Schedule of Investments (unaudited)
WisdomTree Asia Defense Fund (WDAF)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
Australia — 6.6%
Aerospace & Defense — 4.0%                
Austal Ltd.*     83,906     $ 235,427  
DroneShield Ltd.*     199,213       333,996  
Electro Optic Systems Holdings Ltd.*     44,599       318,251  
Total Aerospace & Defense             887,674  
Construction & Engineering — 1.0%                
Ventia Services Group Pty. Ltd.     51,966       222,853  
Electronic Equipment, Instruments & Components — 1.6%                
Codan Ltd.     11,499       351,641  
Total Australia             1,462,168  
India — 30.3%                
Aerospace & Defense — 22.8%                
Apollo Micro Systems Ltd.     29,466       132,219  
Bharat Dynamics Ltd.     19,304       279,061  
Bharat Electronics Ltd.     396,587       1,725,298  
Data Patterns India Ltd.     5,169       245,828  
Dcx Systems Ltd.*     11,727       24,619  
Garden Reach Shipbuilders & Engineers Ltd.     5,950       171,362  
Hindustan Aeronautics Ltd.     38,141       1,765,324  
ideaForge Technology Ltd.*     4,075       35,113  
Mazagon Dock Shipbuilders Ltd.     15,300       403,533  
Paras Defence & Space Technologies Ltd.     6,493       88,421  
Zen Technologies Ltd.     8,361       156,641  
Total Aerospace & Defense             5,027,419  
Automobile Components — 1.8%                
Bharat Forge Ltd.     17,054       386,288  
Dynamatic Technologies Ltd.     229       25,143  
Total Automobile Components             411,431  
Chemicals — 1.7%                
Premier Explosives Ltd.     5,550       47,254  
Solar Industries India Ltd.     1,694       334,581  
Total Chemicals             381,835  
Communications Equipment — 1.1%                
Astra Microwave Products Ltd.     8,941       166,392  
Avantel Ltd.     37,874       71,668  
Total Communications Equipment             238,060  
Electrical Equipment — 0.3%                
HBL Engineering Ltd.     7,949       68,209  
Electronic Equipment, Instruments & Components — 0.1%                
Centum Electronics Ltd.     391       15,630  
Machinery — 1.7%                
BEML Ltd.     5,193       96,576  
Cochin Shipyard Ltd.(a)     17,776       283,169  
Total Machinery             379,745  
Metals & Mining — 0.8%                
Mishra Dhatu Nigam Ltd.(a)     9,510       42,040  
PTC Industries Ltd.*     702       127,179  
Total Metals & Mining             169,219  
Total India             6,691,548  
Japan — 15.1%                
Aerospace & Defense — 1.4%                
Astroscale Holdings, Inc.*     13,830       100,071  
Axelspace Holdings Corp.*     5,700       17,851  
QPS Holdings, Inc.*     15,700       188,178  
Total Aerospace & Defense             306,100  
Electronic Equipment, Instruments & Components — 0.5%                
Nippon Avionics Co. Ltd.     3,900       119,022  
Machinery — 13.2%                
IHI Corp.     60,500       1,009,357  
Kawasaki Heavy Industries Ltd.     51,750       930,561  
Mitsubishi Heavy Industries Ltd.     40,820       920,758  
Tokyo Keiki, Inc.     1,330       50,982  
Total Machinery             2,911,658  
Total Japan             3,336,780  
Singapore — 4.0%                
Aerospace & Defense — 4.0%                
Singapore Technologies Engineering Ltd.     108,675       872,962  
South Korea — 42.1%                
Aerospace & Defense — 26.2%                
Firstec Co. Ltd.*     6,414       25,543  
Hanwha Aerospace Co. Ltd.     2,512       1,613,271  
Hanwha Systems Co. Ltd.     17,140       807,604  
Korea Aerospace Industries Ltd.     17,964       1,697,495  
LIG Defense&Aerospace Co. Ltd.     3,331       1,545,852  
Samyang Comtech Co. Ltd.*     3,280       14,777  
Satrec Initiative Co. Ltd.     940       54,727  
SNT Dynamics Co. Ltd.     878       19,863  
Total Aerospace & Defense             5,779,132  
Automobile Components — 0.1%                
SNT Motiv Co. Ltd.     887       14,828  
Electrical Equipment — 0.5%                
Vitzrocell Co. Ltd.     4,063       106,210  
Electronic Equipment, Instruments & Components — 0.8%                
Woori Technology, Inc.*     23,319       183,626  
Machinery — 14.1%                
Hanwha Ocean Co. Ltd.*     10,142       656,582  
HD Hyundai Heavy Industries Co. Ltd.     2,100       802,427  
HJ Shipbuilding & Construction Co. Ltd.*     2,211       28,756  
Hyundai Rotem Co. Ltd.     13,514       1,509,019  
MNC Solution Co. Ltd.     1,449       22,072  
SK oceanplant Co. Ltd.*     3,927       38,350  
STX Engine Co. Ltd.*     3,229       61,066  
Total Machinery             3,118,272  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Asia Defense Fund (WDAF)
June 30, 2026

 

 

Investments   Shares     Value  
Metals & Mining — 0.4%                
Poongsan Corp.     2,225     $ 92,487  
Total South Korea             9,294,555  
Taiwan — 1.8%                
Aerospace & Defense — 1.1%                
Aerospace Industrial Development Corp.     118,000       209,653  
Air Asia Co. Ltd.     18,000       27,602  
Total Aerospace & Defense             237,255  
Machinery — 0.6%                
CSBC Corp. Taiwan*     167,000       101,175  
Lungteh Shipbuilding Co. Ltd.     8,000       34,279  
Total Machinery             135,454  
Technology Hardware, Storage & Peripherals — 0.1%                
Mildef Crete, Inc.     6,000       22,695  
Total Taiwan             395,404  
TOTAL COMMON STOCKS
(COST: $23,395,569)
            22,053,417  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
(Cost: $16,534)     16,534       16,534  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $23,412,103)
            22,069,951  
Other Assets less Liabilities — 0.0%             3,681  
NET ASSETS — 100.0%           $ 22,073,632  
         

 

*Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $22,053,417   $   $   $22,053,417 
Mutual Fund       16,534        16,534 
Total Investments in Securities  $22,053,417   $16,534   $   $22,069,951 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree China ex-State-Owned Enterprises Fund (CXSE)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.5%
China — 97.1%
Aerospace & Defense — 0.1%                
Kuang-Chi Technologies Co. Ltd., Class A     150,800     $ 673,579  
Air Freight & Logistics — 1.3%                
J&T Global Express Ltd.*     1,375,200       1,466,029  
JD Logistics, Inc.*(a)     663,700       994,443  
SF Holding Co. Ltd., Class A     272,761       1,256,115  
SF Holding Co. Ltd., Class H(b)     154,400       593,418  
ZTO Express Cayman, Inc.     93,632       2,048,859  
Total Air Freight & Logistics             6,358,864  
Automobile Components — 0.5%                
Fuyao Glass Industry Group Co. Ltd., Class H(a)     122,100       797,179  
Fuyao Glass Industry Group Co. Ltd., Class A     156,567       1,163,412  
Minth Group Ltd.*     170,300       573,743  
Zhejiang Shuanghuan Driveline Co. Ltd., Class A     18,000       110,074  
Total Automobile Components             2,644,408  
Automobiles — 3.4%                
BYD Co. Ltd., Class A     325,400       3,820,622  
BYD Co. Ltd., Class H(b)     596,300       5,509,010  
Geely Automobile Holdings Ltd.     969,900       2,085,235  
Great Wall Motor Co. Ltd., Class H     488,900       549,245  
Li Auto, Inc., Class A*     213,900       1,256,880  
NIO, Inc., Class A*     312,150       1,542,032  
XPeng, Inc., Class A*     251,800       1,626,318  
Yadea Group Holdings Ltd.(a)(b)     332,200       377,440  
Zhejiang Leapmotor Technology Co. Ltd., Class H*(a)     103,000       452,871  
Total Automobiles             17,219,653  
Banks — 0.8%                
China Minsheng Banking Corp. Ltd., Class H     2,111,900       845,616  
China Minsheng Banking Corp. Ltd., Class A     3,455,556       1,639,200  
Ping An Bank Co. Ltd., Class A     1,060,500       1,570,128  
Total Banks             4,054,944  
Beverages — 0.6%                
Budweiser Brewing Co. APAC Ltd.(a)(b)     774,100       602,140  
Eastroc Beverage Group Co. Ltd., Class A     22,180       403,311  
Nongfu Spring Co. Ltd., Class H(a)     363,300       1,835,483  
Total Beverages             2,840,934  
Biotechnology — 2.1%                
3SBio, Inc.*(a)     449,500       968,121  
Abbisko Cayman Ltd.*     312,000       427,694  
Akeso, Inc.*(a)     141,600       1,589,875  
Ascentage Pharma Group International*(a)     98,100       415,315  
Everest Medicines Ltd.*(a)(b)     119,000       371,778  
HBM Holdings Ltd.*(a)     385,000       512,545  
InnoCare Pharma Ltd., Class H*(a)     371,000       561,086  
Innovent Biologics, Inc.*(a)     251,200       2,549,782  
Keymed Biosciences, Inc.*(a)     98,000       884,144  
Lepu Biopharma Co. Ltd., Class H*(a)     701,000       347,727  
Remegen Co. Ltd., Class H*(a)     62,500       592,160  
Sichuan Kelun-Biotech Biopharmaceutical Co. Ltd., Class H*     13,800       767,600  
Zai Lab Ltd.*(b)     326,000       601,113  
Total Biotechnology             10,588,940  
Broadline Retail — 9.0%                
Alibaba Group Holding Ltd.     2,472,100       29,269,705  
JD.com, Inc., Class A     435,852       5,516,199  
MINISO Group Holding Ltd.     114,800       345,188  
PDD Holdings, Inc., ADR*     120,354       9,180,603  
Vipshop Holdings Ltd., ADR     50,312       667,137  
Total Broadline Retail             44,978,832  
Building Products — 0.2%                
Xinyi Glass Holdings Ltd.(b)     837,982       911,495  
Capital Markets — 1.3%                
East Money Information Co. Ltd., Class A     1,887,243       5,666,178  
JF SmartInvest Holdings Ltd.     73,900       288,361  
Up Fintech Holding Ltd., ADR*(b)     73,671       324,152  
Total Capital Markets             6,278,691  
Chemicals — 1.5%                
Dongyue Group Ltd.     552,900       1,345,226  
Fufeng Group Ltd.     680,000       410,148  
Ganfeng Lithium Group Co. Ltd., Class H(a)     146,740       941,211  
Ganfeng Lithium Group Co. Ltd., Class A     111,400       1,073,300  
Guangzhou Tinci Materials Technology Co. Ltd., Class A     104,500       791,755  
Kingfa Sci & Tech Co. Ltd., Class A     157,300       358,027  
Ningxia Baofeng Energy Group Co. Ltd., Class A     159,000       476,204  
Satellite Chemical Co. Ltd., Class A     122,800       424,952  
Tianqi Lithium Corp., Class A*     97,388       879,763  
Zangge Mining Co. Ltd., Class A     57,300       585,155  
Zhejiang NHU Co. Ltd., Class A     109,160       457,031  
Total Chemicals             7,742,772  
Commercial Services & Supplies — 0.1%                
Tuhu Car, Inc.*(a)     290,400       470,295  
Communications Equipment — 6.4%                
Hengtong Optic-electric Co. Ltd., Class A     160,069       2,578,366  
Suzhou TFC Optical Communication Co. Ltd., Class A     70,952       3,163,782  
Zhongji Innolight Co. Ltd., Class A     139,200       26,043,606  
Total Communications Equipment             31,785,754  
Construction & Engineering — 0.2%                
China Conch Venture Holdings Ltd.     614,163       852,085  
Consumer Finance — 0.2%                
Lufax Holding Ltd., ADR*     208,205       274,831  
Qfin Holdings, Inc., ADR     32,932       520,655  
Total Consumer Finance             795,486  
Consumer Staples Distribution & Retail — 0.4%                
East Buy Holding Ltd.*(a)     231,500       666,569  
JD Health International, Inc.*     229,750       962,120  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree China ex-State-Owned Enterprises Fund (CXSE)
June 30, 2026

 

 

Investments   Shares     Value  
Ping An Healthcare & Technology Co. Ltd.*(a)(b)     404,900     $ 360,391  
Total Consumer Staples Distribution & Retail             1,989,080  
Diversified Consumer Services — 0.4%                
New Oriental Education & Technology Group, Inc.     282,500       1,292,532  
TAL Education Group, ADR*     91,141       872,219  
Total Diversified Consumer Services             2,164,751  
Electrical Equipment — 7.6%                
Contemporary Amperex Technology Co. Ltd., Class A     399,362       23,122,165  
Eve Energy Co. Ltd., Class A     145,900       1,397,743  
GEM Co. Ltd., Class A     330,700       322,028  
Goldwind Science & Technology Co. Ltd., Class H     425,600       570,936  
Goldwind Science & Technology Co. Ltd., Class A     176,200       620,386  
Gotion High-tech Co. Ltd., Class A     97,200       393,926  
Harbin Electric Co. Ltd., Class H     446,000       871,293  
Jiangsu Zhongtian Technology Co. Ltd., Class A     239,000       2,136,494  
Sungrow Power Supply Co. Ltd., Class A     204,560       4,792,152  
Sunwoda Electronic Co. Ltd., Class A     117,208       327,899  
TBEA Co. Ltd., Class A     444,800       1,474,367  
Wolong Electric Group Co. Ltd., Class A     102,800       501,279  
Zhejiang Huayou Cobalt Co. Ltd., Class A     168,950       1,201,168  
Total Electrical Equipment             37,731,836  
Electronic Equipment, Instruments & Components — 12.4%                
AAC Technologies Holdings, Inc.     201,700       1,098,258  
Avary Holding Shenzhen Co. Ltd., Class A     49,500       768,461  
BYD Electronic International Co. Ltd.(b)     215,500       574,883  
Chaozhou Three-Circle Group Co. Ltd., Class A     133,200       3,275,056  
Eoptolink Technology, Inc. Ltd., Class A     183,456       16,405,096  
Foxconn Industrial Internet Co. Ltd., Class A     670,100       7,122,527  
GoerTek, Inc., Class A     273,600       908,104  
Kingboard Holdings Ltd.     247,800       3,725,508  
Lens Technology Co. Ltd., Class A     194,600       1,538,338  
Lingyi iTech Guangdong Co., Class A     256,200       654,465  
Luxshare Precision Industry Co. Ltd., Class A     656,276       6,806,398  
OFILM Group Co. Ltd., Class A*     237,400       330,849  
RoboSense Technology Co. Ltd.*     159,500       451,934  
Sunny Optical Technology Group Co. Ltd.     146,500       1,139,562  
Suzhou Dongshan Precision Manufacturing Co. Ltd., Class A*     161,800       6,253,422  
TCL Technology Group Corp., Class A     2,146,800       1,840,656  
Unisplendour Corp. Ltd., Class A     169,200       719,374  
Victory Giant Technology Huizhou Co. Ltd., Class A     84,800       4,327,823  
WUS Printed Circuit Kunshan Co. Ltd., Class A     166,900       3,756,971  
Zhejiang Dahua Technology Co. Ltd., Class A     132,100       320,909  
Total Electronic Equipment, Instruments & Components             62,018,594  
Entertainment — 2.3%                
China Ruyi Holdings Ltd.*(b)     3,192,000       606,484  
Giant Network Group Co. Ltd., Class A     117,100       475,438  
iQIYI, Inc., ADR*     314,463       327,042  
Kingnet Network Co. Ltd., Class A     158,000       378,241  
Kingsoft Corp. Ltd.     277,000       783,451  
NetEase Cloud Music, Inc.*(a)     30,850       404,800  
NetEase, Inc.     284,015       7,330,307  
Tencent Music Entertainment Group, Class A     175,100       734,156  
XD, Inc.*(b)     98,000       556,105  
Total Entertainment             11,596,024  
Food Products — 1.9%                
China Feihe Ltd.(a)(b)     1,722,100       614,875  
Foshan Haitian Flavouring & Food Co. Ltd., Class A     171,647       838,511  
Guangdong Haid Group Co. Ltd., Class A     67,403       442,965  
Inner Mongolia Yili Industrial Group Co. Ltd., Class A     721,400       2,546,368  
Muyuan Foods Group Co. Ltd., Class A     323,674       1,668,438  
Tingyi Cayman Islands Holding Corp.     719,000       896,681  
Uni-President China Holdings Ltd.(b)     743,000       639,533  
Want Want China Holdings Ltd.     1,566,100       677,001  
Wens Foodstuff Group Co. Ltd., Class A     656,200       1,190,982  
Total Food Products             9,515,354  
Gas Utilities — 0.2%                
ENN Energy Holdings Ltd.     179,900       928,170  
Health Care Equipment & Supplies — 0.7%                
Microport Scientific Corp.*     390,200       307,003  
Shandong Weigao Group Medical Polymer Co. Ltd., Class H     1,043,200       421,694  
Shanghai MicroPort MedBot Group Co. Ltd., Class H*     185,500       542,635  
Shanghai United Imaging Healthcare Co. Ltd., Class A     49,956       744,998  
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A     77,974       1,560,284  
Total Health Care Equipment & Supplies             3,576,614  
Health Care Providers & Services — 0.1%                
Aier Eye Hospital Group Co. Ltd., Class A     425,580       517,868  
Hotels, Restaurants & Leisure — 3.7%                
Atour Lifestyle Holdings Ltd., ADR     22,460       714,228  
Guming Holdings Ltd.(b)     228,400       615,703  
H World Group Ltd.     359,970       1,531,309  
Haidilao International Holding Ltd.(a)     455,000       616,178  
Meituan, Class B*(a)     864,600       7,552,247  
Mixue Group, Class H*(b)     13,100       381,872  
Tongcheng Travel Holdings Ltd.     304,800       466,020  
Trip.com Group Ltd.*     104,727       4,161,276  
Yum China Holdings, Inc.     64,250       2,618,486  
Total Hotels, Restaurants & Leisure             18,657,319  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree China ex-State-Owned Enterprises Fund (CXSE)
June 30, 2026

 

 

Investments   Shares     Value  
Household Durables — 2.9%                
Gree Electric Appliances, Inc. of Zhuhai, Class A     554,100     $ 3,061,101  
Haier Smart Home Co. Ltd., Class H     456,500       1,163,072  
Haier Smart Home Co. Ltd., Class A     428,300       1,287,802  
Hisense Home Appliances Group Co. Ltd., Class H     149,000       462,843  
Midea Group Co. Ltd., Class A     671,300       7,469,548  
Midea Group Co. Ltd., Class H     98,500       1,037,497  
Total Household Durables             14,481,863  
Industrial Conglomerates — 0.1%                
Fosun International Ltd.*     1,093,700       555,075  
Insurance — 3.6%                
Ping An Insurance Group Co. of China Ltd., Class H     1,092,400       7,111,281  
Ping An Insurance Group Co. of China Ltd., Class A     1,478,494       10,398,247  
ZhongAn Online P&C Insurance Co. Ltd., Class H*(a)     378,400       434,274  
Total Insurance             17,943,802  
Interactive Media & Services — 9.4%                
Autohome, Inc., ADR(b)     28,151       535,713  
Baidu, Inc., Class A*     357,450       4,995,699  
Bilibili, Inc., Class Z*     62,165       1,044,004  
JOYY, Inc., ADR     13,386       883,342  
Kuaishou Technology(a)     447,500       2,373,869  
Meitu, Inc.*(a)     950,500       454,521  
Newborn Town, Inc.*(b)     450,000       433,241  
Tencent Holdings Ltd.     652,000       35,734,228  
Weibo Corp., Class A     57,620       415,138  
Total Interactive Media & Services             46,869,755  
IT Services — 0.6%                
Chinasoft International Ltd.*     1,052,000       389,031  
GDS Holdings Ltd., Class A*(b)     272,700       982,020  
Kingsoft Cloud Holdings Ltd.*(b)     870,000       514,763  
Range Intelligent Computing Technology Group Co. Ltd., Class A     45,300       554,371  
Vnet Group, Inc., ADR*     76,220       612,809  
Total IT Services             3,052,994  
Leisure Products — 0.0%                
Bloks Group Ltd.*(b)     42,300       224,175  
Life Sciences Tools & Services — 2.6%                
Genscript Biotech Corp.*     454,400       708,656  
Pharmaron Beijing Co. Ltd., Class H(a)     229,100       533,161  
WuXi AppTec Co. Ltd., Class H(a)     96,795       1,897,130  
WuXi AppTec Co. Ltd., Class A     312,547       5,732,945  
Wuxi Biologics Cayman, Inc.*(a)     630,900       2,783,601  
WuXi XDC Cayman, Inc.*     82,000       596,540  
XtalPi Holdings Ltd.*     573,000       558,967  
Total Life Sciences Tools & Services             12,811,000  
Machinery — 2.2%                
Haitian International Holdings Ltd.     298,400       713,461  
Jiangsu Hengli Hydraulic Co. Ltd., Class A     36,700       581,534  
Sany Heavy Equipment International Holdings Co. Ltd.     692,000       585,928  
Sany Heavy Industry Co. Ltd., Class A     792,848       2,018,328  
Shenzhen Inovance Technology Co. Ltd., Class A     252,902       2,471,271  
UBTech Robotics Corp. Ltd., Class H*     75,950       995,615  
Wuxi Lead Intelligent Equipment Co. Ltd., Class A     131,400       788,245  
Yutong Bus Co. Ltd., Class A     102,900       406,416  
Zhejiang Sanhua Intelligent Controls Co. Ltd., Class A     251,000       1,620,703  
Zhuzhou CRRC Times Electric Co. Ltd., Class H     161,500       825,000  
Total Machinery             11,006,501  
Marine Transportation — 0.3%                
SITC International Holdings Co. Ltd.     354,000       1,416,533  
Media — 0.3%                
China Literature Ltd.*(a)     170,000       410,148  
Focus Media Information Technology Co. Ltd., Class A     1,246,724       888,943  
Qunabox Group Ltd.*     99,500       105,691  
Total Media             1,404,782  
Metals & Mining — 0.9%                
Chifeng Jilong Gold Mining Co. Ltd., Class A     122,900       476,536  
China Hongqiao Group Ltd.     696,100       1,780,627  
Guangdong HEC Technology Holding Co. Ltd., Class A*     142,100       702,964  
Inner Mongolia Xingye Silver&Tin Mining Co. Ltd., Class A     83,500       405,445  
Lingbao Gold Group Co. Ltd., Class H     331,200       519,054  
Shanjin International Gold Co. Ltd., Class A     114,200       286,005  
Wanguo Gold Group Ltd.     555,000       550,608  
Total Metals & Mining             4,721,239  
Paper & Forest Products — 0.2%                
Nine Dragons Paper Holdings Ltd.*     1,034,000       900,558  
Passenger Airlines — 0.1%                
Hainan Airlines Holding Co. Ltd., Class A*     1,922,300       382,308  
Personal Care Products — 0.3%                
Giant Biogene Holding Co. Ltd.(a)(b)     162,000       547,433  
Hengan International Group Co. Ltd.     273,400       757,929  
Mao Geping Cosmetics Co. Ltd., Class H(b)     55,700       368,277  
Total Personal Care Products             1,673,639  
Pharmaceuticals — 1.9%                
China Medical System Holdings Ltd.     488,000       639,710  
Hansoh Pharmaceutical Group Co. Ltd.(a)     288,100       1,088,175  
HUTCHMED China Ltd.*     245,000       524,238  
Jiangsu Hengrui Pharmaceuticals Co. Ltd., Class A     537,268       4,118,949  
Shanghai Fosun Pharmaceutical Group Co. Ltd., Class H     232,500       447,979  
Shanghai Fosun Pharmaceutical Group Co. Ltd., Class A     85,604       283,371  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree China ex-State-Owned Enterprises Fund (CXSE)
June 30, 2026

 

 

Investments   Shares     Value  
Sichuan Kelun Pharmaceutical Co. Ltd., Class A     89,100     $ 505,618  
Simcere Pharmaceutical Group Ltd.(a)     452,000       567,734  
Sino Biopharmaceutical Ltd.     2,010,150       1,130,414  
Total Pharmaceuticals             9,306,188  
Professional Services — 0.2%                
Kanzhun Ltd., ADR     78,634       1,012,019  
Real Estate Management & Development — 0.7%                
Country Garden Services Holdings Co. Ltd.     1,006,300       623,640  
KE Holdings, Inc., Class A     409,200       1,959,890  
Longfor Group Holdings Ltd.(a)(b)     730,700       557,200  
Sunac China Holdings Ltd.*(b)     3,941,000       311,579  
Total Real Estate Management & Development             3,452,309  
Semiconductors & Semiconductor Equipment — 8.5%                
Amlogic Shanghai Co. Ltd., Class A     20,369       308,776  
Black Sesame International Holding Ltd.*(b)     290,000       396,427  
Cambricon Technologies Corp. Ltd., Class A     43,369       10,194,079  
Daqo New Energy Corp., ADR*     27,473       367,863  
GCL Technology Holdings Ltd.*(b)     6,896,000       606,760  
GigaDevice Semiconductor, Inc., Class A     76,426       9,176,074  
Hangzhou Chang Chuan Technology Co. Ltd., Class A     33,300       1,674,909  
Hangzhou Silan Microelectronics Co. Ltd., Class A*     73,500       591,855  
Hwatsing Technology Co. Ltd., Class A     20,927       993,262  
JCET Group Co. Ltd., Class A     132,707       2,024,427  
LONGi Green Energy Technology Co. Ltd., Class A*     681,768       1,317,737  
Montage Technology Co. Ltd., Class A     137,240       6,265,568  
OmniVision Integrated Circuits Group, Inc., Class A     103,071       1,440,230  
Piotech, Inc., Class A     14,473       1,773,945  
Rockchip Electronics Co. Ltd., Class A     12,200       338,537  
Sanan Optoelectronics Co. Ltd., Class A*     296,200       925,952  
SG Micro Corp., Class A     27,658       584,615  
Tongwei Co. Ltd., Class A*     248,758       443,792  
Verisilicon Microelectronics Shanghai Co. Ltd., Class A*     41,954       2,293,873  
Xinyi Solar Holdings Ltd.(b)     1,797,542       472,190  
Total Semiconductors & Semiconductor Equipment             42,190,871  
Software — 0.8%                
Beijing Kingsoft Office Software, Inc., Class A     24,396       765,699  
Horizon Robotics*     2,005,200       1,043,250  
Hundsun Technologies, Inc., Class A     142,310       444,247  
Jiangsu Hoperun Software Co. Ltd., Class A     70,500       399,964  
Kingdee International Software Group Co. Ltd.*     683,700       516,128  
Phancy Group Co. Ltd., Class H*     122,400       372,723  
Weimob, Inc.*(a)(b)     2,217,000       319,459  
Total Software             3,861,470  
Specialty Retail — 0.7%                
Chow Tai Fook Jewellery Group Ltd.(b)     505,600       702,755  
Pop Mart International Group Ltd.(a)(b)     115,700       2,282,412  
Topsports International Holdings Ltd.(a)     1,141,200       253,210  
XXF Group Holdings Ltd.*     302,500       23,530  
Zhongsheng Group Holdings Ltd.*     262,600       162,408  
Total Specialty Retail             3,424,315  
Technology Hardware, Storage & Peripherals — 2.0%                
Shenzhen Longsys Electronics Co. Ltd., Class A     18,900       1,959,608  
Shenzhen Transsion Holdings Co. Ltd., Class A     37,950       329,575  
Xiaomi Corp., Class B*(a)(b)     2,740,600       7,562,638  
Total Technology Hardware, Storage & Peripherals             9,851,821  
Textiles, Apparel & Luxury Goods — 1.2%                
ANTA Sports Products Ltd.     208,900       1,892,661  
Bosideng International Holdings Ltd.     1,190,000       649,473  
Laopu Gold Co. Ltd., Class H(b)     11,700       516,814  
Li Ning Co. Ltd.     495,000       929,145  
Shenzhou International Group Holdings Ltd.     151,600       760,895  
Star Shine Holdings Group Ltd.*     412,500       789,016  
Xtep International Holdings Ltd.(b)     623,000       298,707  
Total Textiles, Apparel & Luxury Goods             5,836,711  
Tobacco — 0.2%                
RLX Technology, Inc., ADR     289,620       550,278  
Smoore International Holdings Ltd.(a)(b)     537,000       480,708  
Total Tobacco             1,030,986  
Total China             484,303,256  
Hong Kong — 1.5%                
Construction & Engineering — 0.1%                
Central New Energy Holding Group Ltd., Class G*(b)     677,000       733,801  
Electronic Equipment, Instruments & Components — 1.2%                
Kingboard Laminates Holdings Ltd.     490,000       6,195,255  
Entertainment — 0.1%                
Damai Entertainment Holdings Ltd.*     5,950,000       345,222  
Pharmaceuticals — 0.1%                
Grand Pharmaceutical Group Ltd.(b)     666,000       399,156  
Total Hong Kong             7,673,434  
United States — 0.9%                
Biotechnology — 0.9%                
BeOne Medicines Ltd., Class A*     7,193       269,801  
BeOne Medicines Ltd., Class H*     160,800       3,494,025  
Legend Biotech Corp., ADR*     30,634       884,710  
Total United States             4,648,536  
TOTAL COMMON STOCKS
(COST: $439,609,097)
            496,625,226  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree China ex-State-Owned Enterprises Fund (CXSE)
June 30, 2026

 

 

Investments   Shares     Value  
RIGHTS — 0.0%                
China — 0.0%                
Kangmei Pharmaceutical Co. Ltd.*^                
(Cost: $0)     87,943     $ 0  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
(Cost: $329,328)     329,328       329,328  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.2%                
United States — 1.2%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     3,137,840       3,137,840  
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)     2,900,000       2,900,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $6,037,840)
            6,037,840  
TOTAL INVESTMENTS IN SECURITIES — 100.8%
(Cost: $445,976,265)
            502,992,394  
Other Liabilities less Assets — (0.8)%             (4,079,137 )
NET ASSETS — 100.0%           $ 498,913,257  
         

 

* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $16,967,788 and the total market value of the collateral held by the Fund was $17,914,804. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $11,876,964.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.
(d)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

  

ABBREVIATIONS:

ADR American Depositary Receipt

  

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $5,700,000   $23,800,000   $26,600,000   $   $   $2,900,000   $23,393 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree China ex-State-Owned Enterprises Fund (CXSE)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Semiconductors & Semiconductor Equipment  $40,416,926   $1,773,945   $   $42,190,871 
Other   454,434,355            454,434,355 
Rights           0*    0 
Mutual Fund       329,328        329,328 
Investment of Cash Collateral for Securities Loaned       6,037,840        6,037,840 
Total Investments in Securities  $494,851,281   $8,141,113   $0   $502,992,394 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

  

