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Wisdomtree U.S. Quality Dividend Growth Fund (DGRW)

Wisdomtree U.S. Quality Dividend Growth Fund (DGRW)
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Overview

Name WisdomTree U.S. Quality Dividend Growth Fund
Fund Family WisdomTree Investments
Underlying Index WisdomTree U.S. Quality Dividend Growth Index
Inception Date 05/24/13
First Trade Date 05/22/13
Leverage Long
Asset Class Portfolio-Multi Asset

Description:

The WisdomTree U.S. Quality Dividend Growth Fund seeks to track the investment results of dividend-paying large-cap companies with growth characteristics in the U.S. equity market. Prior to August 31, 2015, the WisdomTree Emerging Markets Quality Dividend Growth Fund was named the WisdomTree Emerging Markets Dividend Growth Fund.

Investment Information

Alpha -0.76
60-Month Beta 0.88
Standard Deviation -0.21
Shares Outstanding, K 177,200.00
Managed Assets, $K 14,757,216.00 K
Net Asset Value 83.28
First Trade Price 25.11
P/E Ratio 19.64
Management Fee 0.28%
Options Yes
Latest Dividend 0.075
Last Dividend Date 10/28/24
Annual Dividend 1.27
Annual Dividend Yield 1.52%
1-Year Return 24.26%
3-Year Return 32.95%
5-Year Return 75.03%
Management Expense Ratio 0.28%

DGRW Dividends

Date Value
10/28/24 $0.0750
09/25/24 $0.1450
08/27/24 $0.1050
07/26/24 $0.0600
06/25/24 $0.1800
05/24/24 $0.0700
04/24/24 $0.0650
03/22/24 $0.1700
02/23/24 $0.0800
01/25/24 $0.0050
12/22/23 $0.2150
11/24/23 $0.1000
10/25/23 $0.0500
09/25/23 $0.1550
08/25/23 $0.0850
07/25/23 $0.0800
06/26/23 $0.1200
05/24/23 $0.1250
04/24/23 $0.0400
03/27/23 $0.1900
02/22/23 $0.0600
01/25/23 $0.0050
12/23/22 $0.2300
11/23/22 $0.0750
10/25/22 $0.0550
09/26/22 $0.1850
08/25/22 $0.1000
07/25/22 $0.0650
06/24/22 $0.1900
05/24/22 $0.0700
04/25/22 $0.0950
03/25/22 $0.1450
02/22/22 $0.0750
01/25/22 $0.0150
12/27/21 $0.2030
11/23/21 $0.0750
10/25/21 $0.0650
09/24/21 $0.1500
08/25/21 $0.0750
07/26/21 $0.0650
06/24/21 $0.1550
05/24/21 $0.0600
04/26/21 $0.0900
03/25/21 $0.1250
02/22/21 $0.0650
01/25/21 $0.0450
12/30/20 $0.0180
12/21/20 $0.1550
11/23/20 $0.0650
10/27/20 $0.1050
09/22/20 $0.0700
08/25/20 $0.0700
07/28/20 $0.0550
06/23/20 $0.1200
05/26/20 $0.0700
04/21/20 $0.0900
03/24/20 $0.1000
02/25/20 $0.0850
01/21/20 $0.0400
12/30/19 $0.0160
12/23/19 $0.1040
11/25/19 $0.1100
10/22/19 $0.0700
09/24/19 $0.0600
08/27/19 $0.1400
07/23/19 $0.0600
06/24/19 $0.0800
05/28/19 $0.1250
04/23/19 $0.0800
03/26/19 $0.0850
02/19/19 $0.0800
01/22/19 $0.0550
12/24/18 $0.1560
12/04/18 $0.0270
11/20/18 $0.0650
10/23/18 $0.0150
09/25/18 $0.1440
08/21/18 $0.0650
07/24/18 $0.0850
06/25/18 $0.1150
05/22/18 $0.0400
04/24/18 $0.0200
03/20/18 $0.1410
02/20/18 $0.0400
01/23/18 $0.0150
12/26/17 $0.1320
11/21/17 $0.0200
10/24/17 $0.0450
09/26/17 $0.1000
08/21/17 $0.0500
07/24/17 $0.0500
06/26/17 $0.0850
05/22/17 $0.0400
04/24/17 $0.0350
03/27/17 $0.1050
02/17/17 $0.3500
01/23/17 $0.0200
12/23/16 $0.1050
11/21/16 $0.0500
10/24/16 $0.0350
09/26/16 $0.0950
08/22/16 $0.0450
07/25/16 $0.0700
06/20/16 $0.0600
05/23/16 $0.0500
04/25/16 $0.0600
03/21/16 $0.0650
02/22/16 $0.0500
01/25/16 $0.0250
12/21/15 $0.0980
11/23/15 $0.0640
10/26/15 $0.0290
09/21/15 $0.0800
08/24/15 $0.0600
07/27/15 $0.0297
06/22/15 $0.0745
05/22/15 $0.0594
04/20/15 $0.0199
03/23/15 $0.0634
02/23/15 $0.0665
01/26/15 $0.0158
12/29/14 $0.0094
12/19/14 $0.0604
11/21/14 $0.0615
10/27/14 $0.0226
09/22/14 $0.0700
08/25/14 $0.0500
07/21/14 $0.0480
06/23/14 $0.0480
05/23/14 $0.0356
04/21/14 $0.0375
03/24/14 $0.0380
02/24/14 $0.0380
01/27/14 $0.0380
12/24/13 $0.0657
11/22/13 $0.0380
10/21/13 $0.0380
09/23/13 $0.0380
08/26/13 $0.0380
07/22/13 $0.0380
06/24/13 $0.0380
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