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EZM | WisdomTree U.S. MidCap Earnings Fund ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
FOXA Fox Corporation 21.94B 0.89%
49.53 1.41% 21.87% 19.47%
APTV Aptiv PLC 13.83B 0.79%
58.86 3.25% 37.24% 42.45%
OVV Ovintiv Inc. 9.84B 0.78%
37.78 0.11% 39.16% 63.34%
AES The AES Corporation 9.24B 0.72%
13.00 4.50% 40.90% 47.32%
ROIV Roivant Sciences Ltd. 8.42B 0.71%
11.57 0.61% 45.10% 54.92%
ACI Albertsons Companies, Inc. 11.31B 0.70%
19.52 0.57% 23.66% 48.36%
WBA Walgreens Boots Alliance, Inc. 8.25B 0.69%
9.55 2.14% 85.21% 79.28%
2318605D Bunge Global Sa 0.68%
APA APA Corporation 7.78B 0.63%
21.04 2.73% 47.24% 61.39%
JAZZ Jazz Pharmaceuticals plc 7.43B 0.59%
122.97 0.10% 32.47% 28.35%
DKS DICK'S Sporting Goods, Inc. 17.82B 0.59%
218.76 0.54% 35.32% 19.95%
CAG Conagra Brands, Inc. 12.94B 0.58%
27.11 1.12% 30.10% 96.77%
TAP Molson Coors Beverage Company 12.23B 0.57%
59.34 1.18% 26.34% 45.19%
GL Globe Life Inc. 9.18B 0.54%
109.39 3.29% 36.91% 15.71%
JXN-W Jackson Financial Inc-A W/I 0.53%
PARA Paramount Global 7.57B 0.52%
10.66 0.76% 49.67% 21.43%
IPG The Interpublic Group of Companies, Inc. 10.83B 0.52%
29.07 1.54% 43.50% 85.33%
AAL American Airlines Group Inc. 11.09B 0.51%
16.88 1.44% 47.06% 42.82%
SJM The J. M. Smucker Company 11.69B 0.50%
109.89 0.84% 25.16% 21.51%
THC Tenet Healthcare Corporation 12.31B 0.49%
129.46 2.99% 37.98% 32.64%
BF/B UN Brown-Forman Corp 0.47%
PPC Pilgrim's Pride Corporation 10.95B 0.47%
46.16 -2.88% 39.41% 73.98%
SNX TD SYNNEX Corporation 9.95B 0.46%
116.90 -0.50% 34.83% 72.51%
MGM MGM Resorts International 10.17B 0.45%
34.16 2.15% 34.27% 35.41%
UHS Universal Health Services, Inc. 10.58B 0.44%
180.11 2.45% 32.30% 27.96%
PR Permian Resources Corporation 10.92B 0.42%
13.60 0.59% 36.34% 46.90%
NOV NOV Inc. 5.47B 0.42%
14.07 0.07% 36.22% 57.32%
LNC Lincoln National Corporation 5.28B 0.42%
31.00 0.98% 35.91% 31.99%
BWA BorgWarner Inc. 6.97B 0.42%
31.88 1.27% 34.42% 48.68%
PAG Penske Automotive Group, Inc. 10.51B 0.41%
157.38 0.24% 27.99% 32.64%
SOLV Solventum Corporation 11.55B 0.41%
66.83 0.04% 35.96% 14.35%
MTDR Matador Resources Company 6.62B 0.41%
53.07 0.91% 36.26% 33.91%
AFG American Financial Group, Inc. 11.50B 0.40%
136.98 0.38% 22.75% 72.59%
DON WisdomTree U.S. MidCap Dividend Fund 0.40% 51.06 1.05% 16.80% 27.14%
WBS Webster Financial Corporation 9.43B 0.40%
54.99 1.59% 33.46% 22.42%
AIZ Assurant, Inc. 10.89B 0.39%
212.27 1.84% 21.14% 38.38%
AMG Affiliated Managers Group, Inc. 5.52B 0.39%
182.53 1.67% 20.79% 40.37%
CHRD Chord Energy Corporation 6.78B 0.39%
110.83 0.38% 35.54% 64.54%
DBX Dropbox, Inc. 9.37B 0.38%
30.25 1.54% 31.35% 29.39%
CROX Crocs, Inc. 6.52B 0.37%
111.86 5.85% 43.11% 43.50%
LAD Lithia Motors, Inc. 9.59B 0.37%
359.98 -0.09% 33.81% 24.33%
EMN Eastman Chemical Company 10.64B 0.37%
91.76 1.92% 25.04% 24.81%
GPS Gap Inc/The 0.36%
BBWI Bath & Body Works, Inc. 8.51B 0.36%
39.27 1.79% 44.41% 36.51%
BERY Berry Global Group, Inc. 7.40B 0.36%
64.20 -0.76% 35.26% 60.58%
CIVI Civitas Resources, Inc. 4.13B 0.36%
42.83 0.09% 38.87% 53.78%
ORI Old Republic International Corporation 9.15B 0.35%
36.09 1.12% 21.21% 24.58%
FHN First Horizon Corporation 10.57B 0.35%
19.94 3.48% 31.42% 35.66%
GPK Graphic Packaging Holding Company 8.04B 0.35%
26.79 -2.23% 45.80% 39.15%
IVZ Invesco Ltd. 7.79B 0.34%