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 100.2%
Argentina — 0.1%      
Grupo Financiero Galicia SA, ADR*(a)     25,160     $ 1,258,755  
Vista Energy SAB de CV, ADR*     13,411       855,622  
Total Argentina             2,114,377  
Brazil — 3.2%                
Allos SA     201,416       1,091,922  
Ambev SA     1,147,641       3,611,911  
B3 SA - Brasil Bolsa Balcao     1,509,881       4,238,559  
Banco Bradesco SA     236,781       721,420  
Banco BTG Pactual SA     229,335       2,396,609  
Banco Santander Brasil SA     98,021       507,533  
Brava Energia     127,234       474,428  
Cia de Saneamento Basico do Estado de Sao Paulo SABESP     573,912       3,286,498  
Cosan SA*     290,350       207,555  
Embraer SA     205,667       3,252,320  
Energisa SA     91,647       849,903  
Eneva SA*     335,645       1,732,713  
Engie Brasil Energia SA     93,933       632,094  
Equatorial SA     330,104       2,483,457  
GPS Participacoes & Empreendimentos SA(b)     222,269       497,705  
Hapvida Participacoes & Investimentos SA*(b)     1,842       3,634  
Hypera SA     129,163       519,302  
Itau Unibanco Holding SA     207,526       1,774,974  
Klabin SA     183,145       592,326  
Localiza Rent a Car SA     230,943       1,853,451  
Lojas Renner SA     186,948       533,110  
MBRF Global Foods Co. SA     190,025       661,937  
MercadoLibre, Inc.*     9,744       16,539,368  
Motiva Infraestrutura de Mobilidade SA     327,109       923,953  
Multiplan Empreendimentos Imobiliarios SA     91,330       516,471  
PRIO SA*     290,686       2,928,791  
Raia Drogasil SA     365,627       1,187,452  
Rede D'Or Sao Luiz SA(b)     282,002       1,891,110  
Rumo SA     307,478       797,811  
Sendas Distribuidora SA     427,126       721,236  
Suzano SA     201,176       1,544,981  
Telefonica Brasil SA     235,700       1,545,999  
TIM SA     291,800       1,232,946  
TOTVS SA     156,424       867,352  
Transmissora Alianca de Energia Eletrica SA     110,066       845,917  
Ultrapar Participacoes SA     291,804       1,469,182  
Vibra Energia SA     286,042       1,651,831  
WEG SA     460,288       4,171,623  
Total Brazil             70,759,384  
Chile — 0.4%                
Banco de Chile     12,355,062       2,418,502  
Banco Santander Chile     19,056,339       1,560,309  
Cencosud SA     367,876       849,778  
Empresas CMPC SA     312,900       348,159  
Empresas Copec SA     98,245       612,743  
Enel Americas SA     21,796,222       1,952,476  
Latam Airlines Group SA     52,448,778       1,524,953  
Total Chile             9,266,920  
China — 18.6%                
3SBio, Inc.*(b)     332,000       715,053  
AAC Technologies Holdings, Inc.     112,500       612,563  
Aier Eye Hospital Group Co. Ltd., Class A     407,585       495,971  
Airtac International Group     34,000       1,424,827  
Akeso, Inc.*(b)     135,000       1,515,771  
Alibaba Group Holding Ltd.     3,227,032       38,208,112  
ANTA Sports Products Ltd.     187,300       1,696,963  
Ascentage Pharma Group International*(b)     54,200       229,460  
Atour Lifestyle Holdings Ltd., ADR     14,227       452,419  
Autohome, Inc., ADR     24,386       464,066  
Avary Holding Shenzhen Co. Ltd., Class A     62,400       968,726  
Baidu, Inc., Class A*     365,050       5,101,916  
Beijing Kingsoft Office Software, Inc., Class A     17,995       564,796  
Bilibili, Inc., Class Z*     47,294       794,259  
Bosideng International Holdings Ltd.     932,000       508,663  
Budweiser Brewing Co. APAC Ltd.(b)     1,055,500       821,029  
BYD Co. Ltd., Class H     615,900       5,690,088  
BYD Co. Ltd., Class A     245,930       2,887,540  
BYD Electronic International Co. Ltd.(a)     112,500       300,113  
Cambricon Technologies Corp. Ltd., Class A     25,176       5,917,732  
Chaozhou Three-Circle Group Co. Ltd., Class A     128,200       3,152,118  
Chifeng Jilong Gold Mining Co. Ltd., Class A     147,800       573,084  
China Conch Venture Holdings Ltd.     561,400       778,882  
China Feihe Ltd.(a)(b)     1,762,000       629,121  
China Hongqiao Group Ltd.     519,500       1,328,883  
China Literature Ltd.*(b)     160,000       386,022  
China Medical System Holdings Ltd.     224,000       293,638  
China Minsheng Banking Corp. Ltd., Class A     2,646,979       1,255,638  
China Ruyi Holdings Ltd.*     2,152,000       408,883  
Chinasoft International Ltd.*(a)     882,000       326,165  
Chow Tai Fook Jewellery Group Ltd.(a)     443,800       616,857  
Contemporary Amperex Technology Co. Ltd., Class A     240,250       13,909,937  
Country Garden Services Holdings Co. Ltd.     924,000       572,636  
Dongyue Group Ltd.     222,000       540,134  
East Buy Holding Ltd.*(b)     112,500       323,927  
East Money Information Co. Ltd., Class A     1,175,553       3,529,430  
Eastroc Beverage Group Co. Ltd., Class A     22,100       401,857  
ENN Energy Holdings Ltd.     60,400       311,626  
Eoptolink Technology, Inc. Ltd., Class A     103,180       9,226,615  
Eve Energy Co. Ltd., Class A     107,000       1,025,075  
Everest Medicines Ltd.*(a)(b)     56,000       174,954  
Focus Media Information Technology Co. Ltd., Class A     1,174,800       837,659  
Foshan Haitian Flavouring & Food Co. Ltd., Class A     104,366       509,837  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Fosun International Ltd.*     1,502,500     $ 762,549  
Foxconn Industrial Internet Co. Ltd., Class A     389,900       4,144,267  
Fufeng Group Ltd.     660,000       398,085  
Fuyao Glass Industry Group Co. Ltd., Class H(b)     130,000       848,758  
Fuyao Glass Industry Group Co. Ltd., Class A     112,782       838,056  
Ganfeng Lithium Group Co. Ltd., Class A     140,520       1,353,861  
GCL Technology Holdings Ltd.*(a)     1,098,000       96,610  
GDS Holdings Ltd., Class A*(a)     172,500       621,190  
Geely Automobile Holdings Ltd.     840,000       1,805,956  
GEM Co. Ltd., Class A     558,700       544,049  
Genscript Biotech Corp.*     358,000       558,316  
Giant Biogene Holding Co. Ltd.(a)(b)     73,600       248,711  
Giant Network Group Co. Ltd., Class A     112,200       455,544  
GigaDevice Semiconductor, Inc., Class A     51,000       6,123,306  
GoerTek, Inc., Class A     201,200       667,801  
Goldwind Science & Technology Co. Ltd., Class H     229,000       307,200  
Gotion High-tech Co. Ltd., Class A     101,000       409,327  
Great Wall Motor Co. Ltd., Class H     517,700       581,600  
Gree Electric Appliances, Inc. of Zhuhai, Class A     358,900       1,982,727  
Guangdong Haid Group Co. Ltd., Class A     55,700       366,054  
Guangdong HEC Technology Holding Co. Ltd., Class A*     155,100       767,274  
Guangzhou Tinci Materials Technology Co. Ltd., Class A     103,300       782,663  
Guming Holdings Ltd.(a)     187,200       504,640  
H World Group Ltd.     270,570       1,151,002  
Haidilao International Holding Ltd.(b)     281,300       380,947  
Haier Smart Home Co. Ltd., Class H     329,200       838,737  
Haier Smart Home Co. Ltd., Class A     337,500       1,014,787  
Hainan Airlines Holding Co. Ltd., Class A*     3,122,600       621,024  
Haitian International Holdings Ltd.     403,000       963,555  
Hangzhou Chang Chuan Technology Co. Ltd., Class A     31,100       1,564,255  
Hangzhou Silan Microelectronics Co. Ltd., Class A*     112,200       903,484  
Hansoh Pharmaceutical Group Co. Ltd.(b)     278,000       1,050,026  
Hengan International Group Co. Ltd.     482,000       1,336,217  
Hengtong Optic-electric Co. Ltd., Class A     201,000       3,237,675  
Horizon Robotics*(a)     1,601,400       833,164  
Hundsun Technologies, Inc., Class A     154,571       482,522  
HUTCHMED China Ltd.*(a)     188,000       402,272  
Hwatsing Technology Co. Ltd., Class A     23,340       1,107,790  
Inner Mongolia Xingye Silver&Tin Mining Co. Ltd., Class A     91,000       441,862  
Inner Mongolia Yili Industrial Group Co. Ltd., Class A     381,600       1,346,956  
InnoCare Pharma Ltd., Class H*(b)     206,000       311,546  
Innovent Biologics, Inc.*(b)     229,500       2,329,518  
iQIYI, Inc., ADR*     187,496       194,996  
J&T Global Express Ltd.*     1,073,600       1,144,509  
JCET Group Co. Ltd., Class A     116,000       1,769,564  
JD Health International, Inc.*     170,650       714,628  
JD Logistics, Inc.*(b)     297,400       445,604  
JD.com, Inc., Class A     487,109       6,164,915  
Jiangsu Hengli Hydraulic Co. Ltd., Class A     54,900       869,924  
Jiangsu Hengrui Pharmaceuticals Co. Ltd., Class A     324,113       2,484,803  
Jiangsu Hoperun Software Co. Ltd., Class A     67,200       381,242  
Jiangsu Zhongtian Technology Co. Ltd., Class A     155,500       1,390,062  
JOYY, Inc., ADR     7,448       491,494  
Kanzhun Ltd., ADR     60,191       774,658  
KE Holdings, Inc., Class A     374,000       1,791,297  
Keymed Biosciences, Inc.*(b)     62,500       563,867  
Kingboard Holdings Ltd.     228,500       3,435,345  
Kingdee International Software Group Co. Ltd.*     369,000       278,560  
Kingfa Sci & Tech Co. Ltd., Class A     169,100       384,884  
Kingnet Network Co. Ltd., Class A     148,000       354,302  
Kingsoft Cloud Holdings Ltd.*(a)     442,000       261,523  
Kingsoft Corp. Ltd.     209,200       591,689  
Kuaishou Technology(b)     431,200       2,287,402  
Kuang-Chi Technologies Co. Ltd., Class A     121,100       540,918  
Laopu Gold Co. Ltd., Class H(a)     10,300       454,973  
Lens Technology Co. Ltd., Class A     201,700       1,594,464  
Li Auto, Inc., Class A*     212,900       1,251,004  
Li Ning Co. Ltd.     259,000       486,159  
Lingbao Gold Group Co. Ltd., Class H     112,600       176,466  
Lingyi iTech Guangdong Co., Class A     245,600       627,387  
Longfor Group Holdings Ltd.(a)(b)     935,000       712,990  
LONGi Green Energy Technology Co. Ltd., Class A*     337,272       651,887  
Lufax Holding Ltd., ADR*     97,165       128,258  
Luxshare Precision Industry Co. Ltd., Class A     379,400       3,934,850  
Meitu, Inc.*(a)(b)     536,000       256,311  
Meituan, Class B*(b)     964,100       8,421,376  
Midea Group Co. Ltd., Class A     471,600       5,247,488  
MINISO Group Holding Ltd.(a)     104,000       312,714  
Minth Group Ltd.*     133,400       449,427  
Mixue Group, Class H*(a)     13,200       384,787  
Montage Technology Co. Ltd., Class A     89,801       4,099,783  
Muyuan Foods Group Co. Ltd., Class A     215,976       1,113,288  
NetEase Cloud Music, Inc.*(b)     15,850       207,977  
NetEase, Inc.     291,430       7,521,685  
New Oriental Education & Technology Group, Inc.     223,100       1,020,757  
Nine Dragons Paper Holdings Ltd.*     752,000       654,951  
Ningxia Baofeng Energy Group Co. Ltd., Class A     283,600       849,380  
NIO, Inc., Class A*(a)     210,310       1,038,939  
Nongfu Spring Co. Ltd., Class H(b)     269,400       1,361,076  
OFILM Group Co. Ltd., Class A*     245,800       342,556  
OmniVision Integrated Circuits Group, Inc., Class A     67,140       938,160  
PDD Holdings, Inc., ADR*     133,250       10,164,310  
Phancy Group Co. Ltd., Class H*     53,800       163,828  
Ping An Bank Co. Ltd., Class A     538,826       797,761  
Ping An Healthcare & Technology Co. Ltd.*(b)     189,800       168,936  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Ping An Insurance Group Co. of China Ltd., Class H     1,045,500     $ 6,805,972  
Ping An Insurance Group Co. of China Ltd., Class A     856,708       6,025,227  
Piotech, Inc., Class A     12,725       1,559,694  
Pop Mart International Group Ltd.(a)(b)     122,200       2,410,638  
Qfin Holdings, Inc., ADR     17,206       272,027  
Range Intelligent Computing Technology Group Co. Ltd., Class A     58,300       713,462  
Remegen Co. Ltd., Class H*(b)     36,500       345,822  
RoboSense Technology Co. Ltd.*(a)     67,800       192,107  
Rockchip Electronics Co. Ltd., Class A     17,400       482,832  
Sanan Optoelectronics Co. Ltd., Class A*     292,100       913,135  
Sany Heavy Industry Co. Ltd., Class A     538,336       1,370,425  
Satellite Chemical Co. Ltd., Class A     239,890       830,144  
SF Holding Co. Ltd., Class A     197,273       908,479  
SG Micro Corp., Class A     43,410       917,570  
Shandong Weigao Group Medical Polymer Co. Ltd., Class H     1,176,200       475,457  
Shanghai Fosun Pharmaceutical Group Co. Ltd., Class A     153,273       507,373  
Shanghai United Imaging Healthcare Co. Ltd., Class A     42,069       627,378  
Shanjin International Gold Co. Ltd., Class A     218,500       547,216  
Shenzhen Inovance Technology Co. Ltd., Class A     162,700       1,589,848  
Shenzhen Longsys Electronics Co. Ltd., Class A     22,500       2,332,867  
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A     42,600       852,439  
Shenzhen Transsion Holdings Co. Ltd., Class A     37,729       327,655  
Shenzhou International Group Holdings Ltd.     36,400       182,695  
Sichuan Kelun Pharmaceutical Co. Ltd., Class A     122,600       695,721  
Sichuan Kelun-Biotech Biopharmaceutical Co. Ltd., Class H*     8,800       489,484  
Sino Biopharmaceutical Ltd.     1,568,000       881,769  
SITC International Holdings Co. Ltd.     222,000       888,334  
Smoore International Holdings Ltd.(a)(b)     357,000       319,577  
Sunac China Holdings Ltd.*(a)     2,897,000       229,040  
Sungrow Power Supply Co. Ltd., Class A     128,600       3,012,665  
Sunny Optical Technology Group Co. Ltd.     93,300       725,741  
Sunwoda Electronic Co. Ltd., Class A     147,300       412,084  
Suzhou Dongshan Precision Manufacturing Co. Ltd., Class A*     113,800       4,398,266  
Suzhou TFC Optical Communication Co. Ltd., Class A     56,224       2,507,054  
TAL Education Group, ADR*     75,738       724,813  
TBEA Co. Ltd., Class A     310,453       1,029,050  
TCL Technology Group Corp., Class A     1,148,200       984,461  
Tencent Holdings Ltd.     1,032,800       56,604,770  
Tencent Music Entertainment Group, Class A     138,800       581,958  
Tianqi Lithium Corp., Class A*     81,600       737,141  
Tingyi Cayman Islands Holding Corp.     420,000       523,792  
Tongcheng Travel Holdings Ltd.     467,200       714,319  
Tongwei Co. Ltd., Class A*     262,858       468,947  
Topsports International Holdings Ltd.(b)     1,303,000       289,111  
Trip.com Group Ltd.*     111,020       4,411,325  
UBTech Robotics Corp. Ltd., Class H*     47,900       627,912  
Uni-President China Holdings Ltd.(a)     687,000       591,331  
Verisilicon Microelectronics Shanghai Co. Ltd., Class A*     29,695       1,623,601  
Victory Giant Technology Huizhou Co. Ltd., Class A     53,100       2,709,993  
Vipshop Holdings Ltd., ADR     53,785       713,189  
Vnet Group, Inc., ADR*     35,841       288,162  
Want Want China Holdings Ltd.     2,038,000       880,997  
Weibo Corp., Class A     72,560       522,777  
Wens Foodstuff Group Co. Ltd., Class A     479,400       870,095  
Wolong Electric Group Co. Ltd., Class A     92,000       448,615  
WUS Printed Circuit Kunshan Co. Ltd., Class A     134,800       3,034,390  
WuXi AppTec Co. Ltd., Class H(b)     60,800       1,191,648  
WuXi AppTec Co. Ltd., Class A     210,373       3,858,801  
Wuxi Biologics Cayman, Inc.*(b)     478,000       2,108,989  
Wuxi Lead Intelligent Equipment Co. Ltd., Class A     122,800       736,655  
WuXi XDC Cayman, Inc.*(a)     57,000       414,668  
XD, Inc.*(a)     44,800       254,219  
Xiaomi Corp., Class B*(a)(b)     2,743,600       7,570,916  
Xinyi Glass Holdings Ltd.(a)     332,066       361,197  
Xinyi Solar Holdings Ltd.(a)     1,135,301       298,228  
XPeng, Inc., Class A*(a)     252,800       1,632,777  
XtalPi Holdings Ltd.*     302,000       294,604  
Xtep International Holdings Ltd.     878,500       421,211  
Yadea Group Holdings Ltd.(b)     450,000       511,282  
Yum China Holdings, Inc.     60,844       2,479,676  
Yutong Bus Co. Ltd., Class A     155,800       615,350  
Zai Lab Ltd.*(a)     212,100       391,092  
Zangge Mining Co. Ltd., Class A     64,900       662,768  
Zhejiang Huayou Cobalt Co. Ltd., Class A     112,370       798,906  
Zhejiang Leapmotor Technology Co. Ltd., Class H*(a)(b)     93,900       412,860  
Zhejiang NHU Co. Ltd., Class A     200,880       841,044  
Zhejiang Sanhua Intelligent Controls Co. Ltd., Class A     188,600       1,217,787  
Zhejiang Shuanghuan Driveline Co. Ltd., Class A     64,700       395,654  
ZhongAn Online P&C Insurance Co. Ltd., Class H*(b)     172,100       197,512  
Zhongji Innolight Co. Ltd., Class A     77,680       14,533,530  
Zhongsheng Group Holdings Ltd.*     200,000       123,692  
Zhuzhou CRRC Times Electric Co. Ltd., Class H     34,800       177,771  
ZTO Express Cayman, Inc.(a)     65,562       1,434,630  
Total China             407,887,455  
Czech Republic — 0.1%                
Komercni Banka AS     34,773       1,593,187  
Moneta Money Bank AS(b)     166,780       1,463,048  
Total Czech Republic             3,056,235  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Hong Kong — 0.0%                
Damai Entertainment Holdings Ltd.*     2,870,000     $ 166,519  
Hungary — 0.4%                
MOL Hungarian Oil & Gas PLC*     94,839       1,127,173  
OTP Bank Nyrt     44,739       6,603,489  
Richter Gedeon Nyrt     25,083       970,886  
Total Hungary             8,701,548  
India — 14.4%                
360 ONE WAM Ltd.     59,071       670,595  
ABB India Ltd.     11,978       889,694  
ACC Ltd.     44,727       627,112  
Adani Energy Solutions Ltd.*     63,750       1,004,416  
Adani Enterprises Ltd.     46,252       1,483,445  
Adani Green Energy Ltd.*     89,185       1,405,912  
Adani Ports & Special Economic Zone Ltd.     158,862       3,037,986  
Adani Power Ltd.*     967,337       2,286,751  
Aditya Birla Capital Ltd.*     168,160       696,294  
Alkem Laboratories Ltd.     10,661       627,325  
Ambuja Cements Ltd.     140,055       624,160  
Apar Industries Ltd.     4,407       730,708  
APL Apollo Tubes Ltd.     50,654       957,173  
Apollo Hospitals Enterprise Ltd.     29,802       2,733,408  
Ashok Leyland Ltd.     907,954       1,512,637  
Asian Paints Ltd.     97,912       2,726,284  
Astral Ltd.     38,606       544,716  
AU Small Finance Bank Ltd.(b)     95,107       1,041,961  
Aurobindo Pharma Ltd.     59,147       986,442  
Avenue Supermarts Ltd.*(b)     41,125       1,903,219  
Axis Bank Ltd.     487,891       6,936,019  
Bajaj Auto Ltd.     16,055       1,647,924  
Bajaj Finance Ltd.     545,774       5,793,088  
Bajaj Finserv Ltd.     74,091       1,393,393  
Bajaj Holdings & Investment Ltd.     4,361       488,488  
Bajaj Housing Finance Ltd.*     1,469,045       1,357,946  
Balkrishna Industries Ltd.     25,013       576,157  
Bandhan Bank Ltd.(b)     164,978       355,859  
Berger Paints India Ltd.     132,521       714,133  
Bharat Forge Ltd.     68,929       1,561,300  
Bharti Airtel Ltd.     592,391       11,590,140  
Biocon Ltd.     106,042       468,603  
Blue Star Ltd.     26,237       451,323  
Bosch Ltd.     2,021       851,880  
Britannia Industries Ltd.     29,638       1,611,388  
Castrol India Ltd.     379,434       739,277  
CG Power & Industrial Solutions Ltd.     161,658       1,626,080  
Cholamandalam Financial Holdings Ltd.     17,966       314,476  
Cholamandalam Investment & Finance Co. Ltd.     72,995       1,380,184  
Cipla Ltd.     130,772       2,024,465  
Coforge Ltd.     73,159       1,132,797  
Colgate-Palmolive India Ltd.     44,609       941,533  
Computer Age Management Services Ltd.     89,373       752,354  
Coromandel International Ltd.     26,235       555,693  
Crompton Greaves Consumer Electricals Ltd.     173,094       502,411  
Cummins India Ltd.     35,060       2,096,183  
Dabur India Ltd.     77,388       345,168  
Deepak Nitrite Ltd.     18,235       297,897  
Delhivery Ltd.*     125,277       624,739  
Divi's Laboratories Ltd.     31,159       2,165,622  
Dixon Technologies India Ltd.     7,836       986,756  
DLF Ltd.     179,042       1,172,792  
Dr. Reddy’s Laboratories Ltd.     138,269       1,982,330  
Eicher Motors Ltd.     33,294       2,487,938  
Emami Ltd.     320,006       1,366,788  
Eternal Ltd.*     1,066,274       2,980,560  
Federal Bank Ltd.     553,125       1,928,600  
Fortis Healthcare Ltd.     164,593       1,663,948  
FSN E-Commerce Ventures Ltd.*     277,422       911,026  
GE Vernova T&D India Ltd.     27,689       1,446,189  
Gland Pharma Ltd.(b)     56,060       1,477,620  
Glenmark Pharmaceuticals Ltd.     27,267       634,961  
GMR Airports Infrastructure Ltd.*     823,554       975,210  
Godrej Consumer Products Ltd.     93,933       1,002,256  
Godrej Properties Ltd.*     33,763       665,781  
Grasim Industries Ltd.     85,308       2,793,770  
Gujarat Fluorochemicals Ltd.     8,989       376,430  
Havells India Ltd.     59,857       733,078  
HCL Technologies Ltd.     234,090       2,650,549  
HDFC Asset Management Co. Ltd.(b)     65,786       1,843,923  
HDFC Bank Ltd.     2,300,193       19,390,062  
HDFC Life Insurance Co. Ltd.(b)     223,552       1,359,963  
Hero MotoCorp Ltd.     30,555       1,547,557  
Hindalco Industries Ltd.     285,616       2,886,371  
Hindustan Unilever Ltd.     171,060       3,827,848  
Hitachi Energy India Ltd.     2,920       1,077,200  
Hyundai Motor India Ltd.     33,651       677,401  
ICICI Bank Ltd., ADR     496,409       14,410,753  
ICICI Lombard General Insurance Co. Ltd.(b)     63,248       1,163,749  
ICICI Prudential Life Insurance Co. Ltd.(b)     86,546       446,130  
IDFC First Bank Ltd.     892,773       749,709  
Indian Hotels Co. Ltd.     251,885       1,899,806  
Indus Towers Ltd.*     241,651       999,957  
IndusInd Bank Ltd.     79,343       774,665  
Info Edge India Ltd.     104,493       1,079,606  
Infosys Ltd., ADR(a)     532,850       5,589,596  
InterGlobe Aviation Ltd.(b)     51,987       2,948,349  
Jindal Stainless Ltd.     93,491       684,105  
Jindal Steel Ltd.     87,460       979,480  
Jio Financial Services Ltd.     586,055       1,463,857  
JSW Energy Ltd.     128,997       794,693  
JSW Steel Ltd.     210,932       2,732,838  
Jubilant Foodworks Ltd.     248,075       1,094,417  
Kalpataru Projects International Ltd.     21,280       308,009  
Kalyan Jewellers India Ltd.     65,860       269,051  
Kaynes Technology India Ltd.*     140       4,617  
KEC International Ltd.     4,706       25,927  
KEI Industries Ltd.     13,340       764,883  
Kotak Mahindra Bank Ltd.     1,106,484       4,585,084  
KPIT Technologies Ltd.     42,413       300,896  
Kwality Wall's India Ltd.*     181,767       67,419  
Larsen & Toubro Ltd.     139,252       6,095,334  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Laurus Labs Ltd.(b)     116,865     $ 1,873,371  
Linde India Ltd.     4,529       349,799  
Lloyds Metals & Energy Ltd.     39,353       752,647  
Lodha Developers Ltd.(b)     64,133       647,199  
LTM Ltd.(b)     19,050       712,020  
Lupin Ltd.     68,691       1,755,395  
Mahindra & Mahindra Financial Services Ltd.     435,973       1,454,491  
Mahindra & Mahindra Ltd.     194,846       6,316,832  
Manappuram Finance Ltd.     286,855       982,460  
Mankind Pharma Ltd.     28,827       775,227  
Marico Ltd.     139,592       1,233,207  
Maruti Suzuki India Ltd.     28,662       4,273,922  
Max Financial Services Ltd.*     68,198       1,141,211  
Max Healthcare Institute Ltd.     187,033       2,231,247  
Motherson Sumi Wiring India Ltd.*     1,925,487       816,095  
Motilal Oswal Financial Services Ltd.     67,901       682,390  
Mphasis Ltd.     24,554       560,708  
MRF Ltd.     675       911,469  
Multi Commodity Exchange of India Ltd.     34,636       1,038,142  
Muthoot Finance Ltd.     16,316       516,634  
Nestle India Ltd.     144,112       2,139,329  
Neuland Laboratories Ltd.     3,368       661,049  
Nippon Life India Asset Management Ltd.(b)     132,215       1,623,028  
One 97 Communications Ltd.*     73,537       886,791  
Oracle Financial Services Software Ltd.     5,503       626,435  
Page Industries Ltd.     2,021       883,265  
Patanjali Foods Ltd.     155,178       673,851  
PB Fintech Ltd.*     79,812       1,373,162  
Persistent Systems Ltd.     28,280       1,292,574  
Phoenix Mills Ltd.     47,281       973,304  
PI Industries Ltd.     22,361       603,585  
Pidilite Industries Ltd.     60,674       1,020,883  
Piramal Pharma Ltd.     406,695       722,187  
Polycab India Ltd.     10,621       1,117,655  
Poonawalla Fincorp Ltd.*     145,893       679,769  
Prestige Estates Projects Ltd.     38,237       632,014  
Radico Khaitan Ltd.     21,084       878,809  
RBL Bank Ltd.(b)     506,423       1,974,412  
Reliance Industries Ltd., GDR(b)     327,880       18,164,552  
Reliance Power Ltd.*     905,880       237,718  
Samvardhana Motherson International Ltd.     1,000,019       1,564,703  
Schaeffler India Ltd.     8,262       365,685  
Shree Cement Ltd.     3,214       857,327  
Shriram Finance Ltd.     227,673       2,506,577  
Siemens Ltd.*     22,847       868,878  
Solar Industries India Ltd.     6,064       1,197,697  
SRF Ltd.     31,707       917,458  
Sun Pharmaceutical Industries Ltd.     239,195       4,706,387  
Sundaram Finance Ltd.     10,348       492,668  
Supreme Industries Ltd.     17,020       567,784  
Suzlon Energy Ltd.*     2,587,653       1,610,129  
Swiggy Ltd.*     422,544       1,068,426  
Tata Chemicals Ltd.     25,388       192,022  
Tata Communications Ltd.     31,931       664,738  
Tata Consultancy Services Ltd.     166,648       3,576,483  
Tata Consumer Products Ltd.     156,657       1,780,081  
Tata Elxsi Ltd.     9,339       377,837  
Tata Motors Ltd.     439,290       1,962,816  
Tata Motors Passenger Vehicles Limited     395,865       1,472,908  
Tata Power Co. Ltd.     308,687       1,257,135  
Tata Steel Ltd.     1,810,213       3,596,378  
Tech Mahindra Ltd.     147,717       2,192,064  
Timken India Ltd.     20,082       739,497  
Titan Co. Ltd.     90,000       4,187,252  
Torrent Pharmaceuticals Ltd.     34,510       1,684,363  
Torrent Power Ltd.     43,987       657,490  
Trent Ltd.     64,776       2,246,318  
Tube Investments of India Ltd.     28,348       907,202  
TVS Motor Co. Ltd.     57,695       2,109,254  
UltraTech Cement Ltd.     26,113       3,104,305  
United Spirits Ltd.     101,161       1,443,161  
UNO Minda Ltd.     42,244       485,460  
UPL Ltd.     104,583       631,086  
Varun Beverages Ltd.     290,477       1,557,506  
Vedanta Aluminium Metal Ltd.*     351,065       1,663,223  
Vedanta Iron & Steel Ltd.*     351,065       130,770  
Vedanta Ltd.     351,065       1,041,230  
Vedanta Oil & Gas Ltd.*     351,065       119,570  
Vedanta Power Ltd.*     351,065       149,388  
Vishal Mega Mart Ltd.*     616,560       768,268  
Voltas Ltd.     60,174       812,163  
Wipro Ltd.     684,259       1,231,697  
Zydus Lifesciences Ltd.     44,101       518,354  
Total India             315,039,171  
Indonesia — 0.6%                
Adaro Andalan Indonesia PT     2,219,300       965,048  
Amman Mineral Internasional PT*     3,014,900       522,718  
Astra International Tbk. PT     4,113,200       1,039,802  
Bank Central Asia Tbk. PT     15,354,900       4,766,202  
Barito Pacific Tbk. PT*     6,922,466       497,504  
Barito Renewables Energy Tbk. PT*     3,833,200       662,449  
Bumi Resources Minerals Tbk. PT*     17,871,500       473,775  
Bumi Resources Tbk. PT*     41,826,400       308,785  
Chandra Asri Pacific Tbk. PT     3,323,800       307,656  
Charoen Pokphand Indonesia Tbk. PT     1,392,300       264,755  
Dian Swastatika Sentosa Tbk. PT*     9,542,600       424,293  
Elang Mahkota Teknologi Tbk. PT     7,418,900       201,655  
Indah Kiat Pulp & Paper Tbk. PT*     1,104,300       436,964  
Indofood CBP Sukses Makmur Tbk. PT     807,800       307,217  
Indofood Sukses Makmur Tbk. PT     1,728,200       645,175  
Merdeka Battery Materials Tbk. PT*     12,898,800       333,291  
Merdeka Copper Gold Tbk. PT*     3,539,200       479,019  
Pantai Indah Kapuk Dua Tbk. PT     572,800       185,007  
Petrindo Jaya Kreasi Tbk. PT*     4,149,700       123,006  
Sumber Alfaria Trijaya Tbk. PT     5,678,800       435,121  
United Tractors Tbk. PT     513,600       660,671  
Total Indonesia             14,040,113  
Malaysia — 1.0%                
Alliance Bank Malaysia Bhd.     720,200       838,982  
Frontken Corp. Bhd.     839,300       1,020,951  
Genting Bhd     958,600       507,805  
Genting Malaysia Bhd.     1,506,900       691,086  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Hong Leong Bank Bhd.     528,208     $ 2,772,201  
Mr. DIY Group M Bhd.(b)     2,621,600       1,054,427  
Nestle Malaysia Bhd.     32,000       733,469  
PPB Group Bhd.     345,500       787,172  
Press Metal Aluminium Holdings Bhd.     2,557,700       4,817,446  
QL Resources Bhd.     799,137       734,951  
Sunway Bhd.     1,472,700       1,856,451  
Sunway Healthcare Holdings bhd*     147,330       65,400  
United Plantations Bhd.     202,250       1,640,817  
Westports Holdings Bhd.     667,129       991,490  
YTL Corp. Bhd.     3,192,180       1,597,069  
YTL Power International Bhd.     1,749,700       1,793,684  
Zetrix Ai Bhd.     3,945,700       735,434  
Total Malaysia             22,638,835  
Mexico — 2.0%                
America Movil SAB de CV, Series B     3,332,428       4,319,593  
Arca Continental SAB de CV     94,945       1,138,769  
Banco del Bajio SA(b)     188,091       608,393  
Cemex SAB de CV, Series CPO     3,061,040       3,678,766  
Coca-Cola Femsa SAB de CV     126,417       1,337,620  
Corp. Inmobiliaria Vesta SAB de CV     291,135       1,000,176  
Fibra Uno Administracion SA de CV     692,238       1,187,288  
Fomento Economico Mexicano SAB de CV     350,635       4,473,801  
Gruma SAB de CV, Class B     37,670       605,652  
Grupo Aeroportuario del Centro Norte SAB de CV     67,845       961,430  
Grupo Aeroportuario del Pacifico SAB de CV, Class B     89,864       2,274,455  
Grupo Aeroportuario del Sureste SAB de CV, Class B     40,420       1,235,957  
Grupo Bimbo SAB de CV, Series A     242,193       792,121  
Grupo Carso SAB de CV, Series A1     121,241       906,788  
Grupo Financiero Banorte SAB de CV, Class O     460,638       4,865,582  
Grupo Financiero Inbursa SAB de CV, Class O     421,120       1,001,602  
Grupo Mexico SAB de CV, Series B     590,032       6,693,923  
Grupo Televisa SAB, Series CPO*     529,078       289,765  
Industrias Penoles SAB de CV     34,357       1,502,732  
Kimberly-Clark de Mexico SAB de CV, Class A     318,864       706,752  
Prologis Property Mexico SA de CV     180,581       783,452  
Sigma Foods SAB de CV, Class A     924,334       849,549  
Wal-Mart de Mexico SAB de CV     885,713       2,603,853  
Total Mexico             43,818,019  
Philippines — 0.4%                
Ayala Corp.     26,890       183,152  
Ayala Land, Inc.     1,267,800       305,743  
Bank of the Philippine Islands     474,977       742,998  
BDO Unibank, Inc.     419,363       809,752  
International Container Terminal Services, Inc.     148,560       2,154,447  
JG Summit Holdings, Inc.     40       17  
Jollibee Foods Corp.     114,290       250,481  
Metropolitan Bank & Trust Co.     540,810       572,799  
PLDT, Inc.     115,555       2,127,703  
SM Investments Corp.     29,505       283,656  
SM Prime Holdings, Inc.     991,900       292,543  
Universal Robina Corp.     77,820       78,619  
Total Philippines             7,801,910  
Poland — 1.1%                
Alior Bank SA     22,785       788,020  
Allegro.eu SA*(b)     352,741       3,548,666  
Asseco Poland SA     16,617       738,931  
Bank Millennium SA*     209,830       1,091,617  
Bank Polska Kasa Opieki SA     59,700       3,633,920  
Benefit Systems SA*     671       869,711  
Budimex SA     5,186       1,017,098  
CD Projekt SA*     26,299       1,570,027  
Dino Polska SA*(b)     176,786       1,335,707  
Erste Bank Polska SA     13,020       2,232,782  
Grupa Kety SA     3,346       1,073,540  
KRUK SA     3,735       419,521  
LPP SA     455       2,212,751  
mBank SA*     5,174       1,877,525  
Modivo SA*(a)     18,623       446,593  
Pepco Group NV     50,122       484,439  
XTB SA(b)     17,602       500,874  
Total Poland             23,841,722  
Romania — 0.1%                
NEPI Rockcastle NV*     184,458       1,648,417  
Russia — 0.0%                
Evraz PLC*^     757,034       0  
HeadHunter Group PLC, ADR*^     35,535       0  
LUKOIL PJSC, ADR*^     91,105       0  
LUKOIL PJSC*^     383,480       0  
Magnitogorsk Iron & Steel Works PJSC, GDR*^(c)     101,979       0  
Novatek PJSC*^     1,138,580       0  
Novolipetsk Steel PJSC*^     948,540       0  
Ozon Holdings PLC, ADR*^     43,104       0  
PhosAgro PJSC*^     43,175       0  
PhosAgro PJSC, GDR*^(c)     835       0  
Polyus PJSC*^     375,930       0  
Severstal PAO, GDR*^(c)     123,722       0  
Sistema AFK PAO*^     4,256,200       0  
Surgutneftegas PAO*^     7,201,040       0  
VK IPJSC, GDR*^(c)     167,707       0  
X5 Retail Group NV, GDR*^(c)     166,238       0  
Total Russia             0  
Saudi Arabia — 2.5%                
Advanced Petrochemical Co.*(a)     73,066       461,670  
Al Rajhi Bank     1,363,734       23,919,427  
Al Rajhi Co. for Co.-operative Insurance*(a)     41,052       567,071  
Aldrees Petroleum & Transport Services Co.     25,393       770,468  
Alinma Bank     671,619       4,368,777  
Arabian Centres Co.(a)(b)     124,481       566,214  
Astra Industrial Group(a)     19,477       682,203  
Bank AlBilad     330,755       2,147,108  
Bank Al-Jazira     347,737       1,074,531  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Bupa Arabia for Cooperative Insurance Co.(a)     12,417     $ 578,019  
Dallah Healthcare Co.(a)     15,948       466,063  
Dar Al Arkan Real Estate Development Co.*(a)     273,571       1,311,352  
Dr. Sulaiman Al Habib Medical Services Group Co.(a)     49,629       2,800,316  
Electrical Industries Co.     239,064       918,155  
Etihad Etisalat Co.     194,734       3,133,096  
Jabal Omar Development Co.*(a)     258,919       1,041,961  
Jamjoom Pharmaceuticals Factory Co.     12,609       520,173  
Jarir Marketing Co.     227,352       1,014,165  
Makkah Construction & Development Co.(a)     46,738       1,031,863  
Mobile Telecommunications Co. Saudi Arabia*(a)     154,224       433,873  
Mouwasat Medical Services Co.(a)     37,890       642,896  
Nahdi Medical Co.(a)     12,508       309,604  
National Medical Care Co.(a)     11,587       319,497  
Rasan Information Technology Co.*     23,416       963,514  
Riyadh Cables Group Co.(a)     27,047       862,406  
Saudi Awwal Bank     160,185       1,379,641  
Saudi Research & Media Group*(a)     19,089       360,726  
Saudia Dairy & Foodstuff Co.(a)     6,218       363,428  
Seera Group Holding*(a)     77,576       434,832  
Taiba Investments Co.(a)     117,850       578,397  
Umm Al Qura for Development & Construction Co.*(a)     224,239       1,074,284  
Total Saudi Arabia             55,095,730  
South Africa — 3.3%                
Absa Group Ltd.     231,978       3,225,895  
Advtech Ltd.     247,455       717,755  
African Rainbow Minerals Ltd.     70,368       766,062  
AVI Ltd.     53,942       330,860  
Bid Corp. Ltd.     101,592       2,768,212  
Capitec Bank Holdings Ltd.     24,755       7,174,464  
Discovery Ltd.     174,135       2,807,303  
DRDGOLD Ltd.     178,930       384,607  
Exxaro Resources Ltd.     63,900       791,362  
FirstRand Ltd.     1,441,446       8,553,694  
Harmony Gold Mining Co. Ltd.     172,222       2,626,937  
Impala Platinum Holdings Ltd.     261,635       2,745,651  
Investec Ltd.     107,342       844,262  
Kumba Iron Ore Ltd.     52,189       926,697  
Momentum Group Ltd.     551,583       1,367,347  
Mr. Price Group Ltd.     81,028       888,787  
MTN Group Ltd.     530,050       7,368,956  
Nedbank Group Ltd.     126,145       2,077,660  
Old Mutual Ltd.     1,144,839       937,385  
Pepkor Holdings Ltd.(b)     1,032,588       1,392,324  
PSG Financial Services Ltd.     11,421       22,424  
Remgro Ltd.     119,824       1,440,227  
Sanlam Ltd.     433,598       2,334,128  
Shoprite Holdings Ltd.     129,927       2,338,527  
Standard Bank Group Ltd.     364,845       7,191,609  
Tiger Brands Ltd.     36,883       666,324  
Truworths International Ltd.     416,729       1,439,101  
Valterra Platinum Ltd.     85,444       5,767,861  
Vodacom Group Ltd.     159,572       1,477,623  
We Buy Cars Holdings Ltd.     277,681       578,573  
Woolworths Holdings Ltd.     279,057       857,262  
Total South Africa             72,809,879  
South Korea — 22.6%                
ABLBio, Inc.*     8,229       528,487  
Alteogen, Inc.*     8,321       1,938,863  
Amorepacific Corp.(a)     2,069       141,156  
APR Corp.     4,379       1,089,592  
Celltrion, Inc.*     31,573       3,531,660  
CJ CheilJedang Corp.     120       14,337  
CJ Corp.     4,456       444,938  
Coway Co. Ltd.     13,166       767,372  
DB Insurance Co. Ltd.     10,656       920,957  
Doosan Bobcat, Inc.     16,484       656,466  
Doosan Co. Ltd.     1,265       1,214,132  
Doosan Enerbility Co. Ltd.*     89,471       5,012,640  
Ecopro BM Co. Ltd.     10,787       992,156  
GS Holdings Corp.     22,218       950,786  
Hana Financial Group, Inc.     55,713       4,121,029  
Hanjin Kal Corp.     7,977       607,556  
Hankook Tire & Technology Co. Ltd.     22,698       906,865  
Hanmi Pharm Co. Ltd.     2,148       551,107  
Hanmi Semiconductor Co. Ltd.     8,728       1,444,996  
Hanwha Aerospace Co. Ltd.     6,211       3,988,863  
Hanwha Corp.     7,261       467,257  
Hanwha Solutions Corp.*     23,448       513,819  
Hanwha Systems Co. Ltd.     14,164       667,380  
HD Hyundai Co. Ltd.     9,665       1,244,541  
HD Hyundai Electric Co. Ltd.     3,867       2,426,079  
HD Hyundai Heavy Industries Co. Ltd.(a)     5,851       2,235,714  
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.     9,313       2,103,886  
HLB, Inc.*     22,840       766,591  
Hotel Shilla Co. Ltd.*     32,352       984,572  
HYBE Co. Ltd.*     5,255       651,575  
Hyosung Heavy Industries Corp.     931       2,065,951  
Hyundai Engineering & Construction Co. Ltd.     14,118       1,040,648  
Hyundai Glovis Co. Ltd.     10,262       1,212,788  
Hyundai Mobis Co. Ltd.     10,533       3,399,277  
Hyundai Motor Co.     24,829       7,932,844  
Hyundai Rotem Co. Ltd.     13,132       1,466,363  
Hyundai Steel Co.     15,969       289,633  
IsuPetasys Co. Ltd.     4,937       367,734  
Kakao Corp.     60,809       1,356,065  
KakaoBank Corp.     72,056       972,033  
KB Financial Group, Inc.     69,009       7,082,186  
Kia Corp.     41,496       3,696,152  
KIWOOM Securities Co. Ltd.     2,490       551,262  
Korea Investment Holdings Co. Ltd.     10,726       1,530,011  
Korea Zinc Co. Ltd.     2,121       1,478,526  
Korean Air Lines Co. Ltd.     39,726       706,417  
Krafton, Inc.*     6,521       993,323  
KT&G Corp.     21,298       2,332,841  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
Kumho Petrochemical Co. Ltd.     8,280     $ 605,515  
L&F Co. Ltd.*     4,654       334,939  
LG Chem Ltd.     5,352       967,250  
LG CNS Co. Ltd.     7,841       398,806  
LG Corp.     15,204       954,850  
LG Display Co. Ltd.*     1,608       11,967  
LG Electronics, Inc.     18,768       2,459,113  
LG Energy Solution Ltd.*     2,225       519,880  
LG H&H Co. Ltd.     50       7,407  
LG Innotek Co. Ltd.     3,651       2,311,774  
LIG Defense&Aerospace Co. Ltd.     2,613       1,212,642  
LigaChem Biosciences, Inc.*     5,100       493,442  
LS Corp.     5,290       1,247,980  
LS Electric Co. Ltd.     16,861       2,590,149  
Meritz Financial Group, Inc.*     17,891       1,219,447  
Mirae Asset Securities Co. Ltd.(a)     34,451       950,610  
NAVER Corp.     29,272       3,759,845  
NC Corp.     3,857       641,049  
NH Investment & Securities Co. Ltd.     93,080       1,766,315  
Peptron, Inc.*     836       99,448  
PharmaResearch Co. Ltd.     1,267       296,857  
POSCO Future M Co. Ltd.     6,950       787,723  
POSCO Holdings, Inc.     14,623       2,991,991  
Posco International Corp.     16,601       526,650  
Rainbow Robotics*     1,897       635,476  
Sam Chun Dang Pharm Co. Ltd.     3,083       449,724  
Samsung Biologics Co. Ltd.*(b)     2,680       2,406,171  
Samsung C&T Corp.     15,521       4,693,467  
Samsung E&A Co. Ltd.     29,800       915,562  
Samsung Electro-Mechanics Co. Ltd.     10,816       15,246,979  
Samsung Electronics Co. Ltd.     809,711       174,558,493  
Samsung Episholdings Co. Ltd.*     1,457       404,383  
Samsung Fire & Marine Insurance Co. Ltd.     7,418       2,958,965  
Samsung Heavy Industries Co. Ltd.*     159,459       2,398,112  
Samsung Life Insurance Co. Ltd.     20,280       5,249,003  
Samsung SDI Co. Ltd.*     3,228       1,014,675  
Samsung SDS Co. Ltd.     1,686       207,635  
Samyang Foods Co. Ltd.     910       657,258  
Shinhan Financial Group Co. Ltd.     92,817       5,739,281  
SK Biopharmaceuticals Co. Ltd.*     7,817       436,941  
SK hynix, Inc.     83,758       143,263,861  
SK Innovation Co. Ltd.*     6,911       423,323  
SK Square Co. Ltd.*     14,995       16,424,524  
SK Telecom Co. Ltd.     9,089       518,600  
SK, Inc.     6,620       3,563,596  
SKC Co. Ltd.*     1,231       84,699  
S-Oil Corp.     16,720       1,148,266  
Woori Financial Group, Inc.     146,310       2,738,650  
Yuhan Corp.     12,201       552,837  
Total South Korea             494,205,556  
Taiwan — 27.3%                
Accton Technology Corp.     97,000       7,597,037  
Acer, Inc.(a)     671,000       697,192  
Advantech Co. Ltd.     136,072       2,101,531  
Alchip Technologies Ltd.     16,000       2,099,415  
ASE Technology Holding Co. Ltd.(a)     671,062       14,324,303  
Asia Vital Components Co. Ltd.     57,000       4,517,916  
Asustek Computer, Inc.*(a)     174,000       3,823,396  
AUO Corp.*(a)     1,982,200       2,034,685  
Bizlink Holding, Inc.     38,494       2,314,002  
Caliway Biopharmaceuticals Co. Ltd.*     115,000       360,272  
Capital Securities Corp.*     1,078,000       1,294,351  
Cathay Financial Holding Co. Ltd.(a)     1,921,425       5,928,965  
Chailease Holding Co. Ltd.     284,000       1,047,510  
Cheng Shin Rubber Industry Co. Ltd.(a)     449,000       422,129  
Chroma ATE, Inc.     95,000       6,441,386  
Chung-Hsin Electric & Machinery Manufacturing Corp.(a)     134,000       744,526  
Compal Electronics, Inc.     942,000       1,043,825  
Compeq Manufacturing Co. Ltd.     225,000       1,642,130  
CTBC Financial Holding Co. Ltd.     3,912,672       8,720,346  
Delta Electronics, Inc.     277,500       16,986,329  
E.Sun Financial Holding Co. Ltd.(a)     2,975,105       3,217,314  
Eclat Textile Co. Ltd.     80,000       784,769  
Elite Material Co. Ltd.     63,000       10,659,363  
Eva Airways Corp.(a)     673,000       948,557  
Evergreen Marine Corp. Taiwan Ltd.(a)     182,000       1,054,071  
Far Eastern International Bank(a)     984,366       401,700  
Far Eastern New Century Corp.     970,080       867,869  
Far EasTone Telecommunications Co. Ltd.     425,000       1,400,813  
Feng TAY Enterprise Co. Ltd.     320       703  
First Financial Holding Co. Ltd.     1,649,755       1,696,027  
Formosa Chemicals & Fibre Corp.     868,000       1,487,696  
Fortune Electric Co. Ltd.(a)     50,370       1,226,975  
Fubon Financial Holding Co. Ltd.     1,897,978       7,715,479  
Giant Manufacturing Co. Ltd.     853       2,107  
Gigabyte Technology Co. Ltd.(a)     35,000       377,945  
Global Unichip Corp.     16,000       2,433,412  
Gold Circuit Electronics Ltd.     69,000       2,599,156  
Great Wall Enterprise Co. Ltd.     783,592       1,365,164  
Highwealth Construction Corp.(a)     446,800       603,793  
Hiwin Technologies Corp.     99,752       1,017,670  
Hon Hai Precision Industry Co. Ltd.(a)     2,033,068       16,018,711  
Hotai Motor Co. Ltd.     93,880       1,371,812  
Innolux Corp.(a)     1,611,726       3,475,761  
Inventec Corp.(a)     671,000       1,402,809  
Jentech Precision Industrial Co. Ltd.(a)     17,000       1,830,396  
KGI Financial Holding Co. Ltd.     3,297,180       2,970,479  
King Slide Works Co. Ltd.     16,000       3,696,577  
King Yuan Electronics Co. Ltd.     224,000       2,373,142  
L&K Engineering Co. Ltd.     40,000       1,158,947  
Largan Precision Co. Ltd.     15,000       2,019,996  
Lien Hwa Industrial Holdings Corp.(a)     315,016       424,715  
Lite-On Technology Corp., ADR(a)     390,000       2,717,813  
Lotes Co. Ltd.     27,271       1,806,282  
Makalot Industrial Co. Ltd.     14,460       99,406  
MediaTek, Inc.     259,000       34,512,737  
Micro-Star International Co. Ltd.(a)     178,000       815,783  
Mitac Holdings Corp.(a)     175,000       479,572  
Nan Ya Plastics Corp.     1,056,000       5,519,250  
Nanya Technology Corp.*(a)     194,000       2,755,639  
Nien Made Enterprise Co. Ltd.     7,000       76,028  
Novatek Microelectronics Corp.(a)     147,000       2,468,727  
Pegatron Corp.(a)     303,000       797,056  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
PharmaEssentia Corp.     81,533     $ 3,429,574  
Pou Chen Corp.(a)     709,000       564,191  
Powerchip Semiconductor Manufacturing Corp.*(a)     538,000       1,345,992  
Powertech Technology, Inc.     118,000       1,250,137  
President Chain Store Corp.     114,000       798,016  
Qisda Corp.     14,560       15,585  
Quanta Computer, Inc.*(a)     507,000       5,856,764  
Realtek Semiconductor Corp.(a)     126,000       3,187,921  
Ruentex Development Co. Ltd.     300       252  
Shanghai Commercial & Savings Bank Ltd.     859,159       1,151,604  
Shihlin Electric & Engineering Corp.(a)     96,000       721,737  
SinoPac Financial Holdings Co. Ltd.(a)     3,870,249       4,847,455  
Synnex Technology International Corp.*     322,000       920,823  
TA Chen Stainless Pipe     395,711       501,214  
Taiwan Mobile Co. Ltd.     291,000       1,064,194  
Taiwan Semiconductor Manufacturing Co. Ltd.     3,842,000       290,654,027  
Tatung Co. Ltd.(a)     373,350       319,949  
TCC Group Holdings Co. Ltd.(a)     890,000       671,904  
Teco Electric & Machinery Co. Ltd.     175,000       385,086  
Tripod Technology Corp.     122,000       1,983,771  
TS Financial Holding Co. Ltd.(a)     4,859,117       5,071,670  
Unimicron Technology Corp.     243,653       8,183,847  
Uni-President Enterprises Corp.     978,160       2,287,537  
United Integrated Services Co. Ltd.     45,000       1,864,612  
United Microelectronics Corp.*     2,224,000       11,484,250  
Walsin Lihwa Corp.     781,415       912,487  
Wan Hai Lines Ltd.*(a)     243,000       604,134  
Winbond Electronics Corp.(a)     522,904       3,405,979  
WinWay Technology Co. Ltd.     6,000       1,522,766  
Wistron Corp.*(a)     511,000       2,542,448  
Wiwynn Corp.(a)     22,000       3,200,917  
WPG Holdings Ltd.     404,000       1,356,960  
WT Microelectronics Co. Ltd.(a)     132,000       886,726  
Yageo Corp.     340,112       12,171,070  
Yuanta Financial Holding Co. Ltd.     2,722,751       5,615,329  
Zhen Ding Technology Holding Ltd.     147,000       2,907,099  
Total Taiwan             596,481,494  
Thailand — 1.3%                
Advanced Info Service PCL, NVDR     344,000       3,800,304  
Bumrungrad Hospital PCL, NVDR     156,900       887,922  
Central Pattana PCL, NVDR     744,000       1,500,519  
Central Retail Corp. PCL, NVDR     692,383       489,788  
CP ALL PCL, NVDR     849,000       1,194,767  
Delta Electronics Thailand PCL, NVDR     996,200       9,745,940  
Gulf Development PCL, NVDR     1,943,895       3,598,668  
Indorama Ventures PCL, NVDR     697,200       461,715  
Kasikornbank PCL, NVDR     274,500       1,801,327  
Minor International PCL, NVDR(a)     856,400       636,748  
Tisco Financial Group PCL, NVDR     506,200       1,798,034  
True Corp. PCL, NVDR     4,532,493       1,760,032  
Total Thailand             27,675,764  
Turkey — 0.6%                
Akbank TAS     803,981       1,326,886  
BIM Birlesik Magazalar AS     221,788       1,736,303  
Destek Finans Faktoring AS*(a)     42,815       3,324,310  
Ford Otomotiv Sanayi AS(a)     147,812       267,868  
Haci Omer Sabanci Holding AS     408,565       853,813  
KOC Holding AS(a)     333,112       1,381,556  
Turkcell Iletisim Hizmetleri AS     395,000       909,282  
Turkiye Garanti Bankasi AS     219,090       648,035  
Turkiye Is Bankasi AS, Class C     2,272,078       721,233  
Turkiye Petrol Rafinerileri AS     263,224       1,283,524  
Yapi ve Kredi Bankasi AS*     792,121       681,500  
Total Turkey             13,134,310  
United States — 0.2%                
BeOne Medicines Ltd., Class H*     156,500       3,400,591  
Legend Biotech Corp., ADR*     13,347       385,461  
Total United States             3,786,052  
TOTAL COMMON STOCKS                
                 
(Cost: $1,183,890,435)             2,193,969,410  
PREFERRED STOCKS — 0.0%                
Brazil — 0.0%                
Localiza Rent a Car SA                
                 
(Cost: $70,896)     8,976       69,350  
RIGHTS — 0.0%                
China — 0.0%                
Kangmei Pharmaceutical Co. Ltd.*^     13,674       0  
South Korea — 0.0%                
Hanwha Solutions Corp.*^     5,780       22,571  
Taiwan — 0.0%                
Compeq Manufacturing Co. Ltd.*^     6,343       5,475  
TOTAL RIGHTS                
                 
(Cost: $0)             28,046  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)                
                 
(Cost: $1,489,564)     1,489,564       1,489,564  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.3%                
United States — 1.3%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)     14,938,821       14,938,821  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

Investments   Shares     Value  
WisdomTree Treasury Money Market Digital Fund, 3.45%(d)(e)     13,800,000     $ 13,800,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
                 
(Cost: $28,738,821)             28,738,821  
TOTAL INVESTMENTS IN SECURITIES — 101.6%
(Cost: $1,214,189,716)
            2,224,295,191  
Other Liabilities less Assets — (1.6)%             (35,721,603 )
NET ASSETS — 100.0%           $ 2,188,573,588  
         

 

* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $28,046, which represents 0.0% of net assets.

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $90,739,632 and the total market value of the collateral held by the Fund was $95,937,718. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $67,198,897.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)This security is exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. This security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
(d)Rate shown represents annualized 7-day yield as of June 30, 2026.
(e)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

ABBREVIATIONS:

ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $23,300,000   $40,900,000   $50,400,000   $   $   $13,800,000   $141,499 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
China  $406,327,761   $1,559,694   $   $407,887,455 
Russia           0*    0 
Other   1,786,081,955            1,786,081,955 
Preferred Stocks   69,350            69,350 
Rights           28,046*    28,046 
Mutual Fund       1,489,564        1,489,564 
Investment of Cash Collateral for Securities Loaned       28,738,821        28,738,821 
Total Investments in Securities  $2,192,479,066   $31,788,079   $28,046   $2,224,295,191 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.1%
Brazil — 6.4%      
Ambev SA     12,562,969     $ 39,538,783  
Axia Energia SA     2,262,420       23,769,627  
Banco Bradesco SA     196,579       598,934  
Banco Santander Brasil SA     145,277       752,214  
BB Seguridade Participacoes SA     133,143       1,007,585  
Bradsaude S A     2,128,854       5,914,454  
Cia de Saneamento de Minas Gerais Copasa MG     823,887       9,539,417  
Cia De Saneamento do Parana Sanepar     1,026,696       7,351,183  
Cia Paranaense de Energia - Copel     2,693,162       7,815,240  
CPFL Energia SA     1,024,661       8,864,908  
Cury Construtora & Incorporadora SA     804,330       5,448,238  
Energisa SA     871,320       8,080,327  
Engie Brasil Energia SA     887,178       5,969,998  
Ez Tec Empreendimentos & Participacoes SA     1,270,198       3,197,612  
Fleury SA     1,423,126       4,234,226  
Grendene SA     3,506,484       2,560,788  
Hypera SA     991,857       3,987,779  
Irani Papel & Embalagem SA     1,533,158       2,322,271  
JHSF Participacoes SA     3,087,813       6,759,130  
JSL SA     1,556,508       1,641,927  
Klabin SA     2,282,566       7,382,250  
Localiza Rent a Car SA     1,556,560       12,492,297  
Lojas Renner SA     3,295,958       9,398,920  
MBRF Global Foods Co. SA     4,659,947       16,232,546  
Mills Locacao Servicos & Logistica SA     1,339,521       4,037,235  
Rumo SA     2,503,013       6,494,550  
Tegma Gestao Logistica SA     525,330       3,024,533  
TIM SA     2,446,979       10,339,248  
Transmissora Alianca de Energia Eletrica SA     1,268,611       9,749,968  
Uniao Pet Participacoes SA     4,060,817       2,541,958  
Vibra Energia SA     2,080,113       12,012,206  
Vulcabras SA     966,495       2,640,335  
Total Brazil             245,700,687  
Chile — 0.7%                
Aguas Andinas SA, Class A     13,052,873       4,672,928  
Banco de Chile     5,748,461       1,125,261  
Banco Santander Chile     6,995,146       572,754  
Cencosud Shopping SA     1,981,925       5,076,816  
Colbun SA     33,247,885       4,795,567  
Empresa Nacional de Telecomunicaciones SA     710,439       2,773,663  
Inversiones Aguas Metropolitanas SA     1,338,075       1,342,436  
Quinenco SA     1,224,687       5,213,016  
Total Chile             25,572,441  
China — 20.1%                
Agricultural Bank of China Ltd., Class H     24,286,000       16,537,416  
Anhui Construction Engineering Group Co. Ltd., Class A     247,400       158,543  
Anhui Expressway Co. Ltd., Class H(a)     2,518,000       4,697,540  
Bank of Chengdu Co. Ltd., Class A     323,000       842,236  
Bank of Chongqing Co. Ltd., Class H     496,000       462,348  
Bank of Jiangsu Co. Ltd., Class A     10,199,170       16,197,268  
Bank of Shanghai Co. Ltd., Class A     1,864,902       2,384,701  
Beijing Caishikou Department Store Co. Ltd., Class A     79,600       160,654  
Beijing Capital Eco-Environment Protection Group Co. Ltd., Class A     351,000       140,648  
Beijing GeoEnviron Engineering & Technology, Inc., Class A     218,100       616,900  
Beijing Haohua Energy Resource Co. Ltd., Class A     99,700       155,102  
Beijing Jingneng Clean Energy Co. Ltd., Class H     10,670,000       2,449,105  
Beijing Strong Biotechnologies, Inc., Class A     85,400       137,511  
Bestsun Energy Co. Ltd., Class A     230,500       109,681  
Binjiang Service Group Co. Ltd.     821,500       2,248,059  
Bros Eastern Co. Ltd., Class A     180,700       180,221  
Chacha Food Co. Ltd., Class A     76,300       201,878  
Changchun Faway Automobile Components Co. Ltd., Class A     114,000       121,591  
Cheerwin Group Ltd.(b)     5,900,000       1,489,662  
China CITIC Bank Corp. Ltd., Class H     2,851,000       2,417,627  
China Coal Energy Co. Ltd., Class H     4,989,000       6,266,429  
China Communications Services Corp. Ltd., Class H     7,738,000       3,867,989  
China Construction Bank Corp., Class H     151,940,054       156,356,595  
China Everbright Bank Co. Ltd., Class A     712,800       303,476  
China Everbright Bank Co. Ltd., Class H     4,242,000       1,584,925  
China Hongqiao Group Ltd.     7,470,000       19,108,294  
China Lesso Group Holdings Ltd., Class L     5,154,000       2,339,725  
China Merchants Bank Co. Ltd., Class H     2,252,000       12,899,668  
China Minsheng Banking Corp. Ltd., Class H     410,500       164,366  
China Railway Signal & Communication Corp. Ltd., Class H*(a)(b)     7,026,000       2,867,005  
China Resources Jiangzhong Pharmaceutical Co. Ltd., Class A     142,800       464,289  
China Shenhua Energy Co. Ltd., Class A     3,593,600       20,667,965  
China Shenhua Energy Co. Ltd., Class H(a)     6,459,500       33,046,861  
China Suntien Green Energy Corp. Ltd., Class H(a)     6,859,000       2,711,396  
China Zheshang Bank Co. Ltd., Class A     3,413,900       1,322,710  
CIMC Vehicles Group Co. Ltd., Class A*     122,100       126,813  
CITIC Ltd.     14,560,000       19,699,135  
Citic Pacific Special Steel Group Co. Ltd., Class A     354,100       658,330  
Country Garden Services Holdings Co. Ltd.     6,283,000       3,893,801  
Dashang Co. Ltd., Class A     71,830       139,999  
Datang International Power Generation Co. Ltd., Class H     14,776,000       4,522,083  
DeHua TB New Decoration Materials Co. Ltd., Class A     101,800       166,167  
Dong-E-E-Jiao Co. Ltd., Class A     212,800       1,422,011  
Dynagreen Environmental Protection Group Co. Ltd., Class H(a)     4,562,000       2,943,582  
EEKA Fashion Holdings Ltd.*(a)     2,550,500       1,570,879  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

Investments   Shares     Value  
ENN Energy Holdings Ltd.     1,188,600     $ 6,132,422  
ENN Natural Gas Co. Ltd., Class A     401,800       935,245  
Ever Sunshine Services Group Ltd.     12,060,000       2,537,474  
Fufeng Group Ltd.(a)     5,033,000       3,035,697  
Guangdong Lingxiao Pump Industry Co. Ltd., Class A     67,400       151,322  
Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd., Class H     1,566,000       2,837,633  
H World Group Ltd.     2,965,000       12,613,079  
Haidilao International Holding Ltd.(a)(b)     4,632,000       6,272,829  
Hangzhou Huawang New Material Technology Co. Ltd., Class A     253,200       346,900  
Hebei Yangyuan Zhihui Beverage Co. Ltd., Class A     140,900       1,018,557  
Henan Shuanghui Investment & Development Co. Ltd., Class A     757,400       2,499,375  
Hengan International Group Co. Ltd.(a)     1,886,000       5,228,434  
Hisense Home Appliances Group Co. Ltd., Class H     1,318,000       4,094,144  
Huadian Power International Corp. Ltd., Class H     6,890,000       3,277,166  
Huali Industrial Group Co. Ltd., Class A     13,800       60,482  
Huaneng Power International, Inc., Class H(a)     9,948,000       6,951,631  
Industrial & Commercial Bank of China Ltd., Class H     115,798,823       94,947,932  
Industrial Bank Co. Ltd., Class A     18,776,100       45,806,160  
Inner Mongolia ERDOS Resources Co. Ltd., Class A     229,300       362,124  
Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd., Class A     435,900       301,816  
Jiangsu Expressway Co. Ltd., Class H     4,315,727       5,046,540  
Jinan Acetate Chemical Co. Ltd.     2,416,000       3,594,821  
Jingjin Equipment, Inc., Class A     76,800       135,769  
Jinneng Science&Technology Co. Ltd., Class A     165,500       100,451  
JNBY Design Ltd.     1,773,000       3,893,250  
Kinetic Development Group Ltd.     18,520,000       3,636,906  
Launch Tech Co. Ltd., Class H(a)     2,199,000       1,934,838  
Luolai Lifestyle Technology Co. Ltd., Class A     281,900       410,723  
Luyang Energy-Saving Materials Co. Ltd.*     92,800       109,643  
Midea Real Estate Holding Ltd.*(b)     4,205,200       1,442,478  
NetDragon Websoft Holdings Ltd.(a)     1,425,000       1,295,611  
New China Life Insurance Co. Ltd., Class H     184,000       1,079,779  
Onewo, Inc., Class H(a)     1,317,300       2,533,124  
Opple Lighting Co. Ltd., Class A     66,800       160,800  
PetroChina Co. Ltd., Class A     16,986,100       21,720,588  
Ping An Insurance Group Co. of China Ltd., Class H     7,933,000       51,642,064  
Postal Savings Bank of China Co. Ltd., Class H(b)     2,587,000       1,507,589  
Qianhe Condiment & Food Co. Ltd., Class A     182,760       187,660  
Qingdao Port International Co. Ltd., Class H(b)     3,743,000       3,006,982  
Shaanxi Coal Industry Co. Ltd., Class A     5,220,400       15,650,433  
Shandong WIT Dyne Health Co. Ltd., Class A     54,000       225,212  
Shanghai Rural Commercial Bank Co. Ltd., Class A     947,200       1,045,157  
Shanghai Zhonggu Logistics Co. Ltd., Class A     105,400       152,324  
Shenzhou International Group Holdings Ltd.     1,162,900       5,836,706  
Sichuan Expressway Co. Ltd., Class A     328,200       235,948  
Sichuan Expressway Co. Ltd., Class H     4,828,000       2,647,318  
Sichuan Road & Bridge Group Co. Ltd., Class A     561,500       646,867  
Sinoma International Engineering Co., Class A     222,600       233,815  
Sinopec Engineering Group Co. Ltd., Class H     5,481,500       3,446,012  
Sinotrans Ltd., Class H     7,579,000       3,691,864  
Sunshine Insurance Group Co. Ltd., Class H     332,000       143,942  
Tian Di Science & Technology Co. Ltd., Class A     232,500       152,420  
Tian Lun Gas Holdings Ltd.     2,824,000       979,499  
Tingyi Cayman Islands Holding Corp.     5,700,000       7,108,600  
Tsingtao Brewery Co. Ltd., Class H     1,300,000       7,134,869  
Uni-President China Holdings Ltd.(a)     4,622,000       3,978,360  
Weichai Power Co. Ltd., Class H     4,485,000       19,502,362  
Weilong Delicious Global Holdings Ltd.     2,378,400       2,180,641  
Xiamen C & D, Inc., Class A     945,000       1,103,985  
Xinyi Energy Holdings Ltd.     13,982,000       1,586,827  
Xtep International Holdings Ltd.(a)     4,633,500       2,221,608  
Yihai International Holding Ltd.     2,550,000       4,139,415  
Yunnan Yuntianhua Co. Ltd., Class A     2,064,800       9,247,189  
Yutong Bus Co. Ltd., Class A     2,132,800       8,423,743  
ZBOM Home Collection Co. Ltd., Class A     2,700       2,160  
ZCZL Industrial Technology Group Co. Ltd., Class H     1,241,600       1,901,495  
Zhejiang Expressway Co. Ltd., Class H     5,319,400       4,022,423  
Zhejiang Hangmin Co. Ltd., Class A     283,700       252,856  
Zhejiang Qianjiang Motorcycle Co. Ltd., Class A     65,600       99,057  
Zhejiang Semir Garment Co. Ltd., Class A     202,400       150,279  
Zhejiang Weixing New Building Materials Co. Ltd., Class A     122,900       148,284  
Zhejiang Zheneng Electric Power Co. Ltd., Class A     3,789,900       2,936,782  
Zoomlion Heavy Industry Science & Technology Co. Ltd., Class H     5,919,200       5,208,138  
Zoomlion Heavy Industry Science & Technology Co. Ltd., Class A     6,009,600       6,170,730  
Total China             776,280,542  
Czech Republic — 0.0%                
Komercni Banka AS     19,953       914,182  
Moneta Money Bank AS(b)     87,779       770,026  
Total Czech Republic             1,684,208  
Hungary — 1.0%                
Magyar Telekom Telecommunications PLC     1,273,967       10,844,406  
MOL Hungarian Oil & Gas PLC*     1,609,959       19,134,549  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

