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DIM | WisdomTree International MidCap Dividend Fund ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
AMUN.PA Amundi SA 0.85%
KPN.AS Koninklijke KPN NV 0.77%
0006.HK Power Assets Holdings Ltd 0.73%
COL.AX Coles Group Ltd 0.73%
MB.MI Mediobanca SpA 0.72%
BAER.SW Julius Baer Group Ltd 0.63%
POLI.TA Bank Hapoalim BM 0.63%
0003.HK Hong Kong & China Gas Co Ltd 0.62%
BMED.MI Banca Mediolanum SpA 0.61%
0823.HK Link REIT/The 0.60%
VAR.OL Var Energi Asa 0.59%
SCG.AX Scentre Group 0.58%
FORT VX Ageas 0.55%
SMDS.L DS Smith PLC 0.55%
RXL.PA Rexel SA 0.54%
1972.HK Swire Properties Ltd 0.54%
LUMI.TA Bank Leumi Le-Israel BM 0.54%
BXB.AX Brambles Industries Ltd 0.54%
BVI.PA Bureau Veritas SA 0.52%
KOG.OL Kongsberg Gruppen AS 0.51%
ACS.MC ACS Actividades de Construccion y Serviv... 0.51%
NXT.L Next PLC 0.50%
YAL.AX Yancoal Australia Ltd 0.50%
TRYG.CO Tryg A/S 0.50%
BAMI.MI Banco BPM Spa 0.50%
AGN.AS Aegon Ltd 0.49%
EVK.DE Evonik Industries AG 0.49%
KEP.SI Keppel Corp Ltd 0.48%
LI.PA Klepierre 0.48%
SUN.AX Suncorp Group Ltd 0.47%
EN.PA Bouygues SA 0.47%
HELN.SW Helvetia Holding AG-Reg 0.46%
MRL.MC Merlin Properties Socimi SA 0.45%
CCH.L Coca-Cola HBC AG 0.45%
1928.T Sekisui House Ltd 0.44%
ELISA FH Elisa Oyj 0.44%
REE.MC Red Electrica Corp SA 0.44%
DWS.DE DWS Group GmbH & Co KgaA 0.44%
UNI.MI Unipol Gruppo Finanziario SpA 0.44%
SGP.AX Stockland 0.44%
JBH.AX JB Hi-Fi Ltd 0.43%
MAP.MC Mapfre SA 0.43%
5020.T ENEOS Holdings Inc 0.42%
8604.T Nomura Holdings Inc 0.42%
8TRA.DE Traton SE 0.42%
HOT.DE Hochtief AG 0.40%
ICL.TA Israel Chemicals Ltd 0.40%
FGR.PA Eiffage SA 0.40%
IHG.L InterContinental Hotels Group 0.40%
A2A.MI A2A SpA 0.37%
BG AV Bawag Group Ag 0.37%
FDJ.PA La Francaise Des Jeux Saem 0.36%
BALN.SW Baloise Holding AG 0.36%
DSCT.TA Israel Discount Bank Ltd 0.35%
PRY.MI Prysmian SpA 0.35%
BEN.AX Bendigo and Adelaide Bank Ltd 0.35%
7202.T Isuzu Motors Ltd 0.35%
GALP PL Galp Energia SGPS SA 0.35%
SGX.SI Singapore Exchange Ltd 0.35%
RAND.AS Randstad Holding NV 0.34%
BNZL.L Bunzl PLC 0.34%
MZTF.TA Mizrahi Tefahot Bank Ltd 0.34%
SPSN.SW Swiss Prime Site AG 0.34%
WWASA.OL Wilh Wilhelmsen ASA 0.34%
STJ.L St James\''S Place Plc 0.34%
BCVN.SW Banque Cantonale Vaudois-Reg 0.33%
IG.MI Italgas SpA 0.33%
GJF.OL Gjensidige Forsikring ASA 0.33%
2503.T Kirin Holdings Co Ltd 0.32%
VCX.AX Vicinity Centre 0.32%
GFC.PA Gecina SA 0.32%
6988.T Nitto Denko Corp 0.32%
BKT.MC Bankinter SA 0.32%
STE.SI Singapore Technologies Engineering Ltd 0.32%
GET.PA Getlink SE 0.32%
NZYMB.CO Novozymes A/S 0.32%
CLI.SI Capitaland Investment Ltd/Si 0.31%
FME.DE Fresenius Medical Care AG & Co 0.31%
4188.T Mitsubishi Chemical Holdings Corp 0.31%
GPT.AX GPT Group 0.31%
ORG.AX Origin Energy Ltd 0.30%
FBK.MI FinecoBank Banca Fineco SpA 0.30%
0019.HK Swire Pacific Ltd 0.30%
NVG PL Navigator Co SA 0.30%
8308.T Resona Holdings Inc 0.30%
FTIN.TA First International Bank Of Is 0.30%
5334.T Niterra Co Ltd 0.29%
SBRY.L J Sainsbury PLC 0.29%
SDR.L Schroders Plc 0.29%
ADM.L Admiral Group PLC 0.29%
BGN.MI Banca Generali SpA 0.29%
SN-.L Smith & Nephew PLC 0.28%
LAND.L Land Securities Group PLC REIT 0.28%
DXS.AX Dexus 0.28%
PNDORA.CO Pandora A/S 0.28%
9503.T Kansai Electric Power Co Inc 0.28%
BESI.AS BE Semiconductor Industries NV 0.28%
HL-.L Hargreaves Lansdown PLC 0.27%
IPL.AX Incitec Pivot Ltd 0.27%
UU-.L United Utilities Group PLC 0.27%
Total holdings: 575
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