17.33 3.28% 34.47% 33.30%
MTG MGIC Investment Corporation 5.99B 0.34%
23.66 1.46% 38.22% 69.32%
RL Ralph Lauren Corporation 14.30B 0.34%
230.28 3.52% 30.69% 14.87%
HST Host Hotels & Resorts, Inc. 12.72B 0.34%
18.20 3.23% 28.53% 76.43%
M Macy's, Inc. 4.51B 0.34%
16.24 2.46% 51.46% 45.56%
TMHC Taylor Morrison Home Corporation 6.18B 0.34%
59.73 0.83% 33.62% 35.67%
WMG Warner Music Group Corp. 16.14B 0.33%
31.16 1.40% 24.83% 35.95%
LBRDK Liberty Broadband Corporation 11.07B 0.33%
77.50 0.10% 35.40% 0.50%
AN AutoNation, Inc. 6.75B 0.33%
170.19 0.25% 31.35% 27.91%
ALV Autoliv, Inc. 7.24B 0.33%
91.90 0.69% 30.51% 57.95%
ESNT Essent Group Ltd. 5.66B 0.33%
53.26 0.66% 35.55% 90.96%
LEA Lear Corporation 5.15B 0.33%
94.78 1.71% 37.11% 64.88%
NCLH Norwegian Cruise Line Holdings Ltd. 11.83B 0.33%
26.91 5.90% 44.51% 22.50%
ALSN Allison Transmission Holdings, Inc. 9.47B 0.32%
109.30 1.94% 35.04% 47.57%
COKE Coca-Cola Consolidated, Inc. 10.54B 0.32%
1,202.60 -1.56% N/A N/A
MTH Meritage Homes Corporation 5.59B 0.32%
154.61 1.78% 39.29% 31.69%
PVH PVH Corp. 5.98B 0.32%
107.45 3.68% 36.29% 24.20%
ADT ADT Inc. 5.82B 0.32%
6.83 0.59% 90.15% 25.05%
WHR Whirlpool Corporation 6.31B 0.31%
114.51 0.46% 32.02% 28.94%
ACT Enact Holdings, Inc. 5.03B 0.31%
32.72 0.37% 33.43% 54.42%
ALK Alaska Air Group, Inc. 8.38B 0.31%
66.02 1.62% 42.76% 49.51%
CCK Crown Holdings, Inc. 9.94B 0.31%
83.05 0.98% 21.01% 15.79%
SLM SLM Corporation 5.90B 0.31%
27.79 1.16% 32.17% 59.04%
MTCH Match Group, Inc. 8.48B 0.31%
33.76 6.70% 38.30% 26.72%
SM SM Energy Company 4.19B 0.31%
36.59 -0.49% 43.29% 52.70%
WAL Western Alliance Bancorporation 9.31B 0.31%
84.62 2.12% 35.85% 8.76%
OGN Organon & Co. 3.75B 0.31%
14.58 0.97% 48.12% 52.73%
AGCO AGCO Corporation 6.98B 0.31%
93.50 3.26% 32.39% 64.45%
OSK Oshkosh Corporation 6.11B 0.30%
93.84 -0.37% 32.66% 44.59%
SF Stifel Financial Corp. 10.69B 0.30%
104.49 2.17% 27.70% 29.77%
TPG TPG Inc. 23.66B 0.30%
64.82 1.31% 38.55% 40.32%
OZK Bank OZK 4.97B 0.30%
43.83 0.92% 50.05% 72.36%
VOYA Voya Financial, Inc. 6.47B 0.30%
67.21 0.70% 25.79% 30.65%
AGO Assured Guaranty Ltd. 4.46B 0.30%
87.70 2.10% 27.90% 28.02%
INGR Ingredion Incorporated 9.00B 0.29%
138.19 -0.43% 22.41% 43.04%
WPC W. P. Carey Inc. 11.87B 0.29%
54.25 1.52% 26.23% 39.94%
UGI UGI Corporation 5.85B 0.29%
27.27 0.59% 41.17% 42.27%
QRVO Qorvo, Inc. 6.70B 0.29%
70.85 2.98% 36.27% 41.48%
WTM White Mountains Insurance Group, Ltd. 4.96B 0.29%
1,930.90 2.45% N/A N/A
MLI Mueller Industries, Inc. 9.12B 0.29%
80.18 0.87% 31.31% 38.45%
WEX WEX Inc. 6.74B 0.29%
169.39 1.16% 27.61% 41.16%
ALLE Allegion plc 11.49B 0.28%
132.18 1.19% 28.50% 35.63%
ARW Arrow Electronics, Inc. 6.03B 0.28%
114.75 -0.58% 27.12% 39.96%
DXC DXC Technology Company 3.73B 0.28%
20.60 -4.14% 31.37% 8.17%
WU The Western Union Company 3.62B 0.28%
10.71 0.09% 30.17% 76.07%
SKX Skechers U.S.A., Inc. 10.21B 0.28%
67.65 2.05% 30.37% 36.90%
COOP Mr. Cooper Group Inc. 6.09B 0.28%
95.14 1.50% 31.39% 47.99%
DDS Dillard's, Inc. 6.91B 0.28%
434.34 0.59% 52.40% 12.90%
PRI Primerica, Inc. 9.06B 0.28%
271.50 1.75% 25.03% 23.49%
HRB H&R Block, Inc. 7.50B 0.28%
54.72 1.54% 30.35% 22.67%
RDN Radian Group Inc. 4.77B 0.28%
32.05 1.01% 23.34% 56.54%
Total holdings: 559 Recognized Stocks: 537 Recognized ETFs: 2 Others: 20
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