Investments   Shares     Value  
Richter Gedeon Nyrt     269,654     $ 10,437,479  
Total Hungary             40,416,434  
India — 3.4%                
Allcargo Logistics Ltd.*     7,002,715       598,486  
ALLCARGO WORLD*^     6,817,024       1,546,202  
Castrol India Ltd.     1,609,361       3,135,626  
Coal India Ltd.     3,543,913       16,437,519  
GAIL India Ltd.     4,377,813       8,022,242  
Gujarat Pipavav Port Ltd.     1,581,159       2,523,941  
Hindustan Zinc Ltd.     1,150,143       6,477,993  
Mindspace Business Parks REIT(b)     688,326       3,442,330  
MSTC Ltd.     418,895       3,139,320  
National Aluminium Co. Ltd.     2,751,623       9,871,789  
NMDC Ltd.     7,097,243       6,385,054  
Oil & Natural Gas Corp. Ltd.     6,992,284       17,351,671  
Tata Consultancy Services Ltd.     1,336,977       28,693,267  
Vedanta Ltd.     5,903,859       17,510,356  
Wipro Ltd.     4,475,516       8,056,130  
Total India             133,191,926  
Indonesia — 2.6%                
ANTAM Persero Tbk     29,945,600       4,337,758  
Aspirasi Hidup Indonesia Tbk. PT     134,873,500       2,459,103  
Avia Avian Tbk. PT     131,206,700       2,289,513  
Bank CIMB Niaga Tbk. PT     10,764,500       936,174  
Bank Mandiri Persero Tbk. PT     58,506,800       12,597,941  
Bank Negara Indonesia Persero Tbk. PT     3,589,100       634,315  
Bank Rakyat Indonesia Persero Tbk. PT     107,656,200       16,437,440  
Bukit Asam Persero Tbk. PT     28,766,400       3,684,287  
Elnusa Tbk. PT     77,784,400       2,262,186  
Erajaya Swasembada Tbk. PT*     117,841,200       2,306,735  
Hanjaya Mandala Sampoerna Tbk. PT     71,437,700       2,676,916  
Indo Tambangraya Megah Tbk. PT     2,880,200       3,547,898  
Indosat Tbk. PT     36,723,400       3,553,215  
Industri Jamu Dan Farmasi Sido Muncul Tbk. PT     110,797,900       2,305,191  
Japfa Comfeed Indonesia Tbk. PT     28,907,100       3,144,536  
Jasa Marga Persero Tbk. PT     14,570,800       2,208,438  
Perusahaan Gas Negara Persero Tbk. PT     56,146,200       4,286,329  
Sumber Tani Agung Resources Tbk. PT     41,957,300       2,346,605  
Surya Citra Media Tbk. PT     119,299,700       1,321,104  
Telkom Indonesia Persero Tbk. PT     105,304,800       13,840,396  
Triputra Agro Persada PT     31,537,800       2,548,776  
Unilever Indonesia Tbk. PT     29,229,900       2,950,781  
United Tractors Tbk. PT     5,030,600       6,471,130  
Total Indonesia             99,146,767  
Malaysia — 2.7%                
Alliance Bank Malaysia Bhd.     368,700       429,510  
AMMB Holdings Bhd.     736,400       1,150,428  
Carlsberg Brewery Malaysia Bhd., Class B     307,200       1,238,594  
CIMB Group Holdings Bhd.     4,843,100       8,801,317  
Dayang Enterprise Holdings Bhd.(a)     9,005,700       3,600,071  
Gas Malaysia Bhd     2,974,000       3,865,653  
Genting Malaysia Bhd.     8,450,700       3,875,612  
Heineken Malaysia Bhd.     589,900       2,809,530  
Hong Leong Bank Bhd.     75,300       395,198  
Malayan Banking Bhd.     7,920,783       20,940,783  
Matrix Concepts Holdings Bhd.     8,652,650       2,504,016  
Maxis Bhd.     6,529,300       5,412,393  
MISC Bhd.     3,367,200       6,441,241  
Petronas Dagangan Bhd.     1,092,500       5,063,949  
Petronas Gas Bhd.     1,755,500       7,525,724  
Public Bank Bhd.     7,102,500       8,361,006  
RHB Bank Bhd.     387,245       786,361  
Sime Darby Bhd.     10,818,500       5,677,888  
TIME dotCom Bhd.     4,381,300       6,629,705  
Velesto Energy Bhd.     50,418,600       3,276,745  
Westports Holdings Bhd.     4,445,624       6,607,108  
Total Malaysia             105,392,832  
Mexico — 6.0%                
Arca Continental SAB de CV     839,742       10,071,858  
Banco del Bajio SA(b)     181,925       588,448  
Bolsa Mexicana de Valores SAB de CV     83,413       166,361  
Coca-Cola Femsa SAB de CV     1,046,859       11,076,830  
FIBRA Macquarie Mexico(b)     3,021,773       7,702,398  
Fomento Economico Mexicano SAB de CV     4,491,321       57,305,388  
Grupo Aeroportuario del Centro Norte SAB de CV     768,805       10,894,713  
Grupo Aeroportuario del Pacifico SAB de CV, Class B     841,379       21,295,273  
Grupo Aeroportuario del Sureste SAB de CV, Class B     924,103       28,257,098  
Grupo Financiero Banorte SAB de CV, Class O     6,514,001       68,805,446  
Kimberly-Clark de Mexico SAB de CV, Class A     4,364,990       9,674,859  
Megacable Holdings SAB de CV, Series CPO     2,070,969       7,434,688  
Qualitas Controladora SAB de CV     31,536       316,249  
Total Mexico             233,589,609  
Philippines — 0.6%                
Aboitiz Power Corp.     7,380,200       4,924,543  
DMCI Holdings, Inc.     12,873,900       1,573,314  
Manila Electric Co.     798,070       7,412,415  
Metropolitan Bank & Trust Co.     135,610       143,631  
Monde Nissin Corp.(b)     28,375,200       3,333,635  
Robinsons Land Corp.     9,613,500       2,578,429  
Universal Robina Corp.     3,355,180       3,389,623  
Total Philippines             23,355,590  
Poland — 4.9%                
Alior Bank SA     5,730       198,172  
Bank Polska Kasa Opieki SA     464,138       28,251,932  
Budimex SA(a)     33,736       6,616,433  
Erste Bank Polska SA     12,130       2,080,157  
Orange Polska SA     2,479,575       9,446,377  
ORLEN SA     1,891,305       63,700,125  
Powszechna Kasa Oszczednosci Bank Polski SA     2,082,624       57,145,627  
Powszechny Zaklad Ubezpieczen SA     1,047,958       18,294,692  
Text SA(a)     197,378       2,263,190  
Total Poland             187,996,705  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

Investments   Shares     Value  
Romania — 0.4%                
NEPI Rockcastle NV*     1,653,955     $ 14,780,646  
Russia — 0.0%                
Evraz PLC*^     2,288,532       0  
GMK Norilskiy Nickel PAO, ADR*^     13       0  
GMK Norilskiy Nickel PAO*^     14,851,900       0  
Magnit PJSC*^     200,620       0  
Magnitogorsk Iron & Steel Works PJSC, GDR*^(c)     298,929       0  
Novolipetsk Steel PJSC*^     5,213,400       0  
PhosAgro PJSC*^     95,795       0  
PhosAgro PJSC, GDR*^(c)     1,853       0  
Polyus PJSC*^     354,781       0  
Sberbank of Russia PJSC*^     9,700,476       0  
Severstal PAO, GDR*^(c)     775,843       0  
Tatneft PJSC, ADR*^     3,217       0  
Tatneft PJSC*^     1,371,750       0  
Total Russia             0  
Saudi Arabia — 6.2%                
Abdullah Al Othaim Markets Co.(a)     1,078,014       1,681,348  
Alaseel Co.(a)     699,882       683,639  
Alinma Bank     484,575       3,152,085  
Almunajem Foods Co.(a)     187,896       3,090,592  
Alujain Corp.(a)     402,295       2,890,973  
Arab National Bank     24,097       133,017  
Arabian Cement Co.(a)     390,248       2,399,321  
Arabian Centres Co.(a)(b)     895,052       4,071,234  
Banque Saudi Fransi     207,287       1,070,310  
First Milling Co.(a)     80,736       1,171,115  
Gulf Insurance Group     52,855       459,450  
Jarir Marketing Co.     1,647,510       7,349,161  
Mobile Telecommunications Co. Saudi Arabia*(a)     1,425,240       4,009,578  
Modern Mills Co.(a)     407,707       3,116,508  
Nahdi Medical Co.(a)     183,847       4,550,668  
Qassim Cement Co.(a)     206,181       2,463,943  
Riyad Bank     962,685       5,101,421  
Riyadh Cement Co.(a)     534,345       3,261,080  
SABIC Agri-Nutrients Co.     452,095       14,896,562  
Sahara International Petrochemical Co.(a)     1,112,872       4,238,581  
Saudi Arabian Oil Co.(a)(b)     10,523,861       73,161,729  
Saudi Aramco Base Oil Co.(a)     152,633       5,049,580  
Saudi Awwal Bank     115,192       992,125  
Saudi Cement Co.(a)     517,792       4,178,498  
Saudi Ground Services Co.(a)     311,888       2,576,654  
Saudi Investment Bank     552,021       1,971,713  
Saudi National Bank     2,847,905       29,303,739  
Saudi Telecom Co.     2,676,216       30,799,420  
Saudia Dairy & Foodstuff Co.(a)     63,591       3,716,753  
Southern Province Cement Co.(a)     422,058       2,163,536  
Tabuk Cement Co.(a)     921,927       1,933,563  
United Electronics Co.(a)     190,019       3,656,546  
Yanbu Cement Co.     1,019,718       4,258,324  
Yanbu National Petrochemical Co.(a)     790,097       6,186,696  
Total Saudi Arabia             239,739,462  
South Africa — 4.9%                
Absa Group Ltd.     505,874       7,034,704  
African Rainbow Minerals Ltd.     395,340       4,303,875  
AVI Ltd.     1,357,869       8,328,650  
Bidvest Group Ltd.     664,630       9,710,735  
DataTec Ltd.     1,068,890       6,012,914  
Equites Property Fund Ltd.     4,327,705       4,652,481  
FirstRand Ltd.     5,882,770       34,908,982  
Growthpoint Properties Ltd.     14,700,291       15,471,630  
Investec Ltd.     93,423       734,787  
Life Healthcare Group Holdings Ltd.     5,292,023       3,367,651  
Momentum Group Ltd.     362,041       897,482  
Motus Holdings Ltd.     620,671       4,203,446  
Mr. Price Group Ltd.     496,910       5,450,548  
Netcare Ltd.     5,489,391       6,042,014  
Old Mutual Ltd.     1,047,268       857,495  
Omnia Holdings Ltd.     950,559       6,490,364  
Raubex Group Ltd.     1,339,096       4,198,666  
Redefine Properties Ltd.     25,273,731       9,868,937  
Resilient REIT Ltd.     1,178,614       5,990,149  
Reunert Ltd.     1,070,422       3,944,038  
Sanlam Ltd.     397,682       2,140,786  
Standard Bank Group Ltd.     1,374,473       27,092,800  
Sun International Ltd.     1,426,666       4,706,518  
Super Group Ltd.*     3,635,341       4,338,455  
Vodacom Group Ltd.     1,080,325       10,003,717  
Total South Africa             190,751,824  
South Korea — 3.1%                
Binggrae Co. Ltd.     52,966       2,191,390  
BNK Financial Group, Inc.     58,108       639,477  
Cheil Worldwide, Inc.     346,926       4,075,423  
DB Insurance Co. Ltd.     10,633       918,969  
DN Automotive Corp.     178,068       4,390,497  
Dongsuh Cos., Inc.     189,228       2,882,451  
GS Holdings Corp.     154,079       6,593,583  
Hana Financial Group, Inc.     169,498       12,537,579  
Hana Tour Service, Inc.     86,688       1,756,925  
Handsome Co. Ltd.     295,115       3,990,615  
Hanil Cement Co. Ltd.     267,838       2,352,853  
Hankook & Co. Co. Ltd.(a)     219,889       3,363,693  
Hanssem Co. Ltd.*     96,611       2,045,337  
HL Holdings Corp.*     79,847       1,984,193  
Hyundai Elevator Co. Ltd.     97,084       4,455,349  
Industrial Bank of Korea     71,950       924,162  
Innocean Worldwide, Inc.     137,722       1,600,075  
JB Financial Group Co. Ltd.     25,978       415,836  
JS Corp.     253,236       1,817,585  
K Car Co. Ltd.     219,793       1,187,418  
KEPCO Plant Service & Engineering Co. Ltd.     103,892       2,970,642  
KG Dongbusteel     667,863       2,263,139  
Korean Reinsurance Co.     56,236       482,033  
KT&G Corp.     151,919       16,640,195  
LG Uplus Corp.     607,703       5,491,410  
LX INTERNATIONAL Corp.     159,946       3,799,143  
LX Semicon Co. Ltd.     53,913       1,428,470  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

Investments   Shares     Value  
Partron Co. Ltd.     556,085     $ 2,074,596  
Samsung Fire & Marine Insurance Co. Ltd.     6,845       2,730,401  
Samsung Securities Co. Ltd.     12,145       850,534  
SAMT Co. Ltd.     840,554       6,700,343  
SGC Energy Co. Ltd.     103,780       2,679,404  
SK Networks Co. Ltd.     915,643       5,939,593  
TKG Huchems Co. Ltd.     166,545       1,633,953  
Woori Financial Group, Inc.     200,405       3,751,207  
Total South Korea             119,558,473  
Taiwan — 31.5%                
Alltek Technology Corp.     2,723,000       5,060,242  
Asustek Computer, Inc.*(a)     1,639,000       36,014,628  
Capital Futures Corp.*     183,000       351,564  
Capital Securities Corp.*     374,000       449,061  
Cathay Consolidated, Inc.     590,000       2,083,562  
Cathay Financial Holding Co. Ltd.(a)     8,331,000       25,707,071  
Cathay Real Estate Development Co. Ltd.     3,949,000       3,061,865  
Chicony Electronics Co. Ltd.(a)     1,802,386       5,884,141  
Chicony Power Technology Co. Ltd.(a)     996,000       2,979,574  
China Steel Chemical Corp.     1,260,000       3,255,160  
Chin-Poon Industrial Co. Ltd.(a)     2,602,000       4,426,990  
Chong Hong Development Co. Ltd.(a)     1,078,341       2,650,451  
Chun Yuan Steel Industry Co. Ltd.*(a)     5,570,000       4,143,864  
Compal Electronics, Inc.     7,631,000       8,455,866  
Crowell Development Corp.(a)     3,051,000       2,011,238  
CTBC Financial Holding Co. Ltd.(a)     20,131,000       44,866,856  
CyberPower Systems, Inc.(a)     497,000       3,323,058  
Da-Li Development Co. Ltd.     2,782,468       3,939,206  
Darfon Electronics Corp.     2,034,000       2,662,496  
Depo Auto Parts Ind Co. Ltd.(a)     885,000       3,778,193  
Elan Microelectronics Corp.(a)     882,000       5,232,778  
Ennoconn Corp.(a)     410,000       4,755,544  
Eva Airways Corp.(a)     7,017,000       9,890,079  
Evergreen International Storage & Transport Corp.*     1,508,000       2,300,592  
Evergreen Marine Corp. Taiwan Ltd.(a)     4,164,000       24,116,209  
Everlight Electronics Co. Ltd.     2,061,000       4,399,353  
Far Eastern Department Stores Ltd.*     3,987,000       2,878,565  
Far Eastern New Century Corp.(a)     9,671,000       8,652,033  
Feng Hsin Steel Co. Ltd.     1,965,000       3,744,150  
Flytech Technology Co. Ltd.(a)     987,000       3,996,767  
Formosa International Hotels Corp.     594,000       3,328,332  
Foxsemicon Integrated Technology, Inc.     347,000       3,600,003  
Fu Hua Innovation Co. Ltd.(a)     4,979,000       2,258,457  
Fubon Financial Holding Co. Ltd.(a)     7,059,000       28,695,572  
Fulgent Sun International Holding Co. Ltd.(a)     803,450       1,833,560  
Fusheng Precision Co. Ltd.(a)     597,000       4,788,144  
Global Mixed Mode Technology, Inc.*(a)     468,000       4,598,245  
Great Wall Enterprise Co. Ltd.     2,702,000       4,707,391  
Greatek Electronics, Inc.(a)     1,610,000       6,898,592  
Highwealth Construction Corp.(a)     4,506,000       6,089,285  
Holy Stone Enterprise Co. Ltd.(a)     1,121,200       29,634,467  
Hong TAI Electric Industrial(a)     2,719,000       3,166,541  
Hua Nan Financial Holdings Co. Ltd.(a)     1,219,000       1,454,083  
Huaku Development Co. Ltd.(a)     1,272,660       4,074,877  
Huang Hsiang Construction Corp.*(a)     2,111,000       2,547,924  
Hung Sheng Construction Ltd.(a)     3,905,000       2,016,457  
Innolux Corp.(a)     20,494,000       44,196,249  
Iron Force Industrial Co. Ltd.(a)     761,000       2,059,178  
ITE Technology, Inc.(a)     877,000       4,377,223  
ITH Corp.     2,215,000       2,687,356  
JPC connectivity, Inc.(a)     601,000       6,603,048  
Kindom Development Co. Ltd.(a)     3,271,700       3,486,705  
KMC Kuei Meng International, Inc.     876,000       2,351,106  
Kung Long Batteries Industrial Co. Ltd.     302,000       1,189,742  
L&K Engineering Co. Ltd.     444,000       12,864,313  
Lion Travel Service Co. Ltd.(a)     678,000       3,181,800  
Makalot Industrial Co. Ltd.(a)     586,000       4,028,503  
MediaTek, Inc.     1,949,000       259,711,676  
Merry Electronics Co. Ltd.(a)     1,192,000       3,375,085  
momo.com, Inc.(a)     518,000       4,837,474  
Nan Pao Resins Chemical Co. Ltd., Class L(a)     334,000       3,601,431  
Nichidenbo Corp.(a)     1,405,000       14,223,549  
Novatek Microelectronics Corp.(a)     1,356,000       22,772,747  
O-Bank Co. Ltd.     2,688,000       881,754  
Pan German Universal Motors Ltd.(a)     396,000       2,896,363  
Powertech Technology, Inc.     1,372,000       14,535,495  
President Securities Corp.     293,000       459,875  
Primax Electronics Ltd.(a)     1,587,000       3,287,932  
Promate Electronic Co. Ltd.(a)     2,038,782       3,212,746  
Quanta Computer, Inc.*(a)     5,313,000       61,374,727  
Realtek Semiconductor Corp.(a)     1,172,000       29,652,724  
Rechi Precision Co. Ltd.     3,570,000       3,154,631  
Sanyang Motor Co. Ltd.     1,660,000       3,183,840  
Sercomm Corp.(a)     830,000       2,105,190  
Sesoda Corp.(a)     2,589,000       4,331,728  
Shanghai Commercial & Savings Bank Ltd.     840,000       1,125,924  
Shinkong Insurance Co. Ltd.     130,000       581,514  
Sinbon Electronics Co. Ltd.     647,000       6,671,778  
Sincere Navigation Corp.(a)     4,184,000       3,874,500  
Sinon Corp.(a)     2,831,000       3,483,597  
Sitronix Technology Corp.     545,000       5,679,846  
Sports Gear Co. Ltd.(a)     791,000       1,854,808  
Standard Foods Corp.(a)     2,895,000       2,667,219  
Stark Technology, Inc.(a)     717,000       3,511,120  
Synnex Technology International Corp.*     3,737,000       10,686,695  
Systex Corp.(a)     937,000       3,941,362  
Taisun Enterprise Co. Ltd.     4,056,000       2,272,679  
Taiwan Cogeneration Corp.(a)     2,587,524       6,197,419  
Taiwan Fertilizer Co. Ltd.     1,300,000       1,936,340  
Taiwan Hon Chuan Enterprise Co. Ltd.(a)     1,029,000       4,150,691  
Taiwan Mobile Co. Ltd.(a)     2,663,000       9,738,656  
Taiwan Navigation Co. Ltd.     1,840,000       1,715,443  
Taiwan Paiho Ltd.(a)     1,781,000       2,479,474  
Taiwan Sakura Corp.     1,235,000       3,209,957  
Taiwan Secom Co. Ltd.     911,000       3,016,982  
Taiwan Surface Mounting Technology Corp.(a)     1,112,000       7,435,092  
Tatung Co. Ltd.(a)     6,798,000       5,825,668  
Tigerair Taiwan Co. Ltd.(a)     1,518,000       2,968,669  
Ton Yi Industrial Corp.(a)     6,160,000       2,929,512  
Tong Yang Industry Co. Ltd.(a)     1,593,000       3,870,425  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

Investments   Shares     Value  
Topkey Corp.     462,000     $ 2,421,923  
Transcend Information, Inc.(a)     980,000       8,198,327  
TS Financial Holding Co. Ltd.(a)     10,710,000       11,178,488  
Ttet Union Corp.(a)     715,000       3,175,882  
Tung Ho Steel Enterprise Corp.     1,980,000       4,189,161  
TXC Corp.     1,318,000       7,757,444  
U-Ming Marine Transport Corp.(a)     2,128,000       4,028,013  
United Microelectronics Corp.*(a)     23,579,000       121,756,800  
Universal Cement Corp.(a)     3,379,520       2,843,098  
Voltronic Power Technology Corp.(a)     169,000       5,755,968  
Wah Lee Industrial Corp.     1,064,000       4,325,271  
Wan Hai Lines Ltd.*(a)     3,003,000       7,465,905  
Weikeng Industrial Co. Ltd.(a)     3,522,000       5,461,579  
WNC Corp. /Taiwan(a)     1,092,000       8,895,328  
Wowprime Corp.     573,000       4,442,767  
WPG Holdings Ltd.     3,480,000       11,688,666  
WT Microelectronics Co. Ltd.(a)     1,802,000       12,105,159  
Yuanta Financial Holding Co. Ltd.     4,049,000       8,350,550  
YungShin Global Holding Corp.     1,741,000       2,940,241  
Zenitron Corp.(a)     2,916,000       7,606,598  
Zero One Technology Co. Ltd.(a)     932,000       2,925,620  
Zippy Technology Corp.     1,094,000       2,084,529  
Total Taiwan             1,220,809,963  
Thailand — 4.2%                
Advanced Info Service PCL, NVDR     2,219,700       24,521,904  
Amata Corp. PCL, NVDR     6,399,800       5,153,283  
AP Thailand PCL, NVDR     10,360,900       2,354,715  
Bangkok Bank PCL, NVDR     171,400       926,124  
Bangkok Life Assurance PCL, NVDR     397,300       295,399  
Charoen Pokphand Foods PCL, NVDR(a)     10,760,400       6,348,605  
Chularat Hospital PCL, NVDR(a)     54,091,300       2,540,071  
Electricity Generating PCL, NVDR     1,204,300       4,350,206  
Gunkul Engineering PCL, NVDR     45,504,000       5,807,768  
Home Product Center PCL, NVDR     18,039,100       3,556,723  
Ichitan Group PCL, NVDR     6,843,200       2,883,906  
I-TAIL Corp. PCL, NVDR     6,244,800       3,026,483  
Karmarts PCL, NVDR     10,338,800       2,411,935  
Kasikornbank PCL, NVDR     195,800       1,284,881  
KCE Electronics PCL, NVDR     4,431,100       5,568,803  
Kiatnakin Phatra Bank PCL, NVDR     86,500       261,683  
Krung Thai Bank PCL, NVDR     440,600       503,990  
MBK PCL, NVDR     7,321,000       4,253,256  
MC Group PCL, NVDR     7,592,200       2,651,059  
Mega Lifesciences PCL, NVDR     2,421,000       2,678,218  
MK Restaurants Group PCL, NVDR(a)     2,579,300       1,684,828  
Precious Shipping PCL, NVDR     12,323,100       2,615,188  
Prima Marine PCL, NVDR(a)     11,168,600       2,958,525  
PTT PCL, NVDR     20,630,900       22,046,536  
Ratch Group PCL, NVDR     3,860,900       3,660,943  
Regional Container Lines PCL, NVDR     4,044,200       3,865,184  
Sansiri PCL, NVDR     50,470,700       2,202,932  
Sappe PCL, NVDR     1,502,700       1,492,726  
SCB X PCL, NVDR(a)     373,400       1,663,527  
Supalai PCL, NVDR     6,136,200       2,955,380  
Thai Life Insurance PCL, NVDR     722,200       250,005  
Thai Oil PCL, NVDR(a)     3,300,900       4,819,122  
Thai Union Group PCL, NVDR     10,229,400       3,602,715  
Thaifoods Group PCL, NVDR     29,703,200       9,835,349  
Tipco Asphalt PCL, NVDR     5,855,800       2,379,654  
TMBThanachart Bank PCL, NVDR     22,207,100       1,644,451  
TOA Paint Thailand PCL, NVDR(a)     6,528,000       2,888,626  
TTW PCL, NVDR     13,726,577       4,069,980  
WHA Corp. PCL, NVDR(a)     35,551,700       5,511,394  
Total Thailand             161,526,077  
Turkey — 0.4%                
Anadolu Anonim Turk Sigorta Sirketi     311,759       182,823  
Anadolu Hayat Emeklilik AS     69,918       154,206  
Celebi Hava Servisi AS     43,339       1,470,473  
Nuh Cimento Sanayi AS     520,865       2,463,909  
Oyak Cimento Fabrikalari AS(a)     6,004,587       2,638,361  
Tofas Turk Otomobil Fabrikasi AS(a)     532,332       3,514,232  
Torunlar Gayrimenkul Yatirim Ortakligi AS     1,751,884       3,754,936  
Total Turkey             14,178,940  
TOTAL COMMON STOCKS                
                 
(Cost: $3,157,582,005)             3,833,673,126  
EXCHANGE-TRADED FUND — 0.0%                
United States — 0.0%                
WisdomTree Global High Dividend Fund(a)(d)                
                 
(Cost: $1,632,323)     27,185       1,867,400  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(e)                
                 
(Cost: $1,695,392)     1,695,392       1,695,392  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 4.0%                
United States — 4.0%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(e)     80,000,313       80,000,313  
WisdomTree Treasury Money Market Digital Fund, 3.45%(d)(e)     74,200,000       74,200,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
                 
(Cost: $154,200,313)             154,200,313  
TOTAL INVESTMENTS IN SECURITIES — 103.1%
(Cost: $3,315,110,033)
            3,991,436,231  
Other Liabilities less Assets — (3.1)%             (119,856,349 )
NET ASSETS — 100.0%           $ 3,871,579,882  
         

 

* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $1,546,202, which represents 0.0% of net assets.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $539,297,481 and the total market value of the collateral held by the Fund was $569,278,192. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $415,077,879.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)This security is exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. This security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
(d)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(e)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

BRL Brazilian Real
CNH Offshore Chinese renminbi
IDR Indonesian rupiah
MYR Malaysian ringgit
PLN Polish zloty
TWD Taiwan new dollar
USD United States dollar

 

OTHER ABBREVIATIONS:

ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt

  

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Global High Dividend Fund  $2,463,665   $   $675,377   $43,195   $35,917   $1,867,400   $24,331   $ 
WisdomTree Treasury Money Market Digital Fund   72,800,000    195,200,000    193,800,000            74,200,000        679,673 
Total  $75,263,665   $195,200,000   $194,475,377   $43,195   $35,917   $76,067,400   $24,331   $679,673 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Emerging Markets High Dividend Fund (DEM)
June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/2/2026   505,362  USD    2,050,000  MYR   $2,603   $ 
Bank of America NA  7/2/2026   260,253  USD    8,300,000  TWD        (290)
Canadian Imperial Bank of Commerce  7/2/2026   1,984,238  USD    7,470,000  PLN        (3,072)
Goldman Sachs  7/1/2026   337,740  USD    1,750,000  BRL        (362)
Goldman Sachs  7/1/2026   250,351  USD    940,000  PLN    274     
HSBC Holdings PLC  7/2/2026   312,936  USD    5,600,000,000  IDR        (263)
Royal Bank of Canada  7/2/2026   1,264,851  USD    8,600,000  CNH        (2,091)
                      $2,877   $(6,078)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
India  $131,645,724   $   $1,546,202*   $133,191,926 
Russia           0*    0 
Other   3,700,481,200            3,700,481,200 
Exchange-Traded Fund   1,867,400            1,867,400 
Mutual Fund       1,695,392        1,695,392 
Investment of Cash Collateral for Securities Loaned       154,200,313        154,200,313 

Total Investments in Securities

  $3,833,994,324   $155,895,705   $1,546,202   $3,991,436,231 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $2,877   $   $2,877 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(6,078)  $   $(6,078)
Total - Net  $3,833,994,324   $155,892,504   $1,546,202   $3,991,433,030 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.
1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Emerging Markets Multifactor Fund (EMMF)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 96.9%
Australia — 0.4%      
Anglogold Ashanti PLC     9,398     $ 761,376  
Brazil — 6.5%                
Ambev SA     218,449       687,513  
Axia Energia SA     45,006       472,846  
BB Seguridade Participacoes SA     81,695       618,243  
Caixa Seguridade Participacoes SA     151,663       577,532  
Cia de Saneamento Basico do Estado de Sao Paulo SABESP     136,004       778,825  
CPFL Energia SA     89,879       777,593  
Embraer SA     35,506       561,475  
Engie Brasil Energia SA     45,266       304,604  
MercadoLibre, Inc.*     1,521       2,581,730  
PRIO SA*     32,160       324,026  
StoneCo Ltd., Class A     46,143       500,190  
Telefonica Brasil SA     107,751       706,758  
TIM SA     189,358       800,097  
Ultrapar Participacoes SA     60,365       303,927  
Vale SA     39,269       590,862  
Vibra Energia SA     90,317       521,561  
WEG SA     63,488       575,396  
Total Brazil             11,683,178  
Chile — 0.4%                
Latam Airlines Group SA     24,789,184       720,748  
China — 12.6%                
Airtac International Group     14,000       586,693  
Alibaba Group Holding Ltd.     289,200       3,424,133  
Baidu, Inc., Class A*     120,900       1,689,691  
Bosideng International Holdings Ltd.     1,142,000       623,276  
C&D International Investment Group Ltd.(a)     217,000       373,563  
China Gold International Resources Corp. Ltd.     32,900       513,928  
China Life Insurance Co. Ltd., Class H     203,000       690,123  
China Nonferrous Mining Corp. Ltd.     287,000       411,723  
China Pacific Insurance Group Co. Ltd., Class H     136,000       466,164  
China Resources Land Ltd.     109,000       416,983  
China Taiping Insurance Holdings Co. Ltd.     270,400       621,344  
CITIC Ltd.     195,000       263,828  
Contemporary Amperex Technology Co. Ltd., Class H(a)     7,400       662,429  
Geely Automobile Holdings Ltd.     256,000       550,387  
Huaneng Power International, Inc., Class H     1,156,000       807,809  
Li Ning Co. Ltd.     223,000       418,584  
MMG Ltd.*     584,000       516,824  
NetEase, Inc.     25,900       668,468  
New China Life Insurance Co. Ltd., Class H     108,300       635,544  
New Oriental Education & Technology Group, Inc.     107,900       493,678  
Ping An Insurance Group Co. of China Ltd., Class H     94,000       611,919  
Tencent Holdings Ltd.     92,400       5,064,176  
Weichai Power Co. Ltd., Class H     126,000       547,892  
WuXi AppTec Co. Ltd., Class H(b)     41,700       817,298  
Wuxi Biologics Cayman, Inc.*(b)     163,000       719,174  
Total China             22,595,631  
Czech Republic — 0.2%                
Colt CZ Group SE     9,207       397,327  
Hungary — 0.2%                
Richter Gedeon Nyrt     11,741       454,458  
India — 14.7%                
ABB India Ltd.     6,998       519,793  
Adani Power Ltd.*     213,215       504,033  
Alkem Laboratories Ltd.     9,308       547,710  
Apollo Hospitals Enterprise Ltd.     6,628       607,913  
Ashok Leyland Ltd.     357,230       595,140  
Aurobindo Pharma Ltd.     26,118       435,591  
Bajaj Auto Ltd.     3,619       371,463  
Bank of Baroda     200,808       577,866  
Bharat Forge Ltd.     20,848       472,225  
Bharat Heavy Electricals Ltd.     99,950       437,247  
Bharat Petroleum Corp. Ltd.     137,273       440,205  
BSE Ltd.*     10,803       441,164  
Canara Bank     33,711       44,702  
CG Power & Industrial Solutions Ltd.     50,210       505,051  
Cipla Ltd.     27,414       424,393  
Coal India Ltd.     104,289       483,717  
Cummins India Ltd.     9,651       577,018  
Dr. Reddy’s Laboratories Ltd.     32,325       463,436  
Eicher Motors Ltd.     9,224       689,276  
GE Vernova T&D India Ltd.     10,312       538,592  
Hero MotoCorp Ltd.     9,396       475,891  
Hindalco Industries Ltd.     57,693       583,032  
Hitachi Energy India Ltd.     1,379       508,719  
Indus Towers Ltd.*     79,962       330,884  
Infosys Ltd.     103,159       1,090,235  
Larsen & Toubro Ltd.     14,632       640,471  
Lupin Ltd.     17,886       457,076  
Marico Ltd.     52,741       465,933  
Nestle India Ltd.     26,765       397,324  
NMDC Ltd.     674,892       607,168  
NTPC Ltd.     142,026       535,118  
Oil & Natural Gas Corp. Ltd.     153,182       380,128  
Oil India Ltd.     77,554       341,607  
Oracle Financial Services Software Ltd.     10,658       1,213,256  
Polycab India Ltd.     4,437       466,908  
Punjab National Bank     319,047       359,598  
Reliance Industries Ltd.     49,658       678,780  
Samvardhana Motherson International Ltd.     218,110       341,271  
Shriram Finance Ltd.     24,586       270,681  
Solar Industries India Ltd.     2,530       499,699  
State Bank of India     42,230       458,130  
Sun Pharmaceutical Industries Ltd.     22,472       442,158  
Tata Communications Ltd.     15,442       321,471  
Tata Motors Passenger Vehicles Limited     173,152       644,252  
Tata Steel Ltd.     309,867       615,618  
Titan Co. Ltd.     9,274       431,473  
Torrent Pharmaceuticals Ltd.     13,721       669,694  
TVS Motor Co. Ltd.     9,468       346,138  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Multifactor Fund (EMMF)
June 30, 2026

 

 

Investments   Shares     Value  
Union Bank of India Ltd.     370,897     $ 675,624  
Vedanta Ltd.     196,419       582,562  
Vodafone Idea Ltd.*     2,379,234       363,450  
Zydus Lifesciences Ltd.     37,521       441,014  
Total India             26,311,898  
Indonesia — 0.5%                
Astra International Tbk. PT     2,187,300       552,942  
Bank Rakyat Indonesia Persero Tbk. PT     250,500       38,247  
United Tractors Tbk. PT     248,300       319,402  
Total Indonesia             910,591  
Malaysia — 1.6%                
AMMB Holdings Bhd.     634,000       990,455  
IHH Healthcare Bhd.     345,200       711,142  
Press Metal Aluminium Holdings Bhd.     221,800       417,762  
RHB Bank Bhd.     100,100       203,269  
Sunway Bhd.     373,700       471,077  
Total Malaysia             2,793,705  
Mexico — 3.1%                
America Movil SAB de CV, Series B     465,543       603,451  
Cemex SAB de CV, Series CPO     472,413       567,747  
Coca-Cola Femsa SAB de CV     62,169       657,811  
Fibra Uno Administracion SA de CV     120,000       205,817  
Grupo Carso SAB de CV, Series A1     40,000       299,169  
Grupo Financiero Banorte SAB de CV, Class O     39,130       413,319  
Grupo Mexico SAB de CV, Series B     50,000       567,251  
Industrias Penoles SAB de CV     12,198       533,525  
Kimberly-Clark de Mexico SAB de CV, Class A     251,201       556,779  
Promotora y Operadora de Infraestructura SAB de CV     50,520       803,087  
Sigma Foods SAB de CV, Class A     313,700       288,319  
Total Mexico             5,496,275  
Philippines — 0.5%                
International Container Terminal Services, Inc.     60,840       882,314  
Poland — 2.2%                
Asseco Poland SA(a)     19,346       860,286  
Bank Polska Kasa Opieki SA     11,017       670,601  
Budimex SA     2,422       475,012  
Erste Bank Polska SA     1,826       313,138  
KGHM Polska Miedz SA     5,926       522,231  
ORLEN SA     31,717       1,068,245  
Total Poland             3,909,513  
Russia — 0.0%                
GMK Norilskiy Nickel PAO*^     2,900       0  
GMK Norilskiy Nickel PAO, ADR*^     11       0  
LUKOIL PJSC*^     67       0  
LUKOIL PJSC, ADR*^     46       0  
Magnit PJSC*^     32       0  
Novolipetsk Steel PJSC*^     3,110       0  
PhosAgro PJSC*^     178       0  
PhosAgro PJSC, GDR*^(c)     4       0  
Polyus PJSC*^     590       0  
Rosneft Oil Co. PJSC*^     1,588       0  
Sberbank of Russia PJSC*^     2,556       0  
Severstal PAO, GDR*^(c)     475       0  
VTB Bank PJSC*^     3,307       0  
X5 Retail Group NV, GDR*^(c)     223       0  
Total Russia             0  
South Africa — 3.4%                
Absa Group Ltd.     41,962       583,525  
Bidvest Group Ltd.     28,676       418,977  
Gold Fields Ltd.     20,527       690,015  
Harmony Gold Mining Co. Ltd.     36,065       550,107  
Impala Platinum Holdings Ltd.     47,354       496,942  
MTN Group Ltd.     35,979       500,194  
Northam Platinum Holdings Ltd.     35,958       517,563  
Sasol Ltd.*     46,816       461,762  
Sibanye Stillwater Ltd.     217,568       462,216  
Valterra Platinum Ltd.     8,203       553,740  
Vodacom Group Ltd.     83,465       772,879  
Total South Africa             6,007,920  
South Korea — 22.9%                
APR Corp.     1,297       322,722  
Coupang, Inc.*     153,680       2,669,422  
DB Insurance Co. Ltd.     3,883       335,593  
Hana Financial Group, Inc.     8,193       606,027  
Hankook Tire & Technology Co. Ltd.     7,462       298,133  
Hanmi Semiconductor Co. Ltd.     6,029       998,153  
Hanwha Aerospace Co. Ltd.     752       482,954  
HD Hyundai Co. Ltd.     3,166       407,679  
HD Hyundai Electric Co. Ltd.     928       582,209  
HD Hyundai Heavy Industries Co. Ltd.     1,259       481,074  
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.     2,146       484,800  
Hyosung Heavy Industries Corp.     233       517,042  
Hyundai Glovis Co. Ltd.     3,312       391,420  
Hyundai Motor Co.     7,668       2,449,919  
Hyundai Rotem Co. Ltd.     4,285       478,477  
Kakao Corp.     681       15,187  
KB Financial Group, Inc.     6,273       643,779  
Korea Electric Power Corp.     19,758       471,856  
LG Chem Ltd.     2,168       391,816  
LG Display Co. Ltd.*     100,813       750,257  
LG Uplus Corp.     22,709       205,206  
LIG Defense&Aerospace Co. Ltd.     965       447,838  
Meritz Financial Group, Inc.*     5,366       365,745  
NH Investment & Securities Co. Ltd.     17,379       329,789  
Posco International Corp.     10,469       332,119  
Samsung Electronics Co. Ltd.     47,587       10,258,864  
Samsung Heavy Industries Co. Ltd.*     29,684       446,419  
Shinhan Financial Group Co. Ltd.     7,784       481,319  
SK hynix, Inc.     7,726       13,214,936  
SK, Inc.     1,772       953,881  
Woori Financial Group, Inc.     9,536       178,496  
Total South Korea             40,993,131  
Taiwan — 24.9%                
Accton Technology Corp.     16,000       1,253,119  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Multifactor Fund (EMMF)
June 30, 2026

 

 

Investments   Shares     Value  
Advantech Co. Ltd.     57,000     $ 880,323  
Alchip Technologies Ltd.     7,000       918,494  
ASE Technology Holding Co. Ltd.     70,000       1,494,201  
Asia Vital Components Co. Ltd.     17,000       1,347,449  
Bizlink Holding, Inc.     7,000       420,793  
Chroma ATE, Inc.     21,000       1,423,885  
Compal Electronics, Inc.     658,000       729,126  
Delta Electronics, Inc.     28,000       1,713,936  
Elite Material Co. Ltd.     9,000       1,522,766  
Fortune Electric Co. Ltd.(a)     19,000       462,826  
Gold Circuit Electronics Ltd.     27,000       1,017,061  
Hon Hai Precision Industry Co. Ltd.     165,000       1,300,049  
Hon Precision, Inc.     5,000       1,015,491  
Jentech Precision Industrial Co. Ltd.     9,000       969,033  
King Slide Works Co. Ltd.     7,000       1,617,252  
King Yuan Electronics Co. Ltd.     106,000       1,123,005  
Largan Precision Co. Ltd.     8,000       1,077,331  
Lite-On Technology Corp., ADR     134,000       933,813  
Lotes Co. Ltd.     14,000       927,283  
MediaTek, Inc.     15,000       1,998,807  
PharmaEssentia Corp.     17,000       715,082  
Realtek Semiconductor Corp.(a)     48,000       1,214,446  
Taiwan Semiconductor Manufacturing Co. Ltd.     192,500       14,562,962  
Wiwynn Corp.     7,000       1,018,473  
Yageo Corp.     45,000       1,610,346  
Zhen Ding Technology Holding Ltd.     66,000       1,305,228  
Total Taiwan             44,572,580  
Thailand — 2.2%                
Airports of Thailand PCL, NVDR     280,000       541,533  
Central Pattana PCL, NVDR     250,000       504,207  
Delta Electronics Thailand PCL, NVDR     113,000       1,105,492  
Krung Thai Bank PCL, NVDR     841,300       962,339  
PTT Exploration & Production PCL, NVDR     68,100       274,692  
Siam Cement PCL, NVDR     75,000       550,865  
Total Thailand             3,939,128  
Turkey — 0.6%                
Aselsan Elektronik Sanayi ve Ticaret AS     68,714       508,114  
Eregli Demir ve Celik Fabrikalari TAS     610,955       530,087  
Total Turkey             1,038,201  
                 
TOTAL COMMON STOCKS                
                 
(Cost: $137,645,533)             173,467,974  
PREFERRED STOCKS — 2.2%                
Brazil — 1.9%                
Cia Energetica de Minas Gerais, 17.40%     215,798       453,197  
Gerdau SA, 3.79%     100,517       403,548  
Itau Unibanco Holding SA, 6.74%     121,533       990,400  
Itausa SA, 8.03%     157,733       407,745  
Petroleo Brasileiro SA - Petrobras, 10.54%     142,139       1,038,042  
Total Brazil             3,292,932  
Chile — 0.3%                
Sociedad Quimica y Minera de Chile SA, Class B     7,279       540,343  
TOTAL PREFERRED STOCKS                
                 
(Cost: $3,350,299)             3,833,275  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)                
                 
(Cost: $4,169)     4,169       4,169  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.7%                
United States — 0.7%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)                
                 
(Cost: $1,280,159)     1,280,159       1,280,159  
TOTAL INVESTMENTS IN SECURITIES — 99.8%
(Cost: $142,280,160)
            178,585,577  
Other Assets less Liabilities — 0.2%             366,066  
NET ASSETS — 100.0%           $ 178,951,643  
         

 

* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $2,344,835 and the total market value of the collateral held by the Fund was $2,461,861. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,181,702.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)This security is exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. This security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
(d)Rate shown represents annualized 7-day yield as of June 30, 2026.

  

CURRENCY ABBREVIATIONS:

BRL Brazilian Real
CLP Chilean peso
CNY Chinese yuan
CZK Czech koruna
HUF Hungary forint

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Multifactor Fund (EMMF)
June 30, 2026

 

 

IDR Indonesian rupiah
INR Indian rupee
KRW South Korean won
MXN Mexican peso
MYR Malaysian ringgit
PHP Philippines peso
PLN Polish zloty
THB Thai baht
TRY Turkish lira
TWD Taiwan new dollar
USD United States dollar
ZAR South African rand

 

OTHER ABBREVIATIONS:

ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt

  

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/1/2026   2,419,451  TWD    75,916  USD   $32   $ 
Bank of America NA  7/2/2026   59,069,366  PHP    963,564  USD        (1,052)
Bank of America NA  7/3/2026   7,398,862  BRL    1,419,052  USD    10,054     
Bank of America NA  7/3/2026   3,268,107  CLP    3,565  USD        (21)
Bank of America NA  7/3/2026   12,460,089,228  IDR    696,289  USD    504     
Bank of America NA  7/3/2026   12,586,836,944  IDR    703,490  USD    391     
Bank of America NA  7/3/2026   72,999,754  IDR    4,069  USD    14     
Bank of America NA  7/3/2026   41,770,007,474  KRW    26,951,870  USD    9,250     
Bank of America NA  7/3/2026   342,556,790  TWD    10,746,880  USD    6,878     

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Multifactor Fund (EMMF)
June 30, 2026

 

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/3/2026   3,192,088  USD    304,755,994  INR   $   $(27,204)
Bank of America NA  7/3/2026   10,982,508  USD    344,664,058  TWD    162,598     
Bank of America NA  8/5/2026   713,569  USD    12,797,856,795  IDR        (129)
Bank of America NA  8/5/2026   28,836,614  USD    44,675,124,886  KRW        (14,447)
Bank of America NA  8/5/2026   10,851,650  USD    346,330,404  TWD        (41,358)
Citibank NA  7/3/2026   28,758,494  BRL    5,545,623  USD    9,137     
Citibank NA  7/3/2026   172,004  BRL    33,091  USD    132     
Citibank NA  7/3/2026   41,541,995  CNY    6,100,146  USD    22,532     
Citibank NA  7/3/2026   242,674  CNY    35,601  USD    166     
Citibank NA  7/3/2026   1,283,247,550  INR    13,567,824  USD        (12,230)
Citibank NA  7/3/2026   4,416,102,382  KRW    2,905,636  USD        (55,192)
Citibank NA  7/3/2026   1,905,378,047  KRW    1,244,938  USD        (15,082)
Citibank NA  7/3/2026   260,051,689  KRW    168,826  USD        (972)
Citibank NA  7/3/2026   2,107,268  TWD    66,205  USD        (52)
Citibank NA  7/3/2026   1,760,474  USD    11,983,482  CNY        (5,715)
Citibank NA  7/3/2026   4,395,780  USD    29,801,187  CNY    3,524     
Citibank NA  7/3/2026   853,412  USD    28,101,497  THB    7,436     
Citibank NA  7/3/2026   2,743,071  USD    44,579,150  ZAR    23,403     
Citibank NA  8/5/2026   8,563,675  USD    44,753,765  BRL        (13,443)
Citibank NA  8/5/2026   5,386,944  USD    36,655,462  CNY        (27,640)
Citibank NA  8/5/2026   13,376,125  USD    1,269,067,868  INR    7,156     
Deutsche Bank AG  7/3/2026   11,683,880  CZK    549,445  USD    1,013     
Deutsche Bank AG  8/5/2026   211,723  USD    4,501,132  CZK        (399)
FX Connect  7/3/2026   2,027,488  USD    7,353,157  PLN    71,266     
Goldman Sachs  7/3/2026   7,387,258  INR    78,263  USD        (228)
Goldman Sachs  7/3/2026   8,971,213  MYR    2,208,570  USD        (8,353)
Goldman Sachs  7/3/2026   5,508,701  MYR    1,352,625  USD        (1,599)
Goldman Sachs  7/3/2026   33,914  MYR    8,234  USD    84     
Goldman Sachs  7/3/2026   3,669,742  USD    14,513,828  MYR    110,181     
Goldman Sachs  7/3/2026   2,136,100  USD    69,444,824  THB    45,513     
Goldman Sachs  8/5/2026   2,020,016  USD    8,221,466  MYR    2,229     
HSBC Holdings PLC1  7/1/2026   244,387,663  IDR    13,657  USD    11     
HSBC Holdings PLC1  7/1/2026   465,650,022  KRW    300,905  USD        (350)
HSBC Holdings PLC1  7/1/2026   42,894  USD    174,000  MYR    221     
HSBC Holdings PLC1  7/2/2026   17,640,459  PHP    287,698  USD        (253)
HSBC Holdings PLC1  7/2/2026   1,247,330  USD    76,807,459  PHP        (4,217)
HSBC Holdings PLC1  7/3/2026   21,407  CZK    1,004  USD    4     
HSBC Holdings PLC1  7/3/2026   213,308,353  HUF    686,370  USD        (1,212)
HSBC Holdings PLC1  7/3/2026   527,039  HUF    1,692  USD    1     
HSBC Holdings PLC1  7/3/2026   52,904,448  MXN    3,029,586  USD        (2,186)
HSBC Holdings PLC1  7/3/2026   285,203  MXN    16,232  USD    88     
HSBC Holdings PLC1  7/3/2026   7,582,353  PLN    2,016,173  USD    1,024     
HSBC Holdings PLC1  7/3/2026   42,582  PLN    11,315  USD    13     
HSBC Holdings PLC1  7/3/2026   96,968,312  THB    2,915,770  USD    3,392     
HSBC Holdings PLC1  7/3/2026   578,009  THB    17,342  USD    59     
HSBC Holdings PLC1  7/3/2026   158,244  TRY    3,384  USD    5     
HSBC Holdings PLC1  7/3/2026   550,449  USD    11,467,421  CZK    10,189     
HSBC Holdings PLC1  7/3/2026   688,062  USD    209,709,532  HUF    14,464     
HSBC Holdings PLC1  7/3/2026   1,404,480  USD    25,119,925,926  IDR        (277)
HSBC Holdings PLC1  7/3/2026   32,209,237  USD    48,351,539,592  KRW    999,962     
HSBC Holdings PLC1  7/3/2026   3,045,818  USD    52,977,134  MXN    14,258     
HSBC Holdings PLC1  7/3/2026   669,713  USD    31,672,300  TRY        (8,551)
HSBC Holdings PLC1  7/3/2026   351,251  ZAR    21,308  USD    121     
HSBC Holdings PLC1  8/4/2026   273,175  USD    16,763,361  PHP    174     
HSBC Holdings PLC1  8/5/2026   299,941  USD    93,344,009  HUF    569     

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Emerging Markets Multifactor Fund (EMMF)
June 30, 2026

 

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
HSBC Holdings PLC1  8/5/2026   2,822,972  USD    49,428,978  MXN   $2,123   $ 
HSBC Holdings PLC1  8/5/2026   2,699,468  USD    10,152,694  PLN        (1,395)
HSBC Holdings PLC1  8/5/2026   2,791,666  USD    92,709,830  THB        (6,779)
JPMorgan Chase Bank NA  7/2/2026   509,769  BRL    98,725  USD        (237)
Morgan Stanley & Co. International  7/3/2026   973,704,739  CLP    1,057,455  USD        (1,472)
Morgan Stanley & Co. International  7/3/2026   941,590  USD    15,590,708  ZAR        (9,562)
Morgan Stanley & Co. International  8/5/2026   646,342  USD    594,873,400  CLP    830     
UBS Group AG  7/2/2026   97,634  PHP    1,595  USD        (4)
UBS Group AG  7/3/2026   31,130,305  TRY    666,329  USD    328     
UBS Group AG  7/3/2026   7,132,774  USD    36,329,360  BRL    115,685     
UBS Group AG  7/3/2026   1,097,463  USD    976,972,846  CLP    37,936     
UBS Group AG  7/3/2026   10,285,996  USD    985,878,814  INR        (128,341)
UBS Group AG  7/3/2026   60,203,353  ZAR    3,663,353  USD    9,510     
UBS Group AG  8/5/2026   599,882  USD    28,751,837  TRY        (45)
UBS Group AG  8/5/2026   3,475,784  USD    57,275,303  ZAR        (8,978)
                      $1,704,460   $(398,975)

 

