.77 -0.32% 32.96% 65.03%
M Macy's, Inc. 4.51B 0.20%
16.24 2.46% 51.46% 45.56%
FLO Flowers Foods, Inc. 4.31B 0.20%
20.45 -0.87% 27.50% 40.95%
PPL PPL Corporation 23.93B 0.20%
32.43 1.28% 19.34% 102.62%
Total holdings: 381 Recognized Stocks: 367 Recognized ETFs: 1 Others: 13
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