Components WisdomTree International Hedged Quality Dividend Growth Fund - USD

ETF

IHDG

US97717X5941

Market Closed - NYSE 21:10:00 21/07/2026 BST 5-day change 1st Jan Change
52.36 USD +1.53% Intraday chart for WisdomTree International Hedged Quality Dividend Growth Fund - USD +0.42% +7.60%

Components: WisdomTree International Hedged Quality Dividend Growth Fund - USD

2,944.50JPY+1.55%-12.26%5.58%
478.55EUR-1.70%-25.81%3.77%
54.10EUR+1.24%-3.98%3.51%
22.57EUR+1.58%+12.57%2.88%
26.68EUR-1.51%-3.54%2.77%
529.30GBX+1.42%+22.30%2.76%
12,492.00GBX+0.90%-9.41%2.74%
29.06EUR+2.11%+21.03%2.27%
378.75EUR-0.43%+3.31%2.23%
1,893.00GBX+0.58%+3.75%2.18%
1,593.40EUR+4.77%+72.93%2.08%
339.50SEK+0.24%+14.73%2.03%
324.05DKK-1.20%-0.37%1.98%
113.25GBX+2.07%+15.28%1.63%
57.12EUR+1.60%+22.23%1.61%
42.59CHF+1.28%+15.23%1.52%
66,570.00JPY+2.26%+93.97%1.31%
268.80EUR+1.55%+14.43%1.27%
136.42EUR-1.33%-34.52%1.18%
80.88CHF+2.02%+36.58%1.16%
176.52EUR-0.66%+21.16%1.11%
43.24EUR+1.74%+15.86%1.07%
2,793.00GBX-1.83%-10.45%1.06%
1,681.00EUR+0.30%-20.78%0.99%
116.30EUR+3.29%+13.02%0.9%
4.430SGD+0.91%-2.64%0.88%
194.60EUR+1.47%-1.92%0.81%
7,205.00JPY+0.67%+47.86%0.76%
322.90EUR-0.55%+8.57%0.76%
7,397.00JPY+0.98%-10.26%0.75%
91.84AUD-1.20%+13.26%0.72%
4,792.00JPY+1.59%-2.24%0.72%
197.60SEK+1.93%+19.00%0.69%
1,909.00GBX+1.81%+11.38%0.68%
36.42EUR+2.82%+19.41%0.66%
1,372.60GBX+1.08%+19.36%0.66%
35.06EUR+0.60%+23.84%0.64%
2,450.00GBX-0.41%+12.44%0.63%
346.90SEK+3.40%+15.40%0.62%
677.40CHF+0.09%-31.05%0.62%
6,946.00JPY+4.77%+30.17%0.6%
74.40CHF-0.40%-4.32%0.59%
7,209.00ILa+0.80%+2.69%0.56%
598.60JPY+2.22%-6.73%0.54%
121.38AUD-1.00%-29.70%0.51%
2,454.00GBX-2.54%-18.74%0.51%
48.20EUR-1.69%-20.41%0.51%
4,073.00JPY+2.00%+101.28%0.5%

ETF Ratings

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Description

US97717X5941
Total Expense Ratio 0.58%
Asset Class Stocks
Currency
Provider
Underlying WisdomTree International Hedged Quality Dividend Growth Total Return Index - USD
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
06/05/2014
Factor

Distribution

Retail investor

AuM evolution - 26/02/2026

AuM (USD) 2.38B
AuM 1M 2.29B
AuM 3 months 2.31B
AuM 6 months 2.37B
AuM 12 months 3.42B
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