1 As of June 30, 2026, the Fund held $570,000 of cash collateral from the counterparty, HSBC Holdings PLC, for foreign currency contracts.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Russia  $   $   $0*   $0 
Other   173,467,974            173,467,974 
Preferred Stocks   3,833,275            3,833,275 
Mutual Fund       4,169        4,169 
Investment of Cash Collateral for Securities Loaned       1,280,159        1,280,159 
Total Investments in Securities  $177,301,249   $1,284,328   $0   $178,585,577 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $1,704,460   $   $1,704,460 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(398,975)  $   $(398,975)
Total - Net  $177,301,249   $2,589,813   $0   $179,891,062 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.
1 Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 98.3%
Australia — 0.2%      
Anglogold Ashanti PLC     2,817     $ 228,218  
Brazil — 3.5%                
Ambev SA     73,694       231,933  
Axia Energia SA     18,917       198,747  
BB Seguridade Participacoes SA     26,443       200,113  
Caixa Seguridade Participacoes SA     43,784       166,729  
Cia de Saneamento Basico do Estado de Sao Paulo SABESP     136,183       779,850  
Energisa SA     12,647       117,283  
Equatorial SA     20,332       152,963  
Motiva Infraestrutura de Mobilidade SA     135,213       381,923  
Porto Seguro SA     15,928       162,851  
Raia Drogasil SA     28,232       91,690  
Rede D'Or Sao Luiz SA(a)     49,947       334,945  
Rumo SA     51,750       134,275  
Suzano SA     14,773       113,453  
Telefonica Brasil SA     20,732       135,985  
TOTVS SA     16,985       94,180  
Ultrapar Participacoes SA     3,144       15,830  
Vibra Energia SA     249,132       1,438,684  
WEG SA     39,407       357,148  
Total Brazil             5,108,582  
Chile — 1.4%                
Banco de Chile     2,046,439       400,590  
Banco de Credito & Inversiones SA     19,212       1,261,965  
Banco Santander Chile     2,233,134       182,846  
Latam Airlines Group SA     6,462,765       187,906  
Total Chile             2,033,307  
China — 0.3%                
Airtac International Group     10,786       452,005  
Czech Republic — 0.3%                
Komercni Banka AS     2,483       113,763  
Moneta Money Bank AS(a)     39,569       347,112  
Total Czech Republic             460,875  
Hungary — 0.5%                
OTP Bank Nyrt     2,165       319,555  
Richter Gedeon Nyrt     10,254       396,901  
Total Hungary             716,456  
India — 16.9%                
ABB India Ltd.     4,758       353,412  
Adani Ports & Special Economic Zone Ltd.     41,518       793,967  
Alkem Laboratories Ltd.     2,012       118,392  
APL Apollo Tubes Ltd.     39,415       744,798  
Apollo Hospitals Enterprise Ltd.     3,401       311,936  
Ashok Leyland Ltd.     126,298       210,410  
Bajaj Auto Ltd.     4,415       453,166  
Bajaj Finserv Ltd.     9,103       171,196  
Bank of Baroda     40,128       115,476  
Bharat Electronics Ltd.     182,833       795,390  
Bharat Heavy Electricals Ltd.     39,068       170,909  
Bharti Airtel Ltd.     18,861       369,016  
Bosch Ltd.     309       130,248  
Britannia Industries Ltd.     5,463       297,018  
Cipla Ltd.     40,917       633,431  
Colgate-Palmolive India Ltd.     11,097       234,217  
Container Corp. of India Ltd.     20,451       102,678  
Coromandel International Ltd.     4,798       101,628  
Cummins India Ltd.     7,078       423,183  
Dixon Technologies India Ltd.     929       116,985  
DLF Ltd.     9,747       63,846  
Eicher Motors Ltd.     3,770       281,718  
GAIL India Ltd.     362,569       664,399  
Havells India Ltd.     3,349       41,016  
HCL Technologies Ltd.     17,851       202,123  
HDFC Asset Management Co. Ltd.(a)     9,160       256,747  
HDFC Bank Ltd.     97,796       824,396  
Hero MotoCorp Ltd.     4,051       205,176  
Hindalco Industries Ltd.     38,400       388,062  
Hindustan Aeronautics Ltd.     3,124       144,592  
Hindustan Unilever Ltd.     13,769       308,112  
Hitachi Energy India Ltd.     695       256,388  
ICICI Bank Ltd.     46,390       673,953  
ICICI Lombard General Insurance Co. Ltd.(a)     5,430       99,911  
Indian Hotels Co. Ltd.     46,376       349,784  
Indian Railway Catering & Tourism Corp. Ltd.     11,037       58,637  
Infosys Ltd.     44,434       469,600  
ITC Ltd.     84,085       254,896  
Kotak Mahindra Bank Ltd.     74,843       310,137  
Larsen & Toubro Ltd.     13,693       599,370  
LTM Ltd.(a)     1,656       61,895  
Lupin Ltd.     7,551       192,965  
Mahindra & Mahindra Ltd.     13,016       421,974  
Marico Ltd.     24,729       218,465  
Maruti Suzuki India Ltd.     3,217       479,702  
MRF Ltd.     160       216,052  
Nestle India Ltd.     32,669       484,968  
Oberoi Realty Ltd.     6,361       118,889  
Oracle Financial Services Software Ltd.     1,031       117,364  
Persistent Systems Ltd.     3,995       182,597  
PI Industries Ltd.     3,696       99,765  
Pidilite Industries Ltd.     22,814       383,862  
Polycab India Ltd.     2,034       214,039  
Punjab National Bank     285,517       321,807  
Reliance Industries Ltd.     79,528       1,087,076  
Samvardhana Motherson International Ltd.     604,244       945,444  
SBI Cards & Payment Services Ltd.     19,022       119,206  
Siemens Ltd.*     5,673       215,746  
Solar Industries India Ltd.     1,438       284,019  
State Bank of India     46,583       505,353  
Sun Pharmaceutical Industries Ltd.     28,103       552,953  
Tata Consultancy Services Ltd.     14,640       314,193  
Tata Elxsi Ltd.     1,203       48,671  
Tata Motors Passenger Vehicles Limited     19,042       70,850  
Tech Mahindra Ltd.     23,313       345,956  
Torrent Pharmaceuticals Ltd.     9,327       455,232  
Torrent Power Ltd.     7,030       105,080  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)
June 30, 2026

 

 

Investments   Shares     Value  
Trent Ltd.     11,002     $ 381,530  
TVS Motor Co. Ltd.     19,650       718,378  
UltraTech Cement Ltd.     3,756       446,512  
Union Bank of India Ltd.     77,300       140,809  
United Spirits Ltd.     56,945       812,376  
UPL Ltd.     111,751       674,340  
Wipro Ltd.     48,517       87,333  
Zydus Lifesciences Ltd.     10,864       127,693  
Total India             25,053,413  
Indonesia — 0.6%                
Bank Central Asia Tbk. PT     805,700       250,091  
Bank Mandiri Persero Tbk. PT     824,600       177,557  
Bank Negara Indonesia Persero Tbk. PT     423,400       74,829  
Bank Rakyat Indonesia Persero Tbk. PT     759,500       115,964  
Indofood CBP Sukses Makmur Tbk. PT     188,800       71,803  
Kalbe Farma Tbk. PT     1,819,800       77,861  
Sumber Alfaria Trijaya Tbk. PT     1,143,600       87,625  
Telkom Indonesia Persero Tbk. PT     711,200       93,474  
Total Indonesia             949,204  
Malaysia — 2.7%                
AMMB Holdings Bhd.     181,700       283,858  
CIMB Group Holdings Bhd.     312,700       568,267  
Gamuda Bhd     61,200       65,590  
IHH Healthcare Bhd.     128,400       264,515  
Maxis Bhd.     906,500       751,433  
Mr. DIY Group M Bhd.(a)     224,200       90,175  
Petronas Dagangan Bhd.     47,500       220,172  
Press Metal Aluminium Holdings Bhd.     158,600       298,724  
Public Bank Bhd.     308,800       363,517  
QL Resources Bhd.     350,150       322,026  
SD Guthrie Bhd     93,100       136,539  
Sunway Bhd.     63,300       79,794  
Telekom Malaysia Bhd.     183,300       334,458  
YTL Corp. Bhd.     180,200       90,155  
YTL Power International Bhd.     138,200       141,674  
Total Malaysia             4,010,897  
Mexico — 5.5%                
America Movil SAB de CV, Series B     161,118       208,846  
Arca Continental SAB de CV     54,092       648,779  
Cemex SAB de CV, Series CPO     658,188       791,012  
Coca-Cola Femsa SAB de CV     68,145       721,043  
Gruma SAB de CV, Class B     13,908       223,611  
Grupo Aeroportuario del Centro Norte SAB de CV     26,096       369,806  
Grupo Aeroportuario del Pacifico SAB de CV, Class B     31,476       796,657  
Grupo Carso SAB de CV, Series A1     19,927       149,038  
Grupo Financiero Banorte SAB de CV, Class O     142,636       1,506,621  
Grupo Mexico SAB de CV, Series B     187,208       2,123,878  
Kimberly-Clark de Mexico SAB de CV, Class A     13,097       29,029  
Prologis Property Mexico SA de CV     91,458       396,791  
Qualitas Controladora SAB de CV     16,002       160,471  
Total Mexico             8,125,582  
Philippines — 2.5%                
Ayala Land, Inc.     414,500       99,961  
Bank of the Philippine Islands     147,700       231,045  
BDO Unibank, Inc.     86,827       167,655  
International Container Terminal Services, Inc.     145,650       2,112,245  
Jollibee Foods Corp.     27,900       61,146  
Manila Electric Co.     69,490       645,418  
Metropolitan Bank & Trust Co.     154,590       163,734  
SM Investments Corp.     13,170       126,614  
SM Prime Holdings, Inc.     278,700       82,198  
Total Philippines             3,690,016  
Poland — 4.2%                
Bank Polska Kasa Opieki SA     13,576       826,367  
Erste Bank Polska SA     1,134       194,468  
KGHM Polska Miedz SA     21,114       1,860,679  
LPP SA     88       427,960  
ORLEN SA     39,173       1,319,367  
Powszechna Kasa Oszczednosci Bank Polski SA     48,918       1,342,273  
Powszechny Zaklad Ubezpieczen SA     10,441       182,273  
Total Poland             6,153,387  
Romania — 0.2%                
NEPI Rockcastle NV*     29,588       264,415  
Russia — 0.0%                
GMK Norilskiy Nickel PAO*^     99,300       0  
GMK Norilskiy Nickel PAO, ADR*^     3       0  
Novolipetsk Steel PJSC*^     71,650       0  
PhosAgro PJSC*^     2,975       0  
PhosAgro PJSC, GDR*^(b)     60       0  
Polyus PJSC*^     13,340       0  
Severstal PAO, GDR*^(b)     8,497       0  
Surgutneftegas PAO*^     341,560       0  
Surgutneftegas PJSC, ADR*^     749       0  
TCS Group Holding PLC, GDR*^(b)     2,248       0  
Total Russia             0  
Saudi Arabia — 2.7%                
Al Rajhi Bank     16,653       292,088  
Alinma Bank     36,369       236,575  
Almarai Co. JSC     11,355       137,450  
Arab National Bank     65,901       363,778  
Arabian Internet & Communications Services Co.     314       17,074  
Banque Saudi Fransi     26,058       134,548  
Co. for Cooperative Insurance     16,138       631,827  
Dr. Sulaiman Al Habib Medical Services Group Co.(c)     2,897       163,463  
Elm Co.     814       148,839  
Etihad Etisalat Co.     28,743       462,449  
Mouwasat Medical Services Co.(c)     5,671       96,222  
Riyad Bank     21,924       116,179  
SAL Saudi Logistics Services     2,325       111,448  
Saudi Awwal Bank     12,189       104,981  
Saudi National Bank     49,445       508,768  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)
June 30, 2026

 

 

Investments   Shares     Value  
Saudi Tadawul Group Holding Co.(c)     1,989     $ 70,038  
Saudi Telecom Co.     40,068       461,125  
Total Saudi Arabia             4,056,852  
South Africa — 3.0%                
Bid Corp. Ltd.     19,321       526,465  
Capitec Bank Holdings Ltd.     2,072       600,505  
Clicks Group Ltd.     10,414       144,532  
Discovery Ltd.     10,284       165,793  
FirstRand Ltd.     76,494       453,923  
Gold Fields Ltd.     6,509       218,800  
Harmony Gold Mining Co. Ltd.     19,054       290,634  
OUTsurance Group Ltd.     146,918       705,009  
Sanlam Ltd.     25,286       136,119  
Shoprite Holdings Ltd.     18,764       337,729  
Standard Bank Group Ltd.     44,503       877,217  
Total South Africa             4,456,726  
South Korea — 19.7%                
Amorepacific Corp.     966       65,905  
Celltrion, Inc.*     10,084       1,127,966  
Coway Co. Ltd.     1,434       83,580  
DB Insurance Co. Ltd.     4,048       349,853  
Hanmi Semiconductor Co. Ltd.     2,666       441,379  
Hanwha Aerospace Co. Ltd.     926       594,701  
Hanwha Ocean Co. Ltd.*     2,231       144,432  
Hanwha Systems Co. Ltd.     2,573       121,235  
HD Hyundai Electric Co. Ltd.     1,051       659,376  
HD Hyundai Heavy Industries Co. Ltd.     542       207,103  
Hyosung Heavy Industries Corp.     129       286,260  
Hyundai Glovis Co. Ltd.     6,075       717,958  
Hyundai Rotem Co. Ltd.     833       93,016  
Korea Aerospace Industries Ltd.     4,194       396,309  
Korea Investment Holdings Co. Ltd.     1,054       150,348  
LIG Defense&Aerospace Co. Ltd.     359       166,605  
LS Electric Co. Ltd.     9,980       1,533,105  
Meritz Financial Group, Inc.*     4,008       273,185  
Mirae Asset Securities Co. Ltd.(c)     7,614       210,094  
NAVER Corp.     1,691       217,201  
NH Investment & Securities Co. Ltd.     7,373       139,912  
Orion Corp.     2,204       187,638  
Posco International Corp.     2,384       75,630  
Samsung Electronics Co. Ltd.     70,427       15,182,739  
Samsung Fire & Marine Insurance Co. Ltd.     761       303,555  
Samsung Life Insurance Co. Ltd.     3,103       803,139  
Samyang Foods Co. Ltd.     143       103,283  
SK hynix, Inc.     2,199       3,761,279  
Yuhan Corp.     16,032       726,422  
Total South Korea             29,123,208  
Taiwan — 31.9%                
Accton Technology Corp.     29,000       2,271,279  
Alchip Technologies Ltd.     3,000       393,640  
Asia Vital Components Co. Ltd.     18,000       1,426,710  
Asustek Computer, Inc.*(c)     9,000       197,762  
Cathay Financial Holding Co. Ltd.     82,000       253,028  
CTBC Financial Holding Co. Ltd.     311,000       693,140  
Delta Electronics, Inc.     12,000       734,544  
E.Sun Financial Holding Co. Ltd.(c)     357,636       386,752  
Eclat Textile Co. Ltd.     10,000       98,096  
Elite Material Co. Ltd.     5,000       845,981  
Eva Airways Corp.     187,000       263,566  
Evergreen Marine Corp. Taiwan Ltd.(c)     8,000       46,333  
Far EasTone Telecommunications Co. Ltd.     147,000       484,517  
Fortune Electric Co. Ltd.(c)     19,300       470,133  
Fubon Financial Holding Co. Ltd.     238,125       968,003  
Gigabyte Technology Co. Ltd.     14,000       151,178  
Global Unichip Corp.     5,000       760,441  
Hon Hai Precision Industry Co. Ltd.     63,000       496,382  
Hua Nan Financial Holdings Co. Ltd.     332,180       396,241  
Jentech Precision Industrial Co. Ltd.     2,000       215,341  
King Slide Works Co. Ltd.     2,000       462,072  
Lotes Co. Ltd.     4,000       264,938  
MediaTek, Inc.     22,000       2,931,584  
Mega Financial Holding Co. Ltd.(c)     463,000       670,014  
Nien Made Enterprise Co. Ltd.     32,000       347,559  
Quanta Computer, Inc.*(c)     84,000       970,351  
Realtek Semiconductor Corp.(c)     10,000       253,010  
SinoPac Financial Holdings Co. Ltd.     656,928       822,797  
Synnex Technology International Corp.*     55,000       157,283  
Taiwan Business Bank(c)     1,034,400       576,353  
Taiwan Mobile Co. Ltd.     29,000       106,054  
Taiwan Semiconductor Manufacturing Co. Ltd.     298,291       22,566,236  
TS Financial Holding Co. Ltd.     277,000       289,117  
Voltronic Power Technology Corp.(c)     6,000       204,354  
Wan Hai Lines Ltd.*     30,000       74,585  
Wistron Corp.*(c)     46,000       228,870  
Wiwynn Corp.(c)     11,000       1,600,458  
Yageo Corp.     70,000       2,504,983  
Yuanta Financial Holding Co. Ltd.     138,000       284,608  
Zhen Ding Technology Holding Ltd.     18,000       355,971  
Total Taiwan             47,224,264  
Thailand — 1.8%                
Advanced Info Service PCL, NVDR     20,100       222,053  
Airports of Thailand PCL, NVDR     80,900       156,464  
Bangkok Dusit Medical Services PCL, NVDR     202,600       117,704  
Bumrungrad Hospital PCL, NVDR     156,800       887,356  
Central Pattana PCL, NVDR     85,200       171,834  
Charoen Pokphand Foods PCL, NVDR     238,700       140,832  
CP ALL PCL, NVDR     109,800       154,517  
Delta Electronics Thailand PCL, NVDR     30,300       296,428  
Kasikornbank PCL, NVDR     26,000       170,618  
Krung Thai Bank PCL, NVDR     201,800       230,833  
TMBThanachart Bank PCL, NVDR     2,210,000       163,652  
Total Thailand             2,712,291  
Turkey — 0.4%                
Aselsan Elektronik Sanayi ve Ticaret AS     23,590       174,439  
BIM Birlesik Magazalar AS     33,072       258,910  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)
June 30, 2026

 

 

Investments   Shares     Value  
Yapi ve Kredi Bankasi AS*     248,870     $ 214,115  
Total Turkey             647,464  
TOTAL COMMON STOCKS                
                 
(Cost: $77,440,401)             145,467,162  
PREFERRED STOCKS — 2.0%                
Brazil — 0.9%                
Cia Energetica de Minas Gerais, 17.40%     172,181       361,597  
Itau Unibanco Holding SA, 6.74%     42,310       344,794  
Itausa SA, 8.03%     232,937       602,150  
Total Brazil             1,308,541  
South Korea — 1.1%                
Samsung Electronics Co. Ltd., 2.82%     11,926       1,631,906  
TOTAL PREFERRED STOCKS                
                 
(Cost: $1,422,845)             2,940,447  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)                
                 
(Cost: $214,768)     214,768       214,768  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.6%                
United States — 0.6%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)                
                 
(Cost: $951,484)     951,484       951,484  
TOTAL INVESTMENTS IN SECURITIES — 101.0%
(Cost: $80,029,498)
            149,573,861  
Other Liabilities less Assets — (1.0)%             (1,484,134 )
NET ASSETS — 100.0%           $ 148,089,727  
         

 

* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)This security is exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. This security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
(c)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $4,893,653 and the total market value of the collateral held by the Fund was $5,192,325. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $4,240,841.
(d)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

ABBREVIATIONS:

ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Russia  $   $   $0*   $0 
Other   145,467,162            145,467,162 
Preferred Stocks   2,940,447            2,940,447 
Mutual Fund       214,768        214,768 
Investment of Cash Collateral for Securities Loaned       951,484        951,484 
Total Investments in Securities  $148,407,609   $1,166,252   $0   $149,573,861 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.5%
Brazil — 5.7%      
Allos SA     156,957     $ 850,900  
Alupar Investimento SA     556,428       3,464,808  
Azzas 2154 SA     88,750       306,581  
Bemobi Mobile Tech SA     243,296       1,106,970  
Blau Farmaceutica SA     231,743       457,580  
Boa Safra Sementes SA     117,554       139,676  
Bradsaude S A     2,213,443       6,149,462  
Cia de Saneamento de Minas Gerais Copasa MG     710,618       8,227,927  
Cia De Saneamento do Parana Sanepar     1,094,678       7,837,936  
Cogna Educacao SA     2,753,049       1,196,758  
Construtora Tenda SA     176,898       1,249,166  
Cury Construtora & Incorporadora SA     131,534       890,963  
Cyrela Brazil Realty SA Empreendimentos & Participacoes     396,315       1,762,608  
EcoRodovias Infraestrutura e Logistica SA     470,664       677,450  
Energisa SA     1,096,762       10,170,995  
Ez Tec Empreendimentos & Participacoes SA     735,300       1,851,053  
Fleury SA     347,270       1,033,232  
Fras-Le SA     78,307       312,414  
Grendene SA     1,814,558       1,325,173  
Grupo SBF SA     220,059       438,762  
Hypera SA     923,800       3,714,155  
Iguatemi SA     150,953       734,066  
Irani Papel & Embalagem SA     538,619       815,845  
JHSF Participacoes SA     1,564,276       3,424,153  
Lavvi Empreendimentos Imobiliarios SA     74,939       166,211  
Lojas Renner SA     4,221,309       12,037,698  
LWSA SA(a)     799,787       613,444  
M Dias Branco SA     79,533       269,210  
Mahle Metal Leve SA     447,994       2,842,401  
Mills Locacao Servicos & Logistica SA     265,920       801,467  
Multiplan Empreendimentos Imobiliarios SA     547,233       3,094,603  
Sendas Distribuidora SA     884,517       1,493,577  
SLC Agricola SA     1,160,465       2,892,222  
Smartfit Escola de Ginastica e Danca SA     182,130       692,847  
Tegma Gestao Logistica SA     123,151       709,029  
Transmissora Alianca de Energia Eletrica SA     1,686,287       12,960,036  
Tres Tentos Agroindustrial SA     170,645       497,829  
Uniao Pet Participacoes SA     1,176,409       736,399  
Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA     80,939       269,904  
Vivara Participacoes SA     121,131       535,453  
Vulcabras SA     660,100       1,803,305  
Wiz Co.     179,252       275,322  
YDUQS Participacoes SA     260,608       447,106  
Total Brazil             101,276,696  
Chile — 1.8%                
Aguas Andinas SA, Class A     13,227,048       4,735,283  
Banco Itau Chile SA     302,944       6,175,872  
Cencosud Shopping SA     1,286,926       3,296,536  
Cia Cervecerias Unidas SA     280,862       1,553,415  
Colbun SA     28,099,623       4,052,999  
Empresa Nacional de Telecomunicaciones SA     328,089       1,280,910  
Engie Energia Chile SA     1,046,272       2,042,403  
Inversiones Aguas Metropolitanas SA     1,095,278       1,098,847  
Parque Arauco SA     940,267       3,941,067  
Ripley Corp. SA     1,068,672       446,200  
SMU SA     21,113,883       3,022,500  
Vina Concha y Toro SA     1,016,988       948,503  
Total Chile             32,594,535  
China — 9.7%                
AIMA Technology Group Co. Ltd., Class A     50,700       145,721  
AK Medical Holdings Ltd.(a)     560,000       366,333  
Angel Yeast Co. Ltd., Class A     93,300       497,563  
Anhui Expressway Co. Ltd., Class H(b)     2,090,000       3,899,070  
Anhui XDLK Microsystem Corp. Ltd., Class A     4,359       41,741  
Anhui Yingjiagongjiu Co. Ltd., Class A     41,000       178,786  
Anhui Zhongding Sealing Parts Co. Ltd., Class A     13,700       36,107  
AsiaInfo Technologies Ltd.(a)     524,800       297,800  
AviChina Industry & Technology Co. Ltd., Class H(b)     2,967,000       1,093,417  
Bank of Changsha Co. Ltd., Class A     4,525,900       5,807,394  
Bank of Chongqing Co. Ltd., Class H     1,683,000       1,568,816  
Bank of Zhengzhou Co. Ltd., Class H(a)     320,000       34,277  
Beijing Easpring Material Technology Co. Ltd., Class A     59,300       419,678  
Beijing Huafeng Test & Control Technology Co. Ltd., Class A     2,372       183,491  
Beijing Jingneng Clean Energy Co. Ltd., Class H     8,648,000       1,984,991  
Beijing Shougang Co. Ltd., Class A*     214,400       110,864  
Beijing Ultrapower Software Co. Ltd., Class A     315,300       362,772  
Beijing Yanjing Brewery Co. Ltd., Class A     130,600       194,900  
Bethel Automotive Safety Systems Co. Ltd., Class A     100,388       367,360  
Betta Pharmaceuticals Co. Ltd., Class A     36,200       347,014  
Binjiang Service Group Co. Ltd.     284,000       777,174  
Cheerwin Group Ltd.(a)     1,930,000       487,296  
Chengdu Kanghong Pharmaceutical Group Co. Ltd., Class A     9,400       28,319  
Chervon Holdings Ltd.(b)     322,400       682,454  
China Baoan Group Co. Ltd., Class A     251,700       231,009  
China Communications Services Corp. Ltd., Class H     8,662,000       4,329,868  
China Conch Venture Holdings Ltd.     1,604,000       2,225,377  
China Datang Corp. Renewable Power Co. Ltd., Class H     3,081,000       487,174  
China East Education Holdings Ltd.*(a)     1,789,500       835,186  
China Lesso Group Holdings Ltd., Class L     2,224,000       1,009,614  
China Medical System Holdings Ltd.     1,508,000       1,976,810  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
China Railway Construction Heavy Industry Corp. Ltd., Class A     225,817     $ 133,734  
China Resources Medical Holdings Co. Ltd.     927,000       281,337  
China Southern Power Grid Technology Co. Ltd., Class A     25,175       256,571  
China Suntien Green Energy Corp. Ltd., Class H(b)     7,949,000       3,142,278  
China XD Electric Co. Ltd., Class A     302,100       664,015  
China XLX Fertiliser Ltd.*     1,502,000       1,748,683  
Chinasoft International Ltd.*(b)     1,108,000       409,740  
Chongqing Zongshen Power Machinery Co. Ltd., Class A     13,700       42,000  
CIMC Enric Holdings Ltd.     1,336,000       1,223,211  
COFCO Capital Holdings Co. Ltd., Class A     154,600       187,442  
Country Garden Services Holdings Co. Ltd.     5,609,000       3,476,099  
Dekon Food & Agriculture Group, Class H*     57,200       299,638  
Digital China Group Co. Ltd., Class A     10,920       44,642  
Dong-E-E-Jiao Co. Ltd., Class A     808,400       5,402,037  
Dongyue Group Ltd.     812,000       1,975,626  
Dynagreen Environmental Protection Group Co. Ltd., Class H     1,262,000       814,292  
EEKA Fashion Holdings Ltd.*(b)     150,000       92,387  
Ever Sunshine Services Group Ltd.(b)     4,432,000       932,511  
Fufeng Group Ltd.     4,835,000       2,916,272  
Fujian Funeng Co. Ltd., Class A     343,300       515,355  
Geovis Technology Co. Ltd., Class A     57,117       348,946  
Greentown Service Group Co. Ltd.     2,842,000       1,420,629  
GRG Banking Equipment Co. Ltd., Class A     192,600       266,144  
Guangshen Railway Co. Ltd., Class H     2,396,000       626,341  
Guangzhou Shiyuan Electronic Technology Co. Ltd., Class A     62,200       316,406  
Guoquan Food Shanghai Co. Ltd., Class H(b)     2,220,000       532,208  
Harbin Electric Co. Ltd., Class H     970,000       1,894,964  
Hengan International Group Co. Ltd.(b)     1,833,000       5,081,505  
Hengdian Group DMEGC Magnetics Co. Ltd., Class A     1,615,100       7,252,246  
Hisense Home Appliances Group Co. Ltd., Class H     978,000       3,037,991  
Hisense Visual Technology Co. Ltd., Class A     629,600       2,584,996  
HLA Group Corp. Ltd., Class A     173,800       133,909  
Huaan Securities Co. Ltd., Class A     2,199,100       3,599,293  
Hualan Biological Engineering, Inc., Class A     1,116,200       2,004,490  
Huaxin Building Materials Group Co. Ltd., Class H     949,300       1,396,946  
Hubei Dinglong Co. Ltd., Class A     92,900       1,450,297  
Hubei Xingfa Chemicals Group Co. Ltd., Class A     652,500       4,515,015  
Hunan Gold Corp. Ltd., Class A     214,500       754,289  
Jiangsu Guoxin Corp. Ltd., Class A     115,900       117,812  
Jiangsu Nata Opto-electronic Material Co. Ltd., Class A     82,200       1,121,955  
Jiangsu Yangnong Chemical Co. Ltd., Class A     41,200       307,725  
Jiangsu Yoke Technology Co. Ltd., Class A     41,200       1,362,610  
Jinan Acetate Chemical Co. Ltd.     757,000       1,126,357  
JNBY Design Ltd.     1,163,500       2,554,877  
Juneyao Airlines Co. Ltd., Class A     168,900       256,037  
Kinetic Development Group Ltd.     9,500,000       1,865,584  
Launch Tech Co. Ltd., Class H(b)     964,500       848,637  
Lepu Medical Technology Beijing Co. Ltd., Class A     210,100       366,777  
LEPU ScienTech Medical Technology Shanghai Co. Ltd., Class H(b)     68,000       88,446  
Levima Advanced Materials Corp., Class A     58,100       221,684  
Lingbao Gold Group Co. Ltd., Class H     624,700       979,025  
Livzon Pharmaceutical Group, Inc., Class H     326,300       993,623  
Maoyan Entertainment(a)(b)     963,600       548,027  
Meihua Holdings Group Co. Ltd., Class A*     2,394,800       2,593,073  
MicroPort NeuroScientific Corp.     229,409       327,641  
Midea Real Estate Holding Ltd.*(a)(b)     1,241,800       425,965  
Nanjing Iron & Steel Co. Ltd., Class A     4,653,300       3,146,530  
NetDragon Websoft Holdings Ltd.(b)     1,018,000       925,567  
Ningbo Sanxing Medical Electric Co. Ltd., Class A     822,400       1,810,055  
Onewo, Inc., Class H(b)     174,700       335,942  
Oppein Home Group, Inc., Class A     16,900       74,965  
Proya Cosmetics Co. Ltd., Class A     19,600       173,016  
Q Technology Group Co. Ltd.(b)     523,000       457,505  
Qilu Bank Co. Ltd., Class A     6,727,500       5,718,573  
Qingdao TGOOD Electric Co. Ltd., Class A     96,000       535,015  
Sany Heavy Equipment International Holdings Co. Ltd.     1,731,000       1,465,668  
Sealand Securities Co. Ltd., Class A     695,400       376,999  
Shaanxi Energy Investment Co. Ltd., Class A     137,500       205,399  
Shandong Weigao Group Medical Polymer Co. Ltd., Class H     3,685,600       1,489,834  
Shanghai Chicmax Cosmetic Co. Ltd., Class H(b)     82,700       287,476  
Shanghai Conant Optical Co. Ltd., Class H     351,500       1,408,322  
Shenzhen Energy Group Co. Ltd., Class A     212,000       193,636  
Shenzhen Expressway Corp. Ltd., Class H     2,988,000       2,434,736  
Shenzhen Huaqiang Industry Co. Ltd., Class A     52,700       247,041  
Shenzhen MTC Co. Ltd., Class A     343,000       525,010  
Shenzhen SC New Energy Technology Corp., Class A     70,200       730,130  
Shenzhen Sunlord Electronics Co. Ltd., Class A     419,400       4,516,520  
Shenzhen Zhaowei Machinery & Electronic Co. Ltd., Class A     2,500       32,171  
Sichuan Expressway Co. Ltd., Class H(b)     2,098,000       1,150,388  
Silergy Corp.     177,000       3,322,587  
Sinomine Resource Group Co. Ltd., Class A     102,000       886,414  
Sinopec Engineering Group Co. Ltd., Class H     5,306,500       3,335,996  
Skshu Paint Co. Ltd., Class A     43,800       155,507  
Southwest Securities Co. Ltd., Class A     425,200       251,813  
State Grid Yingda Co. Ltd., Class A     204,000       140,648  
Sunresin New Materials Co. Ltd., Class A     36,700       318,178  
Sunshine Guojian Pharmaceutical Shanghai Co. Ltd., Class A     30,835       241,211  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Suzhou Maxwell Technologies Co. Ltd., Class A     3,600     $ 149,802  
Thunder Software Technology Co. Ltd., Class A     54,700       497,925  
Tian Lun Gas Holdings Ltd.     506,000       175,505  
Tiangong International Co. Ltd.     1,612,000       729,733  
Tianneng Battery Group Co. Ltd., Class A     20,239       66,191  
Tong Ren Tang Technologies Co. Ltd., Class H(b)     337,888       137,877  
Tongkun Group Co. Ltd., Class A     275,000       877,099  
TravelSky Technology Ltd., Class H*     686,000       706,815  
Wangsu Science & Technology Co. Ltd., Class A     780,200       1,495,345  
Wuchan Zhongda Group Co. Ltd., Class A     2,006,300       1,395,070  
Wuhan Dameng Database Co. Ltd., Class A     1,874       67,442  
Xiamen Amoytop Biotech Co. Ltd., Class A     29,543       236,762  
Xiamen C & D, Inc., Class A     2,297,148       2,683,616  
Xiamen Faratronic Co. Ltd., Class A     17,600       494,708  
Xinyi Energy Holdings Ltd.     5,304,000       601,955  
Xtep International Holdings Ltd.(b)     2,557,000       1,225,996  
Yifeng Pharmacy Chain Co. Ltd., Class A     123,300       326,596  
Yihai International Holding Ltd.     645,000       1,047,029  
YSB, Inc.     162,400       89,255  
Yunnan Chihong Zinc & Germanium Co. Ltd., Class A     3,411,400       6,086,042  
Zhejiang Hailiang Co. Ltd., Class A     165,800       558,122  
Zhejiang Huahai Pharmaceutical Co. Ltd., Class A     276,900       587,413  
Zhejiang Longsheng Group Co. Ltd., Class A     3,963,500       7,071,005  
Zhejiang Sanmei Chemical Industry Co. Ltd., Class A     28,500       318,631  
Zhou Hei Ya International Holdings Co. Ltd.*(a)     753,000       114,265  
Total China             173,521,767  
Czech Republic — 0.5%                
Colt CZ Group SE     18,544       800,265  
Moneta Money Bank AS(a)     988,842       8,674,441  
Total Czech Republic             9,474,706  
Hong Kong — 0.0%                
Gushengtang Holdings Ltd.(b)     206,900       680,164  
Hungary — 0.4%                
Magyar Telekom Telecommunications PLC     766,937       6,528,408  
India — 8.4%                
360 ONE WAM Ltd.     142,036       1,612,443  
Aditya Birla Sun Life Asset Management Co. Ltd.     112,173       1,368,349  
Aegis Logistics Ltd.     61,064       757,311  
Afcons Infrastructure Ltd.     40,846       134,738  
AGI Greenpac Ltd.     22,747       165,642  
AIA Engineering Ltd.     12,223       656,146  
Alembic Pharmaceuticals Ltd.     54,308       472,031  
Alkyl Amines Chemicals     17,222       311,732  
Allcargo Logistics Ltd.*     1,611,160       137,698  
ALLCARGO WORLD*^     1,669,880       378,753  
Allied Blenders & Distillers Ltd.     26,023       183,615  
Anand Rathi Wealth Ltd.     48,966       1,022,527  
Apar Industries Ltd.     11,935       1,978,896  
Apollo Tyres Ltd.     433,450       1,969,920  
Arvind Ltd.     588,220       3,648,305  
Asahi India Glass Ltd.     39,534       355,084  
Aster DM Healthcare Ltd.(a)     107,586       891,580  
AstraZeneca Pharma India Ltd.     795       69,091  
Atul Ltd.     84       5,737  
Avanti Feeds Ltd.     84,210       829,479  
Banco Products India Ltd.     47,970       339,712  
Bandhan Bank Ltd.(a)     516,244       1,113,544  
Bayer CropScience Ltd.     23,547       1,031,470  
BEML Ltd.     22,042       409,922  
Birla Corp. Ltd.     17,455       181,172  
Bombay Burmah Trading Co.     18,210       295,334  
Bosch Home Comfort India Ltd.     18,133       260,945  
Brigade Enterprises Ltd.     106,802       564,876  
Caplin Point Laboratories Ltd.     4,898       135,879  
Care Ratings Ltd.     72,368       1,261,755  
Castrol India Ltd.     1,023,164       1,993,499  
CCL Products India Ltd.     80,893       1,009,424  
Ceat Ltd.     15,647       575,670  
Central Bank of India Ltd.     1,069,724       367,617  
CESC Ltd.     2,189,463       3,904,586  
Chambal Fertilisers & Chemicals Ltd.     336,520       1,663,603  
Chennai Petroleum Corp. Ltd.     256,628       3,134,829  
CIE Automotive India Ltd.     46,233       223,598  
City Union Bank Ltd.     307,026       676,595  
Computer Age Management Services Ltd.     286,334       2,410,398  
Concord Biotech Ltd.     13,381       180,970  
CRISIL Ltd.     31,073       1,338,986  
Crompton Greaves Consumer Electricals Ltd.     390,602       1,133,735  
Cyient Ltd.     140,611       1,295,240  
Dalmia Bharat Refractories Ltd.*^     1,711       174  
Dalmia Bharat Sugar & Industries Ltd.     79,553       273,766  
DCM Shriram Ltd.     54,914       583,491  
Deepak Fertilisers & Petrochemicals Corp. Ltd.     72,940       1,200,605  
Dr. Lal PathLabs Ltd.(a)     28,519       495,971  
EIH Ltd.     129,052       436,678  
Electrosteel Castings Ltd.     401,400       337,883  
Elgi Equipments Ltd.     59,479       375,817  
Emami Ltd.     320,643       1,369,509  
Endurance Technologies Ltd.(a)     22,050       622,794  
Engineers India Ltd.     654,048       1,662,503  
EPL Ltd.     275,647       654,619  
FIEM Industries Ltd.     13,240       316,290  
Finolex Industries Ltd.     211,071       389,927  
Firstsource Solutions Ltd.     452,418       1,091,868  
Force Motors Ltd.     935       183,526  
Gabriel India Ltd.     59,757       782,356  
Garden Reach Shipbuilders & Engineers Ltd.     20,510       590,694  
Genus Power Infrastructures Ltd.     66,663       210,851  
Genus Prime Infra Ltd.*     11,151       3,691  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
GHCL Ltd.     134,325     $ 619,484  
Gillette India Ltd.     6,194       502,508  
Gland Pharma Ltd.(a)     53,259       1,403,792  
Godawari Power & Ispat Ltd.     208,503       563,115  
Godrej Agrovet Ltd.(a)     114,403       672,577  
Graphite India Ltd.     104,440       676,784  
Gravita India Ltd.*     11,096       191,094  
Great Eastern Shipping Co. Ltd.     299,298       4,689,359  
Greaves Cotton Ltd.     81,954       190,455  
Grindwell Norton Ltd.     27,038       618,717  
Gujarat Energy Ltd.     421,288       1,455,568  
Gujarat Mineral Development Corp. Ltd.     158,701       979,027  
Gujarat Narmada Valley Fertilizers & Chemicals Ltd.     364,470       2,092,284  
Gujarat Pipavav Port Ltd.     1,330,049       2,123,104  
Gulf Oil Lubricants India Ltd.     32,194       361,107  
Hatsun Agro Product Ltd.     37,878       367,841  
Hindustan Copper Ltd.     246,952       1,307,303  
Indegene Ltd.*     28,549       158,460  
India Shelter Finance Corp. Ltd.     10,894       88,542  
IndiaMart InterMesh Ltd.(a)     176       3,545  
Indian Energy Exchange Ltd.(a)     285,347       377,202  
Indraprastha Gas Ltd.     750,875       1,307,108  
Intellect Design Arena Ltd.     37,923       287,351  
International Gemological Institute Ltd.     97,901       367,315  
Ipca Laboratories Ltd.     42,165       757,697  
IRB Infrastructure Developers Ltd.     3,819,378       864,274  
Jamna Auto Industries Ltd.     577,270       801,151  
JB Chemicals & Pharmaceuticals Ltd.     43,889       1,064,505  
Jindal Saw Ltd.     211,531       584,344  
JK Lakshmi Cement Ltd.*     72,645       464,954  
JK Paper Ltd.     132,094       489,742  
JK Tyre & Industries Ltd.     98,729       410,994  
JSW Dulux Ltd.     19,849       676,901  
Jubilant Ingrevia Ltd.     81,454       523,357  
Jubilant Pharmova Ltd.     4,331       44,422  
Jyothy Labs Ltd.     204,391       413,862  
Kajaria Ceramics Ltd.     52,812       675,306  
Kalpataru Projects International Ltd.     86,676       1,254,557  
Karnataka Bank Ltd.     504,437       1,456,950  
Karur Vysya Bank Ltd.     798,696       2,498,384  
KEC International Ltd.     52,636       289,986  
Kfin Technologies Ltd.     36,850       342,500  
Kirloskar Brothers Ltd.     13,446       291,679  
Kirloskar Oil Engines Ltd.     54,849       1,369,795  
KPIT Technologies Ltd.     76,149       540,234  
KRBL Ltd.     140,521       557,059  
KSB Ltd.     40,406       409,252  
LG Balakrishnan & Bros Ltd.     17,666       297,821  
LT Foods Ltd.     105,601       409,424  
Mahanagar Gas Ltd.     137,427       1,704,576  
Mahindra Lifespace Developers Ltd.     138,518       536,241  
Mastek Ltd.     19,041       321,082  
Mindspace Business Parks REIT(a)     514,806       2,574,553  
Mishra Dhatu Nigam Ltd.(a)     65,770       290,744  
MOIL Ltd.     64,424       189,273  
Motherson Sumi Wiring India Ltd.*     1,780,422       754,611  
MPS Ltd.     14,545       290,182  
Narayana Hrudayalaya Ltd.     21,306       443,795  
Natco Pharma Ltd.     85,740       843,553  
National Aluminium Co. Ltd.     3,113,170       11,168,883  
National Fertilizers Ltd.     307,717       242,607  
Nava Ltd.     218,960       1,402,811  
Navin Fluorine International Ltd.     7,553       613,360  
NBCC India Ltd.     967,235       1,072,188  
NCC Ltd.     512,541       802,501  
NESCO Ltd.     30,537       347,893  
NLC India Ltd.     563,660       1,917,398  
Paradeep Phosphates Ltd.(a)     147,126       211,428  
Pearl Global Industries Ltd.     11,298       240,572  
Quess Corp. Ltd.(a)     293,162       828,799  
Railtel Corp. of India Ltd.     108,491       352,950  
Rallis India Ltd.     120,798       283,980  
Ramco Cements Ltd.     56,722       557,250  
Rashtriya Chemicals & Fertilizers Ltd.     171,101       236,699  
Ratnamani Metals & Tubes Ltd.     19,448       515,689  
RBL Bank Ltd.(a)     208,408       812,529  
Redington Ltd.     1,700,330       4,960,948  
Relaxo Footwears Ltd.     96,381       413,132  
Sarda Energy & Minerals Ltd.     20,397       106,942  
Saregama India Ltd.     70,773       368,449  
Sharda Cropchem Ltd.     25,826       239,943  
Sharda Motor Industries Ltd.*     29,011       266,331  
Shipping Corp. of India Ltd.     267,559       862,950  
Shyam Metalics & Energy Ltd.     20,456       205,297  
Siyaram Silk Mills Ltd.     67,437       454,632  
SKF India Ltd.     18,810       332,349  
Sonata Software Ltd.     144,285       407,969  
South Indian Bank Ltd.     2,044,582       985,585  
Sumitomo Chemical India Ltd.     50,940       226,478  
Supreme Petrochem Ltd.     93,985       708,868  
Syngene International Ltd.(a)     38,425       178,407  
Tamilnad Mercantile Bank Ltd.     129,300       1,001,863  
Tanla Platforms Ltd.     39,325       220,225  
Tata Elxsi Ltd.     30,847       1,248,007  
Tata Technologies Ltd.     143,367       1,036,115  
Techno Electric & Engineering Co. Ltd.     38,081       424,022  
Thyrocare Technologies Ltd.(a)     111,724       648,329  
Time Technoplast Ltd.     92,728       176,289  
Timken India Ltd.     24,829       914,299  
Transport Corp. of India Ltd.     31,626       308,947  
Usha Martin Ltd.     144,638       759,260  
UTI Asset Management Co. Ltd.     141,860       1,401,384  
Vaibhav Global Ltd.     225,434       545,993  
Vardhman Textiles Ltd.     127,225       855,010  
Vedant Fashions Ltd.     92,516       399,057  
V-Guard Industries Ltd.     89,968       285,134  
Vinati Organics Ltd.     432       6,098  
Voltamp Transformers Ltd.     5,931       650,345  
VRL Logistics Ltd.     128,041       318,443  
Welspun Corp. Ltd.     128,102       2,059,592  
Welspun Living Ltd.*     459,658       771,319  
Whirlpool of India Ltd.     1,060       9,099  
Zee Entertainment Enterprises Ltd.     1,190,209       1,301,502  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Zensar Technologies Ltd.     112,276     $ 504,454  
Total India             149,047,454  
Indonesia — 1.9%                
Avia Avian Tbk. PT     45,794,300       799,095  
Bank BTPN Syariah Tbk. PT     4,854,400       266,069  
Bank CIMB Niaga Tbk. PT     9,573,600       832,603  
Bank Tabungan Negara Persero Tbk. PT*     9,506,500       584,852  
Bukit Asam Persero Tbk. PT     30,952,200       3,964,236  
Ciputra Development Tbk. PT*     5,721,000       177,581  
Cisarua Mountain Dairy Tbk. PT     4,191,600       1,043,212  
Dharma Satya Nusantara Tbk. PT     14,130,200       881,162  
Elnusa Tbk. PT     27,563,500       801,623  
Erajaya Swasembada Tbk. PT*     46,418,400       908,638  
ESSA Industries Indonesia Tbk. PT     27,904,400       803,734  
Gudang Garam Tbk. PT     1,230,000       1,117,869  
Indah Kiat Pulp & Paper Tbk. PT*     2,162,900       855,846  
Indo Tambangraya Megah Tbk. PT     2,954,700       3,639,668  
Indocement Tunggal Prakarsa Tbk. PT     684,900       159,350  
Indosat Tbk. PT     23,514,100       2,275,134  
Industri Jamu Dan Farmasi Sido Muncul Tbk. PT     9,600,370       199,739  
Japfa Comfeed Indonesia Tbk. PT     18,353,300       1,996,486  
Jasa Marga Persero Tbk. PT     115,200       17,460  
Kalbe Farma Tbk. PT     36,344,800       1,555,021  
Map Aktif Adiperkasa PT     13,878,200       481,235  
Mayora Indah Tbk. PT     1,389,300       142,582  
Medco Energi Internasional Tbk. PT     7,425,700       425,690  
Medikaloka Hermina Tbk. PT     4,971,600       226,614  
Mitra Keluarga Karyasehat Tbk. PT     1,014,800       95,918  
Pakuwon Jati Tbk. PT     1,374,900       18,455  
Perusahaan Gas Negara Persero Tbk. PT     70,230,300       5,361,541  
PT TIMAH Persero Tbk     23,700       4,334  
Raharja Energi Cepu PT     491,900       127,102  
Rukun Raharja Tbk. PT     638,400       128,537  
Sarana Menara Nusantara Tbk. PT     33,161,900       675,108  
Sawit Sumbermas Sarana Tbk. PT     869,200       35,245  
Semen Indonesia Persero Tbk. PT     5,941,800       470,226  
Sumber Tani Agung Resources Tbk. PT     16,137,500       902,545  
Surya Citra Media Tbk. PT     40,283,800       446,096  
Triputra Agro Persada PT     17,222,800       1,391,887  
Vale Indonesia Tbk. PT     2,847,000       656,020  
Total Indonesia             34,468,513  
Malaysia — 5.4%                
Aeon Co. M Bhd.     2,423,800       624,154  
Alliance Bank Malaysia Bhd.     2,635,000       3,069,589  
AMMB Holdings Bhd.     6,582,500       10,283,391  
Bursa Malaysia Bhd.     1,469,900       3,064,169  
Carlsberg Brewery Malaysia Bhd., Class B     360,600       1,453,897  
Dayang Enterprise Holdings Bhd.     966,100       386,203  
Dialog Group Bhd.     4,539,400       2,070,701  
Eco World Development Group Bhd.     3,852,400       2,078,548  
Farm Fresh Bhd.     344,800       193,646  
Fraser & Neave Holdings Bhd.     323,600       2,215,797  
Frontken Corp. Bhd.     677,200       823,767  
Gas Malaysia Bhd     1,602,800       2,083,345  
Genting Malaysia Bhd.     9,414,500       4,317,625  
Heineken Malaysia Bhd.     557,600       2,655,694  
Hextar Global Bhd(b)     1,789,284       340,085  
Hibiscus Petroleum Bhd.     1,074,260       482,133  
IJM Corp. Bhd.     5,142,000       2,850,011  
Inari Amertron Bhd.     5,298,775       2,936,905  
IOI Properties Group Bhd.     3,782,400       3,654,851  
KPJ Healthcare Bhd.     6,263,500       4,992,367  
Leong Hup International Bhd.     5,500,662       1,025,261  
Malakoff Corp. Bhd     3,825,700       783,436  
Malayan Cement Bhd.     462,900       724,292  
Malaysian Pacific Industries Bhd.     82,700       1,007,206  
Malaysian Resources Corp. Bhd.(b)     3,355,000       267,413  
Matrix Concepts Holdings Bhd.     5,732,700       1,659,003  
MBSB Bhd.     14,429,728       2,264,875  
Mr. DIY Group M Bhd.(a)     8,216,600       3,304,776  
Nationgate Holdings Bhd.     1,036,900       226,325  
PPB Group Bhd.     1,379,000       3,141,854  
QL Resources Bhd.     2,209,000       2,031,576  
Scientex Bhd.     1,320,400       1,207,871  
Sime Darby Bhd.     10,624,400       5,576,019  
Sime Darby Property Bhd.(b)     4,514,200       1,594,224  
Sunway Construction Group Bhd.     479,100       873,014  
TIME dotCom Bhd.     3,626,800       5,488,009  
United Plantations Bhd.     624,050       5,062,802  
Velesto Energy Bhd.     8,812,600       572,738  
ViTrox Corp. Bhd.     312,900       595,488  
Westports Holdings Bhd.     4,097,070       6,089,085  
Yinson Holdings Bhd.     1,379,494       642,805  
Zetrix Ai Bhd.     7,039,043       1,311,998  
Total Malaysia             96,026,948  
Mexico — 3.7%                
Alsea SAB de CV     637,560       1,671,092  
Banco del Bajio SA(a)     5,352,909       17,314,338  
Becle SAB de CV     614,793       508,758  
Bolsa Mexicana de Valores SAB de CV     2,995,603       5,974,491  
FIBRA Macquarie Mexico(a)     2,495,568       6,361,119  
Genomma Lab Internacional SAB de CV, Class B     1,451,357       1,248,381  
Gentera SAB de CV     2,684,215       5,821,976  
Grupo Aeroportuario del Centro Norte SAB de CV     911,026       12,910,123  
La Comer SAB de CV     312,913       634,645  
Megacable Holdings SAB de CV, Series CPO     1,554,606       5,580,968  
Qualitas Controladora SAB de CV(b)     672,145       6,740,394  
Regional SAB de CV     226,682       1,738,992  
Total Mexico             66,505,277  
Philippines — 0.8%                
Century Pacific Food, Inc.     561,900       283,834  
Converge Information & Communications Technology Solutions, Inc.     4,310,200       710,758  
DigiPlus Interactive Corp.     1,472,850       280,794  
DMCI Holdings, Inc.     6,468,400       790,500  
GT Capital Holdings, Inc.     43,530       344,013  
JG Summit Holdings, Inc.     2,891,600       1,248,613  
LT Group, Inc.     3,466,700       842,809  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Monde Nissin Corp.(a)     13,758,800     $ 1,616,440  
Puregold Price Club, Inc.     3,191,900       2,111,637  
Robinsons Land Corp.     2,094,826       561,852  
Security Bank Corp.     581,860       621,017  
Semirara Mining & Power Corp.     3,340,300       1,251,864  
Universal Robina Corp.     2,583,600       2,610,122  
Wilcon Depot, Inc.     1,773,300       160,369  
Total Philippines             13,434,622  
Poland — 2.3%                
Alior Bank SA     356,325       12,323,517  
Asseco Poland SA(b)     80,777       3,592,023  
Bank Handlowy w Warszawie SA     36,015       1,168,929  
Budimex SA     47,101       9,237,628  
Diagnostyka SA, Series D     25,066       1,158,323  
Enea SA     532,550       2,745,738  
Orange Polska SA     1,780,087       6,781,554  
Text SA(b)     102,092       1,170,615  
Warsaw Stock Exchange     146,666       3,464,874  
Total Poland             41,643,201  
Saudi Arabia — 3.6%                
Abdullah Al Othaim Markets Co.(b)     630,897       983,992  
Abdullah Saad Mohammed Abo Moati Stationaries Co.(b)     15,161       173,110  
Al Babtain Power & Telecommunication Co.     63,522       1,093,866  
Al Hammadi Holding     5,122       36,835  
Al Hassan Ghazi Ibrahim Shaker Co.*(b)     70,811       262,158  
Al Majed for Oud Co.     28,408       988,972  
Al Masane Al Kobra Mining Co.(b)     38,325       726,270  
Al Moammar Information Systems Co.(b)     25,516       1,580,998  
Al-Dawaa Medical Services Co.(b)     77,505       897,335  
Aldrees Petroleum & Transport Services Co.(b)     46,662       1,415,806  
AlKhorayef Water & Power Technologies Co.     14,018       412,645  
Almoosa Health Co.(b)     6,885       218,065  
Almunajem Foods Co.(b)     58,568       963,351  
Alujain Corp.(b)     153,275       1,101,465  
Arabian Cement Co.(b)     266,528       1,638,666  
Arabian Centres Co.(a)(b)     842,201       3,830,836  
Arabian Pipes Co.(b)     235,841       411,146  
Arriyadh Development Co.(b)     101,718       484,333  
Astra Industrial Group(b)     68,529       2,400,302  
Ataa Educational Co.(b)     39,865       550,674  
BinDawood Holding Co.(b)     741,018       962,464  
Catrion Catering Holding Co.(b)     68,600       1,366,632  
City Cement Co.(b)     297,183       892,213  
Derayah Financial Co.(b)     176,708       1,045,047  
Dr Soliman Abdel Kader Fakeeh Hospital Co.*(b)     55,098       538,486  
East Pipes Integrated Co. for Industry(b)     15,693       918,892  
Electrical Industries Co.(b)     1,195,599       4,591,849  
Gulf Insurance Group(b)     114,711       997,142  
Jamjoom Pharmaceuticals Factory Co.     46,767       1,929,332  
Leejam Sports Co. JSC(b)     44,244       922,044  
Maharah Human Resources Co.(b)     603,097       810,614  
Middle East Healthcare Co.(b)     30,920       262,193  
Middle East Pharmaceutical Co.(b)     36,889       594,002  
Middle East Specialized Cables Co.(b)     36,787       298,432  
Mobile Telecommunications Co. Saudi Arabia*(b)     1,109,916       3,122,488  
National Co. for Glass Industries(b)     8,874       85,122  
National Co. for Learning & Education(b)     16,650       573,878  
National Gas & Industrialization Co.(b)     1,754       32,749  
National Medical Care Co.(b)     16,436       453,202  
Qassim Cement Co.(b)     28,967       346,167  
Retal Urban Development Co.(b)     284,706       910,829  
Riyadh Cement Co.(b)     262,514       1,602,110  
Saudi Cement Co.(b)     330,304       2,665,500  
Saudi Ceramic Co.(b)     52,689       374,427  
Saudi Chemical Co. Holding     382,970       833,784  
Saudi Ground Services Co.(b)     160,357       1,324,785  
Saudi Manpower Solutions Co.(b)     675,318       1,132,360  
Saudi Paper Manufacturing Co.(b)     21,714       325,375  
Saudi Steel Pipe Co.(b)     28,864       387,573  
Saudia Dairy & Foodstuff Co.(b)     62,353       3,644,394  
Scientific & Medical Equipment House Co.(b)     70,688       552,756  
Sumou Real Estate Co.(b)     28,270       212,935  
Sustained Infrastructure Holding Co.(b)     100,616       903,541  
Tabuk Cement Co.(b)     282,823       593,167  
Taiba Investments Co.(b)     225,441       1,106,444  
Tanmiah Food Co.*(b)     17,097       257,784  
Theeb Rent A Car Co.     100,919       625,842  
United Electronics Co.(b)     125,956       2,423,778  
United International Transportation Co.(b)     106,760       858,126  
Yamama Cement Co.(b)     236,185       1,587,893  
Total Saudi Arabia             63,237,176  
South Africa — 9.4%                
Advtech Ltd.     950,208       2,756,125  
AECI Ltd.     199,881       1,530,998  
African Rainbow Minerals Ltd.     300,512       3,271,529  
Astral Foods Ltd.     93,195       1,347,603  
AVI Ltd.     1,395,009       8,556,452  
Coronation Fund Managers Ltd.     1,729,254       4,273,019  
DataTec Ltd.     426,320       2,398,213  
Dis-Chem Pharmacies Ltd.(a)(b)     532,177       1,068,575  
DRDGOLD Ltd.     1,373,707       2,952,758  
Equites Property Fund Ltd.     2,562,728       2,755,050  
Foschini Group Ltd.(b)     744,313       2,783,794  
Grindrod Ltd.     2,048,588       3,337,236  
Growthpoint Properties Ltd.     20,651,117       21,734,702  
Investec Ltd.     1,013,106       7,968,243  
JSE Ltd.     291,717       2,797,030  
Life Healthcare Group Holdings Ltd.     1,484,217       944,502  
Momentum Group Ltd.     4,385,721       10,871,986  
Motus Holdings Ltd.     744,983       5,045,339  
Mr. Price Group Ltd.(b)     669,886       7,347,901  
Netcare Ltd.     3,530,489       3,885,907  
Old Mutual Ltd.     20,146,386       16,495,699  
Omnia Holdings Ltd.     612,835       4,184,403  
PSG Financial Services Ltd.     1,544,422       3,032,306  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Raubex Group Ltd.     483,959     $ 1,517,428  
Redefine Properties Ltd.     31,840,240       12,433,041  
Resilient REIT Ltd.     933,345       4,743,602  
Reunert Ltd.(b)     573,711       2,113,875  
Santam Ltd.     127,061       2,984,654  
Sun International Ltd.     612,890       2,021,901  
Super Group Ltd.*     1,227,817       1,465,290  
Telkom SA SOC Ltd.     630,626       2,160,827  
Tiger Brands Ltd.(b)     594,435       10,739,000  
We Buy Cars Holdings Ltd.(b)     122,095       254,396  
Woolworths Holdings Ltd.     1,799,131       5,526,922  
Total South Africa             167,300,306  
South Korea — 11.1%                
Ahnlab, Inc.     11,122       376,883  
Asia Cement Co. Ltd.     59,203       352,704  
BGF retail Co. Ltd.     15,746       1,176,910  
BH Co. Ltd.(b)     16,898       231,771  
Binggrae Co. Ltd.     13,859       573,396  
BNK Financial Group, Inc.     1,013,626       11,154,924  
Caregen Co. Ltd.     22,494       1,000,346  
Cheil Worldwide, Inc.     390,051       4,582,023  
Cheryong Electric Co. Ltd.     10,652       352,019  
Chong Kun Dang Pharmaceutical Corp.     11,454       489,418  
CJ Corp.(b)     30,953       3,090,705  
CJ Logistics Corp.     5,998       286,873  
Classys, Inc.     11,013       331,250  
Cosmax, Inc.     6,301       629,978  
Cuckoo Homesys Co. Ltd.     37,088       505,103  
Daeduck Electronics Co. Ltd.     21,149       2,096,745  
Daesang Corp.     62,720       682,135  
Daesang Holdings Co. Ltd.     42,440       202,982  
Daewoong Co. Ltd.     19,253       210,015  
Daewoong Pharmaceutical Co. Ltd.     2,858       207,898  
Daishin Securities Co. Ltd.*     176,631       3,078,188  
DB HiTek Co. Ltd.     63,289       5,890,579  
DB Securities Co. Ltd.     70,970       428,761  
DIT Corp.     19,618       253,883  
DN Automotive Corp.     56,919       1,403,412  
Dongjin Semichem Co. Ltd.     14,072       529,528  
DongKook Pharmaceutical Co. Ltd., Class L     25,740       318,489  
Dongsuh Cos., Inc.     146,087       2,225,297  
Dongsung Finetec Co. Ltd.     44,223       495,521  
Dongwon Industries Co. Ltd.     35,602       738,788  
Doosan Bobcat, Inc.     93,477       3,722,669  
Eugene Investment & Securities Co. Ltd.     118,161       328,712  
F&F Co. Ltd.     24,644       1,227,985  
GC Biopharma Corp.     4,070       315,765  
GC Corp.     48,165       318,654  
Grand Korea Leisure Co. Ltd.     79,172       527,370  
GS Engineering & Construction Corp.     60,773       984,575  
GS Holdings Corp.     140,080       5,994,516  
HAESUNG DS Co. Ltd.     13,654       621,317  
Hana Tour Service, Inc.     63,545       1,287,880  
Hancom, Inc.     29,543       352,769  
Handsome Co. Ltd.     21,754       294,163  
Hanil Cement Co. Ltd.     80,886       710,552  
Hanjin Kal Corp.     11,739       894,082  
Hankook & Co. Co. Ltd.     105,149       1,608,489  
Hanmi Pharm Co. Ltd.     972       249,384  
Hanmi Science Co. Ltd.*     19,859       386,464  
Hansol Chemical Co. Ltd.     7,138       1,340,707  
Hanssem Co. Ltd.*     53,404       1,130,608  
Harim Holdings Co. Ltd.     61,047       382,997  
HD Construction Equipment Co. Ltd.     58,211       4,689,042  
HDC Holdings Co. Ltd.     60,054       806,250  
Hite Jinro Co. Ltd.     69,455       643,758  
HK inno N Corp.*     11,466       299,731  
HL Holdings Corp.*     22,945       570,182  
HL Mando Co. Ltd.     14,164       447,967  
HPSP Co. Ltd.     9,922       345,826  
Hyosung Corp.     19,300       2,183,754  
Hyundai Autoever Corp.     4,435       1,517,169  
Hyundai Department Store Co. Ltd.     21,738       2,717,776  
Hyundai Elevator Co. Ltd.     98,122       4,502,985  
Hyundai Motor Securities Co. Ltd.     44,902       240,552  
Hyundai Wia Corp.     18,155       748,793  
Iljin Electric Co. Ltd.     17,234       848,741  
iM Financial Group Co. Ltd.     387,984       4,209,650  
Innocean Worldwide, Inc.     42,302       491,471  
Innox Advanced Materials Co. Ltd.     16,644       267,499  
IPARK Hyundai Development Co., Class E     59,118       685,315  
ISC Co. Ltd.     3,593       420,919  
JB Financial Group Co. Ltd.     360,263       5,766,812  
JS Corp.     51,443       369,229  
Jusung Engineering Co. Ltd.     10,598       1,374,942  
JW Pharmaceutical Corp.     30,271       502,139  
JYP Entertainment Corp.     14,142       469,179  
K Car Co. Ltd.     76,480       413,179  
KEPCO Engineering & Construction Co., Inc.     6,313       439,665  
KEPCO Plant Service & Engineering Co. Ltd.     54,632       1,562,123  
KG Chemical Corp.     102,045       273,011  
KG Dongbusteel     70,423       238,637  
KH Vatec Co. Ltd.     32,166       223,188  
KIWOOM Securities Co. Ltd.     27,525       6,093,768  
Koh Young Technology, Inc.     36,627       755,330  
Kolmar BNH Co. Ltd.*     42,418       220,399  
Kolmar Korea Co. Ltd.*     12,989       834,187  
Kolon Industries, Inc.     34,760       1,350,643  
KoMiCo Ltd.     6,727       408,144  
KONA I Co. Ltd.*     10,086       297,183  
Korea Electric Terminal Co. Ltd.     7,800       349,900  
Korea Electronic Power Industrial Development Co. Ltd.     32,847       246,358  
Korea Gas Corp.     54,108       1,115,827  
Korea United Pharm, Inc.     63,367       713,712  
Korean Reinsurance Co.     554,143       4,749,899  
Kyobo Securities Co. Ltd.     50,185       316,470  
Kyung Dong Navien Co. Ltd.     7,574       303,586  
LEENO Industrial, Inc.     58,571       3,175,604  
LG Innotek Co. Ltd.     8,767       5,551,170  
LG Uplus Corp.     799,641       7,225,827  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Lotte Rental Co. Ltd.     23,472     $ 425,717  
LS Corp.     8,415       1,985,208  
LS Marine Solution Co. Ltd.     7,956       139,421  
LX INTERNATIONAL Corp.     70,878       1,683,541  
LX Semicon Co. Ltd.     27,388       725,668  
Mcnex Co. Ltd.     25,026       306,586  
MegaStudyEdu Co. Ltd.     12,043       302,377  
Misto Holdings Corp.     60,416       1,616,371  
MNC Solution Co. Ltd.     3,489       53,147  
Myoung Shin Industrial Co. Ltd.*     74,962       358,529  
NICE Information Service Co. Ltd.     113,639       1,007,810  
NongShim Co. Ltd.     2,884       624,528  
Orion Corp.     18,479       1,573,214  
Pan Ocean Co. Ltd.     582,207       1,779,352  
Paradise Co. Ltd.     66,438       591,780  
Partron Co. Ltd.     165,035       615,699  
PharmaResearch Co. Ltd.     3,180       745,072  
PI Advanced Materials Co. Ltd.     29,773       385,302  
Poongsan Corp.     28,594       1,188,571  
Posco DX Co. Ltd.     22,093       308,729  
PSK Holdings, Inc.     4,531       467,927  
PSK, Inc.     11,369       1,439,012  
S-1 Corp.     55,278       2,543,937  
Samsung E&A Co. Ltd.     198,140       6,087,565  
Samsung Securities Co. Ltd.     174,807       12,242,019  
SAMT Co. Ltd.     229,330       1,828,068  
Sanil Electric Co. Ltd.     3,803       585,436  
Seegene, Inc.     59,086       1,132,676  
Sejin Heavy Industries Co. Ltd.     47,917       408,561  
SGC Energy Co. Ltd.     32,435       837,410  
Shinsegae, Inc.     9,323       4,543,255  
SK Discovery Co. Ltd.     16,018       526,248  
SK Networks Co. Ltd.     329,090       2,134,741  
SL Corp.     26,700       977,144  
SM Entertainment Co. Ltd.     9,720       444,185  
SNT Energy Co. Ltd.     9,564       174,390  
Soop Co. Ltd.     7,978       253,352  
Soulbrain Co. Ltd.     3,641       858,959  
ST Pharm Co. Ltd.     6,167       526,223  
Sungwoo Hitech Co. Ltd.     161,144       640,707  
TES Co. Ltd.(b)     8,160       1,095,514  
TK Corp.*     15,036       239,229  
TKG Huchems Co. Ltd.     59,052       579,352  
Tokai Carbon Korea Co. Ltd.     6,232       1,096,121  
Unid Co. Ltd.     10,824       438,745  
Vitzrocell Co. Ltd.(b)     33,399       873,078  
Yuanta Securities Korea Co. Ltd.     179,423       517,088  
Total South Korea             198,461,237  
Taiwan — 29.1%                
Adlink Technology, Inc.     20,000       87,580  
Advanced Energy Solution Holding Co. Ltd.     44,000       1,629,809  
Advanced Power Electronics Corp.(b)     142,000       1,205,751  
Airoha Technology Corp.     70,000       1,472,227  
Alexander Marine Co. Ltd.(b)     31,508       149,843  
Allied Supreme Corp.(b)     44,000       296,266  
Allis Electric Co. Ltd.(b)     150,048       579,345  
Alltek Technology Corp.     773,240       1,436,938  
AMPOC Far-East Co. Ltd.(b)     411,040       3,774,087  
AP Memory Technology Corp.(b)     116,000       3,634,046  
Apex Dynamics, Inc.     17,000       316,984  
Arcadyan Technology Corp.     411,681       2,481,213  
Asia Optical Co., Inc.(b)     330,000       1,476,151  
ASMedia Technology, Inc.(b)     27,000       1,245,900  
ASROCK, Inc.*(b)     118,000       866,762  
AUO Corp.*(b)     7,551,000       7,750,936  
Bafang Yunji International Co. Ltd., Class C     54,000       317,832  
Bank of Kaohsiung Co. Ltd.(b)     639,560       245,934  
Bora Pharmaceuticals Co. Ltd.*(b)     70,787       937,709  
C Sun Manufacturing Ltd.     29,000       564,406  
Capital Futures Corp.*     452,180       868,690  
Capital Securities Corp.*     6,269,340       7,527,577  
Castles Technology Co. Ltd.(b)     169,000       259,151  
Cathay Real Estate Development Co. Ltd.     984,000       762,946  
Century Iron & Steel Industrial Co. Ltd.(b)     115,000       424,168  
Charoen Pokphand Enterprise(b)     412,100       1,468,251  
CHC Healthcare Group(b)     125,000       113,203  
Chenbro Micom Co. Ltd.(b)     54,000       2,178,205  
Cheng Loong Corp.     1,508,000       1,013,018  
Chicony Electronics Co. Ltd.(b)     2,325,652       7,592,416  
Chicony Power Technology Co. Ltd.(b)     528,625       1,581,403  
China Bills Finance Corp.*     1,509,000       836,057  
China Steel Chemical Corp.     432,726       1,117,930  
China Wire & Cable Co. Ltd.(b)     202,000       201,642  
Chinese Maritime Transport Ltd.(b)     221,000       357,274  
Chin-Poon Industrial Co. Ltd.     313,000       532,532  
Chong Hong Development Co. Ltd.     726,366       1,785,333  
Chun Yuan Steel Industry Co. Ltd.*     1,181,000       878,618  
Chung-Hsin Electric & Machinery Manufacturing Corp.(b)     521,000       2,894,762  
Compeq Manufacturing Co. Ltd.     2,283,000       16,662,141  
Crowell Development Corp.(b)     1,029,000       678,323  
Cub Elecparts, Inc.(b)     13,000       41,216  
Cyberlink Corp.     75,000       158,445  
CyberPower Systems, Inc.     141,000       942,759  
Da-Li Development Co. Ltd.     426,361       603,609  
Darfon Electronics Corp.     599,000       784,088  
Darwin Precisions Corp.     811,000       376,777  
Daxin Materials Corp.     86,000       1,054,196  
Depo Auto Parts Ind Co. Ltd.     189,000       806,868  
Drewloong Precision, Inc.(b)     65,000       295,858  
Dynamic Holding Co. Ltd.*     3,050       16,851  
Elan Microelectronics Corp.     137,409       815,228  
Ennoconn Corp.     156,243       1,812,245  
Eternal Materials Co. Ltd.(b)     1,547,319       3,594,293  
Evergreen Aviation Technologies Corp.(b)     205,000       1,193,712  
Evergreen International Storage & Transport Corp.*     725,000       1,106,054  
Everlight Electronics Co. Ltd.     960,165       2,049,542  
Far Eastern Department Stores Ltd.*     2,555,841       1,845,286  
Far Eastern International Bank(b)     8,926,918       3,642,897  
Farglory F T Z Investment Holding Co. Ltd.     72,857       116,639  
Feng Hsin Steel Co. Ltd.     622,950       1,186,981  
First Copper Technology Co. Ltd.(b)     126,000       151,288  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Flytech Technology Co. Ltd.     572,000     $ 2,316,262  
Formosa International Hotels Corp.     137,000       767,646  
Fositek Corp.(b)     17,871       942,454  
Foxsemicon Integrated Technology, Inc.(b)     396,197       4,110,405  
Fu Hua Innovation Co. Ltd.(b)     2,002,000       908,100  
Fulgent Sun International Holding Co. Ltd.(b)     244,368       557,674  
Fusheng Precision Co. Ltd.(b)     184,000       1,475,743  
G Shank Enterprise Co. Ltd.     412,103       1,681,710  
Genius Electronic Optical Co. Ltd.     137,280       2,839,845  
Getac Holdings Corp.(b)     1,202,292       3,811,828  
Global Brands Manufacture Ltd.(b)     727,133       2,430,891  
Global Mixed Mode Technology, Inc.*(b)     190,000       1,866,809  
Global PMX Co. Ltd.     178,000       1,257,200  
Grape King Bio Ltd.     218,988       633,114  
Great Wall Enterprise Co. Ltd.     1,354,259       2,359,373  
Greatek Electronics, Inc.     923,000       3,954,907  
Highwealth Construction Corp.(b)     4,360,719       5,892,956  
Hiwin Technologies Corp.(b)     318,000       3,244,236  
Holy Stone Enterprise Co. Ltd.     215,900       5,706,459  
Hong TAI Electric Industrial     412,000       479,814  
Huaku Development Co. Ltd.     966,346       3,094,103  
Huang Hsiang Construction Corp.*     18,785       22,673  
Hwang Chang General Contractor Co. Ltd.(b)     133,000       160,945  
IBF Financial Holdings Co. Ltd.(b)     6,824,215       3,181,128  
Ichia Technologies, Inc.(b)     412,000       838,058  
Innolux Corp.(b)     26,822,000       57,842,870  
Iron Force Industrial Co. Ltd.(b)     210,905       570,685  
ITE Technology, Inc.     358,000       1,786,825  
ITEQ Corp.(b)     332,000       3,861,253  
ITH Corp.     887,000       1,076,156  
J&V Energy Technology Co. Ltd.(b)     118,000       268,548  
Johnson Health Tech Co. Ltd.(b)     27,000       106,368  
JPC connectivity, Inc.(b)     205,000       2,252,288  
JSL Construction & Development Co. Ltd.(b)     25,072       42,578  
Kaori Heat Treatment Co. Ltd.     59,577       2,898,760  
Kindom Development Co. Ltd.     992,020       1,057,212  
Kinik Co.     137,495       3,288,848  
Kinpo Electronics(b)     1,010,000       1,114,419  
Kinsus Interconnect Technology Corp.     148,396       4,150,514  
Kung Long Batteries Industrial Co. Ltd.     291,000       1,146,407  
L&K Engineering Co. Ltd.     259,981       7,532,606  
Lai Yih Footwear Co. Ltd.*(b)     150,000       927,597  
Lelon Electronics Corp.(b)     412,000       5,865,114  
Lian HWA Food Corp.(b)     199,510       545,487  
Lien Hwa Industrial Holdings Corp.(b)     1,124,681       1,516,333  
Lion Travel Service Co. Ltd.(b)     334,000       1,567,435  
Lotus Pharmaceutical Co. Ltd.(b)     143,000       859,621  
Machvision, Inc.(b)     106,400       2,364,704  
Makalot Industrial Co. Ltd.(b)     594,218       4,084,998  
Marketech International Corp.     137,000       2,382,497  
Mega Union Technology, Inc.     121,000       3,710,922  
Merry Electronics Co. Ltd.(b)     711,622       2,014,920  
momo.com, Inc.(b)     18,100       169,031  
Nan Kang Rubber Tire Co. Ltd.     437,000       430,738  
Nan Pao Resins Chemical Co. Ltd., Class L(b)     139,000       1,498,799  
National Aerospace Fasteners Corp.(b)     43,158       181,538  
Nichidenbo Corp.(b)     954,000       9,657,841  
Nien Made Enterprise Co. Ltd.     294,000       3,193,195  
O-Bank Co. Ltd.(b)     3,733,000       1,224,549  
Orient Semiconductor Electronics Ltd.(b)     261,000       439,964  
Pan German Universal Motors Ltd.(b)     51,000       373,017  
Pan Jit International, Inc.     590,000       3,380,001  
Pan-International Industrial Corp.(b)     870,000       1,350,478  
Phoenix Silicon International Corp.     158,000       1,572,238  
Posiflex Technology, Inc.(b)     215,000       1,238,444  
Power Wind Health Industry, Inc.     95,000       426,444  
Powertech Technology, Inc.     1,956,000       20,722,616  
President Securities Corp.(b)     1,051,972       1,651,110  
Primax Electronics Ltd.(b)     1,551,000       3,213,347  
Promate Electronic Co. Ltd.(b)     926,190       1,459,506  
Qisda Corp.(b)     3,496,040       3,742,249  
Rechi Precision Co. Ltd.     585,000       516,935  
Ruentex Engineering & Construction Co.(b)     138,600       711,349  
Sakura Development Co. Ltd.(b)     151,600       185,119  
Sanyang Motor Co. Ltd.     848,000       1,626,444  
Scientech Corp.*     29,000       822,940  
SciVision Biotech, Inc.(b)     107,000       180,368  
SDI Corp.     37,000       246,810  
Sercomm Corp.     448,488       1,137,533  
Sesoda Corp.(b)     923,000       1,544,297  
ShenMao Technology, Inc.     137,000       597,774  
Shihlin Electric & Engineering Corp.(b)     204,000       1,533,690  
Shin Zu Shing Co. Ltd.(b)     532,072       3,323,728  
Shinkong Insurance Co. Ltd.     466,000       2,084,504  
Shiny Chemical Industrial Co. Ltd.(b)     156,764       836,560  
Sigurd Microelectronics Corp.     964,000       7,171,786  
Sinbon Electronics Co. Ltd.     372,120       3,837,252  
Sincere Navigation Corp.     409,000       378,745  
Sinon Corp.     1,508,000       1,855,621  
Sitronix Technology Corp.(b)     355,000       3,699,716  
Sports Gear Co. Ltd.(b)     309,000       724,571  
Standard Foods Corp.     825,896       760,914  
Stark Technology, Inc.(b)     344,000       1,684,554  
Sunonwealth Electric Machine Industry Co. Ltd.(b)     241,692       1,077,339  
Swancor Holding Co. Ltd.(b)     243,000       827,633  
Symtek Automation Asia Co. Ltd.(b)     114,118       564,205  
Synnex Technology International Corp.*     4,217,600       12,061,066  
Syscom Computer Engineering Co.(b)     206,000       361,477  
Systex Corp.     41,000       172,461  
TA Chen Stainless Pipe     4,342,033       5,499,695  
Ta Ya Electric Wire & Cable(b)     412,500       492,050  
Taichung Commercial Bank Co. Ltd.(b)     4,900,484       3,084,291  
Taiflex Scientific Co. Ltd.(b)     119,000       556,590  
Taisun Enterprise Co. Ltd.     1,073,000       601,229  
Taiwan Business Bank(b)     3,116,698       1,736,581  
Taiwan Cogeneration Corp.     356,740       854,434  
Taiwan Fertilizer Co. Ltd.(b)     1,601,000       2,384,677  
Taiwan Hon Chuan Enterprise Co. Ltd.(b)     538,608       2,172,591  
Taiwan Navigation Co. Ltd.     1,150,000       1,072,152  
Taiwan Paiho Ltd.(b)     511,000       711,404  
Taiwan Sakura Corp.     502,000       1,304,776  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Taiwan Secom Co. Ltd.     503,000     $ 1,665,798  
Taiwan Surface Mounting Technology Corp.     818,000       5,469,339  
Tatung Co. Ltd.(b)     8,338,000       7,145,399  
Team Group, Inc.*(b)     137,000       1,133,191  
Test Research, Inc.(b)     769,115       7,906,869  
Thinking Electronic Industrial Co. Ltd.     137,000       1,354,669  
Tigerair Taiwan Co. Ltd.(b)     968,000       1,893,064  
Ton Yi Industrial Corp.(b)     2,526,000       1,201,290  
Tong Hsing Electronic Industries Ltd.*     303,214       2,541,338  
Tong Yang Industry Co. Ltd.(b)     945,685       2,297,679  
Topco Scientific Co. Ltd.(b)     411,776       7,096,355  
Topkey Corp.     303,000       1,588,404  
Transcend Information, Inc.(b)     685,479       5,734,470  
TSRC Corp.     28,000       18,194  
Ttet Union Corp.     90,000       399,761  
Tung Ho Steel Enterprise Corp.     1,134,722       2,400,774  
TXC Corp.     1,235,549       7,272,156  
U-Ming Marine Transport Corp.(b)     1,138,420       2,154,873  
Union Bank of Taiwan(b)     1,022,352       726,893  
Unitech Printed Circuit Board Corp.(b)     913,000       1,622,143  
Universal Cement Corp.     1,234,365       1,038,437  
UPI Semiconductor Corp.(b)     30,000       254,265  
Visco Vision, Inc.(b)     102,000       627,564  
VisEra Technologies Co. Ltd.(b)     86,000       1,384,898  
Visual Photonics Epitaxy Co. Ltd.(b)     137,750       1,500,455  
Voltronic Power Technology Corp.(b)     160,000       5,449,437  
Waffer Technology Corp.(b)     162,500       204,550  
Wah Lee Industrial Corp.     477,580       1,941,413  
Walsin Lihwa Corp.(b)     3,286,000       3,837,182  
Weikeng Industrial Co. Ltd.     1,779,431       2,759,371  
Weltrend Semiconductor*(b)     137,000       304,478  
Winmate, Inc.(b)     137,000       763,345  
WinWay Technology Co. Ltd.     37,000       9,390,391  
WNC Corp. /Taiwan(b)     411,587       3,352,748  
Wowprime Corp.     73,000       566,007  
WPG Holdings Ltd.     4,020,000       13,502,425  
Yankey Engineering Co. Ltd.     246,750       5,894,456  
Yulon Motor Co. Ltd.(b)     114,496       97,760  
YungShin Global Holding Corp.     681,000       1,150,089  
Zenitron Corp.     874,000       2,279,893  
Zero One Technology Co. Ltd.(b)     469,000       1,472,227  
Zippy Technology Corp.     566,000       1,078,468  
Total Taiwan             519,561,973  
Thailand — 4.7%                
Amata Corp. PCL, NVDR     2,749,300       2,213,807  
Bangkok Chain Hospital PCL, NVDR(b)     5,563,100       1,657,852  
Berli Jucker PCL, NVDR     3,371,400       1,491,837  
Cal-Comp Electronics Thailand PCL, NVDR(b)     3,105,300       841,279  
Central Plaza Hotel PCL, NVDR(b)     694,300       773,291  
Chularat Hospital PCL, NVDR     29,655,600       1,392,596  
Com7 PCL, NVDR(b)     2,113,700       1,765,632  
Ditto Thailand PCL, NVDR     1,489,300       627,630  
Electricity Generating PCL, NVDR     757,600       2,736,623  
Erawan Group PCL, NVDR(b)     14,082,500       1,305,643  
Gunkul Engineering PCL, NVDR     36,566,000       4,666,993  
Home Product Center PCL, NVDR     4,602,600       907,483  
Ichitan Group PCL, NVDR     5,250,300       2,212,616  
KCE Electronics PCL, NVDR     1,444,400       1,815,256  
Kiatnakin Phatra Bank PCL, NVDR     1,838,900       5,563,115  
Mega Lifesciences PCL, NVDR     1,635,300       1,809,042  
MK Restaurants Group PCL, NVDR(b)     1,468,700       959,371  
Moshi Moshi Retail Corp. PLC, NVDR     714,800       812,260  
Osotspa PCL, NVDR     6,514,400       3,412,067  
Precious Shipping PCL, NVDR     7,696,200       1,633,275  
Prima Marine PCL, NVDR     9,935,700       2,631,934  
PTG Energy PCL, NVDR     6,044,100       1,346,348  
Ratch Group PCL, NVDR(b)     3,432,900       3,255,109  
Sansiri PCL, NVDR     65,384,700       2,853,895  
SCGJWD Logistics PCL, NVDR(b)     3,241,800       780,674  
SISB PCL, NVDR(b)     1,550,000       450,249  
Supalai PCL, NVDR     8,067,800       3,885,697  
Thai Life Insurance PCL, NVDR     2,244,300       776,913  
Thai Oil PCL, NVDR(b)     2,806,300       4,097,035  
Thai Union Group PCL, NVDR     2,884,500       1,015,898  
Thaifoods Group PCL, NVDR     19,244,000       6,372,089  
Tipco Asphalt PCL, NVDR(b)     6,998,100       2,843,857  
Tisco Financial Group PCL, NVDR     2,421,400       8,600,870  
TTW PCL, NVDR     7,571,100       2,244,859  
WHA Corp. PCL, NVDR     30,075,200       4,662,401  
Total Thailand             84,415,496  
Turkey — 0.9%                
Agesa Hayat ve Emeklilik AS     81,128       435,153  
Albaraka Turk Katilim Bankasi AS     2,312,714       401,517  
Anadolu Anonim Turk Sigorta Sirketi     2,050,783       1,202,633  
Anadolu Hayat Emeklilik AS     149,338       329,369  
Aselsan Elektronik Sanayi ve Ticaret AS     1       6  
Astor Transformator Enerji Turizm Insaat Ve Petrol Sanayi Ticaret AS(b)     310,363       1,839,341  
Aygaz AS     1       4  
Celebi Hava Servisi AS     953       32,335  
Cimsa Cimento Sanayi ve Ticaret AS     630,490       636,497  
Emlak Konut Gayrimenkul Yatirim Ortakligi AS(b)     2,919,677       1,294,144  
Galata Wind Enerji AS     708,388       386,872  
Is Yatirim Menkul Degerler AS, Class A     702,964       543,923  
Kocaer Celik Sanayi Ve Ticaret AS     0       0
Logo Yazilim Sanayi ve Ticaret AS     117,936       347,320  
Mavi Giyim Sanayi ve Ticaret AS, Class B(a)     1,251,619       1,009,762  
Migros Ticaret AS     79,490       1,140,671  
Nuh Cimento Sanayi AS     267,392       1,264,876  
Oyak Cimento Fabrikalari AS     2,485,214       1,091,980  
Sarkuysan Elektrolitik Bakir Sanayi ve Ticaret AS     1,556,427       886,041  
TAB Gida Sanayi Ve Ticaret AS     65,893       318,904  
Tofas Turk Otomobil Fabrikasi AS     280,377       1,850,931  
Torunlar Gayrimenkul Yatirim Ortakligi AS     107,450       230,305  
Turcas Holding AS     280,628       259,242  
Turkiye Petrol Rafinerileri AS     0       2  
Turkiye Sigorta AS     2,821,256       373,100  
Turkiye Sise ve Cam Fabrikalari AS     0       0
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

