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Wisdomtree International Equity Fund (DWM)

Wisdomtree International Equity Fund (DWM)
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Overview

Name WisdomTree International Equity Fund
Fund Family WisdomTree Investments
Underlying Index WisdomTree International Equity Index
Inception Date 06/16/06
First Trade Date 06/16/06
Leverage Long
Asset Class Equity

Description:

The WisdomTree International Equity Fund seeks to track the investment results of dividend-paying companies in the developed world ex the U.S. and Canada. Prior to August 31, 2015, the WisdomTree International Equity Fund was named the WisdomTree DEFA Fund.

Investment Information

Alpha 0.57
60-Month Beta 0.79
Standard Deviation +0.27
Shares Outstanding, K 9,550.00
Managed Assets, $K 511,987.00 K
Net Asset Value 53.61
First Trade Price 50.20
P/E Ratio 9.93
Management Fee 0.48%
Options No
Latest Dividend 0.295
Last Dividend Date 09/25/24
Annual Dividend 2.02
Annual Dividend Yield 3.78%
1-Year Return 8.04%
3-Year Return 3.98%
5-Year Return 3.99%
Management Expense Ratio 0.48%

DWM Dividends

Date Value
09/25/24 $0.2950
06/25/24 $1.0200
03/22/24 $0.3250
12/22/23 $0.3850
09/25/23 $0.3300
06/26/23 $1.0100
03/27/23 $0.4550
12/23/22 $0.3120
09/26/22 $0.3650
06/24/22 $1.0800
03/25/22 $0.2950
12/27/21 $0.4280
09/24/21 $0.5400
06/24/21 $0.7150
03/25/21 $0.2850
12/21/20 $0.3340
09/22/20 $0.3800
06/23/20 $0.4850
03/24/20 $0.1910
12/23/19 $0.3450
09/24/19 $0.3150
06/24/19 $0.9000
03/26/19 $0.2900
12/24/18 $0.3270
09/25/18 $0.2980
06/25/18 $1.0040
03/20/18 $0.1710
12/26/17 $0.3250
09/26/17 $0.3050
06/26/17 $0.8200
03/27/17 $0.2200
12/23/16 $0.3170
09/26/16 $0.2350
06/20/16 $0.8250
03/21/16 $0.2140
12/21/15 $0.3140
09/21/15 $0.2963
06/22/15 $0.8401
03/23/15 $0.2030
12/19/14 $0.3888
09/22/14 $0.3008
06/23/14 $0.9671
03/24/14 $0.6805
12/24/13 $0.3266
09/23/13 $0.3411
06/24/13 $0.9405
03/22/13 $0.1857
12/24/12 $0.3283
09/24/12 $0.2707
06/25/12 $0.8248
03/26/12 $0.2113
12/21/11 $0.3473
09/26/11 $0.3497
06/22/11 $0.9824
03/21/11 $0.1955
12/22/10 $0.3290
09/20/10 $0.2439
06/28/10 $0.8220
03/29/10 $0.1336
12/21/09 $0.5380
09/21/09 $0.5209
06/22/09 $0.9220
03/23/09 $0.1105
12/22/08 $1.7610
12/17/07 $0.9150
12/21/06 $0.2320
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