Components WisdomTree International MidCap Dividend Fund - USD

ETF

DIM

US97717W7781

Market Closed - Nyse 21:10:00 21/06/2024 BST 5-day change 1st Jan Change
61.59 USD -0.75% Intraday chart for WisdomTree International MidCap Dividend Fund - USD +0.42% +1.35%

Composition of WisdomTree International MidCap Dividend Fund - USD

Weight
62.75 EUR -1.18%+4.15%+1.87%0.83%
3.583 EUR -0.75%+2.49%+14.91%0.71%
17.11 AUD -0.35%+0.71%+6.21%0.66%
13.62 EUR -1.38%+0.70%+21.55%0.65%
41.3 HKD -1.90%-3.05%-8.73%0.65%
5.74 HKD -2.55%-3.20%-4.01%0.62%
35.93 NOK -1.94%+6.11%+11.72%0.61%
3,324 ILa -2.81%-0.78%+1.03%0.58%
31.46 EUR -0.25%+2.14%-7.80%0.57%
50.74 CHF -1.67%+0.28%+7.61%0.56%
31.85 HKD -1.55%-2.30%-27.37%0.56%
10.48 EUR -0.66%+1.75%+22.80%0.55%
12.44 HKD -2.20%-5.61%-21.27%0.55%
24.24 EUR -2.92%-1.46%-2.14%0.55%
3.19 AUD +1.27%+2.24%+6.69%0.53%
6.064 EUR -1.81%+3.13%+26.84%0.52%
896.8 JPY +0.71%-2.98%+40.63%0.51%
43.5 EUR -0.18%+3.08%+10.66%0.51%
6.52 SGD +0.31%-0.15%-7.78%0.51%
26.62 EUR -1.84%-0.15%+16.40%0.50%
5.886 EUR +0.48%+3.66%+12.16%0.50%
89.54 EUR -0.60%+5.39%-7.71%0.48%
29.35 EUR -3.93%-1.01%+37.66%0.48%
1,635 ILa -1.15%-3.14%-10.07%0.46%
10.54 EUR -1.86%-0.57%+4.77%0.46%
18.96 EUR -1.99%+3.97%+2.51%0.46%
39.66 EUR -1.83%+1.12%-1.25%0.46%
9,140 GBX +0.42%+1.47%+12.59%0.46%
151.5 DKK -1.43%+5.87%+3.13%0.44%
3,424 JPY -0.20%-2.31%+9.32%0.44%
3,061 ILa -2.95%-0.13%+3.76%0.44%
14.25 AUD +0.78%-1.86%+4.78%0.44%
18.88 EUR -1.54%+0.83%+41.53%0.44%
16.77 AUD +0.36%+2.32%+21.08%0.43%
42.96 EUR +0.33%+0.80%+2.60%0.43%
6.26 AUD +2.29%+0.48%+26.46%0.43%
25.76 EUR -0.16%+0.86%+4.38%0.41%
17.28 EUR -0.75%+1.29%+15.90%0.41%
2,700 GBX -0.37%+0.30%+17.14%0.40%
361.4 GBX -0.17%+3.26%+17.60%0.40%
800 JPY +0.23%-4.07%+42.76%0.40%
2.16 EUR -1.73%+1.41%+11.17%0.40%
43.15 EUR -2.66%+2.40%+20.26%0.37%
3.874 EUR +0.16%+3.31%+9.19%0.37%
45.36 EUR -1.52%-0.13%-20.03%0.37%
2,068 JPY -0.96%+2.35%+13.85%0.36%
99.2 EUR -0.65%-0.25%-1.10%0.36%
8,266 GBX -0.41%+1.05%+16.59%0.36%
96.55 CHF -1.73%+2.06%-11.01%0.36%
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ETF Ratings

Description

US97717W7781
Total Expense Ratio 0.58%
Asset Class
Sector
Size
Currency
Provider
Underlying WisdomTree International MidCap Dividend Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
15/06/2006
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 126 M€
AuM 1M 123 M€
AuM 3 months 122 M€
AuM 6 months 126 M€
AuM 12 months 120 M€
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  4. Components WisdomTree International MidCap Dividend Fund - USD