Investments   Shares     Value  
Ziraat Gayrimenkul Yatirim Ortakligi AS, Class O     497,851     $ 192,608  
Total Turkey             16,067,536  
United States — 0.1%                
GCC SAB de CV     139,707       1,671,007  
TOTAL COMMON STOCKS                
                 
(Cost: $1,266,969,526)             1,775,917,022  
RIGHTS — 0.0%                
Taiwan — 0.0%                
Compeq Manufacturing Co. Ltd.*^     64,362       55,560  
Eternal Materials Co. Ltd.*^     11,879       8,949  
TOTAL RIGHTS                
                 
(Cost: $0)             64,509  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $312,462)     312,462       312,462  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 8.9%                
United States — 8.9%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     82,180,483       82,180,483  
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)     76,300,000       76,300,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
                 
(Cost: $158,480,483)             158,480,483  
TOTAL INVESTMENTS IN SECURITIES — 108.4%
(Cost: $1,425,762,471)
            1,934,774,476  
Other Liabilities less Assets — (8.4)%             (149,878,340 )
NET ASSETS — 100.0%           $ 1,784,896,136  
         

 

Share amount represents a fractional share.
* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $443,436, which represents 0.0% of net assets.
Amount is less than $1.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $275,666,327 and the total market value of the collateral held by the Fund was $290,668,574. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $132,188,091.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.
(d)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

CURRENCY ABBREVIATIONS:

BRL Brazilian Real
HKD Hong Kong dollar
MXN Mexican peso
PLN Polish zloty
TRY Turkish lira
USD United States dollar

 

OTHER ABBREVIATIONS:

NVDR Non-Voting Depositary Receipt

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Emerging Markets High Dividend Fund  $   $13,438,452   $12,964,367   $(474,085)  $   $^   $177,189   $ 
WisdomTree Treasury Money Market Digital Fund   63,700,000    175,700,000    163,100,000            76,300,000        591,385 
Total  $63,700,000   $189,138,452   $176,064,367   $(474,085)  $   $76,300,000   $177,189   $591,385 

 
^As of June 30, 2026, the Fund did not hold a position in this affiliate.

  

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Canadian Imperial Bank of Commerce  7/2/2026   106,251  USD    400,000  PLN   $   $(165)
Goldman Sachs  7/2/2026   338,786  USD    1,750,000  BRL    684     
HSBC Holdings PLC  7/2/2026   96,394  USD    4,500,000  TRY        (57)
Royal Bank of Canada  7/2/2026   165,751  USD    1,300,000  HKD        (22)
Standard Chartered Bank  7/2/2026   85,696  USD    1,500,000  MXN        (147)
                      $684   $(391)

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)
June 30, 2026

 

 

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
India  $148,668,527   $   $378,927*   $149,047,454 
Other   1,626,869,568            1,626,869,568 
Rights           64,509*    64,509 
Mutual Fund       312,462        312,462 
Investment of Cash Collateral for Securities Loaned       158,480,483        158,480,483 
Total Investments in Securities  $1,775,538,095   $158,792,945   $443,436   $1,934,774,476 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $684   $   $684 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(391)  $   $(391)
Total - Net  $1,775,538,095   $158,793,238   $443,436   $1,934,774,769 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.
1 Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Europe Defense Fund (WDEF)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.0%
Cyprus — 1.3%      
Theon International PLC(a)     32,427     $ 1,106,282  
Czech Republic — 1.7%                
Colt CZ Group SE     8,792       379,418  
CSG NV*     74,561       1,088,927  
Total Czech Republic             1,468,345  
Finland — 0.6%                
Bittium OYJ     16,067       576,799  
France — 28.7%                
Airbus SE     20,935       4,656,312  
Dassault Aviation SA     10,998       3,611,257  
Eutelsat Communications SACA*(a)     212,385       585,924  
Exail Technologies SA*(a)     8,486       1,165,216  
Exosens SAS     22,634       1,477,603  
Safran SA     12,428       4,902,082  
Thales SA     34,386       8,837,679  
Total France             25,236,073  
Germany — 19.4%                
Hensoldt AG     46,498       3,602,201  
OHB SE     2,102       678,909  
RENK Group AG     45,455       2,191,780  
Rheinmetall AG     6,696       7,582,810  
Tkms AG& Co. KGaA*     30,246       2,579,687  
Vincorion SE*     23,483       449,974  
Total Germany             17,085,361  
Italy — 6.3%                
Avio SpA     7,157       257,343  
Fincantieri SpA*     99,679       1,133,932  
Leonardo SpA     77,790       4,173,383  
Total Italy             5,564,658  
Luxembourg — 0.4%                
SES SA     46,576       381,539  
Norway — 5.7%                
Kitron ASA     31,528       339,956  
Kongsberg Gruppen ASA     133,164       4,014,231  
Kongsberg Maritime AS*     131,182       679,275  
Total Norway             5,033,462  
Spain — 3.0%                
Indra Sistemas SA     47,485       2,601,558  
Sweden — 6.0%                
INVISIO AB     21,033       445,515  
Mildef Group AB(a)     18,808       358,839  
Ovzon AB*     56,464       256,587  
Saab AB, Class B     81,006       4,208,430  
Total Sweden             5,269,371  
Switzerland — 0.1%                
Cicor Technologies Ltd., Registered Shares*     714       108,165  
United Kingdom — 25.8%                
Avon Technologies PLC     12,290       279,912  
Babcock International Group PLC     213,959       2,702,892  
BAE Systems PLC     363,464       8,895,591  
Chemring Group PLC     112,751       766,201  
Cohort PLC(a)     19,786       323,010  
Goodwin PLC(a)     2,024       439,487  
Melrose Industries PLC     351,149       2,213,330  
QinetiQ Group PLC     218,293       1,223,816  
Rolls-Royce Holdings PLC     253,197       4,854,658  
Senior PLC     56,984       217,820  
Serco Group PLC     282,724       821,787  
Total United Kingdom             22,738,504  
TOTAL COMMON STOCKS                
                 
(Cost: $101,208,262)             87,170,117  
RIGHTS — 0.0%                
Germany — 0.0%                
OHB SE*                
                 
(Cost: $0)     2,102       2,961  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $13,946)     13,946       13,946  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 2.6%                
United States — 2.6%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $2,272,178)     2,272,178       2,272,178  
TOTAL INVESTMENTS IN SECURITIES — 101.6%
(Cost: $103,494,386)
            89,459,202  
Other Liabilities less Assets — (1.6)%             (1,438,163 )
NET ASSETS — 100.0%           $ 88,021,039  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $2,200,766 and the total market value of the collateral held by the Fund was $2,295,204. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $23,026.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

GBP British pound
SEK Swedish krona
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Europe Defense Fund (WDEF)
June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
  Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Standard Chartered Bank  7/2/2026   33,147  USD  25,000  GBP   $   $(34)
Royal Bank of Canada  7/2/2026   25,781  USD  250,000  SEK        (50)
                    $   $(84)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $87,170,117   $   $   $87,170,117 
Rights   2,961            2,961 
Mutual Fund       13,946        13,946 
Investment of Cash Collateral for Securities Loaned       2,272,178        2,272,178 
Total Investments in Securities  $87,173,078   $2,286,124   $   $89,459,202 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(84)  $   $(84)
Total - Net  $87,173,078   $2,286,040   $   $89,459,118 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Europe Hedged Equity Fund (HEDJ)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.0%
Austria — 0.7%      
ANDRITZ AG     117,458     $ 10,152,305  
Palfinger AG     66,375       2,416,986  
Total Austria             12,569,291  
Belgium — 4.7%                
Anheuser-Busch InBev SA     610,838       50,743,647  
Barco NV     142,386       1,365,807  
Bekaert SA     93,240       4,162,781  
Fagron     84,127       2,317,996  
Melexis NV     70,859       6,327,123  
Solvay SA(a)     184,089       5,531,125  
Syensqo SA     87,649       6,473,508  
UCB SA     34,344       10,287,561  
Total Belgium             87,209,548  
Brazil — 0.2%                
Pluxee NV     264,281       3,465,689  
Finland — 4.5%                
Hiab OYJ, Class B     87,626       5,555,137  
Huhtamaki OYJ     239,543       7,197,292  
Kalmar OYJ, Class B     92,771       4,075,021  
Kemira OYJ     264,642       4,965,095  
Kone OYJ, Class B     376,414       21,414,423  
Konecranes OYJ     266,966       8,204,374  
Metso OYJ     704,745       12,247,172  
Valmet OYJ(a)     251,128       6,063,862  
Wartsila OYJ Abp     345,661       13,191,584  
Total Finland             82,913,960  
France — 15.8%                
Accor SA     20,294       1,179,596  
Air Liquide SA     135,753       26,894,168  
Airbus SE     80,566       17,919,296  
BioMerieux     5,353       420,450  
Cie Generale des Etablissements Michelin SCA     276,073       10,652,657  
Danone SA     326,748       26,799,985  
Dassault Systemes SE     68,561       1,396,443  
EssilorLuxottica SA     73,581       13,800,733  
Hermes International SCA     8,976       16,399,094  
Ipsen SA     4,288       827,537  
Kering SA     15,759       4,455,670  
Legrand SA     44,152       7,455,746  
L'Oreal SA     134,134       58,834,805  
LVMH Moet Hennessy Louis Vuitton SE     136,818       75,724,874  
Nexans SA     4,016       667,144  
Opmobility     14,574       227,276  
Publicis Groupe SA     77,117       7,622,994  
Safran SA     37,281       14,705,063  
SCOR SE     90,788       3,294,546  
Technip Energies NV     16,039       607,334  
Valeo SE     42,531       623,138  
Vallourec SACA*     18,095       423,898  
Vicat SACA     7,383       536,003  
Total France             291,468,450  
Germany — 21.8%                
adidas AG     23,189       4,756,250  
AIXTRON SE     9,557       574,953  
BASF SE     668,737       35,766,448  
Bayer AG, Registered Shares     72,646       4,020,750  
Bayerische Motoren Werke AG     431,272       28,233,378  
Beiersdorf AG     25,019       2,155,042  
Continental AG     127,786       10,542,413  
Daimler Truck Holding AG     621,569       29,989,004  
Deutsche Telekom AG, Registered Shares     2,248,410       61,308,985  
Eckert & Ziegler SE     3,032       52,933  
Elmos Semiconductor SE     982       202,539  
Fresenius Medical Care AG     101,521       4,596,331  
GEA Group AG     37,743       2,591,252  
Hannover Rueck SE     63,899       17,708,710  
Heidelberg Materials AG     61,751       11,783,127  
Henkel AG & Co. KGaA     95,475       7,553,635  
HochTief AG     28,464       16,499,247  
Hugo Boss AG     9,431       405,097  
Infineon Technologies AG     173,080       16,161,054  
Knorr-Bremse AG     33,926       3,940,820  
MTU Aero Engines AG     1,995       830,014  
SAP SE     168,566       25,824,684  
Schaeffler AG     385,750       3,739,918  
Siemens AG, Registered Shares     249,766       80,284,488  
Siemens Healthineers AG(b)     301,725       11,797,708  
Symrise AG     14,264       1,432,171  
Talanx AG     140,699       17,791,247  
Total Germany             400,542,198  
Ireland — 0.9%                
Glanbia PLC     322,085       9,007,146  
Kerry Group PLC, Class A     76,761       7,051,585  
Total Ireland             16,058,731  
Italy — 6.1%                
Brembo NV     536,599       6,282,175  
Brunello Cucinelli SpA(a)     42,890       4,050,385  
Carel Industries SpA(b)     157,217       5,706,942  
DiaSorin SpA(a)     57,817       4,479,084  
El.En. SpA     131,361       2,563,659  
Ferrari NV     34,724       12,876,679  
Ferretti SpA(a)     468,133       1,593,875  
Leonardo SpA     145,018       7,780,122  
Maire SpA     373,850       6,120,694  
Moncler SpA     170,047       9,872,381  
Pirelli & C SpA*(b)     1,482,036       11,208,535  
Prysmian SpA     79,175       13,220,561  
Reply SpA     28,688       2,999,468  
Saipem SpA(a)     3,787,702       19,093,086  
Webuild SpA(a)     1,363,726       3,551,739  
Total Italy             111,399,385  
Netherlands — 16.5%                
Akzo Nobel NV     140,244       9,514,634  
AMG Critical Materials NV     56,233       2,104,894  
Arcadis NV     90,099       3,463,203  
ASM International NV     10,171       11,634,319  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Europe Hedged Equity Fund (HEDJ)
June 30, 2026

 

 

Investments   Shares     Value  
ASML Holding NV     72,315     $ 142,321,472  
BE Semiconductor Industries NV     41,866       13,742,157  
Corbion NV     88,828       2,045,359  
Havas NV     179,848       3,505,825  
Heineken Holding NV     181,070       13,818,408  
Heineken NV     284,690       23,955,777  
Koninklijke Ahold Delhaize NV     519,717       20,927,460  
Koninklijke Philips NV     719,079       19,533,644  
Koninklijke Vopak NV     141,894       7,404,060  
SBM Offshore NV     253,655       8,798,715  
Universal Music Group NV     719,675       15,082,006  
Wolters Kluwer NV     101,655       6,559,579  
Total Netherlands             304,411,512  
Portugal — 0.2%                
Altri SGPS SA(a)     319,860       1,737,056  
Mota-Engil SGPS SA(a)     476,462       2,540,663  
Total Portugal             4,277,719  
Spain — 17.8%                
ACS Actividades de Construccion y Servicios SA     227,859       33,527,793  
Amadeus IT Group SA     199,355       11,642,286  
Banco Bilbao Vizcaya Argentaria SA     4,727,427       118,204,457  
Banco Santander SA     6,461,722       89,272,814  
CIE Automotive SA     244,422       7,447,281  
Ebro Foods SA     293,530       6,000,401  
Elecnor SA     156,826       7,127,142  
Fluidra SA     252,606       5,718,328  
Gestamp Automocion SA(b)     1,330,728       4,343,658  
Grifols SA     424,615       4,349,743  
Mapfre SA     4,647,198       23,005,904  
Prosegur Cash SA(a)(b)     2,308,505       1,670,686  
Prosegur Cia de Seguridad SA     966,883       2,990,208  
Puig Brands SA, Class B     391,139       7,213,163  
Viscofan SA     84,612       5,649,435  
VISCOFAN SA*     2,644       176,537  
Total Spain             328,339,836  
United States — 9.8%                
Acerinox SA(a)     453,380       7,946,296  
Aegon Ltd.     2,128,238       18,098,251  
Ferrovial NV(a)     329,642       22,605,246  
QIAGEN NV     7,201       279,096  
Sanofi SA     749,050       64,297,681  
Schneider Electric SE     112,299       36,642,922  
Signify NV(a)(b)     215,151       4,105,442  
Tenaris SA     983,531       27,223,445  
Total United States             181,198,379  
TOTAL COMMON STOCKS                
                 
(Cost: $1,285,385,689)             1,823,854,698  
RIGHTS — 0.1%                
Spain — 0.1%                
ACS Actividades de Construccion y Servicios SA*                
                 
(Cost: $468,605)     219,854       461,746  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $795,390)     795,390     $ 795,390  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 2.4%                
United States — 2.4%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     23,080,433       23,080,433  
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)     21,500,000       21,500,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
                 
(Cost: $44,580,433)             44,580,433  
TOTAL INVESTMENTS IN SECURITIES — 101.5%
(Cost: $1,331,230,117)
            1,869,692,267  
Other Liabilities less Assets — (1.5)%             (27,034,916 )
NET ASSETS — 100.0%           $ 1,842,657,351  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $44,707,049 and the total market value of the collateral held by the Fund was $46,393,680. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,813,247.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.
(d)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

CURRENCY ABBREVIATIONS:

EUR Euro
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Europe Hedged Equity Fund (HEDJ)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $11,100,000   $71,900,000   $61,500,000   $   $   $21,500,000   $140,871 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Deutsche Bank AG  7/3/2026   316,359,678  EUR    361,705,092  USD   $3,551   $ 
Deutsche Bank AG  7/3/2026   368,002,319  USD    314,926,497  EUR    7,932,297     
Deutsche Bank AG  8/5/2026   365,018,410  USD    318,830,406  EUR        (4,232)
Goldman Sachs  7/3/2026   316,359,952  EUR    361,705,090  USD    3,868     
Goldman Sachs  8/5/2026   365,018,410  USD    318,830,963  EUR        (4,870)
HSBC Holdings PLC  7/3/2026   27,671,655  EUR    31,486,137  USD    152,145     
HSBC Holdings PLC  7/3/2026   368,002,319  USD    314,925,958  EUR    7,932,914     
JPMorgan Chase Bank NA  7/3/2026   316,359,373  EUR    361,705,092  USD    3,203     
JPMorgan Chase Bank NA  7/3/2026   368,002,319  USD    314,927,709  EUR    7,930,911     
JPMorgan Chase Bank NA  8/5/2026   365,018,410  USD    318,831,213  EUR        (5,156)
Morgan Stanley & Co. International  7/3/2026   316,359,678  EUR    361,705,092  USD    3,551     
Morgan Stanley & Co. International  7/3/2026   368,002,319  USD    314,926,362  EUR    7,932,452     
Morgan Stanley & Co. International  8/5/2026   365,018,410  USD    318,830,963  EUR        (4,870)
Royal Bank of Canada  7/3/2026   316,372,406  EUR    361,705,092  USD    18,105     
Royal Bank of Canada  7/3/2026   368,002,319  USD    314,941,859  EUR    7,914,733     
Royal Bank of Canada  8/5/2026   365,018,410  USD    318,844,330  EUR        (20,174)
                      $39,827,730   $(39,302)

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Europe Hedged Equity Fund (HEDJ)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $1,823,854,698   $   $   $1,823,854,698 
Rights   461,746            461,746 
Mutual Fund       795,390        795,390 
Investment of Cash Collateral for Securities Loaned       44,580,433        44,580,433 
Total Investments in Securities  $1,824,316,444   $45,375,823   $   $1,869,692,267 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $39,827,730   $   $39,827,730 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(39,302)  $   $(39,302)
Total - Net  $1,824,316,444   $85,164,251   $   $1,909,480,695 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Europe Quality Dividend Growth Fund (EUDG)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 98.8%
Austria — 2.7%      
ANDRITZ AG     1,591     $ 137,516  
BAWAG Group AG(a)     2,024       405,651  
Erste Group Bank AG     5,801       776,640  
Kontron AG*     781       20,734  
Raiffeisen Bank International AG     6,710       428,456  
Wienerberger AG     1,615       41,729  
Total Austria             1,810,726  
Belgium — 0.4%                
Solvay SA(b)     3,259       97,920  
Syensqo SA     886       65,437  
UCB SA     381       114,127  
Total Belgium             277,484  
Brazil — 0.1%                
Pluxee NV     5,956       78,105  
Chile — 0.3%                
Antofagasta PLC     3,807       193,018  
China — 0.2%                
Prosus NV*     3,797       164,919  
Denmark — 2.9%                
D/S Norden AS     581       24,420  
ISS AS     1,243       50,876  
Novo Nordisk AS, Class B     36,218       1,742,763  
Pandora AS     716       82,201  
Royal Unibrew AS     554       36,555  
Total Denmark             1,936,815  
Finland — 0.7%                
Kone OYJ, Class B     4,928       280,357  
Konecranes OYJ     2,208       67,856  
Sanoma OYJ     2,743       26,531  
Valmet OYJ     3,347       80,819  
Total Finland             455,563  
France — 13.9%                
Accor SA     2,693       156,532  
Air Liquide SA     4,111       814,434  
Airbus SE     2,631       585,181  
BioMerieux     366       28,747  
Bouygues SA     6,856       382,596  
Bureau Veritas SA     5,164       158,109  
Cie Generale des Etablissements Michelin SCA     11,473       442,702  
Dassault Aviation SA     483       158,596  
Edenred SE     8,477       218,064  
Eiffage SA     1,416       209,002  
Etablissements Maurel & Prom SA     5,860       52,191  
Hermes International SCA     283       517,039  
Interparfums SA     1,344       38,968  
Kering SA     854       241,458  
Legrand SA     1,415       238,945  
L'Oreal SA     3,358       1,472,910  
LVMH Moet Hennessy Louis Vuitton SE     4,053       2,243,220  
Nexans SA     399       66,282  
Opmobility     2,708       42,230  
Rexel SA     4,601       200,997  
Safran SA     1,377       543,142  
Technip Energies NV     1,454       55,057  
Thales SA     1,001       257,271  
Valeo SE     3,937       57,683  
Vallourec SACA*     7,788       182,443  
Total France             9,363,799  
Georgia — 0.5%                
Lion Finance Group PLC     1,429       214,889  
TBC Bank Group PLC     2,292       134,824  
Total Georgia             349,713  
Germany — 10.7%                
adidas AG     668       137,012  
Aurubis AG(b)     253       52,413  
Bechtle AG     1,032       36,553  
Bilfinger SE     365       33,530  
Continental AG     2,378       196,186  
CTS Eventim AG & Co. KGaA     767       44,766  
Daimler Truck Holding AG     15,107       728,871  
Deutsche Lufthansa AG, Registered Shares     18,131       207,499  
Deutsche Post AG, Registered Shares     19,356       1,175,088  
Deutsche Telekom AG, Registered Shares     50,881       1,387,408  
Deutz AG     1,614       16,137  
Fielmann Group AG     787       38,511  
flatexDEGIRO SE     2,770       118,760  
GEA Group AG     1,178       80,876  
Heidelberg Materials AG     1,032       196,923  
Hensoldt AG     259       20,065  
HochTief AG     525       304,318  
Hugo Boss AG     945       40,591  
Infineon Technologies AG     4,912       458,650  
Knorr-Bremse AG     1,272       147,755  
Krones AG     298       38,227  
Nemetschek SE     385       23,373  
RENK Group AG     247       11,910  
Rheinmetall AG     79       89,463  
RWE AG     6,774       438,506  
SAP SE     4,189       641,764  
Scout24 SE(a)     456       37,719  
Sixt SE     436       31,753  
Stroeer SE & Co. KGaA     1,120       43,665  
Traton SE     10,971       416,182  
Wacker Neuson SE     1,029       22,000  
Total Germany             7,216,474  
Ireland — 0.5%                
Bank of Ireland Group PLC     17,574       350,109  
Israel — 0.4%                
Energean PLC     6,923       62,804  
Plus500 Ltd.     2,876       182,689  
Total Israel             245,493  
Italy — 2.2%                
Alerion Cleanpower SpA     859       21,164  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Europe Quality Dividend Growth Fund (EUDG)
June 30, 2026

 

 

Investments   Shares     Value  
Brembo NV     4,386     $ 51,348  
Brunello Cucinelli SpA(b)     333       31,447  
Coca-Cola HBC AG*     3,335       217,778  
DiaSorin SpA(b)     406       31,453  
Ferrari NV     609       225,835  
Leonardo SpA     2,087       111,966  
Maire SpA     3,496       57,237  
Moltiply Group SpA     1,599       62,065  
Moncler SpA     2,534       147,116  
Prysmian SpA     998       166,645  
Recordati Industria Chimica & Farmaceutica SpA     2,008       117,772  
Ryanair Holdings PLC     6,321       197,653  
Technogym SpA(a)     2,194       38,128  
Total Italy             1,477,607  
Luxembourg — 0.2%                
APERAM SA     1,752       85,250  
Eurofins Scientific SE     723       56,672  
Total Luxembourg             141,922  
Netherlands — 7.5%                
Arcadis NV     713       27,406  
ASM International NV     114       130,401  
ASML Holding NV     1,023       2,013,343  
Heineken Holding NV     3,190       243,446  
ING Groep NV     57,061       1,805,131  
Koninklijke BAM Groep NV     3,250       45,592  
Koninklijke Heijmans NV     329       42,881  
Koninklijke KPN NV     59,739       294,781  
Koninklijke Vopak NV     1,850       96,533  
Universal Music Group NV     13,889       291,068  
Wolters Kluwer NV     1,679       108,342  
Total Netherlands             5,098,924  
Nigeria — 0.2%                
Airtel Africa PLC(a)     26,858       116,781  
Norway — 1.0%                
Austevoll Seafood ASA     5,428       42,511  
Borregaard ASA     1,501       22,601  
Europris ASA(a)     3,222       28,751  
Frontline PLC     3,726       129,302  
Kongsberg Gruppen ASA     4,592       138,426  
Leroy Seafood Group ASA     12,769       49,422  
Mowi ASA     5,525       102,063  
Norwegian Air Shuttle ASA     23,183       34,533  
Stolt-Nielsen Ltd.     1,754       51,669  
TOMRA Systems ASA     2,055       19,749  
Veidekke ASA     4,129       79,113  
Total Norway             698,140  
Portugal — 0.7%                
Banco Comercial Portugues SA, Class R     306,961       363,232  
Corticeira Amorim SGPS SA     2,990       21,844  
Jeronimo Martins SGPS SA     5,859       112,268  
Total Portugal             497,344  
Spain — 7.2%                
Amadeus IT Group SA     3,139       183,317  
Banco Bilbao Vizcaya Argentaria SA     89,630       2,241,106  
Faes Farma SA     6,656       34,929  
Gestamp Automocion SA(a)     7,639       24,935  
Indra Sistemas SA     499       27,339  
Industria de Diseno Textil SA     36,179       2,279,953  
Puig Brands SA, Class B     1,764       32,531  
Viscofan SA     716       47,806  
VISCOFAN SA*     22       1,469  
Total Spain             4,873,385  
Sweden — 6.1%                
AAK AB(b)     1,985       46,968  
AddTech AB, Class B     1,311       46,246  
Assa Abloy AB, Class B     6,683       236,436  
Atea ASA*     2,982       52,073  
Atlas Copco AB, Class B     10,796       191,532  
Atlas Copco AB, Class A     20,319       411,811  
Axfood AB     2,614       69,522  
Betsson AB, Class B     2,570       22,492  
Bilia AB, Class A     2,244       33,597  
Billerud AB     3,917       25,336  
Bravida Holding AB(a)     3,522       44,980  
Elekta AB, Class B     7,706       39,349  
Epiroc AB, Class A     5,225       143,553  
Epiroc AB, Class B     2,943       68,359  
EQT AB     7,868       222,752  
Granges AB     1,445       25,621  
Hexpol AB     7,259       54,190  
Indutrade AB     1,743       36,091  
Lifco AB, Class B     1,392       45,651  
Loomis AB     1,013       49,739  
Munters Group AB(a)     1,371       24,422  
Mycronic AB     1,661       55,126  
Peab AB, Class B     4,460       41,982  
Saab AB, Class B     1,006       52,264  
Sandvik AB     9,385       387,787  
SKF AB, Class B     5,098       131,056  
Sweco AB, Class B     3,112       40,869  
Tele2 AB, Class B     9,569       166,748  
Thule Group AB(a)     1,814       38,611  
Trelleborg AB, Class B     1,615       67,349  
Volvo AB, Class B     37,157       1,265,038  
Total Sweden             4,137,550  
Switzerland — 8.9%                
ABB Ltd., Registered Shares     6,734       731,127  
Belimo Holding AG, Registered Shares     23       25,947  
Geberit AG, Registered Shares     62       41,490  
Kuehne & Nagel International AG, Registered Shares     1,205       292,716  
Logitech International SA, Registered Shares     341       32,018  
Nestle SA, Registered Shares     32,076       3,303,631  
Partners Group Holding AG     276       226,576  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Europe Quality Dividend Growth Fund (EUDG)
June 30, 2026

 

 

Investments   Shares     Value  
Schindler Holding AG, Participation Certificate     89     $ 29,569  
SGS SA, Registered Shares     536       62,275  
Sika AG, Registered Shares     270       55,814  
Sonova Holding AG, Registered Shares     123       29,292  
Straumann Holding AG, Registered Shares     310       40,890  
UBS Group AG, Registered Shares     21,735       1,079,407  
VAT Group AG(a)     52       45,525  
Total Switzerland             5,996,277  
United Kingdom — 16.3%                
AJ Bell PLC     16,112       130,767  
AstraZeneca PLC     9,432       1,765,125  
Autotrader Group PLC(a)     4,368       28,935  
B&M European Value Retail PLC     44,191       114,314  
BAE Systems PLC     18,046       441,666  
Bridgepoint Group PLC(a)     34,042       118,558  
Bytes Technology Group PLC     5,563       27,910  
Centrica PLC     49,005       111,124  
Coats Group PLC     32,461       33,584  
Compass Group PLC     10,243       330,849  
Games Workshop Group PLC     425       121,841  
GSK PLC     51,098       1,343,510  
Halma PLC     1,114       58,166  
Hiscox Ltd.     7,540       184,838  
Howden Joinery Group PLC     6,022       66,939  
IMI PLC     1,782       70,103  
Imperial Brands PLC     16,384       606,486  
Inchcape PLC     5,296       54,194  
IntegraFin Holdings PLC     15,179       71,419  
International Consolidated Airlines Group SA     31,580       200,142  
Intertek Group PLC     1,867       143,846  
JD Sports Fashion PLC     21,861       24,582  
Lancashire Holdings Ltd.     9,308       79,745  
Lloyds Banking Group PLC     865,049       1,275,579  
Man Group PLC     43,570       168,974  
Marks & Spencer Group PLC     6,996       34,542  
Mitie Group PLC     19,511       38,689  
MONY Group PLC     14,366       35,313  
Next PLC     874       168,724  
RELX PLC     11,518       361,696  
Rightmove PLC     4,674       27,184  
Rolls-Royce Holdings PLC     26,194       502,229  
Rotork PLC     10,530       41,285  
RS Group PLC     7,874       60,771  
Sage Group PLC     6,564       71,090  
Softcat PLC     2,328       56,544  
Spirax Group PLC     716       64,954  
SSE PLC     13,172       425,874  
Telecom Plus PLC     1,025       10,108  
Unilever PLC     25,316       1,521,269  
Weir Group PLC     1,404       44,798  
Total United Kingdom             11,038,266  
United States — 15.2%                
BP PLC     306,542       1,900,432  
Experian PLC     4,217       142,332  
Ferrovial NV     3,895       267,100  
Holcim AG, Registered Shares*     1,962       177,265  
InterContinental Hotels Group PLC     823       141,762  
Novartis AG, Registered Shares     21,894       3,435,619  
Roche Holding AG, Bearer Shares     616       259,031  
Roche Holding AG     7,146       2,948,229  
Schneider Electric SE     3,027       987,703  
Total United States             10,259,473  
TOTAL COMMON STOCKS                
                 
(Cost: $54,945,912)             66,777,887  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $59,103)     59,103       59,103  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.2%                
United States — 0.2%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)                
                 
(Cost: $115,415)     115,415       115,415  
TOTAL INVESTMENTS IN SECURITIES — 99.1%
(Cost: $55,120,430)
            66,952,405  
Other Assets less Liabilities — 0.9%             588,591  
NET ASSETS — 100.0%           $ 67,540,996  
         

 

* Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $254,382 and the total market value of the collateral held by the Fund was $267,930. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $152,515.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Europe Quality Dividend Growth Fund (EUDG)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $66,777,887   $   $   $66,777,887 
Mutual Fund       59,103        59,103 
Investment of Cash Collateral for Securities Loaned       115,415        115,415 
Total Investments in Securities  $66,777,887   $174,518   $   $66,952,405 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)

WisdomTree Europe SmallCap Dividend Fund (DFE)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 98.6%
Austria — 1.1%    
Kontron AG*   15,579   $413,582 
Palfinger AG   9,664    351,906 
Porr AG   10,909    551,897 
SBO AG(a)   11,273    371,187 
Total Austria        1,688,572 
Belgium — 2.8%          
Barco NV   37,515    359,855 
Bekaert SA   27,427    1,224,502 
Deceuninck NV   52,484    131,111 
EVS   3,202    100,124 
Fagron   12,519    344,943 
Ion Beam Applications   7,380    142,594 
Kinepolis Group NV(a)   4,911    199,043 
Montea NV   11,886    909,122 
Retail Estates NV*   9,770    767,382 
Tessenderlo Group SA   14,183    313,606 
Total Belgium        4,492,282 
Denmark — 1.0%          
Cementir Holding NV(a)   29,947    498,169 
Chemometec AS   1,925    106,644 
D/S Norden AS   10,094    424,263 
Matas AS(a)   6,406    86,027 
Per Aarsleff Holding AS   3,815    430,048 
Total Denmark        1,545,151 
Finland — 3.2%          
Aktia Bank OYJ   28,688    369,973 
F-Secure OYJ   51,432    121,132 
Harvia OYJ(a)   4,220    200,709 
Marimekko OYJ(a)   13,686    164,921 
Nokian Renkaat OYJ(a)   46,070    630,482 
Oma Saastopankki OYJ   11,566    152,334 
Outokumpu OYJ   289,621    1,667,208 
Pihlajalinna OYJ   8,267    99,242 
Puuilo OYJ   41,809    858,492 
Raisio OYJ, Class V   37,384    109,204 
Sanoma OYJ   15,408    149,031 
Terveystalo OYJ(a)(b)   62,509    547,434 
Total Finland        5,070,162 
France — 5.1%          
ABC arbitrage   34,193    202,500 
Antin Infrastructure Partners SA   32,523    328,703 
Bonduelle SCA   8,146    70,781 
Cie des Alpes   24,987    629,916 
Derichebourg SA   32,235    351,406 
Etablissements Maurel & Prom SA   126,391    1,125,677 
GL Events SACA   13,286    509,621 
IPSOS SA   23,009    916,508 
Kaufman & Broad SA   14,258    392,043 
Lectra   7,031    137,941 
LISI SA   5,324    399,911 
Louis Hachette Group   80,081    159,949 
Mersen SA   7,877    375,181 
Opmobility   67,316   1,049,767 
Planisware SA   11,438    237,741 
Pullup Entertainment(a)   6,437    58,802 
Quadient SA   18,147    244,820 
Television Francaise 1 SA(a)   115,078    876,248 
Total France        8,067,515 
Germany — 6.7%          
AIXTRON SE   13,200    794,118 
Alzchem Group AG   1,743    345,945 
Borussia Dortmund GmbH & Co. KGaA(a)   22,264    76,363 
Cancom SE   12,962    344,552 
Dermapharm Holding SE   14,335    772,751 
Deutz AG   27,506    275,009 
Eckert & Ziegler SE   6,571    114,718 
Elmos Semiconductor SE   3,353    691,561 
Friedrich Vorwerk Group SE   1,350    104,029 
Indus Holding AG   12,788    377,941 
MLP SE   53,083    443,643 
Mutares SE & Co. KGaA   14,983    465,938 
Nagarro SE   2,946    251,602 
PNE AG   6,762    84,886 
ProCredit Holding AG   37,377    348,702 
ProSiebenSat.1 Media SE   20,467    78,624 
SAF-Holland SE   27,525    637,254 
Salzgitter AG   3,854    199,428 
Sirius Real Estate Ltd.   802,869    1,030,442 
Softwareone Holding AG*(a)   83,607    808,448 
Stroeer SE & Co. KGaA   32,135    1,252,832 
SUSS MicroTec SE   1,685    179,257 
Vossloh AG   3,320    238,563 
Wacker Neuson SE   21,473    459,087 
Wuestenrot & Wuerttembergische AG   10,619    177,254 
Total Germany        10,552,947 
Ireland — 1.1%          
C&C Group PLC   140,063    174,745 
Cairn Homes PLC   284,380    803,075 
Cosmo NV   5,059    417,063 
Greencore Group PLC   53,494    141,219 
Origin Enterprises PLC   39,274    186,792 
Uniphar PLC   20,529    104,445 
Total Ireland        1,827,339 
Israel — 1.1%          
Energean PLC   186,318    1,690,230 
Italy — 4.6%          
Alerion Cleanpower SpA   17,510    431,413 
Arnoldo Mondadori Editore SpA   167,942    386,896 
Ascopiave SpA   57,824    194,364 
Banco di Desio e della Brianza SpA   60,973    925,755 
BasicNet SpA   13,357    107,356 
Datalogic SpA   16,752    111,468 
El.En. SpA   15,783    308,023 
Equita Group SpA   29,571    197,104 
Esprinet SpA   33,583    257,825 
Ferretti SpA(a)   120,776    411,212 
Fiera Milano SpA   29,698    286,569 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Europe SmallCap Dividend Fund (DFE)

June 30, 2026

 

 

Investments  Shares   Value 
Fila SpA   16,161   $169,987 
Garofalo Health Care SpA   17,488    106,368 
Gas Plus SpA   22,516    145,703 
GPI SpA(a)   12,798    215,675 
Immobiliare Grande Distribuzione SIIQ SpA   45,671    220,089 
Moltiply Group SpA   3,241    125,800 
Orsero SpA   7,161    125,591 
OVS SpA(b)   65,363    451,740 
RAI Way SpA(b)   138,850    803,261 
Revo Insurance SpA(a)   4,870    146,435 
Rizzoli Corriere Della Sera Mediagroup SpA   104,190    111,378 
Sanlorenzo SpA   10,411    426,124 
Sesa SpA   1,975    202,657 
Sogefi SpA*   105,458    248,374 
Wiit SpA   4,530    178,681 
Total Italy        7,295,848 
Luxembourg — 1.5%          
APERAM SA   48,134    2,342,145 
Netherlands — 5.2%          
Acomo NV   15,565    401,288 
AMG Critical Materials NV   4,155    155,529 
Brunel International NV(a)   32,256    243,028 
Corbion NV   21,961    505,675 
Eurocommercial Properties NV   32,227    1,005,872 
ForFarmers NV   62,178    442,168 
Havas NV   55,939    1,090,434 
Kendrion NV   5,720    128,308 
Koninklijke BAM Groep NV   78,792    1,105,317 
Koninklijke Heijmans NV   10,860    1,415,451 
PostNL NV(a)   331,315    348,300 
Sligro Food Group NV   20,940    270,530 
Wereldhave NV   47,917    1,090,192 
Total Netherlands        8,202,092 
Norway — 14.6%          
AF Gruppen ASA   15,166    296,408 
Austevoll Seafood ASA   90,126    705,853 
Borregaard ASA   21,154    318,523 
Bouvet ASA   47,360    205,559 
BW Offshore Ltd.   61,556    272,462 
Deep Value Driller AS   168,552    349,181 
DOF Group ASA   223,528    2,568,353 
Elmera Group ASA(b)   70,675    332,109 
Elopak ASA   85,604    304,076 
Europris ASA(b)   59,069    527,087 
Hoegh Autoliners ASA   275,467    4,033,669 
Kid ASA(b)   23,243    280,452 
Kitron ASA   16,136    173,989 
Klaveness Combination Carriers ASA(b)   42,062    370,654 
Moreld AS*   69,534    132,807 
Multiconsult ASA(b)   15,343    224,823 
NORBIT ASA   16,647    284,642 
Norconsult Norge AS   160,124    582,534 
Norwegian Air Shuttle ASA   868,225    1,293,278 
Odfjell Drilling Ltd.   196,613   1,665,016 
Odfjell SE, Class A   35,844    377,439 
Pareto Bank ASA   22,551    154,966 
Pexip Holding ASA*   54,038    429,224 
Reach Subsea ASA*   158,818    78,322 
SpareBank 1 Nord Norge   68,363    1,057,000 
SpareBank 1 Oestlandet   21,997    420,756 
SpareBank 1 SMN   71,090    1,350,606 
Sparebanken More   7,146    78,237 
Sparebanken Norge   83,895    1,575,569 
Stolt-Nielsen Ltd.   42,144    1,241,471 
Veidekke ASA   42,114    806,914 
Wilh Wilhelmsen Holding ASA, Class A   9,935    689,742 
Total Norway        23,181,721 
Peru — 0.2%          
Hochschild Mining PLC   46,232    283,858 
Portugal — 4.2%          
Altri SGPS SA(a)   129,393    702,691 
Corticeira Amorim SGPS SA   73,511    537,048 
CTT-Correios de Portugal SA   29,361    194,193 
Mota-Engil SGPS SA(a)   77,456    413,023 
NOS SGPS SA   421,989    2,434,011 
REN - Redes Energeticas Nacionais SGPS SA   464,387    2,004,275 
Semapa-Sociedade de Investimento & Gestao   17,870    414,745 
Total Portugal        6,699,986 
South Africa — 0.4%          
Pan African Resources PLC   510,024    646,467 
Spain — 5.4%          
Almirall SA   32,368    416,691 
ATALAYA MINING COPPER SA   17,451    189,116 
Befesa SA(b)   7,781    265,546 
Construcciones y Auxiliar de Ferrocarriles SA   12,374    898,347 
Elecnor SA   66,068    3,002,538 
Faes Farma SA   114,327    599,959 
Gestamp Automocion SA(b)   184,773    603,122 
Global Dominion Access SA(b)   45,529    155,119 
Grupo Empresarial San Jose SA   20,393    208,206 
Linea Directa Aseguradora SA Cia de Seguros y Reaseguros   198,896    273,332 
Melia Hotels International SA   44,558    618,960 
Metrovacesa SA*(b)   14,943    193,053 
Pharma Mar SA*   1,717    148,112 
Prosegur Cash SA(b)   380,139    275,110 
Prosegur Cia de Seguridad SA   134,345    415,479 
Tubacex SA(a)   73,470    281,394 
Total Spain        8,544,084 
Sweden — 13.4%          
AcadeMedia AB(b)   34,558    359,929 
AddLife AB, Class B   9,273    156,560 
Addnode Group AB   13,614    57,674 
Alimak Group AB(b)   29,677    364,287 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Europe SmallCap Dividend Fund (DFE)

June 30, 2026

 

 

Investments  Shares   Value 
Alleima AB   77,372   $709,112 
Alligo AB, Class B   7,619    104,860 
Ambea AB(b)   15,760    243,447 
AQ Group AB   7,380    167,607 
Arjo AB, Class B   81,673    207,428 
Atea ASA*   54,754    956,141 
Attendo AB(b)   27,757    351,904 
Bahnhof AB, Class B*   43,743    235,028 
Beijer Alma AB   12,218    374,942 
Bergman & Beving AB   2,707    81,533 
Betsson AB, Class B   60,780    531,927 
Bilia AB, Class A   47,696    714,098 
Billerud AB   107,900    697,916 
BioGaia AB, Class B   66,038    797,657 
Bravida Holding AB(b)   81,727    1,043,738 
Bufab AB   18,939    248,133 
Clas Ohlson AB, Class B   17,779    786,247 
Cloetta AB, Class B   130,165    661,440 
Coor Service Management Holding AB(b)   24,873    129,914 
Corem Property Group AB, Class B(a)   295,328    71,649 
Dios Fastigheter AB   46,855    310,571 
Duni AB   22,511    183,984 
Electrolux Professional AB, Class B   33,792    147,868 
Elekta AB, Class B   192,278    981,838 
Engcon AB(a)   13,178    83,468 
Fagerhult Group AB   32,303    57,409 
FastPartner AB, Class A   39,681    156,007 
Ferronordic AB*   12,821    81,339 
Granges AB   28,822    511,033 
Heba Fastighets AB, Class B   28,265    70,530 
Hemnet Group AB   6,009    45,697 
Intea Fastigheter AB*   16,272    123,913 
INVISIO AB   3,860    81,762 
Inwido AB   16,863    250,728 
Lindab International AB   21,158    284,857 
MIPS AB   5,474    146,039 
Morrow Bank AB*(a)   91,747    111,862 
Munters Group AB(b)   25,901    461,383 
NCC AB, Class B   56,966    1,122,468 
New Wave Group AB, Class B   29,649    279,238 
Nolato AB, Class B   60,463    303,935 
Note AB*   10,119    164,779 
NP3 Fastigheter AB   12,877    354,584 
Nyab AB   135,358    82,237 
OEM International AB, Class B   13,139    226,718 
Paradox Interactive AB   19,924    271,949 
Peab AB, Class B   91,393    860,278 
Platzer Fastigheter Holding AB, Class B   29,523    208,958 
Ratos AB, Class B   83,526    286,873 
RaySearch Laboratories AB   5,529    125,683 
Rejlers AB   4,818    70,193 
Rusta AB   36,357    301,656 
Rvrc Holding AB   29,020    169,116 
Scandi Standard AB   19,221    288,767 
Scandic Hotels Group AB(b)   65,140    607,439 
SkiStar AB   13,490    221,763 
Svedbergs Group AB(a)   18,710    124,693 
Synsam AB   47,521   265,147 
Systemair AB   34,662    294,039 
Troax Group AB   14,617    155,260 
Truecaller AB, Class B(a)   25,305    36,840 
VBG Group AB, Class B   4,720    154,844 
Zinzino AB, Class B(a)   10,049    138,823 
Total Sweden        21,259,739 
Switzerland — 0.7%          
Comet Holding AG, Registered Shares   585    296,616 
Implenia AG, Registered Shares   2,157    190,658 
Landis & Gyr Group AG*   5,564    298,669 
Vetropack Holding AG, Registered Shares   6,069    135,577 
Zehnder Group AG   1,814    140,325 
Total Switzerland        1,061,845 
United Kingdom — 26.3%          
Advanced Medical Solutions Group PLC   28,529    106,022 
AG Barr PLC   43,584    366,170 
AJ Bell PLC   141,205    1,146,038 
Alfa Financial Software Holdings PLC(b)   123,648    253,717 
Avon Technologies PLC   3,251    74,043 
Baltic Classifieds Group PLC   53,680    134,015 
Bloomsbury Publishing PLC   26,635    219,531 
Bodycote PLC   59,568    524,969 
BRCK Group PLC   192,066    126,185 
Brooks Macdonald Group PLC   8,362    138,731 
BTG Consulting PLC   91,706    140,583 
Bytes Technology Group PLC   118,133    592,673 
Card Factory PLC   185,867    165,530 
Chemring Group PLC   35,329    240,079 
Chesnara PLC   176,589    775,790 
City of London Investment Group PLC   43,870    260,854 
Clarkson PLC   9,071    501,565 
CMC Markets PLC(b)   145,998    887,493 
Coats Group PLC   564,552    584,080 
Cohort PLC(a)   4,872    79,536 
Costain Group PLC   37,076    102,109 
Craneware PLC   7,655    136,958 
Currys PLC   120,096    254,398 
CVS Group PLC   5,117    79,665 
DiscoverIE Group PLC   17,118    153,586 
Domino's Pizza Group PLC   224,930    540,653 
Dr. Martens PLC   267,273    245,124 
Elementis PLC   111,952    228,529 
Elixirr International PLC   14,256    130,557 
Essentra PLC   62,965    66,773 
Everplay Group PLC   21,986    68,137 
Ferrari Group PLC   32,549    266,075 
Fevertree Drinks PLC   26,809    289,106 
Firstgroup PLC   245,717    612,468 
Fonix PLC   52,086    113,721 
Foresight Group Holdings Ltd.   87,858    510,749 
Forterra PLC(b)   56,167    100,788 
FRP Advisory Group PLC   108,579    165,008 
Fuller Smith & Turner PLC, Class A   12,767    123,021 
FW Thorpe PLC   21,432    71,967 
Galliford Try Holdings PLC   52,173    364,237 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Europe SmallCap Dividend Fund (DFE)

June 30, 2026

 

 

Investments  Shares   Value 
Gamma Communications PLC   17,738   $197,877 
GB Group PLC   44,574    116,783 
Genuit Group PLC   78,265    287,740 
Genus PLC   8,017    228,559 
Grainger PLC   299,755    675,151 
Greggs PLC(a)   43,155    916,439 
Halfords Group PLC   137,440    420,471 
Hammerson PLC   287,698    1,412,070 
Hargreaves Services PLC   18,915    204,354 
Harworth Group PLC   36,235    57,711 
Helical PLC   35,186    89,572 
Henry Boot PLC   45,739    100,774 
Hill & Smith PLC   28,876    1,052,039 
Hilton Food Group PLC   43,381    296,524 
Hollywood Bowl Group PLC   80,947    294,914 
Hunting PLC   44,067    259,101 
IntegraFin Holdings PLC   95,557    449,605 
J D Wetherspoon PLC(a)   29,827    270,187 
James Halstead PLC(a)   185,436    312,572 
Johnson Service Group PLC   111,138    243,093 
Jupiter Fund Management PLC   223,132    484,504 
Kainos Group PLC   33,378    339,788 
Keller Group PLC   22,516    793,130 
Keystone Law Group PLC   12,452    89,906 
Kier Group PLC   132,974    385,100 
Lancashire Holdings Ltd.   90,477    775,152 
LSL Property Services PLC   42,139    115,214 
Luceco PLC(b)   51,050    184,297 
Me Group International PLC   164,965    219,825 
Midwich Group PLC(a)   53,857    95,642 
Mitie Group PLC   412,400    817,752 
MONY Group PLC   339,718    835,049 
Moonpig Group PLC   46,922    149,092 
Morgan Advanced Materials PLC   138,605    391,842 
Morgan Sindall Group PLC   20,323    1,326,026 
Mortgage Advice Bureau Holdings Ltd.   20,028    136,898 
Next 15 Group PLC   44,633    150,467 
Nichols PLC   11,105    140,611 
Ninety One PLC   363,110    1,017,852 
Norcros PLC   29,000    113,161 
On the Beach Group PLC(b)   24,387    56,579 
Oxford Instruments PLC   6,841    276,750 
Paratus Energy Services Ltd.   101,374    473,294 
PayPoint PLC   35,179    267,775 
Pennon Group PLC   293,678    1,815,613 
Personal Group Holdings PLC   29,993    153,262 
Petronor E&P ASA*   82,681    88,066 
Pets at Home Group PLC   273,861    644,817 
Polar Capital Holdings PLC   83,472    987,122 
PPHE Hotel Group Ltd.   12,306    280,930 
Premier Foods PLC   134,245    363,837 
Premier Miton Group PLC   188,592    96,369 
Property Franchise Group PLC   34,258    216,887 
PZ Cussons PLC   209,204    289,328 
Ramsdens Holdings PLC   18,240    142,833 
Rank Group PLC   147,433    185,701 
Renew Holdings PLC   14,934    175,615 
Restore PLC   28,090   99,730 
S4 Capital PLC   307,922    128,737 
Sabre Insurance Group PLC(b)   218,613    504,868 
Safestore Holdings PLC   95,129    773,973 
Savills PLC   44,710    506,775 
Secure Trust Bank PLC   10,784    206,108 
Senior PLC   44,321    169,416 
Smiths News PLC   234,857    220,693 
Spire Healthcare Group PLC(b)   40,469    115,482 
SSP Group PLC   186,787    465,333 
Supreme PLC   40,555    83,969 
Tatton Asset Management PLC   25,308    249,910 
Telecom Plus PLC   37,407    368,888 
Travis Perkins PLC   41,950    307,622 
Tristel PLC   21,294    113,050 
Vertu Motors PLC   127,346    125,075 
Victorian Plumbing Group PLC   90,209    92,431 
Volex PLC   17,796    132,979 
Volution Group PLC   26,319    213,434 
Warpaint London PLC   44,354    117,738 
Wickes Group PLC   120,939    301,449 
Wilmington PLC   19,924    74,044 
Workspace Group PLC   127,530    586,331 
XPS Pensions Group PLC   71,313    291,049 
YouGov PLC   35,891    102,513 
Young & Co.'s Brewery PLC, Class A   12,068    134,705 
Yu Group PLC   7,380    160,150 
Zotefoams PLC   14,968    87,412 
Total United Kingdom        41,636,719 
TOTAL COMMON STOCKS          
(Cost: $136,051,253)        156,088,702 
RIGHTS — 0.0%          
Spain — 0.0%          
Tubacex, SA*          
(Cost $4,690)   77,475    4,690 
MUTUAL FUND — 0.1%          
United States — 0.1%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)          
(Cost: $169,300)   169,300    169,300 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 3.6%          
United States — 3.6%          
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)   2,934,243    2,934,243 
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)   2,700,000    2,700,000 
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED          
(Cost: $5,634,243)        5,634,243 
TOTAL INVESTMENTS IN SECURITIES — 102.3%
(Cost: $141,859,486)
        161,896,935 
Other Liabilities less Assets — (2.3)%        (3,582,214)
NET ASSETS — 100.0%       $158,314,721 

 

* Non-income producing security.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe SmallCap Dividend Fund (DFE)

June 30, 2026

 

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $6,910,800 and the total market value of the collateral held by the Fund was $8,034,738. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,400,495.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.
(d)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree International MidCap Dividend Fund  $   $446,504   $434,370   $(12,134)  $   $^   $8,368   $ 
WisdomTree Treasury Money Market Digital Fund   5,400,000    22,300,000    25,000,000            2,700,000        14,303 
Total  $5,400,000   $22,746,504   $25,434,370   $(12,134)  $   $2,700,000   $8,368   $14,303 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $156,088,702   $   $   $156,088,702 
Rights       4,690        4,690 
Mutual Fund       169,300        169,300 
Investment of Cash Collateral for Securities Loaned       5,634,243        5,634,243 
Total Investments in Securities  $156,088,702   $5,808,233   $   $161,896,935 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree European Opportunities Fund (OPPE)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 99.2%
Australia — 2.4%    
Glencore PLC*   938,038   $6,396,862 
Austria — 0.9%          
OMV AG   38,708    2,440,656 
Belgium — 1.4%          
D'ieteren Group   19,262    3,752,591 
Czech Republic — 2.0%          
Colt CZ Group SE   88,995    3,840,573 
Komercni Banka AS   30,857    1,413,768 
Total Czech Republic        5,254,341 
Denmark — 3.2%          
Danske Bank AS   83,710    4,483,824 
Tryg AS   187,233    4,264,147 
Total Denmark        8,747,971 
Finland — 4.3%          
Fortum OYJ   157,253    3,647,886 
Nokia OYJ   316,146    4,176,552 
Nordea Bank Abp   205,142    3,893,345 
Total Finland        11,717,783 
France — 10.9%          
AXA SA   55,933    2,804,129 
Ayvens SA(a)   256,295    3,375,615 
BNP Paribas SA   21,256    2,482,205 
Bureau Veritas SA   46,163    1,413,399 
Credit Agricole SA   130,113    2,617,401 
Eiffage SA   5,091    751,432 
Engie SA   45,441    1,433,375 
Klepierre SA   50,866    2,127,314 
Rexel SA   74,497    3,254,438 
Societe Generale SA   50,035    4,425,952 
Thales SA   11,205    2,879,840 
Vinci SA   12,637    1,846,439 
Total France        29,411,539 
Germany — 14.8%          
BASF SE   63,436    3,392,784 
Deutsche Post AG, Registered Shares   57,898    3,514,943 
Fresenius Medical Care AG   64,975    2,941,723 
Heidelberg Materials AG   16,584    3,164,506 
Mercedes-Benz Group AG   28,254    1,418,739 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares   6,268    3,500,691 
SAP SE   31,942    4,893,585 
Siemens AG, Registered Shares   13,760    4,422,998 
Siemens Healthineers AG(a)   13,524    528,800 
thyssenkrupp AG   490,749    5,837,969 
Zalando SE*(a)   212,624    6,167,270 
Total Germany        39,784,008 
Ireland — 1.9%          
AIB Group PLC   429,014   5,039,803 
Italy — 8.8%          
Banca Mediolanum SpA   69,606    1,733,264 
Banca Monte dei Paschi di Siena SpA   247,045    3,068,499 
Banco BPM SpA   120,897    2,088,528 
Enel SpA   225,807    2,595,592 
Eni SpA   217,309    5,123,027 
Intesa Sanpaolo SpA   410,525    2,811,426 
Leonardo SpA   62,340    3,344,501 
Ryanair Holdings PLC   98,514    3,080,460 
Total Italy        23,845,297 
Ivory Coast — 0.4%          
Endeavour Mining PLC   19,435    955,450 
Luxembourg — 2.3%          
ArcelorMittal SA   103,858    6,257,643 
Norway — 1.3%          
Aker ASA, Class A   11,999    1,392,032 
Equinor ASA   69,636    2,206,143 
Total Norway        3,598,175 
Poland — 6.3%          
Allegro.eu SA*(a)   426,225    4,287,933 
Bank Polska Kasa Opieki SA   29,138    1,773,621 
Budimex SA   18,825    3,692,031 
Erste Bank Polska SA   11,170    1,915,528 
Grupa Kety SA   12,489    4,007,006 
Powszechny Zaklad Ubezpieczen SA   79,017    1,379,436 
Total Poland        17,055,555 
Portugal — 1.5%          
EDP SA   781,307    4,092,062 
Spain — 1.8%          
Amadeus IT Group SA   44,397    2,592,775 
Banco Bilbao Vizcaya Argentaria SA   41,218    1,030,614 
Endesa SA   26,261    1,197,365 
Total Spain        4,820,754 
Sweden — 5.1%          
Hexagon AB, Class B   464,850    3,848,233 
Skandinaviska Enskilda Banken AB, Class A   172,761    3,443,385 
Skanska AB, Class B   207,820    5,565,831 
Telefonaktiebolaget LM Ericsson, Class B   67,859    758,301 
Total Sweden        13,615,750 
Switzerland — 4.5%          
ABB Ltd., Registered Shares   58,075    6,305,347 
Logitech International SA, Registered Shares   28,278    2,655,149 
Sika AG, Registered Shares   7,229    1,494,373 
Swiss Life Holding AG, Registered Shares   1,447    1,595,799 
Total Switzerland        12,050,668 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree European Opportunities Fund (OPPE)

June 30, 2026

 

 

Investments  Shares   Value 
United Kingdom — 18.2%          
Admiral Group PLC   47,339   $2,236,771 
Aviva PLC   214,230    1,848,757 
BAE Systems PLC   132,528    3,243,553 
British American Tobacco PLC   23,885    1,482,672 
Centrica PLC   1,375,000    3,117,957 
GSK PLC   92,902    2,442,654 
Imperial Brands PLC   64,849    2,400,514 
International Consolidated Airlines Group SA   388,813    2,464,147 
Legal & General Group PLC   1,002,007    3,803,551 
Melrose Industries PLC   115,497    727,990 
NatWest Group PLC   479,612    4,245,886 
Next PLC   6,902    1,332,420 
Reckitt Benckiser Group PLC   35,442    2,310,153 
RELX PLC   42,027    1,319,762 
Sage Group PLC   98,363    1,065,306 
Segro PLC   195,356    2,269,272 
Smith & Nephew PLC   161,389    2,335,888 
Smiths Group PLC   112,183    3,811,707 
Tesco PLC   488,522    2,974,167 
Vodafone Group PLC   2,690,622    3,556,842 
Total United Kingdom        48,989,969 
United States — 7.2%          
AP Moller - Maersk AS, Class B   1,870    4,444,754 
BP PLC   413,983    2,566,521 
Experian PLC   43,573    1,470,674 
Novartis AG, Registered Shares   20,015    3,140,766 
Schneider Electric SE   13,255    4,325,078 
Shell PLC   90,910    3,538,964 
Total United States        19,486,757 
TOTAL COMMON STOCKS          
(Cost: $242,733,738)        267,313,634 
MUTUAL FUND — 0.0%          
United States — 0.0%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)          
(Cost: $25,258)   25,258    25,258 
TOTAL INVESTMENTS IN SECURITIES — 99.2%
(Cost: $242,758,996)
        267,338,892 
Other Assets less Liabilities — 0.8%        2,198,412 
NET ASSETS — 100.0%       $269,537,304 

 

* Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

CHF Swiss franc
CZK Czech koruna
DKK Danish krone
EUR Euro
GBP British pound
NOK Norwegian krone
PLN Polish zloty
SEK Swedish krona
USD United States dollar

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree European Opportunities Fund (OPPE)

June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $7,300,000   $11,500,000   $18,800,000   $   $   $^   $13,926 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/3/2026   20,000  GBP    563,657  CZK   $   $(10)
Barclays Bank PLC  8/5/2026   13,303,754  USD    86,830,133  DKK        (864)
Barclays Bank PLC  8/5/2026   48,219,053  USD    36,331,442  GBP        (754)
Deutsche Bank AG  7/3/2026   2,787,641  CHF    3,456,176  USD        (351)
Deutsche Bank AG  7/3/2026   6,256,522  CZK    294,758  USD    2     
Deutsche Bank AG  7/3/2026   465,868  EUR    430,000  CHF        (441)
Deutsche Bank AG  7/3/2026   8,339,052  NOK    842,692  USD    20     
Deutsche Bank AG  7/3/2026   4,284,392  PLN    1,139,803  USD    12     
Deutsche Bank AG  7/3/2026   27,189,576  SEK    2,809,506  USD        (129)
Deutsche Bank AG  7/3/2026   3,492,740  USD    2,719,995  CHF    120,408     
Deutsche Bank AG  7/3/2026   297,876  USD    6,198,470  CZK    5,850     
Deutsche Bank AG  7/3/2026   851,607  USD    7,868,707  NOK    56,438     
Deutsche Bank AG  7/3/2026   1,151,861  USD    4,172,197  PLN    41,897     
Deutsche Bank AG  7/3/2026   2,839,228  USD    26,173,313  SEK    134,710     
Deutsche Bank AG  8/5/2026   3,056,321  USD    2,456,280  CHF        (47)
Deutsche Bank AG  8/5/2026   791,233  USD    16,790,093  CZK        (24)
Deutsche Bank AG  8/5/2026   711,536  USD    7,044,284  NOK        (6)
Deutsche Bank AG  8/5/2026   2,536,239  USD    9,534,047  PLN        (49)
Deutsche Bank AG  8/5/2026   2,727,365  USD    26,347,729  SEK        (51)
Goldman Sachs  7/3/2026   2,787,658  CHF    3,456,176  USD        (330)
Goldman Sachs  7/3/2026   6,256,487  CZK    294,755  USD    3     
Goldman Sachs  7/3/2026   8,339,100  NOK    842,691  USD    25     
Goldman Sachs  7/3/2026   4,284,376  PLN    1,139,799  USD    11     
Goldman Sachs  7/3/2026   27,189,676  SEK    2,809,505  USD        (117)
Goldman Sachs  8/5/2026   3,056,318  USD    2,456,296  CHF        (70)
Goldman Sachs  8/5/2026   791,231  USD    16,789,969  CZK        (20)
Goldman Sachs  8/5/2026   711,533  USD    7,044,246  NOK        (5)
Goldman Sachs  8/5/2026   2,536,239  USD    9,533,943  PLN        (21)
Goldman Sachs  8/5/2026   2,727,362  USD    26,347,533  SEK        (34)
HSBC Holdings PLC  7/3/2026   147,987  CHF    182,817  USD    661     
HSBC Holdings PLC  7/3/2026   332,446  CZK    15,592  USD    70     
HSBC Holdings PLC  7/3/2026   406,160  EUR    4,500,000  SEK        (602)
HSBC Holdings PLC  7/3/2026   215,506  GBP    2,830,000  NOK    42     

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree European Opportunities Fund (OPPE)

June 30, 2026

 

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
HSBC Holdings PLC  7/3/2026   439,569  NOK    44,575  USD   $   $(154)
HSBC Holdings PLC  7/3/2026   226,892  PLN    60,291  USD    71     
HSBC Holdings PLC  7/3/2026   1,443,244  SEK    148,611  USD    521     
HSBC Holdings PLC  7/3/2026   3,492,737  USD    2,719,972  CHF    120,433     
HSBC Holdings PLC  7/3/2026   1,637,222  USD    1,301,624  CHF    23,429     
HSBC Holdings PLC  7/3/2026   297,875  USD    6,198,421  CZK    5,851     
HSBC Holdings PLC  7/3/2026   139,629  USD    2,928,230  CZK    1,672     
HSBC Holdings PLC  7/3/2026   851,606  USD    7,868,675  NOK    56,440     
HSBC Holdings PLC  7/3/2026   399,190  USD    3,777,416  NOK    17,465     
HSBC Holdings PLC  7/3/2026   1,151,858  USD    4,172,110  PLN    41,917     
HSBC Holdings PLC  7/3/2026   539,934  USD    1,984,079  PLN    12,093     
HSBC Holdings PLC  7/3/2026   2,839,228  USD    26,173,273  SEK    134,714     
HSBC Holdings PLC  7/3/2026   1,330,888  USD    12,519,094  SEK    37,276     
HSBC Holdings PLC  7/3/2026   92,760  USD    900,000  SEK        (233)
JPMorgan Chase Bank NA  7/3/2026   2,787,651  CHF    3,456,176  USD        (339)
JPMorgan Chase Bank NA  7/3/2026   6,256,518  CZK    294,758  USD    1     
JPMorgan Chase Bank NA  7/3/2026   8,339,062  NOK    842,692  USD    20     
JPMorgan Chase Bank NA  7/3/2026   4,284,385  PLN    1,139,803  USD    10     
JPMorgan Chase Bank NA  7/3/2026   27,189,600  SEK    2,809,506  USD        (126)
JPMorgan Chase Bank NA  7/3/2026   3,492,740  USD    2,719,980  CHF    120,427     
JPMorgan Chase Bank NA  7/3/2026   297,876  USD    6,198,712  CZK    5,838     
JPMorgan Chase Bank NA  7/3/2026   851,607  USD    7,868,723  NOK    56,436     
JPMorgan Chase Bank NA  7/3/2026   1,151,861  USD    4,172,322  PLN    41,863     
JPMorgan Chase Bank NA  7/3/2026   2,839,228  USD    26,173,009  SEK    134,741     
JPMorgan Chase Bank NA  8/5/2026   3,056,321  USD    2,456,283  CHF        (52)
JPMorgan Chase Bank NA  8/5/2026   791,233  USD    16,790,300  CZK        (34)
JPMorgan Chase Bank NA  8/5/2026   711,536  USD    7,044,334  NOK        (11)
JPMorgan Chase Bank NA  8/5/2026   2,536,239  USD    9,533,962  PLN        (26)
JPMorgan Chase Bank NA  8/5/2026   2,727,365  USD    26,347,710  SEK        (49)
Morgan Stanley & Co. International  7/3/2026   1,303,386  CHF    1,637,222  USD        (21,245)
Morgan Stanley & Co. International  7/3/2026   2,787,648  CHF    3,456,176  USD        (343)
Morgan Stanley & Co. International  7/3/2026   2,920,084  CZK    139,629  USD        (2,056)
Morgan Stanley & Co. International  7/3/2026   6,256,552  CZK    294,758  USD    3     
Morgan Stanley & Co. International  7/3/2026   3,780,125  NOK    399,190  USD        (17,191)
Morgan Stanley & Co. International  7/3/2026   8,339,065  NOK    842,692  USD    21     
Morgan Stanley & Co. International  7/3/2026   1,985,269  PLN    539,934  USD        (11,776)
Morgan Stanley & Co. International  7/3/2026   4,284,393  PLN    1,139,803  USD    12     
Morgan Stanley & Co. International  7/3/2026   12,608,419  SEK    1,330,888  USD        (28,046)
Morgan Stanley & Co. International  7/3/2026   27,189,587  SEK    2,809,506  USD        (127)
Morgan Stanley & Co. International  7/3/2026   3,492,740  USD    2,719,985  CHF    120,420     
Morgan Stanley & Co. International  7/3/2026   297,876  USD    6,198,295  CZK    5,858     
Morgan Stanley & Co. International  7/3/2026   851,607  USD    7,868,703  NOK    56,438     
Morgan Stanley & Co. International  7/3/2026   1,151,861  USD    4,172,101  PLN    41,922     
Morgan Stanley & Co. International  7/3/2026   2,839,228  USD    26,173,191  SEK    134,723     
Morgan Stanley & Co. International  8/5/2026   3,056,321  USD    2,456,295  CHF        (66)
Morgan Stanley & Co. International  8/5/2026   791,233  USD    16,790,013  CZK        (21)
Morgan Stanley & Co. International  8/5/2026   711,536  USD    7,044,211  NOK    1     
Morgan Stanley & Co. International  8/5/2026   2,536,239  USD    9,533,958  PLN        (25)
Morgan Stanley & Co. International  8/5/2026   2,727,365  USD    26,347,947  SEK        (74)
Royal Bank of Canada  7/1/2026   5,100  EUR    123,808  CZK        (2)
Royal Bank of Canada  7/3/2026   2,787,624  CHF    3,456,176  USD        (373)
Royal Bank of Canada  7/3/2026   6,256,552  CZK    294,758  USD    3     
Royal Bank of Canada  7/3/2026   8,339,049  NOK    842,692  USD    19     
Royal Bank of Canada  7/3/2026   4,284,387  PLN    1,139,803  USD    10     
Royal Bank of Canada  7/3/2026   27,189,531  SEK    2,809,506  USD        (133)

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree European Opportunities Fund (OPPE)

June 30, 2026

 

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Royal Bank of Canada  7/3/2026   3,492,740  USD    2,719,975  CHF   $120,433   $ 
Royal Bank of Canada  7/3/2026   297,876  USD    6,198,633  CZK    5,842     
Royal Bank of Canada  7/3/2026   851,607  USD    7,868,570  NOK    56,451     
Royal Bank of Canada  7/3/2026   1,151,861  USD    4,172,145  PLN    41,910     
Royal Bank of Canada  7/3/2026   2,839,228  USD    26,173,091  SEK    134,733     
Royal Bank of Canada  8/5/2026   3,056,321  USD    2,456,261  CHF        (25)
Royal Bank of Canada  8/5/2026   791,233  USD    16,790,290  CZK        (34)
Royal Bank of Canada  8/5/2026   711,536  USD    7,044,303  NOK        (8)
Royal Bank of Canada  8/5/2026   2,536,239  USD    9,534,019  PLN        (41)
Royal Bank of Canada  8/5/2026   2,727,365  USD    26,347,761  SEK        (55)
Standard Chartered Bank  7/3/2026   122,205  USD    460,000  PLN        (173)
                      $1,890,166   $(86,763)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $267,313,634   $   $   $267,313,634 
Mutual Fund       25,258        25,258 
Total Investments in Securities  $267,313,634   $25,258   $   $267,338,892 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $1,890,166   $   $1,890,166 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(86,763)  $   $(86,763)
Total - Net  $267,313,634   $1,828,661   $   $269,142,295 

 

1 Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree GeoAlpha Opportunities Fund (GEOA)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 99.0%
Canada — 1.3%
Software — 1.3%
Constellation Software, Inc.   6   $11,292 
Czech Republic — 0.9%          
Aerospace & Defense — 0.9%          
Colt CZ Group SE   192    8,286 
France — 0.7%          
Machinery — 0.7%          
Alstom SA*   343    5,966 
Germany — 2.9%          
Automobiles — 1.3%          
Mercedes-Benz Group AG   234    11,750 
Chemicals — 1.6%          
BASF SE   261    13,959 
Total Germany        25,709 
India — 6.6%          
Aerospace & Defense — 1.1%          
Hindustan Aeronautics Ltd.   200    9,257 
Automobiles — 1.5%          
Mahindra & Mahindra Ltd.   410    13,292 
Banks — 1.0%          
ICICI Bank Ltd.   637    9,254 
Metals & Mining — 3.0%          
Hindalco Industries Ltd.   1,451    14,664 
Vedanta Ltd.   4,109    12,187 
Total Metals & Mining        26,851 
Total India        58,654 
Japan — 21.7%          
Automobiles — 2.9%          
Suzuki Motor Corp.   1,265    15,220 
Toyota Motor Corp.   619    10,379 
Total Automobiles        25,599 
Capital Markets — 1.0%          
SBI Holdings, Inc.   553    8,980 
Household Durables — 2.1%          
Panasonic Holdings Corp.   691    19,141 
Industrial Conglomerates — 1.0%          
Hitachi Ltd.   340    9,353 
Insurance — 1.0%          
Sompo Holdings, Inc.   239    9,173 
Machinery — 4.0%          
Hirata Corp.   532    9,810 
Mitsubishi Heavy Industries Ltd.   706    15,925 
Ryobi Ltd.   598    9,548 
Total Machinery        35,283 
Semiconductors & Semiconductor Equipment — 3.9%          
Tokyo Electron Ltd.   73   34,653 
Specialty Retail — 2.0%          
Fast Retailing Co. Ltd.   35    17,833 
Trading Companies & Distributors — 2.9%          
Sumitomo Corp.   2,732    26,038 
Wireless Telecommunication Services — 0.9%          
SoftBank Corp.   6,013    7,699 
Total Japan        193,752 
Mexico — 1.7%          
Construction Materials — 1.7%          
Cemex SAB de CV, Series CPO   12,496    15,018 
Poland — 3.5%          
Broadline Retail — 1.5%          
Allegro.eu SA*(a)   1,317    13,249 
Construction & Engineering — 0.9%          
Budimex SA   44    8,630 
Metals & Mining — 1.1%          
Grupa Kety SA   31    9,946 
Total Poland        31,825 
Sweden — 2.6%          
Communications Equipment — 2.6%          
Telefonaktiebolaget LM Ericsson, Class B   2,128    23,780 
United Kingdom — 2.5%          
Aerospace & Defense — 1.1%          
BAE Systems PLC   406    9,937 
Wireless Telecommunication Services — 1.4%          
Vodafone Group PLC   9,260    12,241 
Total United Kingdom        22,178 
United States — 54.6%          
Aerospace & Defense — 0.7%          
Honeywell Aerospace, Inc.*   27    5,859 
Air Freight & Logistics — 2.7%          
United Parcel Service, Inc., Class B   227    24,403 
Automobiles — 1.2%          
Harley-Davidson, Inc.   433    10,591 
Banks — 1.2%          
Truist Financial Corp.   209    10,412 
Beverages — 1.2%          
Constellation Brands, Inc., Class A   80    11,127 
Construction Materials — 2.7%          
CRH PLC   111    11,877 
Vulcan Materials Co.   43    12,685 
Total Construction Materials        24,562 
Consumer Staples Distribution & Retail — 3.2%          
Kroger Co.   289    16,048 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree GeoAlpha Opportunities Fund (GEOA)

June 30, 2026

 

 

Investments  Shares   Value 
Target Corp.   97   $12,669 
Total Consumer Staples Distribution & Retail        28,717 
Containers & Packaging — 0.9%          
Ball Corp.   127    7,925 
Energy Equipment & Services — 0.8%          
Halliburton Co.   221    7,503 
Household Products — 2.5%          
Church & Dwight Co., Inc.   84    8,138 
Kimberly-Clark Corp.   129    14,160 
Total Household Products        22,298 
Industrial Conglomerates — 0.7%          
Honeywell International, Inc.   27    5,933 
Interactive Media & Services — 10.1%          
Alphabet, Inc., Class A   86    30,734 
Match Group, Inc.   381    14,497 
Meta Platforms, Inc., Class A   80    45,063 
Total Interactive Media & Services        90,294 
IT Services — 2.5%          
International Business Machines Corp.   79    22,216 
Leisure Products — 1.1%          
Polaris, Inc.   140    9,582 
Machinery — 9.1%          
CNH Industrial NV   1,604    18,013 
Cummins, Inc.   19    13,551 
Deere & Co.   36    22,836 
Oshkosh Corp.   71    10,897 
Stanley Black & Decker, Inc.   168    15,812 
Total Machinery        81,109 
Metals & Mining — 1.2%          
Commercial Metals Co.   164    10,291 
Oil, Gas & Consumable Fuels — 1.9%          
Chevron Corp.   50    8,288 
Marathon Petroleum Corp.   35    8,948 
Total Oil, Gas & Consumable Fuels        17,236 
Semiconductors & Semiconductor Equipment — 3.2%          
First Solar, Inc.*   43    10,146 
Qualcomm, Inc.   98    18,110 
Total Semiconductors & Semiconductor Equipment        28,256 
Software — 4.2%          
Adobe, Inc.*   78    15,992 
Salesforce, Inc.   137    21,462 
Total Software        37,454 
Specialty Retail — 1.3%          
CarMax, Inc.*   222    11,742 
Textiles, Apparel & Luxury Goods — 2.2%          
Lululemon Athletica, Inc.*   94    10,733 
NIKE, Inc., Class B   219   8,990 
Total Textiles, Apparel & Luxury Goods        19,723 
Total United States        487,233 
TOTAL COMMON STOCKS
(COST: $806,831)
        883,693 
PREFERRED STOCKS — 0.8%          
South Korea — 0.8%          
Hyundai Motor Co.          
(Cost: $7,809)   50    6,955 
MUTUAL FUND — 0.1%          
United States — 0.1%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)          
(Cost: $1,060)   1,060    1,060 
TOTAL INVESTMENTS IN SECURITIES — 99.9%
(Cost: $815,700)
        891,708 
Other Assets less Liabilities — 0.1%        1,062 
NET ASSETS — 100.0%       $892,770 

 

* Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

JPY Japanese yen
USD United States dollar

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree GeoAlpha Opportunities Fund (GEOA)

June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Citibank NA  7/2/2026   270  USD    43,895  JPY   $0^   $ 

 

^ Amount represents less than $1.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $883,693   $   $   $883,693 
Preferred Stocks   6,955            6,955 
Mutual Fund       1,060        1,060 
Total Investments in Securities  $890,648   $1,060   $   $891,708 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $0^   $   $0^ 
Total - Net  $890,648   $1,060   $   $891,708 

 

^ Amount represents less than $1.
1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree Global Defense Fund (WDGF)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 99.9%
Australia — 0.3%
Aerospace & Defense — 0.3%          
Austal Ltd.*   584   $1,638 
DroneShield Ltd.*   4,276    7,169 
Electro Optic Systems Holdings Ltd.*   748    5,338 
Total Australia        14,145 
Canada — 0.5%          
Aerospace & Defense — 0.5%          
CAE, Inc.*   811    20,299 
Magellan Aerospace Corp.   200    4,815 
Total Aerospace & Defense        25,114 
Electronic Equipment, Instruments & Components — 0.0%          
Kraken Robotics, Inc.*   783    3,499 
Total Canada        28,613 
Cyprus — 0.2%          
Aerospace & Defense — 0.2%          
Theon International PLC(a)   291    9,928 
Czech Republic — 1.2%          
Aerospace & Defense — 1.2%          
Colt CZ Group SE   260    11,220 
CSG NV*   3,529    51,540 
Total Czech Republic        62,760 
Finland — 0.1%          
Software — 0.1%          
Bittium OYJ   151    5,421 
France — 5.4%          
Aerospace & Defense — 5.4%          
Dassault Aviation SA   277    90,954 
Exail Technologies SA*(a)   58    7,964 
Exosens SAS   208    13,579 
Thales SA   694    178,368 
Total France        290,865 
Germany — 5.8%          
Aerospace & Defense — 5.5%          
Hensoldt AG   464    35,946 
Rheinmetall AG   201    227,620 
Tkms AG& Co. KGaA*   288    24,564 
Vincorion SE*   272    5,212 
Total Aerospace & Defense        293,342 
Machinery — 0.3%          
RENK Group AG   337    16,249 
Total Germany        309,591 
India — 6.2%          
Aerospace & Defense — 5.9%          
Bharat Dynamics Ltd.   1,462    21,135 
Bharat Electronics Ltd.   25,174    109,516 
Data Patterns India Ltd.   200    9,512 
Garden Reach Shipbuilders & Engineers Ltd.   417   12,010 
Hindustan Aeronautics Ltd.   2,404    111,267 
Mazagon Dock Shipbuilders Ltd.   1,447    38,164 
Paras Defence & Space Technologies Ltd.   253    3,445 
Zen Technologies Ltd.   307    5,752 
Total Aerospace & Defense        310,801 
Communications Equipment — 0.1%          
Astra Microwave Products Ltd.   305    5,676 
Machinery — 0.1%          
BEML Ltd.   342    6,360 
Metals & Mining — 0.1%          
PTC Industries Ltd.*   38    6,884 
Total India        329,721 
Israel — 2.8%          
Aerospace & Defense — 2.3%          
Aryt Industries Ltd.   61    563 
Ashot -Ashkelon Industries Ltd.   43    1,205 
Bet Shemesh Engines Holdings 1997 Ltd.*   25    7,112 
Elbit Systems Ltd.   151    114,567 
Total Aerospace & Defense        123,447 
Electronic Equipment, Instruments & Components — 0.5%          
Next Vision Stabilized Systems Ltd.   333    26,891 
Total Israel        150,338 
Italy — 2.2%          
Aerospace & Defense — 2.1%          
Leonardo SpA   2,054    110,196 
Machinery — 0.1%          
Fincantieri SpA*   483    5,494 
Total Italy        115,690 
Japan — 0.1%          
Aerospace & Defense — 0.1%          
QPS Holdings, Inc.*   300    3,596 
Norway — 1.3%          
Aerospace & Defense — 1.3%          
Kongsberg Gruppen ASA   2,268    68,369 
Singapore — 1.1%          
Aerospace & Defense — 1.1%          
Singapore Technologies Engineering Ltd.   7,300    58,639 
South Korea — 5.7%          
Aerospace & Defense — 4.6%          
Hanwha Aerospace Co. Ltd.   208    133,583 
Hanwha Systems Co. Ltd.   772    36,375 
Korea Aerospace Industries Ltd.   395    37,325 
LIG Defense&Aerospace Co. Ltd.   84    38,983 
Satrec Initiative Co. Ltd.   6    349 
Total Aerospace & Defense        246,615 
Electrical Equipment — 0.1%          
Vitzrocell Co. Ltd.   124    3,242 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global Defense Fund (WDGF)

June 30, 2026

 

 

Investments  Shares   Value 
Electronic Equipment, Instruments & Components — 0.0%          
Woori Technology, Inc.*   160   $1,260 
Machinery — 0.9%          
Hyundai Rotem Co. Ltd.   414    46,228 
STX Engine Co. Ltd.*   208    3,934 
Total Machinery        50,162 
Metals & Mining — 0.1%          
Poongsan Corp.   88    3,658 
Total South Korea        304,937 
Spain — 0.4%          
IT Services — 0.4%          
Indra Sistemas SA   436    23,887 
Sweden — 2.1%          
Aerospace & Defense — 2.1%          
INVISIO AB   78    1,652 
Mildef Group AB   200    3,816 
Saab AB, Class B   2,019    104,891 
Total Sweden        110,359 
Taiwan — 0.2%          
Aerospace & Defense — 0.1%          
Aerospace Industrial Development Corp.   3,300    5,863 
Machinery — 0.1%          
CSBC Corp. Taiwan*   6,600    3,999 
Total Taiwan        9,862 
United Kingdom — 9.4%          
Aerospace & Defense — 9.2%          
Babcock International Group PLC   1,920    24,255 
BAE Systems PLC   10,969    268,461 
Chemring Group PLC   1,251    8,501 
Cohort PLC(a)   226    3,690 
Melrose Industries PLC   2,185    13,772 
QinetiQ Group PLC   2,062    11,560 
Rolls-Royce Holdings PLC   8,447    161,958 
Total Aerospace & Defense        492,197 
Commercial Services & Supplies — 0.2%          
Serco Group PLC   4,070    11,830 
Total United Kingdom        504,027 
United States — 54.9%          
Aerospace & Defense — 44.5%          
AAR Corp.*   102    14,579 
AeroVironment, Inc.*(a)   159    26,246 
Aevex Corp., Class A*   462    9,651 
Arxis, Inc., Class A*(a)   947    43,695 
Boeing Co.*   628    135,943 
BWX Technologies, Inc.   311    60,536 
Curtiss-Wright Corp.   127    96,235 
Ducommun, Inc.*   35    6,482 
Firefly Aerospace, Inc.*(a)   466    13,700 
General Dynamics Corp.   780    276,307 
Hawkeye 360, Inc.*(a)   485    9,807 
HEICO Corp.   305   108,638 
Huntington Ingalls Industries, Inc.   117    32,747 
Karman Holdings, Inc.*(a)   530    26,458 
Kratos Defense & Security Solutions, Inc.*   693    34,553 
L3Harris Technologies, Inc.   610    177,260 
Leonardo DRS, Inc.   901    38,446 
Loar Holdings, Inc.*(a)   187    15,074 
Lockheed Martin Corp.   516    262,881 
Mercury Systems, Inc.*   193    23,610 
Moog, Inc., Class A   72    30,516 
National Presto Industries, Inc.   38    4,750 
Northrop Grumman Corp.   515    262,295 
Red Cat Holdings, Inc.*(a)   598    6,369 
Redwire Corp.*   608    7,436 
Rocket Lab Corp.*   1,223    124,318 
RTX Corp.   1,534    291,046 
Swarmer, Inc.*(a)   66    2,924 
TransDigm Group, Inc.   110    146,524 
V2X, Inc.*   110    8,202 
Voyager Technologies, Inc., Class A*(a)   223    7,192 
Woodward, Inc.   134    57,009 
York Space Systems, Inc.*(a)   450    11,079 
Total Aerospace & Defense        2,372,508 
Communications Equipment — 0.6%          
Viasat, Inc.*   366    32,870 
Electronic Equipment, Instruments & Components — 1.2%          
LightPath Technologies, Inc., Class A*   250    4,087 
nLight, Inc.*   138    9,608 
TTM Technologies, Inc.*   254    47,503 
Total Electronic Equipment, Instruments & Components        61,198 
IT Services — 0.1%          
BigBear.ai Holdings, Inc.*(a)   1,264    4,639 
Machinery — 0.4%          
ESCO Technologies, Inc.   61    21,352 
Professional Services — 3.3%          
Amentum Holdings, Inc.*   664    13,725 
BlackSky Technology, Inc.*   190    5,305 
Booz Allen Hamilton Holding Corp.   240    14,561 
CACI International, Inc., Class A*   81    37,524 
KBR, Inc.   345    11,913 
Leidos Holdings, Inc.   219    22,550 
Parsons Corp.*   266    13,936 
Planet Labs PBC*(a)   1,088    36,045 
Science Applications International Corp.   156    17,224 
Total Professional Services        172,783 
Semiconductors & Semiconductor Equipment — 0.1%          
Kopin Corp.*   704    3,154 
SkyWater Technology, Inc.*   119    4,144 
Total Semiconductors & Semiconductor Equipment        7,298 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree Global Defense Fund (WDGF)

June 30, 2026

 

 

Investments  Shares   Value 
Software — 4.7%          
Palantir Technologies, Inc., Class A*   2,159   $251,891 
Total United States        2,924,539 
TOTAL COMMON STOCKS
(COST: $6,148,740)
        5,325,287 
MUTUAL FUND — 0.1%          
United States — 0.1%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)          
(Cost: $5,842)   5,842    5,842 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.8%          
United States — 1.8%          
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)          
(Cost: $94,099)   94,099    94,099 
TOTAL INVESTMENTS IN SECURITIES — 101.8%
(Cost: $6,248,681)
        5,425,228 
Other Liabilities less Assets — (1.8)%        (93,960)
NET ASSETS — 100.0%       $5,331,268 

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $208,460 and the total market value of the collateral held by the Fund was $195,498. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $101,399.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $5,325,287   $   $   $5,325,287 
Mutual Fund       5,842        5,842 
Investment of Cash Collateral for Securities Loaned       94,099        94,099 
Total Investments in Securities  $5,325,287   $99,941   $   $5,425,228 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree Global ex-U.S. Quality Growth Fund (DNL)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 99.5%
Australia — 2.1%    
Aristocrat Leisure Ltd.   44,259   $1,878,700 
Brambles Ltd.   95,902    1,294,269 
CSL Ltd.   28,480    2,263,928 
Northern Star Resources Ltd.   92,431    1,213,486 
Pro Medicus Ltd.   6,347    894,523 
REA Group Ltd.(a)   9,871    951,869 
Sigma Healthcare Ltd.   807,054    1,537,599 
WiseTech Global Ltd.   7,193    164,449 
Total Australia        10,198,823 
Austria — 0.1%          
Verbund AG   8,890    565,115 
Brazil — 0.4%          
Cia de Saneamento Basico do Estado de Sao Paulo SABESP   117,723    674,139 
PRIO SA*   24,494    246,788 
TOTVS SA   22,212    123,163 
Vibra Energia SA   36,239    209,272 
WEG SA   59,176    536,316 
Total Brazil        1,789,678 
Canada — 9.8%          
Alimentation Couche-Tard, Inc.   65,538    4,175,954 
Brookfield Asset Management Ltd., Class A   115,520    5,180,182 
Canadian Natural Resources Ltd.   146,234    5,784,424 
Celestica, Inc.*   8,237    3,003,000 
Cenovus Energy, Inc.   123,313    3,058,597 
Constellation Software, Inc.   1,353    2,546,263 
Dollarama, Inc.   19,703    2,605,587 
Imperial Oil Ltd.(a)   34,925    3,920,462 
Lundin Gold, Inc.   14,492    781,521 
Shopify, Inc., Class A*   74,663    8,539,079 
Suncor Energy, Inc.   84,556    4,547,399 
Thomson Reuters Corp.   29,498    2,408,492 
Tourmaline Oil Corp.   26,135    1,092,374 
Total Canada        47,643,334 
China — 8.7%          
Advanced Micro-Fabrication Equipment, Inc. China, Class A   4,528    312,517 
Akeso, Inc.*(a)(b)   29,000    325,610 
ANTA Sports Products Ltd.   50,800    460,255 
BYD Co. Ltd., Class H   190,500    1,759,964 
BYD Co. Ltd., Class A   23,400    274,747 
BYD Electronic International Co. Ltd.(a)   19,500    52,020 
Contemporary Amperex Technology Co. Ltd., Class A   32,300    1,870,098 
Eoptolink Technology, Inc. Ltd., Class A   13,300    1,189,320 
Fuyao Glass Industry Group Co. Ltd., Class H(b)   24,800    161,917 
H World Group Ltd.   66,200    281,614 
Hygon Information Technology Co. Ltd., Class A   9,679    528,010 
Kuaishou Technology(b)   130,900    694,390 
Li Auto, Inc., Class A*(a)   50,900    299,089 
Meituan, Class B*(b)   287,300   2,509,554 
NAURA Technology Group Co. Ltd., Class A   3,900    508,218 
Nongfu Spring Co. Ltd., Class H(b)   100,100    505,730 
Pop Mart International Group Ltd.(a)(b)   33,800    666,772 
Prosus NV*   128,099    5,563,848 
Shenzhen Inovance Technology Co. Ltd., Class A   17,100    167,095 
Sungrow Power Supply Co. Ltd., Class A   12,400    290,490 
Tencent Holdings Ltd.   317,200    17,384,811 
Victory Giant Technology Huizhou Co. Ltd., Class A   5,100    260,282 
WuXi AppTec Co. Ltd., Class H(b)   14,500    284,192 
Xiaomi Corp., Class B*(b)   909,800    2,510,577 
Zhongji Innolight Co. Ltd., Class A   10,400    1,945,787 
Zijin Mining Group Co. Ltd., Class H   272,000    950,364 
ZTO Express Cayman, Inc.(a)   19,600    428,888 
Total China        42,186,159 
Denmark — 2.6%          
Coloplast AS, Class B   7,422    422,639 
DSV AS   13,117    3,107,714 
Genmab AS*   3,605    989,748 
Novo Nordisk AS, Class B   167,147    8,042,895 
Total Denmark        12,562,996 
Finland — 0.2%          
Metso OYJ   52,038    904,325 
France — 7.4%          
Aeroports de Paris SA(a)   5,728    746,566 
Hermes International SCA   5,818    10,629,448 
LVMH Moet Hennessy Louis Vuitton SE   26,362    14,590,618 
Safran SA   22,986    9,066,564 
Sartorius Stedim Biotech   4,938    1,025,244 
Total France        36,058,440 
Germany — 2.9%          
Daimler Truck Holding AG   46,706    2,253,437 
Hensoldt AG   6,924    536,402 
Infineon Technologies AG   71,558    6,681,608 
Nemetschek SE   6,613    401,470 
Rheinmetall AG   2,666    3,019,082 
Traton SE   30,802    1,168,464 
Total Germany        14,060,463 
Hong Kong — 0.4%          
Techtronic Industries Co. Ltd.   132,000    2,179,787 
Hungary — 0.3%          
OTP Bank Nyrt   11,190    1,651,647 
India — 1.2%          
Adani Enterprises Ltd.   11,360    364,350 
Adani Green Energy Ltd.*   8,852    139,543 
Adani Power Ltd.*   164,529    388,941 
APL Apollo Tubes Ltd.   5,261    99,413 
CG Power & Industrial Solutions Ltd.   18,391    184,991 
Coforge Ltd.   14,361    222,366 
Cummins India Ltd.   4,006    239,513 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Quality Growth Fund (DNL)

June 30, 2026

 

 

Investments  Shares   Value 
Dixon Technologies India Ltd.   594   $74,800 
Eicher Motors Ltd.   5,573    416,450 
FSN E-Commerce Ventures Ltd.*   17,543    57,610 
HDFC Asset Management Co. Ltd.(b)   19,210    538,439 
LTM Ltd.(b)   3,482    130,145 
Max Healthcare Institute Ltd.   24,466    291,872 
Persistent Systems Ltd.   4,159    190,092 
Polycab India Ltd.   1,693    178,155 
Solar Industries India Ltd.   706    139,442 
Suzlon Energy Ltd.*   407,552    253,593 
Titan Co. Ltd.   18,692    869,646 
Trent Ltd.   10,856    376,467 
Tube Investments of India Ltd.   2,455    78,566 
TVS Motor Co. Ltd.   8,436    308,409 
Varun Beverages Ltd.   47,194    253,049 
Total India        5,795,852 
Ireland — 0.2%          
Kingspan Group PLC(a)   11,170    1,021,015 
Italy — 2.2%          
Ferrari NV   10,449    3,874,796 
Moncler SpA   16,876    979,766 
PRADA SpA(a)   159,900    809,894 
Prysmian SpA   16,037    2,677,842 
Recordati Industria Chimica & Farmaceutica SpA   13,027    764,050 
Ryanair Holdings PLC   58,266    1,821,935 
Total Italy        10,928,283 
Japan — 16.4%          
Advantest Corp.   45,000    8,954,315 
Asics Corp.   50,100    1,348,639 
Chugai Pharmaceutical Co. Ltd.   100,700    4,668,044 
Daiichi Sankyo Co. Ltd.   114,400    1,836,101 
Disco Corp.   6,400    3,199,902 
Fast Retailing Co. Ltd.   21,100    10,750,906 
Fujikura Ltd.   123,900    4,755,503 
Hoya Corp.   21,600    3,448,823 
Keyence Corp.   15,100    7,531,186 
Obic Co. Ltd.   37,400    879,743 
Oriental Land Co. Ltd.(a)   108,200    1,657,702 
Recruit Holdings Co. Ltd.   108,700    7,577,733 
Renesas Electronics Corp.   126,600    3,744,447 
Shin-Etsu Chemical Co. Ltd.   127,200    5,484,803 
Subaru Corp.   54,200    797,034 
Tokyo Electron Ltd.   28,300    13,433,902 
Total Japan        80,068,783 
Macau — 0.2%          
Sands China Ltd.   561,200    933,896 
Mexico — 0.2%          
Grupo Aeroportuario del Pacifico SAB de CV, Class B   22,621    572,537 
Grupo Aeroportuario del Sureste SAB de CV, Class B   4,675    142,951 
Prologis Property Mexico SA de CV   17,867    77,516 
Total Mexico        793,004 
Netherlands — 10.2%          
Adyen NV*(b)   1,721   1,614,235 
Argenx SE*   3,126    2,899,908 
ASM International NV   2,530    2,893,995 
ASML Holding NV   19,620    38,613,666 
BE Semiconductor Industries NV   4,496    1,475,774 
Universal Music Group NV   101,413    2,125,281 
Total Netherlands        49,622,859 
New Zealand — 0.1%          
Xero Ltd.*   5,817    291,048 
Norway — 1.5%          
Aker BP ASA   36,144    1,107,459 
Equinor ASA   138,274    4,380,668 
Kongsberg Gruppen ASA   49,124    1,480,844 
Kongsberg Maritime AS*   32,813    169,909 
Total Norway        7,138,880 
Philippines — 0.1%          
International Container Terminal Services, Inc.   27,650    400,986 
Poland — 0.0%          
CD Projekt SA*(a)   2,079    124,115 
Dino Polska SA*(b)   8,839    66,783 
Total Poland        190,898 
Portugal — 0.2%          
Jeronimo Martins SGPS SA   41,168    788,849 
Russia — 0.0%          
Evraz PLC*^   243,480    0 
GMK Norilskiy Nickel PAO, ADR*^   12    0 
GMK Norilskiy Nickel PAO*^   1,620,900    0 
LUKOIL PJSC, ADR*^   2,107    0 
LUKOIL PJSC*^   68,533    0 
Magnitogorsk Iron & Steel Works PJSC, GDR*^(c)   54,588    0 
Novatek PJSC*^   97,470    0 
PhosAgro PJSC*^   8,504    0 
PhosAgro PJSC, GDR*^(c)   166    0 
Total Russia        0 
Saudi Arabia — 0.2%          
ACWA Power Co.*(a)   10,612    547,942 
Dr. Sulaiman Al Habib Medical Services Group Co.(a)   3,930    221,751 
Elm Co.(a)   1,157    211,556 
Total Saudi Arabia        981,249 
Singapore — 0.8%          
STMicroelectronics NV   50,567    3,730,111 
South Africa — 0.7%          
Bid Corp. Ltd.   14,737    401,558 
Capitec Bank Holdings Ltd.   4,058    1,176,085 
Gold Fields Ltd.   42,636    1,433,210 
Harmony Gold Mining Co. Ltd.   23,315    355,628 
Total South Africa        3,366,481 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Quality Growth Fund (DNL)

June 30, 2026

 

 

Investments  Shares   Value 
South Korea — 0.8%          
Alteogen, Inc.*   1,785   $415,920 
APR Corp.   590    146,805 
Hanwha Aerospace Co. Ltd.   1,531    983,247 
HD Hyundai Electric Co. Ltd.   1,010    633,654 
Hyosung Heavy Industries Corp.   141    312,888 
Hyundai Rotem Co. Ltd.   2,935    327,732 
Krafton, Inc.*   821    125,060 
LG Energy Solution Ltd.*   1,400    327,116 
LIG Defense&Aerospace Co. Ltd.   314    145,721 
Samsung Biologics Co. Ltd.*(b)   562    504,578 
Samsung Episholdings Co. Ltd.*   291    80,766 
Samyang Foods Co. Ltd.   169    122,062 
Total South Korea        4,125,549 
Spain — 2.4%          
Amadeus IT Group SA   27,089    1,581,991 
Industria de Diseno Textil SA   160,342    10,104,545 
Total Spain        11,686,536 
Sweden — 2.1%          
Atlas Copco AB, Class A   236,890    4,801,121 
Boliden AB   18,073    1,021,096 
Epiroc AB, Class A   67,969    1,867,398 
Evolution AB*(b)   12,615    867,056 
Investment AB Latour, Class B   34,450    685,216 
Lifco AB, Class B   24,882    816,018 
Total Sweden        10,057,905 
Switzerland — 5.1%          
Belimo Holding AG, Registered Shares   755    851,733 
Cie Financiere Richemont SA, Class A, Registered Shares   29,314    6,779,305 
Partners Group Holding AG   1,544    1,267,510 
Sandoz Group AG   24,914    2,258,367 
Sika AG, Registered Shares   8,833    1,825,950 
Straumann Holding AG, Registered Shares   8,974    1,183,702 
UBS Group AG, Registered Shares   181,344    9,005,939 
VAT Group AG(b)   1,681    1,471,670 
Total Switzerland        24,644,176 
Taiwan — 12.9%          
Accton Technology Corp.   23,000    1,801,359 
Asia Vital Components Co. Ltd.   12,000    951,140 
Bizlink Holding, Inc.   5,000    300,567 
Elite Material Co. Ltd.   13,000    2,199,551 
Fortune Electric Co. Ltd.(a)   8,250    200,964 
Global Unichip Corp.   2,000    304,177 
Gold Circuit Electronics Ltd.   10,000    376,689 
Jentech Precision Industrial Co. Ltd.   3,000    323,011 
King Slide Works Co. Ltd.   2,000    462,072 
Lotes Co. Ltd.   3,337    221,025 
PharmaEssentia Corp.   10,000    420,636 
Taiwan Semiconductor Manufacturing Co. Ltd.   717,000    54,242,305 
United Integrated Services Co. Ltd.   5,000    207,179 
Wiwynn Corp.(a)   5,000    727,481 
Total Taiwan        62,738,156 
Thailand — 0.4%          
Delta Electronics Thailand PCL, NVDR   199,700   1,953,688 
Turkey — 0.2%          
Akbank TAS   87,471    144,362 
Aselsan Elektronik Sanayi ve Ticaret AS   53,155    393,061 
BIM Birlesik Magazalar AS   36,614    286,638 
KOC Holding AS   34,712    143,965 
Turk Hava Yollari AO   8,110    56,668 
Turkiye Petrol Rafinerileri AS   15,959    77,819 
Total Turkey        1,102,513 
United Kingdom — 5.3%          
AstraZeneca PLC   73,292    13,716,022 
International Consolidated Airlines Group SA   261,357    1,656,380 
Next PLC   7,055    1,361,957 
Rolls-Royce Holdings PLC   462,225    8,862,444 
Total United Kingdom        25,596,803 
United States — 1.2%          
Experian PLC   51,227    1,729,011 
Ferrovial NV(a)   39,479    2,707,278 
InterContinental Hotels Group PLC   9,268    1,596,413 
Total United States        6,032,702 
TOTAL COMMON STOCKS          
(Cost: $401,348,320)        483,790,989 
WARRANTS — 0.0%          
Canada — 0.0%          
Constellation Software, Inc., 11.50%*^          
(Cost: $0)   545    0 
EXCHANGE-TRADED FUNDS — 0.0%          
United States — 0.0%          
WisdomTree Emerging Markets High Dividend Fund(d)   62    3,335 
WisdomTree International Equity Fund(d)   39    2,855 
TOTAL EXCHANGE-TRADED FUNDS          
(Cost: $4,629)        6,190 
MUTUAL FUND — 0.0%          
United States — 0.0%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(e)          
(Cost: $169,994)   169,994    169,994 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Quality Growth Fund (DNL)

June 30, 2026

 

 

Investments  Shares   Value 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.3%          
United States — 0.3%          
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(e)          
(Cost: $1,450,479)   1,450,479   $1,450,479 
TOTAL INVESTMENTS IN SECURITIES — 99.8%
(Cost: $402,973,422)
        485,417,652 
Other Assets less Liabilities — 0.2%        1,121,649 
NET ASSETS — 100.0%       $486,539,301 

 

* Non-income producing security.
^ This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $7,495,797 and the total market value of the collateral held by the Fund was $7,917,533. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $6,467,054.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)This security is exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. This security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
(d)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(e)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

ABBREVIATIONS:

ADR American Depositary Receipt
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree Global ex-U.S. Quality Growth Fund (DNL)

June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Emerging Markets High Dividend Fund  $3,081   $   $   $   $254   $3,335   $45   $ 
WisdomTree International Equity Fund   2,725                130    2,855    42     
WisdomTree Treasury Money Market Digital Fund       10,200,000    10,200,000            ^        10,560 
Total  $5,806   $10,200,000   $10,200,000   $   $384   $6,190   $87   $10,560 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Russia  $   $   $0*   $0 
Other   483,790,989            483,790,989 
Warrants           0*    0 
Exchange-Traded Funds   6,190            6,190 
Mutual Fund       169,994        169,994 
Investment of Cash Collateral for Securities Loaned       1,450,479        1,450,479 
Total Investments in Securities  $483,797,179   $1,620,473   $0   $485,417,652 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 99.4%
Australia — 3.1%    
ANZ Group Holdings Ltd.   14,828   $363,145 
APA Group   4,963    34,865 
ASX Ltd.   336    12,412 
Aurizon Holdings Ltd.   8,231    23,836 
Bank of Queensland Ltd.   2,255    9,858 
Bendigo & Adelaide Bank Ltd.   805    5,884 
BHP Group Ltd.   27,933    1,149,508 
Dexus   3,743    14,003 
GPT Group   6,371    21,540 
Insurance Australia Group Ltd.   1,474    8,261 
Medibank Pvt Ltd.   4,406    15,171 
Mirvac Group   11,748    13,999 
National Australia Bank Ltd.   12,021    315,304 
Origin Energy Ltd.   8,878    67,534 
QBE Insurance Group Ltd.   1,338    23,350 
Rio Tinto Ltd.(a)   2,146    256,479 
Rio Tinto PLC   9,955    941,013 
Scentre Group   35,217    94,178 
Stockland   7,590    21,454 
Suncorp Group Ltd.   2,112    28,225 
Telstra Group Ltd.   87,653    308,488 
Transurban Group   17,864    177,969 
Ventia Services Group Pty. Ltd.   5,317    22,802 
Vicinity Ltd.   24,342    43,509 
Westpac Banking Corp.   13,006    317,262 
Total Australia        4,290,049 
Austria — 0.2%          
ANDRITZ AG   153    13,224 
BAWAG Group AG(b)   258    51,709 
Erste Group Bank AG   766    102,552 
EVN AG   582    19,031 
Raiffeisen Bank International AG   414    26,435 
Verbund AG   617    39,221 
Total Austria        252,172 
Belgium — 0.3%          
Ageas SA   57    4,562 
Bekaert SA   532    23,752 
Colruyt Group NV   1,436    59,038 
KBC Group NV   2,339    319,030 
Proximus SADP   655    4,381 
Solvay SA(a)   487    14,632 
Warehouses De Pauw CVA   693    17,478 
Total Belgium        442,873 
Brazil — 0.2%          
Ambev SA   3,753    11,812 
Banco Bradesco SA   2,873    8,753 
Banco Santander Brasil SA   1,072    5,551 
BB Seguridade Participacoes SA   2,246    16,997 
Cia De Saneamento do Parana Sanepar   923    6,609 
Energisa SA   1,004    9,314 
Engie Brasil Energia SA   1,982    13,337 
Klabin SA   2,194    7,096 
Localiza Rent a Car SA   1,741   13,973 
Lojas Renner SA   3,787    10,799 
Multiplan Empreendimentos Imobiliarios SA   3,203    18,113 
Rumo SA   3,963    10,283 
Suzano SA   2,326    17,863 
Telefonica Brasil SA   3,835    25,154 
TIM SA   3,100    13,098 
Transmissora Alianca de Energia Eletrica SA   937    7,201 
Vibra Energia SA   1,793    10,354 
Total Brazil        206,307 
Canada — 4.6%          
Atco Ltd., Class I   693    36,195 
Bank of Montreal   2,511    443,653 
Bank of Nova Scotia   6,324    549,469 
Brookfield Infrastructure Corp., Class A   287    11,063 
Brookfield Renewable Corp.   448    16,647 
Canadian Imperial Bank of Commerce   4,959    570,857 
Canadian Natural Resources Ltd.   14,761    583,885 
Canadian Tire Corp. Ltd., Class A   235    32,358 
Canadian Utilities Ltd., Class A   229    8,509 
Capital Power Corp.   320    16,670 
Choice Properties Real Estate Investment Trust   1,624    18,704 
Dream Industrial Real Estate Investment Trust   1,312    12,937 
Emera, Inc.   572    30,331 
Enbridge, Inc.   16,379    887,901 
First Capital Real Estate Investment Trust   1,498    24,433 
Fortis, Inc.   1,324    75,824 
Gibson Energy, Inc.   1,565    31,692 
Great-West Lifeco, Inc.   2,180    138,859 
H&R Real Estate Investment Trust   861    6,663 
Keyera Corp.   591    23,732 
Magna International, Inc.   1,718    112,931 
Manulife Financial Corp.   4,586    185,929 
Northland Power, Inc.   332    5,228 
Pembina Pipeline Corp.   2,708    125,250 
Peyto Exploration & Development Corp.   1,897    31,636 
Power Corp. of Canada   1,285    80,084 
RioCan Real Estate Investment Trust   1,171    18,728 
Rogers Communications, Inc., Class B   912    29,660 
SmartCentres Real Estate Investment Trust   354    7,563 
South Bow Corp.   442    15,565 
Sun Life Financial, Inc.   1,037    81,388 
Suncor Energy, Inc.   6,201    333,488 
TC Energy Corp.   5,950    393,885 
Toronto-Dominion Bank   12,083    1,468,611 
Tourmaline Oil Corp.   2,507    104,786 
Total Canada        6,515,114 
Chile — 0.0%          
Banco de Chile   87,830    17,193 
Banco Santander Chile   306,082    25,062 
Colbun SA   79,669    11,491 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
Quinenco SA   1,867   $7,947 
Total Chile        61,693 
China — 1.2%          
Agricultural Bank of China Ltd., Class H   61,074    41,588 
BOC Aviation Ltd.(b)   700    7,253 
BOC Hong Kong Holdings Ltd.   92,500    499,888 
China CITIC Bank Corp. Ltd., Class H   24,000    20,352 
China Construction Bank Corp., Class H   576,536    593,295 
China Hongqiao Group Ltd.   2,000    5,116 
China Merchants Bank Co. Ltd., Class H   5,500    31,505 
China Pacific Insurance Group Co. Ltd., Class H   5,600    19,195 
China Shenhua Energy Co. Ltd., Class H(a)   5,500    28,138 
CITIC Ltd.   15,000    20,294 
ENN Energy Holdings Ltd.   200    1,032 
H World Group Ltd.   2,600    11,060 
Haidilao International Holding Ltd.(b)   4,000    5,417 
Huaneng Power International, Inc., Class H   10,000    6,988 
Industrial & Commercial Bank of China Ltd., Class H   335,000    274,679 
New China Life Insurance Co. Ltd., Class H   1,700    9,976 
Ping An Insurance Group Co. of China Ltd., Class H   12,500    81,372 
Shandong Weigao Group Medical Polymer Co. Ltd., Class H   7,600    3,072 
Shenzhou International Group Holdings Ltd.   2,500    12,548 
Weichai Power Co. Ltd., Class H   3,000    13,045 
Xtep International Holdings Ltd.   4,000    1,918 
Total China        1,687,731 
Czech Republic — 0.0%          
CEZ AS   646    37,800 
Denmark — 0.2%          
AL Sydbank   123    10,837 
Danske Bank AS   3,674    196,793 
Tryg AS   758    17,263 
Total Denmark        224,893 
Finland — 0.7%          
Elisa OYJ   599    25,161 
Fortum OYJ   4,788    111,070 
Kemira OYJ   300    5,628 
Nordea Bank Abp   42,351    803,770 
Outokumpu OYJ   1,838    10,581 
Valmet OYJ   360    8,693 
Total Finland        964,903 
France — 3.7%          
Amundi SA(b)   296    28,410 
AXA SA   22,445    1,125,251 
BNP Paribas SA   9,248    1,079,951 
Bouygues SA   2,145    119,701 
Cie Generale des Etablissements Michelin SCA   3,182    122,782 
Credit Agricole SA   21,703    436,585 
Edenred SE   213    5,479 
Eiffage SA   326    48,118 
Engie SA   27,049   853,224 
Gaztransport & Technigaz SA   188    39,957 
Klepierre SA   2,481    103,760 
Orange SA   18,661    352,136 
Publicis Groupe SA   1,108    109,526 
Rexel SA   926    40,453 
Rubis SCA   337    11,828 
Vallourec SACA*   941    22,044 
Veolia Environnement SA   4,955    206,435 
Vinci SA   3,247    474,431 
Total France        5,180,071 
Georgia — 0.0%          
Lion Finance Group PLC   62    9,323 
Germany — 1.8%          
Allianz SE, Registered Shares   2,038    964,872 
BASF SE   6,008    321,329 
Bayerische Motoren Werke AG   3,587    234,824 
Daimler Truck Holding AG   5,386    259,860 
Deutsche Lufthansa AG, Registered Shares   2,947    33,727 
Deutsche Post AG, Registered Shares   7,556    458,719 
DWS Group GmbH & Co. KGaA(b)   377    28,297 
Traton SE   3,291    124,843 
Vonovia SE   3,129    77,236 
Total Germany        2,503,707 
Hong Kong — 1.0%          
Bank of East Asia Ltd.   6,000    9,587 
Cathay Pacific Airways Ltd.   68,000    112,552 
CK Asset Holdings Ltd.   17,500    98,590 
CK Infrastructure Holdings Ltd.   13,500    102,773 
CLP Holdings Ltd.   14,500    135,347 
Crystal International Group Ltd.(b)   12,000    8,661 
Hang Lung Properties Ltd.   12,000    10,543 
HKT Trust & HKT Ltd.   50,000    74,343 
Hong Kong & China Gas Co. Ltd.   107,000    88,688 
Hongkong Land Holdings Ltd.   5,800    41,296 
Man Wah Holdings Ltd.   14,800    5,643 
MTR Corp. Ltd.(a)   39,500    153,627 
PCCW Ltd.   19,000    12,914 
Power Assets Holdings Ltd.   12,500    91,016 
Sun Hung Kai Properties Ltd.   12,500    179,003 
Swire Pacific Ltd., Class B   2,500    3,972 
Swire Properties Ltd.   30,000    78,576 
United Laboratories International Holdings Ltd.   2,000    2,150 
VTech Holdings Ltd.(a)   1,100    7,217 
WH Group Ltd.(b)   194,500    205,610 
Wharf Real Estate Investment Co. Ltd.   14,000    38,169 
Total Hong Kong        1,460,277 
Hungary — 0.0%          
MOL Hungarian Oil & Gas PLC*   968    11,505 
Richter Gedeon Nyrt   804    31,120 
Total Hungary        42,625 
India — 0.1%          
Coal India Ltd.   5,414    25,111 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
GAIL India Ltd.   3,415   $6,258 
HCL Technologies Ltd.   907    10,270 
Mindspace Business Parks REIT(b)   1,216    6,081 
NMDC Ltd.   11,635    10,468 
Oil & Natural Gas Corp. Ltd.   8,582    21,297 
Tata Consultancy Services Ltd.   2,008    43,094 
Vedanta Ltd.   5,223    15,491 
Total India        138,070 
Indonesia — 0.1%          
Bank Central Asia Tbk. PT   81,900    25,422 
Bank Mandiri Persero Tbk. PT   29,000    6,244 
Bank Negara Indonesia Persero Tbk. PT   20,500    3,623 
Bank Rakyat Indonesia Persero Tbk. PT   66,500    10,154 
First Pacific Co. Ltd.   8,000    4,897 
Indofood Sukses Makmur Tbk. PT   6,700    2,501 
Jardine Matheson Holdings Ltd.   900    55,350 
Perusahaan Gas Negara Persero Tbk. PT   15,600    1,191 
Telkom Indonesia Persero Tbk. PT   67,100    8,819 
United Tractors Tbk. PT   2,100    2,701 
Total Indonesia        120,902 
Ireland — 0.1%          
AIB Group PLC   11,053    129,844 
Bank of Ireland Group PLC   1,078    21,476 
Total Ireland        151,320 
Israel — 0.1%          
Bezeq The Israeli Telecommunication Corp. Ltd.   3,693    8,710 
Delek Group Ltd.   22    5,610 
FIBI Holdings Ltd.   98    8,776 
First International Bank of Israel Ltd.   375    26,544 
Israel Discount Bank Ltd., Class A   5,424    53,704 
Mizrahi Tefahot Bank Ltd.   674    44,565 
Newmed Energy LP   1,681    8,802 
Phoenix Financial Ltd.   283    15,634 
Plus500 Ltd.   230    14,610 
Total Israel        186,955 
Italy — 3.6%          
A2A SpA   9,583    24,761 
ACEA SpA   274    6,804 
Banca Mediolanum SpA   2,428    60,460 
Banca Monte dei Paschi di Siena SpA   12,729    158,104 
Banco BPM SpA   14,052    242,752 
BPER Banca SpA   11,300    177,408 
Enel SpA   82,106    943,787 
ERG SpA   347    9,490 
FinecoBank Banca Fineco SpA   1,839    46,150 
Generali   5,313    258,828 
Hera SpA   5,967    24,914 
Intesa Sanpaolo SpA   219,026    1,499,971 
Italgas SpA   5,408    62,664 
Mediobanca Banca di Credito Finanziario SpA   1,028    30,652 
Pirelli & C SpA*(b)   2,378    17,985 
Poste Italiane SpA   7,533    246,489 
Saipem SpA(a)   6,852   34,540 
Snam SpA   18,906    136,522 
Terna - Rete Elettrica Nazionale   9,143    107,041 
UniCredit SpA   10,634    951,474 
Unipol Assicurazioni SpA   603    16,828 
Total Italy        5,057,624 
Japan — 1.7%          
AGC, Inc.   500    21,428 
Astellas Pharma, Inc.   9,500    127,134 
Chugoku Electric Power Co., Inc.   1,300    7,109 
Cosmo Energy Holdings Co. Ltd.   600    13,984 
Daiichi Life Group, Inc.   5,600    61,280 
Daito Trust Construction Co. Ltd.   2,600    49,656 
Daiwa Securities Group, Inc.(a)   2,500    24,542 
Electric Power Development Co. Ltd.   700    15,772 
Haseko Corp.   900    15,746 
Hazama Ando Corp.   800    8,833 
Hitachi Construction Machinery Co. Ltd.   300    9,698 
Honda Motor Co. Ltd.   29,500    268,636 
Iida Group Holdings Co. Ltd.   600    8,059 
INFRONEER Holdings, Inc.   800    13,175 
Inpex Corp.   4,900    98,437 
Isuzu Motors Ltd.   2,100    27,787 
Japan Tobacco, Inc.   10,600    392,107 
Kamigumi Co. Ltd.   200    6,262 
Kobe Steel Ltd.   2,600    29,955 
Komatsu Ltd.   3,900    150,745 
Lixil Corp.   800    8,880 
Marui Group Co. Ltd.   900    15,863 
Mazda Motor Corp.   1,800    12,055 
Mitsubishi Chemical Group Corp.   3,000    20,831 
Mitsubishi Gas Chemical Co., Inc.   500    15,592 
Mitsui Chemicals, Inc.   1,000    13,124 
Nippon Steel Corp.   30,100    99,287 
Nomura Holdings, Inc.   3,900    33,919 
Nomura Real Estate Holdings, Inc.   1,500    8,615 
Ono Pharmaceutical Co. Ltd.   1,300    19,101 
Sankyo Co. Ltd.   600    5,826 
Seino Holdings Co. Ltd.   600    9,709 
SoftBank Corp.   254,200    325,482 
Sojitz Corp.   600    19,090 
Subaru Corp.   1,800    26,470 
Takeda Pharmaceutical Co. Ltd.   9,800    310,838 
Tosoh Corp.   500    9,005 
Toyota Boshoku Corp.   1,500    19,622 
Total Japan        2,323,654 
Luxembourg — 0.0%          
APERAM SA   491    23,891 
RTL Group SA   557    19,837 
Total Luxembourg        43,728 
Macau — 0.0%          
Wynn Macau Ltd.(a)   16,000    10,303 
Malaysia — 0.2%          
Celcomdigi Bhd.   10,300    6,745 
CIMB Group Holdings Bhd.   16,800    30,530 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
Genting Malaysia Bhd.   4,200   $1,926 
Hong Leong Bank Bhd.   1,500    7,872 
Malayan Banking Bhd.   11,693    30,914 
Maxis Bhd.   11,300    9,367 
MISC Bhd.   14,000    26,781 
Petronas Dagangan Bhd.   1,100    5,099 
Petronas Gas Bhd.   4,900    21,006 
Public Bank Bhd.   28,300    33,314 
RHB Bank Bhd.   5,567    11,305 
Sime Darby Bhd.   10,600    5,563 
Telekom Malaysia Bhd.   13,100    23,903 
Tenaga Nasional Bhd.   6,900    24,165 
TIME dotCom Bhd.   6,500    9,836 
Westports Holdings Bhd.   7,835    11,644 
Total Malaysia        259,970 
Mexico — 0.3%          
Arca Continental SAB de CV   1,080    12,953 
Coca-Cola Femsa SAB de CV   2,452    25,945 
Fomento Economico Mexicano SAB de CV   6,121    78,099 
Grupo Aeroportuario del Centro Norte SAB de CV   1,010    14,313 
Grupo Aeroportuario del Pacifico SAB de CV, Class B   901    22,804 
Grupo Aeroportuario del Sureste SAB de CV, Class B   277    8,470 
Grupo Financiero Banorte SAB de CV, Class O   11,295    119,306 
Prologis Property Mexico SA de CV   7,470    32,409 
Qualitas Controladora SAB de CV   823    8,253 
Wal-Mart de Mexico SAB de CV   10,066    29,592 
Total Mexico        352,144 
Netherlands — 0.6%          
ASR Nederland NV   675    50,965 
ING Groep NV   17,321    547,952 
Koninklijke KPN NV   33,969    167,619 
Koninklijke Vopak NV   591    30,838 
NN Group NV   454    39,791 
SBM Offshore NV   494    17,136 
Total Netherlands        854,301 
Norway — 1.2%          
Aker ASA, Class A   275    31,904 
DNB Bank ASA   14,170    422,000 
DOF Group ASA   521    5,986 
Equinor ASA   26,224    830,804 
Frontline PLC   285    9,890 
Salmar ASA   478    22,375 
SpareBank 1 Oestlandet   484    9,258 
SpareBank 1 SMN   531    10,088 
SpareBank 1 Sor-Norge ASA   575    11,238 
Telenor ASA   14,488    207,610 
Veidekke ASA   732    14,025 
Wallenius Wilhelmsen ASA   6,897    91,514 
Total Norway        1,666,692 
Philippines — 0.1%          
Aboitiz Power Corp.   14,000   9,342 
DMCI Holdings, Inc.   112,100    13,700 
Manila Electric Co.   1,980    18,390 
Metropolitan Bank & Trust Co.   46,080    48,805 
Semirara Mining & Power Corp.   23,200    8,695 
Total Philippines        98,932 
Poland — 0.2%          
Bank Polska Kasa Opieki SA   434    26,418 
Budimex SA   60    11,767 
Erste Bank Polska SA   93    15,948 
Orange Polska SA   7,728    29,441 
ORLEN SA   2,986    100,570 
Powszechna Kasa Oszczednosci Bank Polski SA   1,504    41,269 
Powszechny Zaklad Ubezpieczen SA   556    9,706 
Total Poland        235,119 
Portugal — 0.1%          
Banco Comercial Portugues SA, Class R   17,547    20,763 
EDP SA   22,765    119,231 
Galp Energia SGPS SA   2,212    47,153 
Total Portugal        187,147 
Puerto Rico — 0.1%          
First BanCorp   4,034    105,166 
Romania — 0.0%          
NEPI Rockcastle NV*   3,697    33,038 
Russia — 0.0%          
Evraz PLC*^   5,263    0 
GMK Norilskiy Nickel PAO, ADR*^   5    0 
GMK Norilskiy Nickel PAO*^   32,100    0 
Magnit PJSC*^   447    0 
Magnitogorsk Iron & Steel Works PJSC, GDR*^(c)   1,299    0 
Novolipetsk Steel PJSC*^   11,640    0 
PhosAgro PJSC*^   247    0 
PhosAgro PJSC, GDR*^(c)   4    0 
Polyus PJSC*^   830    0 
Sberbank of Russia PJSC*^   39,948    0 
Severstal PAO, GDR*^(c)   1,737    0 
Tatneft PJSC, ADR*^   85    0 
Tatneft PJSC*^   2,124    0 
Total Russia        0 
Saudi Arabia — 0.3%          
Alinma Bank   6,494    42,243 
Arab National Bank   1,672    9,230 
Etihad Etisalat Co.   1,441    23,184 
Mobile Telecommunications Co. Saudi Arabia*   2,140    6,020 
Riyad Bank   4,856    25,733 
SABIC Agri-Nutrients Co.   656    21,615 
Sahara International Petrochemical Co.   2,947    11,224 
Saudi Arabian Oil Co.(b)   29,465    204,840 
Saudi Awwal Bank   2,328    20,051 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
Saudi Ground Services Co.   538   $4,445 
Saudi Investment Bank   2,561    9,147 
Saudi National Bank   5,049    51,952 
Saudi Telecom Co.   4,932    56,760 
Total Saudi Arabia        486,444 
Singapore — 1.1%          
ComfortDelGro Corp. Ltd.(a)   11,800    12,225 
DBS Group Holdings Ltd.   14,505    733,408 
Hafnia Ltd.   1,392    9,101 
Keppel Infrastructure Trust   26,900    11,127 
Keppel Ltd.   3,800    32,140 
Netlink NBN Trust   36,000    27,137 
Oversea-Chinese Banking Corp. Ltd.   21,313    408,481 
Sembcorp Industries Ltd.   2,600    12,764 
Singapore Airlines Ltd.   20,700    122,909 
United Overseas Bank Ltd.   6,613    203,280 
Total Singapore        1,572,572 
South Africa — 0.1%          
FirstRand Ltd.   4,416    26,205 
Old Mutual Ltd.   11,916    9,757 
Sanlam Ltd.   1,421    7,649 
Standard Bank Group Ltd.   1,376    27,123 
Total South Africa        70,734 
South Korea — 0.1%          
Hana Financial Group, Inc.   223    16,495 
KT&G Corp.   82    8,982 
Samsung Fire & Marine Insurance Co. Ltd.   27    10,770 
Woori Financial Group, Inc.   2,972    55,630 
Total South Korea        91,877 
Spain — 3.4%          
Aena SME SA(b)   13,020    396,855 
Banco Bilbao Vizcaya Argentaria SA   47,056    1,176,587 
Banco de Sabadell SA   24,776    87,783 
Bankinter SA   1,117    18,696 
CaixaBank SA   61,877    876,164 
Colonial SFL Socimi SA*   2,582    16,738 
Endesa SA   9,804    447,011 
Fomento de Construcciones y Contratas SA*   1,073    15,531 
Iberdrola SA   38,224    954,441 
Logista Integral SA   316    12,190 
Mapfre SA   4,629    22,916 
Naturgy Energy Group SA   12,425    390,083 
Repsol SA   9,017    226,904 
Telefonica SA   48,020    193,033 
Total Spain        4,834,932 
Sweden — 0.8%          
H & M Hennes & Mauritz AB, Class B   9,511    163,821 
Skandinaviska Enskilda Banken AB, Class A   4,644    92,562 
SSAB AB, Class B   994    9,200 
Swedbank AB, Class A   6,827    255,356 
Tele2 AB, Class B   3,328    57,993 
Telia Co. AB   15,923    77,673 
Volvo AB, Class B   13,769   468,776 
Total Sweden        1,125,381 
Switzerland — 2.1%          
Allreal Holding AG, Registered Shares   111    29,172 
Banque Cantonale Vaudoise, Registered Shares   250    36,695 
Cembra Money Bank AG   249    29,202 
Clariant AG, Registered Shares*   2,067    18,065 
DKSH Holding AG   172    13,263 
EFG International AG*   867    17,434 
Julius Baer Group Ltd.   286    24,748 
Kuehne & Nagel International AG, Registered Shares   877    213,039 
Nestle SA, Registered Shares   15,014    1,546,350 
Partners Group Holding AG   43    35,300 
SGS SA, Registered Shares   827    96,084 
Sunrise Communications AG, Class A*   154    7,675 
Swiss Life Holding AG, Registered Shares   66    72,787 
Swisscom AG, Registered Shares   247    190,919 
Vontobel Holding AG, Registered Shares   90    8,189 
Zurich Insurance Group AG   863    640,416 
Total Switzerland        2,979,338 
Taiwan — 1.1%          
Asustek Computer, Inc.*   2,000    43,947 
Cathay Financial Holding Co. Ltd.   25,000    77,143 
Chunghwa Telecom Co. Ltd.   4,000    17,767 
CTBC Financial Holding Co. Ltd.   35,480    79,076 
E.Sun Financial Holding Co. Ltd.   16,410    17,746 
Eclat Textile Co. Ltd.   1,000    9,810 
Evergreen Marine Corp. Taiwan Ltd.   2,000    11,583 
Far EasTone Telecommunications Co. Ltd.   2,000    6,592 
Fubon Financial Holding Co. Ltd.   8,000    32,521 
MediaTek, Inc.   6,000    799,523 
Mega Financial Holding Co. Ltd.   10,000    14,471 
momo.com, Inc.   150    1,401 
Novatek Microelectronics Corp.   1,000    16,794 
Powertech Technology, Inc.   1,000    10,594 
Quanta Computer, Inc.*(a)   13,000    150,173 
Realtek Semiconductor Corp.   1,000    25,301 
Tripod Technology Corp.   1,000    16,260 
TS Financial Holding Co. Ltd.   39,000    40,706 
Uni-President Enterprises Corp.   3,000    7,016 
United Microelectronics Corp.*   18,000    92,948 
Wan Hai Lines Ltd.*   3,000    7,459 
Yuanta Financial Holding Co. Ltd.   19,000    39,185 
Total Taiwan        1,518,016 
Thailand — 0.0%          
Advanced Info Service PCL, NVDR   700    7,733 
PTT PCL, NVDR   9,300    9,938 
SCB X PCL, NVDR   2,000    8,910 
Tisco Financial Group PCL, NVDR   2,400    8,525 
Total Thailand        35,106 
United Kingdom — 4.7%          
Admiral Group PLC   860    40,635 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
Aviva PLC   4,883   $42,139 
British American Tobacco PLC   19,662    1,220,528 
BT Group PLC   49,640    125,247 
CK Hutchison Holdings Ltd.   20,000    168,961 
Derwent London PLC   562    14,478 
Drax Group PLC   654    6,588 
GSK PLC   21,386    562,298 
Hammerson PLC   4,474    21,959 
HSBC Holdings PLC   108,046    2,051,824 
Imperial Brands PLC   11,163    413,221 
Investec PLC   712    5,675 
J Sainsbury PLC   5,849    24,826 
Johnson Matthey PLC   396    9,944 
Kingfisher PLC   3,288    12,359 
Lloyds Banking Group PLC   199,707    294,483 
LondonMetric Property PLC   13,882    34,694 
National Grid PLC   28,807    477,161 
NatWest Group PLC   58,787    520,427 
Reckitt Benckiser Group PLC   3,374    219,921 
Schroders PLC   2,435    18,987 
Severn Trent PLC   993    38,959 
Subsea 7 SA   1,028    35,113 
United Utilities Group PLC   2,058    35,755 
Vodafone Group PLC   135,835    179,566 
Total United Kingdom        6,575,748 
United States — 60.2%          
AbbVie, Inc.   8,247    2,075,275 
Acadia Realty Trust   4,770    99,741 
Acerinox SA   1,831    32,092 
Aegon Ltd.   5,312    45,173 
AES Corp.   18,349    268,996 
Agree Realty Corp.   3,280    248,427 
Albertsons Cos., Inc., Class A   13,842    187,282 
Alliant Energy Corp.(a)   4,860    370,769 
Altria Group, Inc.   27,653    1,989,633 
American Electric Power Co., Inc.   5,567    761,621 
American Financial Group, Inc.   1,318    184,441 
American Homes 4 Rent, Class A   7,913    265,244 
American Tower Corp.   3,689    603,410 
Americold Realty Trust, Inc.   9,203    144,671 
Amgen, Inc.   3,190    1,155,163 
Antero Midstream Corp.   14,832    337,428 
APA Corp.(a)   10,045    327,166 
Archer-Daniels-Midland Co.   5,471    417,984 
Archrock, Inc.   6,953    283,057 
Associated Banc-Corp.   3,319    102,126 
AT&T, Inc.   53,392    1,105,214 
Atlantic Union Bankshares Corp.(a)   2,687    113,687 
AvalonBay Communities, Inc.   1,827    344,737 
Avient Corp.   3,367    124,444 
Avista Corp.   2,450    100,230 
Bank of Hawaii Corp.(a)   1,152    93,876 
Bank OZK   1,833    95,481 
BankUnited, Inc.   2,016    97,675 
Banner Corp.   1,075    71,423 
Bath & Body Works, Inc.   7,595    175,672 
Best Buy Co., Inc.   4,155   315,281 
Black Hills Corp.(a)   2,563    190,687 
Blue Owl Capital, Inc.   8,139    71,216 
BP PLC   125,734    779,498 
Bristol-Myers Squibb Co.   20,900    1,204,258 
Brixmor Property Group, Inc.   9,242    291,400 
Broadstone Net Lease, Inc.   6,472    133,776 
Brown-Forman Corp., Class A(a)   6,064    165,911 
Buckle, Inc.   1,909    80,560 
Cal-Maine Foods, Inc.(a)   1,760    141,786 
CareTrust REIT, Inc.   7,252    292,618 
Cathay General Bancorp   1,930    119,641 
Chevron Corp.   14,984    2,483,748 
Citizens Financial Group, Inc.   3,338    233,894 
Clearway Energy, Inc., Class C   2,539    86,783 
Clorox Co.   2,286    218,176 
CME Group, Inc.   2,447    540,371 
CMS Energy Corp.   3,814    291,771 
Cohen & Steers, Inc.(a)   1,452    110,555 
Columbia Banking System, Inc.   4,478    143,520 
Comcast Corp., Class A   29,687    728,816 
Community Financial System, Inc.   1,267    85,041 
Conagra Brands, Inc.   13,936    187,579 
Concentrix Corp.(a)   2,261    50,658 
ConocoPhillips   8,303    863,180 
Consolidated Edison, Inc.   3,833    424,045 
COPT Defense Properties   3,883    141,302 
Corebridge Financial, Inc.   4,493    128,635 
Cousins Properties, Inc.   5,949    178,351 
Crescent Energy Co., Class A(a)   9,722    95,470 
CubeSmart   6,500    258,505 
Cullen/Frost Bankers, Inc.(a)   790    122,071 
CVB Financial Corp.   3,783    85,307 
CVS Health Corp.   9,372    969,533 
Darden Restaurants, Inc.   1,547    318,697 
Dentsply Sirona, Inc.(a)   7,325    77,718 
Digital Realty Trust, Inc.   2,516    451,823 
Dillard's, Inc., Class A(a)   423    223,522 
Dominion Energy, Inc.   8,822    602,454 
Douglas Emmett, Inc.   6,142    72,476 
DT Midstream, Inc.   2,112    309,915 
DTE Energy Co.   2,240    341,309 
Duke Energy Corp.   5,594    708,089 
EastGroup Properties, Inc.   1,402    283,947 
Eastman Chemical Co.   4,045    270,934 
EOG Resources, Inc.   4,768    618,553 
EPR Properties   2,953    171,304 
Equity LifeStyle Properties, Inc.   4,094    263,858 
Equity Residential   5,840    396,711 
Essential Properties Realty Trust, Inc.   6,994    208,771 
Essential Utilities, Inc.   6,054    231,929 
Essex Property Trust, Inc.   1,104    321,915 
Evergy, Inc.   3,808    329,125 
Eversource Energy   4,899    354,051 
Exelon Corp.   9,513    443,496 
Extra Space Storage, Inc.   2,800    406,840 
Exxon Mobil Corp.   24,395    3,335,285 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
Federal Realty Investment Trust   2,513   $310,205 
Fidelity National Financial, Inc.   2,230    105,167 
Fifth Third Bancorp   7,993    450,565 
First American Financial Corp.   1,604    110,018 
First Busey Corp.(a)   2,981    87,940 
First Financial Bancorp(a)   3,502    118,473 
First Hawaiian, Inc.   3,158    92,529 
First Industrial Realty Trust, Inc.   4,400    269,764 
First Interstate BancSystem, Inc., Class A(a)   2,971    114,562 
First Merchants Corp.   1,770    77,331 
FirstEnergy Corp.   8,994    427,575 
FNB Corp.(a)   4,996    95,324 
Ford Motor Co.   51,503    715,892 
Four Corners Property Trust, Inc.   3,351    82,267 
Franklin Resources, Inc.   7,742    257,576 
Fulton Financial Corp.   4,064    98,308 
Gap, Inc.   10,712    200,100 
General Mills, Inc.(a)   6,948    241,790 
Gilead Sciences, Inc.   9,585    1,210,969 
H&R Block, Inc.   4,527    172,388 
HA Sustainable Infrastructure Capital, Inc.   3,222    125,819 
Hancock Whitney Corp.   1,483    110,810 
Hasbro, Inc.   3,881    320,532 
Healthcare Realty Trust, Inc.   11,970    241,435 
HF Sinclair Corp.   4,764    331,813 
Highwoods Properties, Inc.(a)   3,426    103,328 
Host Hotels & Resorts, Inc.   17,054    404,350 
HP, Inc.   14,252    312,689 
Huntington Bancshares, Inc.   17,862    316,693 
Independent Bank Corp.   1,230    102,976 
Inter Parfums, Inc.(a)   1,209    135,239 
International Seaways, Inc.(a)   1,824    139,700 
InvenTrust Properties Corp.   3,017    106,802 
Invesco Ltd.   5,183    136,779 
J M Smucker Co.   2,335    262,688 
Jackson Financial, Inc., Class A   1,017    104,131 
Johnson & Johnson   10,818    2,747,447 
KeyCorp   11,302    260,511 
Kilroy Realty Corp.   4,233    158,611 
Kimberly-Clark Corp.   3,534    387,927 
Kimco Realty Corp.   13,620    345,267 
Kinder Morgan, Inc.   20,738    662,994 
Kinetik Holdings, Inc.   2,383    115,194 
Kodiak Gas Services, Inc.   3,522    264,608 
Lamar Advertising Co., Class A   2,342    365,305 
Lazard, Inc.(a)   2,022    84,803 
LCI Industries   973    103,021 
Lincoln National Corp.   3,366    118,988 
LXP Industrial Trust   1,943    104,689 
M&T Bank Corp.   1,042    248,006 
Macerich Co.(a)   9,540    240,313 
Macy's, Inc.(a)   9,597    226,009 
Marriott Vacations Worldwide Corp.(a)   1,323    134,787 
MDU Resources Group, Inc.   7,437    157,739 
Medtronic PLC   7,362    575,929 
Merck & Co., Inc.   14,977    1,924,545 
Mid-America Apartment Communities, Inc.   2,172    301,778 
Millrose Properties, Inc.   5,700   171,285 
Moelis & Co., Class A   1,557    101,859 
Molson Coors Beverage Co., Class B   5,255    204,735 
MSC Industrial Direct Co., Inc., Class A   1,934    230,049 
Murphy Oil Corp.(a)   4,896    159,414 
National Health Investors, Inc.   1,798    137,115 
National Storage Affiliates Trust   3,115    138,524 
NBT Bancorp, Inc.(a)   1,778    87,780 
New Jersey Resources Corp.   3,517    197,093 
Nexstar Media Group, Inc.   1,085    193,770 
NNN REIT, Inc.   5,929    275,876 
Noble Corp. PLC(a)   5,458    203,583 
Northern Oil & Gas, Inc.   3,289    59,695 
Northwestern Energy Group, Inc.   2,105    150,760 
OGE Energy Corp.   5,055    245,976 
Omnicom Group, Inc.   6,799    495,171 
ONE Gas, Inc.   2,139    164,853 
OneMain Holdings, Inc.   3,393    206,871 
Outfront Media, Inc.   6,331    207,404 
Ovintiv, Inc.   6,560    345,384 
PACCAR, Inc.   5,573    669,429 
Park Hotels & Resorts, Inc.   6,732    95,931 
PBF Energy, Inc., Class A   4,134    188,180 
PepsiCo, Inc.   9,701    1,313,515 
Permian Resources Corp., Class A   21,627    398,153 
Perrigo Co. PLC   3,873    40,240 
Philip Morris International, Inc.   10,333    1,869,343 
Phillips 66   3,699    625,316 
Phillips Edison & Co., Inc.   4,546    189,205 
Pinnacle West Capital Corp.(a)   2,707    289,649 
PNC Financial Services Group, Inc.   2,375    584,773 
Polaris, Inc.   1,857    127,093 
Portland General Electric Co.   4,034    209,082 
PPL Corp.   8,472    307,957 
Principal Financial Group, Inc.   1,982    213,620 
Prologis, Inc.   6,569    889,902 
Prosperity Bancshares, Inc.   1,337    97,641 
Provident Financial Services, Inc.   4,140    97,870 
Public Storage(a)   1,784    567,865 
Radian Group, Inc.   2,510    94,552 
Rayonier, Inc.(a)   9,754    207,565 
Regency Centers Corp.   3,744    298,547 
Regions Financial Corp.   8,034    242,627 
Rexford Industrial Realty, Inc.   6,115    204,853 
Reynolds Consumer Products, Inc.(a)   6,895    185,131 
RLI Corp.(a)   1,441    85,120 
Ryman Hospitality Properties, Inc.   2,335    300,164 
Sabra Health Care REIT, Inc.(a)   9,563    186,574 
Sanofi SA   7,962    683,450 
Scotts Miracle-Gro Co.(a)   2,151    146,505 
Sempra   4,814    446,306 
Shell PLC   33,052    1,286,656 
Simmons First National Corp., Class A   4,160    94,224 
Simon Property Group, Inc.   4,705    1,052,273 
Sirius XM Holdings, Inc.(a)   10,645    314,453 
Skyworks Solutions, Inc.(a)   3,450    233,910 
SL Green Realty Corp.   2,620    135,637 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

Investments  Shares   Value 
SLB Ltd.   13,181   $612,785 
SM Energy Co.   8,910    232,551 
Southern Co.   7,309    699,544 
Southwest Gas Holdings, Inc.   2,446    216,911 
Spire, Inc.   2,080    162,427 
STAG Industrial, Inc.   6,272    238,712 
Stanley Black & Decker, Inc.   3,745    352,479 
State Street Corp.   1,900    322,240 
Sun Communities, Inc.   2,180    261,404 
Swiss Re AG   879    140,025 
T Rowe Price Group, Inc.   2,069    235,225 
Tanger, Inc.(a)   4,095    161,630 
Tenaris SA   5,257    145,510 
Terreno Realty Corp.(a)   3,613    234,014 
Texas Instruments, Inc.   5,370    1,600,636 
TFS Financial Corp.(a)   9,713    172,114 
Towne Bank   1,935    70,124 
TPG, Inc.   1,728    70,070 
TransDigm Group, Inc.   714    951,077 
Travel & Leisure Co.   2,400    183,432 
Trinity Industries, Inc.   2,842    98,276 
Truist Financial Corp.   10,474    521,815 
Tyson Foods, Inc., Class A   4,988    285,563 
U.S. Bancorp   11,987    724,015 
UGI Corp.   7,700    265,958 
United Bankshares, Inc.(a)   2,307    105,730 
United Community Banks, Inc.   2,623    92,041 
Urban Edge Properties   4,478    102,457 
Vail Resorts, Inc.   1,263    171,957 
Valley National Bancorp(a)   9,062    132,758 
Viatris, Inc.   28,794    457,249 
VICI Properties, Inc.   14,573    386,913 
Victory Capital Holdings, Inc., Class A(a)   1,140    95,828 
WaFd, Inc.   2,447    93,891 
WEC Energy Group, Inc.   3,792    442,792 
WesBanco, Inc.(a)   2,401    93,711 
Williams Cos., Inc.   8,817    655,456 
Xcel Energy, Inc.   4,886    392,346 
Zions Bancorp NA   1,861    128,763 
Total United States        84,462,738 
TOTAL COMMON STOCKS          
(Cost: $106,582,782)        139,457,489 
MUTUAL FUND — 0.1%          
United States — 0.1%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)          
(Cost: $103,270)   103,270    103,270 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.6%          
United States — 0.6%          
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)          
(Cost: $849,738)   849,738   $849,738 
TOTAL INVESTMENTS IN SECURITIES — 100.1%
(Cost: $107,535,790)
        140,410,497 
Other Liabilities less Assets — (0.1)%        (128,606)
NET ASSETS — 100.0%       $140,281,891 

 

* Non-income producing security.
^ This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $7,578,906 and the total market value of the collateral held by the Fund was $7,857,983. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $7,008,245.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)This security is exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. This security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
(d)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

ABBREVIATIONS:

ADR American Depositary Receipt
CVA Certificaten van Aandelen (Certificate of Stock)
GDR Global Depositary Receipt
NVDR Non-Voting Depositary Receipt

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree Global High Dividend Fund (DEW)

June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
 
WisdomTree International High Dividend Fund  $   $228,590   $220,914   $(7,676)  $   $^   $5,008 
WisdomTree U.S. High Dividend Fund       76,784    78,058    1,274        ^    344 
Total  $   $305,374   $298,972   $(6,402)  $   $   $5,352 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Russia  $   $   $0*   $0 
Other   139,457,489            139,457,489 
Mutual Fund       103,270        103,270 
Investment of Cash Collateral for Securities Loaned       849,738        849,738 
Total Investments in Securities  $139,457,489   $953,008   $0   $140,410,497 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree India Earnings Fund (EPI)(consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 102.3%
India — 102.3%
Aerospace & Defense — 1.5%          
Bharat Dynamics Ltd.   97,986   $1,416,499 
Bharat Electronics Ltd.   3,703,856    16,113,121 
Data Patterns India Ltd.   4,234    201,361 
Garden Reach Shipbuilders & Engineers Ltd.   20,897    601,840 
Hindustan Aeronautics Ltd.   261,090    12,084,329 
Mazagon Dock Shipbuilders Ltd.   67,643    1,784,067 
Total Aerospace & Defense        32,201,217 
Air Freight & Logistics — 0.1%          
Gateway Distriparks Ltd.   1,127,375    688,987 
Transport Corp. of India Ltd.   29,672    289,859 
Total Air Freight & Logistics        978,846 
Automobile Components — 1.4%          
Apollo Tyres Ltd.   441,908    2,008,360 
Asahi India Glass Ltd.   133,235    1,196,682 
Balkrishna Industries Ltd.   65,843    1,516,649 
Banco Products India Ltd.   39,007    276,238 
Bharat Forge Ltd.   147,119    3,332,369 
Bosch Ltd.   7,376    3,109,088 
Ceat Ltd.   13,262    487,924 
CIE Automotive India Ltd.   55,888    270,292 
Endurance Technologies Ltd.(a)   23,808    672,448 
Exide Industries Ltd.   782,902    3,205,756 
FIEM Industries Ltd.   11,705    279,620 
Gabriel India Ltd.   104,482    1,367,909 
JBM Auto Ltd.   7,756    57,171 
JK Tyre & Industries Ltd.   291,740    1,214,469 
Minda Corp. Ltd.   119,531    879,889 
Motherson Sumi Wiring India Ltd.*   374,548    158,748 
Pricol Ltd.   40,152    255,481 
Samvardhana Motherson International Ltd.   2,464,441    3,856,044 
Sansera Engineering Ltd.(a)   25,052    845,893 
Schaeffler India Ltd.   17,960    794,929 
SKF India Ltd.   12,095    213,703 
Sona Blw Precision Forgings Ltd.(a)   101,055    661,788 
Steel Strips Wheels Ltd.   114,731    279,595 
Sundram Fasteners Ltd.   39,386    388,685 
Suprajit Engineering Ltd.   104,509    508,862 
Tube Investments of India Ltd.   37,674    1,205,656 
UNO Minda Ltd.   106,148    1,219,832 
Varroc Engineering Ltd.(a)   108,815    727,665 
Total Automobile Components        30,991,745 
Automobiles — 4.5%          
Bajaj Auto Ltd.   115,192    11,823,582 
Eicher Motors Ltd.   173,162    12,939,759 
Hero MotoCorp Ltd.   219,160    11,100,070 
Hyundai Motor India Ltd.   78,588    1,581,993 
Mahindra & Mahindra Ltd.   992,289    32,169,625 
Maruti Suzuki India Ltd.   126,163    18,812,743 
TVS Motor Co. Ltd.   170,858    6,246,345 
Total Automobiles        94,674,117 
Banks — 22.4%          
AU Small Finance Bank Ltd.(a)   254,863   2,792,195 
Axis Bank Ltd.   2,501,351    35,560,031 
Bandhan Bank Ltd.(a)   1,235,578    2,665,156 
Bank of Baroda   4,561,530    13,126,740 
Bank of India   2,160,024    3,203,796 
Bank of Maharashtra   2,334,321    2,254,945 
Canara Bank   9,945,436    13,187,911 
Central Bank of India Ltd.   1,464,705    503,354 
City Union Bank Ltd.   1,522,094    3,354,247 
CSB Bank Ltd.*   162,805    584,513 
DCB Bank Ltd.   585,251    1,145,045 
Federal Bank Ltd.   5,264,028    18,354,272 
HDFC Bank Ltd.   12,813,498    108,014,639 
ICICI Bank Ltd.   7,978,127    115,906,033 
IDBI Bank Ltd.   1,343,633    1,185,666 
IDFC First Bank Ltd.   17,416,698    14,625,730 
Indian Bank   923,295    7,965,548 
Indian Overseas Bank*   1,424,171    512,895 
Jammu & Kashmir Bank Ltd.   831,835    1,359,812 
Jana Small Finance Bank Ltd.*   29,468    145,925 
Karnataka Bank Ltd.   725,604    2,095,740 
Karur Vysya Bank Ltd.   1,671,835    5,229,631 
Kotak Mahindra Bank Ltd.   6,999,407    29,004,370 
Punjab National Bank   3,009,640    3,392,169 
RBL Bank Ltd.(a)   1,242,900    4,845,746 
South Indian Bank Ltd.   4,198,673    2,023,959 
State Bank of India   5,939,110    64,430,093 
Tamilnad Mercantile Bank Ltd.   63,476    491,835 
UCO Bank   495,664    141,328 
Ujjivan Small Finance Bank Ltd.*(a)   3,669,205    2,288,923 
Union Bank of India Ltd.   5,802,675    10,570,130 
Yes Bank Ltd.*   7,077,059    1,807,792 
Total Banks        472,770,169 
Beverages — 0.5%          
Globus Spirits Ltd.   29,787    283,666 
Radico Khaitan Ltd.   84,209    3,509,941 
Som Distilleries & Breweries Ltd.*   148,016    105,986 
Sula Vineyards Ltd.   123,931    200,654 
Tilaknagar Industries Ltd.   74,360    357,547 
United Breweries Ltd.   23,189    327,531 
United Spirits Ltd.   156,477    2,232,298 
Varun Beverages Ltd.   539,809    2,894,398 
Total Beverages        9,912,021 
Biotechnology — 0.0%          
Biocon Ltd.   217,477    961,038 
Broadline Retail — 0.1%          
RattanIndia Enterprises Ltd.*   1,118,086    394,040 
Vishal Mega Mart Ltd.*   609,845    759,901 
Total Broadline Retail        1,153,941 
Building Products — 0.3%          
Astral Ltd.   33,347    470,514 
Blue Star Ltd.   101,118    1,739,410 
Carysil Ltd.   4,872    61,670 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
Cera Sanitaryware Ltd.   7,878   $536,928 
Dalmia Bharat Refractories Ltd.*^   3,143    320 
Electrosteel Castings Ltd.   905,255    762,008 
Kajaria Ceramics Ltd.   36,792    470,459 
Supreme Industries Ltd.   34,523    1,151,681 
Total Building Products        5,192,990 
Capital Markets — 0.9%          
360 ONE WAM Ltd.   146,869    1,667,309 
Aditya Birla Sun Life Asset Management Co. Ltd.   33,642    410,384 
Anand Rathi Wealth Ltd.   41,644    869,626 
Angel One Ltd.   129,414    452,053 
Care Ratings Ltd.   15,850    276,349 
CRISIL Ltd.   13,691    589,968 
HDFC Asset Management Co. Ltd.(a)   209,022    5,858,699 
IIFL Securities Ltd.   112,248    400,984 
Indian Energy Exchange Ltd.(a)   291,282    385,047 
Kfin Technologies Ltd.   30,165    280,367 
Motilal Oswal Financial Services Ltd.   83,274    836,886 
Multi Commodity Exchange of India Ltd.   106,158    3,181,866 
Nippon Life India Asset Management Ltd.(a)   145,947    1,791,598 
Share India Securities Ltd.   146,610    208,255 
UTI Asset Management Co. Ltd.   116,227    1,148,165 
Total Capital Markets        18,357,556 
Chemicals — 3.3%          
Aarti Industries Ltd.   221,711    1,073,436 
Alkyl Amines Chemicals   22,787    412,463 
Anupam Rasayan India Ltd.   79,329    1,059,634 
Archean Chemical Industries Ltd.   26,477    146,093 
Asian Paints Ltd.   228,805    6,370,899 
Atul Ltd.   12,511    854,410 
Balaji Amines Ltd.   27,225    585,549 
Bayer CropScience Ltd.   10,202    446,896 
Berger Paints India Ltd.   352,736    1,900,835 
Bhansali Engineering Polymers Ltd.   289,094    303,635 
Carborundum Universal Ltd.   59,589    741,693 
Castrol India Ltd.   977,903    1,905,314 
Chambal Fertilisers & Chemicals Ltd.   329,524    1,629,017 
Clean Science & Technology Ltd.   53,859    432,710 
Coromandel International Ltd.   268,985    5,697,465 
DCM Shriram Ltd.   142,867    1,518,039 
Deepak Fertilisers & Petrochemicals Corp. Ltd.   359,085    5,910,604 
Deepak Nitrite Ltd.   39,441    644,331 
Dhanuka Agritech Ltd.   27,551    307,122 
EID Parry India Ltd.*   495,137    3,734,500 
Finolex Industries Ltd.   322,780    596,295 
Garware Hi-Tech Films Ltd.   8,682    612,453 
GHCL Ltd.   274,440    1,265,670 
Gujarat Fluorochemicals Ltd.   3,779    158,252 
Gujarat Narmada Valley Fertilizers & Chemicals Ltd.   404,761    2,323,579 
Gulf Oil Lubricants India Ltd.   24,919    279,507 
Himadri Speciality Chemical Ltd.   314,531    2,256,838 
India Glycols Ltd.   28,220    294,054 
Indigo Paints Ltd.   454   4,869 
JSW Dulux Ltd.   34,104    1,163,032 
Jubilant Ingrevia Ltd.   120,191    772,249 
Kansai Nerolac Paints Ltd.   228,091    491,706 
Kiri Industries Ltd.*   194,442    783,550 
Laxmi Organic Industries Ltd.   266,756    436,718 
Linde India Ltd.   8,896    687,086 
Mayur Uniquoters Ltd.   37,827    343,988 
Navin Fluorine International Ltd.   35,376    2,872,796 
NOCIL Ltd.   252,590    479,810 
Paradeep Phosphates Ltd.(a)   516,691    742,514 
PI Industries Ltd.   37,964    1,024,753 
Pidilite Industries Ltd.   118,707    1,997,329 
Polyplex Corp. Ltd.   60,841    611,632 
Rallis India Ltd.   232,642    546,910 
Rashtriya Chemicals & Fertilizers Ltd.   731,308    1,011,684 
Sharda Cropchem Ltd.   58,886    547,095 
Solar Industries India Ltd.   13,586    2,683,364 
SRF Ltd.   169,035    4,891,115 
Styrenix Performance Materials Ltd.   6,711    162,907 
Sudarshan Chemical Industries Ltd.   132,639    1,235,888 
Sumitomo Chemical India Ltd.   16,813    74,750 
Supreme Petrochem Ltd.   31,645    238,678 
Tata Chemicals Ltd.   55,906    422,844 
UPL Ltd.   489,318    2,952,695 
Vinati Organics Ltd.   36,878    520,530 
Total Chemicals        71,161,785 
Commercial Services & Supplies — 0.1%          
Doms Industries Ltd.   6,198    151,226 
Indian Railway Catering & Tourism Corp. Ltd.   108,670    577,339 
ION Exchange India Ltd.   68,637    295,986 
Total Commercial Services & Supplies        1,024,551 
Communications Equipment — 0.0%          
Astra Microwave Products Ltd.   37,506    697,987 
Construction & Engineering — 2.2%          
Ahluwalia Contracts India Ltd.   14,322    129,484 
Ashoka Buildcon Ltd.*   798,445    1,101,272 
Capacit'e Infraprojects Ltd.*   82,273    220,530 
Cemindia Projects Ltd.   55,758    764,989 
Dilip Buildcon Ltd.(a)   88,235    418,064 
Engineers India Ltd.   312,975    795,541 
GMR Power & Urban Infra Ltd.*   543,960    569,309 
IRB Infrastructure Developers Ltd.   2,175,527    492,293 
J Kumar Infraprojects Ltd.   99,543    518,070 
Kalpataru Projects International Ltd.   96,666    1,399,153 
KEC International Ltd.   129,701    714,557 
KNR Constructions Ltd.   305,128    427,913 
Larsen & Toubro Ltd.   640,621    28,041,243 
NBCC India Ltd.   1,552,482    1,720,939 
NCC Ltd.   1,244,551    1,948,630 
Patel Engineering Ltd.*   235,214    86,796 
PNC Infratech Ltd.   162,449    391,747 
Praj Industries Ltd.   55,978    207,511 
Rail Vikas Nigam Ltd.   902,302    2,247,968 
Ramky Infrastructure Ltd.*   15,475    65,638 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
Techno Electric & Engineering Co. Ltd.   18,934   $210,825 
Transrail Lighting Ltd.   44,686    241,702 
Voltas Ltd.   113,183    1,527,620 
Waaree Renewable Technologies Ltd.*   15,959    171,672 
Welspun Enterprises Ltd.   372,849    2,369,037 
Total Construction & Engineering        46,782,503 
Construction Materials — 2.2%          
ACC Ltd.   35,196    493,479 
Ambuja Cements Ltd.   597,220    2,661,532 
Dalmia Bharat Ltd.   88,300    1,586,361 
Grasim Industries Ltd.   796,029    26,069,327 
JK Cement Ltd.   29,268    1,683,411 
JK Lakshmi Cement Ltd.*   111,489    713,570 
Nuvoco Vistas Corp. Ltd.*   58,616    187,659 
Orient Cement Ltd.   206,763    292,194 
Ramco Cements Ltd.   58,404    573,775 
Shree Cement Ltd.   4,760    1,269,719 
Star Cement Ltd.   62,430    136,997 
UltraTech Cement Ltd.   85,413    10,153,868 
Total Construction Materials        45,821,892 
Consumer Finance — 0.1%          
SBFC Finance Ltd.*   470,570    451,238 
SBI Cards & Payment Services Ltd.   258,377    1,619,177 
Total Consumer Finance        2,070,415 
Consumer Staples Distribution & Retail — 0.1%          
Avenue Supermarts Ltd.*(a)   50,721    2,347,311 
Medplus Health Services Ltd.*   19,113    163,702 
Total Consumer Staples Distribution & Retail        2,511,013 
Containers & Packaging — 0.1%          
AGI Greenpac Ltd.   24,416    177,796 
Cosmo First Ltd.   25,440    211,846 
EPL Ltd.   244,702    581,130 
Time Technoplast Ltd.   556,568    1,058,116 
Total Containers & Packaging        2,028,888 
Diversified Consumer Services — 0.0%          
NIIT Learning Systems Ltd.   956    2,384 
Diversified Telecommunication Services — 0.4%          
Indus Towers Ltd.*   1,304,958    5,399,945 
Railtel Corp. of India Ltd.   1,371    4,460 
Tata Communications Ltd.   140,853    2,932,269 
Total Diversified Telecommunication Services        8,336,674 
Electric Utilities — 3.1%          
Adani Energy Solutions Ltd.*   113,542    1,788,916 
CESC Ltd.   2,645,802    4,718,400 
Power Grid Corp. of India Ltd.   14,307,582    43,273,979 
SJVN Ltd.   833,720    644,279 
Tata Power Co. Ltd.   2,345,789    9,553,281 
Torrent Power Ltd.   371,107    5,547,076 
Total Electric Utilities        65,525,931 
Electrical Equipment — 2.1%          
ABB India Ltd.   17,762   1,319,314 
Amara Raja Energy & Mobility Ltd.   233,925    2,080,665 
Bharat Bijlee Ltd.   4,798    146,228 
Bharat Heavy Electricals Ltd.   377,238    1,650,289 
CG Power & Industrial Solutions Ltd.   279,029    2,806,687 
Finolex Cables Ltd.   75,923    937,941 
GE Vernova T&D India Ltd.   24,688    1,289,447 
Graphite India Ltd.   52,120    337,744 
Havells India Ltd.   131,957    1,616,097 
HBL Engineering Ltd.   24,199    207,647 
HEG Ltd.   194,214    1,060,128 
Hitachi Energy India Ltd.   973    358,944 
KEI Industries Ltd.   74,841    4,291,199 
Polycab India Ltd.   31,813    3,347,702 
RR Kabel Ltd.   34,523    873,554 
Schneider Electric Infrastructure Ltd.*   15,307    219,954 
Siemens Energy India Ltd.   41,221    1,603,965 
Suzlon Energy Ltd.*   30,014,604    18,676,141 
TD Power Systems Ltd.   17,424    227,936 
Transformers & Rectifiers India Ltd.*   67,060    248,910 
Triveni Turbine Ltd.   883    6,434 
V-Guard Industries Ltd.   16,180    51,279 
Voltamp Transformers Ltd.   5,051    553,851 
Total Electrical Equipment        43,912,056 
Electronic Equipment, Instruments & Components — 0.4%          
Genus Power Infrastructures Ltd.   234,191    740,732 
Kaynes Technology India Ltd.*   5,142    169,586 
PG Electroplast Ltd.   37,865    213,369 
Redington Ltd.   2,437,699    7,112,324 
Syrma SGS Technology Ltd.   11,120    164,030 
Total Electronic Equipment, Instruments & Components        8,400,041 
Entertainment — 0.1%          
Saregama India Ltd.   189,751    987,857 
Tips Music Ltd.   37,377    247,498 
Total Entertainment        1,235,355 
Financial Services — 0.4%          
Aadhar Housing Finance Ltd.*   62,769    341,899 
AvenuesAI Ltd.*   1,605,787    279,736 
Bajaj Finserv Ltd.   342,734    6,445,628 
Bajaj Housing Finance Ltd.*   1,050,505    971,058 
India Shelter Finance Corp. Ltd.   30,788    250,233 
Total Financial Services        8,288,554 
Food Products — 1.3%          
Avanti Feeds Ltd.   63,010    620,656 
AWL Agri Business Ltd.   217,964    422,786 
Balrampur Chini Mills Ltd.   197,086    1,155,444 
Bikaji Foods International Ltd.   302    2,076 
Bombay Burmah Trading Co.   40,761    661,072 
Britannia Industries Ltd.   85,147    4,629,356 
CCL Products India Ltd.   59,972    748,361 
Dodla Dairy Ltd.   15,945    189,116 
Godrej Agrovet Ltd.(a)   46,812    275,208 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
Gujarat Ambuja Exports Ltd.   183,472   $320,450 
Hatsun Agro Product Ltd.   32,528    315,886 
Heritage Foods Ltd.   27,381    94,950 
Kaveri Seed Co. Ltd.   72,359    680,525 
KRBL Ltd.   189,002    749,249 
LT Foods Ltd.   407,150    1,578,555 
Marico Ltd.   384,948    3,400,771 
Mrs Bectors Food Specialities Ltd.   158,417    300,186 
Nestle India Ltd.   323,930    4,808,710 
Parag Milk Foods Ltd.(a)   44,422    109,606 
Patanjali Foods Ltd.   187,873    815,827 
Tata Consumer Products Ltd.   342,701    3,894,085 
Triveni Engineering & Industries Ltd.   338,876    1,512,719 
Zydus Wellness Ltd.   73,962    449,591 
Total Food Products        27,735,185 
Gas Utilities — 0.9%          
Adani Total Gas Ltd.   89,003    687,841 
GAIL India Ltd.   6,490,616    11,893,906 
Gujarat Energy Ltd.   544,049    1,879,712 
Indraprastha Gas Ltd.   1,443,943    2,513,586 
Mahanagar Gas Ltd.   172,058    2,134,122 
Total Gas Utilities        19,109,167 
Ground Transportation — 0.1%          
Container Corp. of India Ltd.   390,788    1,962,016 
VRL Logistics Ltd.   9,116    22,672 
Total Ground Transportation        1,984,688 
Health Care Equipment & Supplies — 0.0%          
Poly Medicure Ltd.   30,751    548,172 
Health Care Providers & Services — 1.0%          
Apollo Hospitals Enterprise Ltd.   40,692    3,732,227 
Aster DM Healthcare Ltd.(a)   167,536    1,388,394 
Dr. Lal PathLabs Ltd.(a)   40,374    702,140 
Fortis Healthcare Ltd.   399,324    4,036,955 
Global Health Ltd.   19,303    267,913 
Jupiter Life Line Hospitals Ltd.   19,039    285,790 
Krishna Institute of Medical Sciences Ltd.*(a)   86,881    747,667 
Krsnaa Diagnostics Ltd.   35,750    205,378 
Max Healthcare Institute Ltd.   486,771    5,807,029 
Metropolis Healthcare Ltd.(a)   149,889    855,310 
Narayana Hrudayalaya Ltd.   54,224    1,129,462 
Rainbow Children's Medicare Ltd.*   5,155    77,015 
Thyrocare Technologies Ltd.(a)   104,299    605,242 
Vijaya Diagnostic Centre Pvt Ltd.   16,142    230,657 
Total Health Care Providers & Services        20,071,179 
Health Care Technology — 0.0%          
Inventurus Knowledge Solutions Ltd.*   42,496    753,948 
Hotels, Restaurants & Leisure — 0.4%          
Chalet Hotels Ltd.   13,903    119,688 
Delta Corp. Ltd.   684,182    460,416 
EIH Ltd.   139,929    473,483 
Eternal Ltd.*   152,471    426,203 
Indian Hotels Co. Ltd.   706,046    5,325,250 
ITC Hotels Ltd.   46,940    89,255 
Jubilant Foodworks Ltd.   185,708   819,276 
Lemon Tree Hotels Ltd.*(a)   277,491    341,958 
Tbo Tek Ltd.*   19,399    292,997 
Total Hotels, Restaurants & Leisure        8,348,526 
Household Durables — 0.3%          
Amber Enterprises India Ltd.*   7,147    568,536 
Bajaj Electricals Ltd.   85,253    287,753 
Cello World Ltd.   91,042    355,959 
Crompton Greaves Consumer Electricals Ltd.   546,407    1,585,963 
Dixon Technologies India Ltd.   17,369    2,187,209 
Eureka Forbes Ltd.*   26,012    125,995 
Symphony Ltd.   16,296    117,264 
Whirlpool of India Ltd.   15,151    130,056 
Total Household Durables        5,358,735 
Household Products — 0.0%          
Jyothy Labs Ltd.   136,483    276,358 
Independent Power & Renewable Electricity Producers — 3.9%          
Adani Green Energy Ltd.*   61,848    974,972 
Adani Power Ltd.*   10,006,009    23,653,858 
Gujarat Industries Power Co. Ltd.   99,494    168,730 
Jaiprakash Power Ventures Ltd.*   298,114    55,649 
JSW Energy Ltd.   402,948    2,482,381 
KPI Green Energy Ltd.(a)   78,143    328,600 
NHPC Ltd.   7,136,288    6,131,439 
NLC India Ltd.   534,753    1,819,065 
NTPC Ltd.   12,439,614    46,869,289 
Total Independent Power & Renewable Electricity Producers        82,483,983 
Independent Power and Renewable Electricity Producers — 0.1%          
Acme Solar Holdings Ltd.   132,528    532,793 
Vedanta Power Ltd.*   4,848,737    2,063,276 
Total Independent Power and Renewable Electricity Producers        2,596,069 
Industrial Conglomerates — 0.5%          
Apar Industries Ltd.   18,990    3,148,658 
Balmer Lawrie & Co. Ltd.   124,762    240,327 
Godrej Industries Ltd.*   62,045    769,969 
Nava Ltd.   807,807    5,175,375 
Siemens Ltd.*   42,248    1,606,704 
Total Industrial Conglomerates        10,941,033 
Insurance — 1.1%          
General Insurance Corp. of India(a)   1,267,124    4,865,895 
HDFC Life Insurance Co. Ltd.(a)   323,594    1,968,562 
ICICI Lombard General Insurance Co. Ltd.(a)   240,888    4,432,286 
ICICI Prudential Life Insurance Co. Ltd.(a)   153,323    790,354 
Life Insurance Corp. of India   1,072,260    4,889,575 
Max Financial Services Ltd.*   81,628    1,365,946 
New India Assurance Co. Ltd.(a)   326,107    613,259 
PB Fintech Ltd.*   37,835    650,950 
SBI Life Insurance Co. Ltd.(a)   202,637    3,779,853 
Star Health & Allied Insurance Co. Ltd.*   377    2,345 
Total Insurance        23,359,025 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
IT Services — 6.2%          
Cigniti Technologies Ltd.*   74,013   $1,146,020 
Coforge Ltd.   98,842    1,530,474 
Cyient Ltd.   79,064    728,299 
Happiest Minds Technologies Ltd.   237,825    856,870 
HCL Technologies Ltd.   1,569,022    17,765,688 
Infosys Ltd.   5,089,550    53,788,855 
LTM Ltd.(a)   56,067    2,095,581 
Mphasis Ltd.   85,479    1,951,974 
Persistent Systems Ltd.   92,402    4,223,352 
Sonata Software Ltd.   132,296    374,070 
Tata Consultancy Services Ltd.   1,091,820    23,431,878 
Tata Technologies Ltd.   41,163    297,485 
Tech Mahindra Ltd.   924,639    13,721,293 
Wipro Ltd.   4,001,567    7,203,000 
Zensar Technologies Ltd.   228,164    1,025,137 
Total IT Services        130,139,976 
Life Sciences Tools & Services — 0.4%          
Divi's Laboratories Ltd.   102,317    7,111,266 
Indegene Ltd.*   73,542    408,192 
SAI Life Sciences Ltd.*(a)   23,921    311,917 
Syngene International Ltd.(a)   31,472    146,125 
Total Life Sciences Tools & Services        7,977,500 
Machinery — 1.4%          
Action Construction Equipment Ltd.   15,280    165,296 
AIA Engineering Ltd.   30,226    1,622,570 
Anup Engineering Limited   12,321    303,447 
Ashok Leyland Ltd.   2,163,258    3,603,954 
BEML Ltd.   9,450    175,745 
Cochin Shipyard Ltd.(a)   112,802    1,796,919 
Craftsman Automation Ltd.   12,597    1,258,918 
Cummins India Ltd.   130,830    7,822,123 
Elgi Equipments Ltd.   185,130    1,169,741 
Escorts Kubota Ltd.   27,064    839,407 
Force Motors Ltd.   2,392    469,511 
GMM Pfaudler Ltd.   1,042    8,691 
Greaves Cotton Ltd.   164,319    381,865 
Grindwell Norton Ltd.   11,729    268,398 
ISGEC Heavy Engineering Ltd.   32,222    314,548 
Jamna Auto Industries Ltd.   127,661    177,172 
Jyoti CNC Automation Ltd.*   31,976    261,831 
Kirloskar Brothers Ltd.   11,581    251,223 
Kirloskar Oil Engines Ltd.   93,024    2,323,174 
Kirloskar Pneumatic Co. Ltd.   26,376    544,190 
LG Balakrishnan & Bros Ltd.   50,971    859,292 
NRB Bearings Ltd.   83,007    389,347 
Olectra Greentech Ltd.   142    2,250 
Shakti Pumps India Ltd.   65,370    402,991 
SKF India Industrial Ltd.*   21,149    646,097 
Tega Industries Ltd.   8,207    147,114 
Texmaco Rail & Engineering Ltd.   292,107    332,228 
Thermax Ltd.   33,432    1,822,255 
Timken India Ltd.   17,697    651,672 
Titagarh Rail System Ltd.   737    6,857 
Total Machinery        29,018,826 
Marine Transportation — 0.1%          
Shipping Corp. of India Ltd.   702,039   2,264,265 
Media — 0.1%          
Affle 3i Ltd.*   45,577    683,472 
Sun TV Network Ltd.   235,369    1,281,915 
Zee Entertainment Enterprises Ltd.   360,874    394,618 
Total Media        2,360,005 
Metals & Mining — 9.3%          
APL Apollo Tubes Ltd.   98,327    1,858,016 
Ashapura Minechem Ltd.   48,960    341,938 
Godawari Power & Ispat Ltd.   658,463    1,778,347 
Goodluck India Ltd.   8,517    133,794 
Gravita India Ltd.*   13,860    238,695 
Hindalco Industries Ltd.   5,023,241    50,763,742 
Hindustan Copper Ltd.   148,620    786,758 
Hindustan Zinc Ltd.   615,735    3,468,027 
Jai Balaji Industries Ltd.*   421,998    301,323 
Jindal Saw Ltd.   464,832    1,284,075 
Jindal Stainless Ltd.   715,298    5,234,077 
Jindal Steel Ltd.   664,043    7,436,734 
JSW Steel Ltd.   776,811    10,064,373 
Kalyani Steels Ltd.   25,948    241,213 
Lloyds Metals & Energy Ltd.   67,494    1,290,859 
Maharashtra Seamless Ltd.   15,985    100,950 
Mishra Dhatu Nigam Ltd.(a)   4,681    20,693 
National Aluminium Co. Ltd.   2,799,326    10,042,929 
NMDC Ltd.   16,434,467    14,785,313 
Prakash Industries Ltd.   281,064    413,525 
Ramkrishna Forgings Ltd.   61,915    369,493 
Ratnamani Metals & Tubes Ltd.   25,348    672,135 
Sandur Manganese & Iron Ores Ltd.   484,081    1,037,367 
Sarda Energy & Minerals Ltd.   320,513    1,680,464 
Shyam Metalics & Energy Ltd.   49,774    499,534 
Steel Authority of India Ltd.   2,794,443    5,121,639 
Surya Roshni Ltd.   198,325    542,080 
Tata Steel Ltd.   16,775,899    33,328,938 
Usha Martin Ltd.   275,141    1,444,320 
Vedanta Aluminium Metal Ltd.*   4,848,737    22,971,617 
Vedanta Iron & Steel Ltd.*   4,848,737    1,806,135 
Vedanta Ltd.   4,811,033    14,269,125 
Welspun Corp. Ltd.   178,906    2,876,407 
Total Metals & Mining        197,204,635 
Office REITs — 0.0%          
Mindspace Business Parks REIT(a)   166,769    834,015 
Oil, Gas & Consumable Fuels — 16.4%          
Aegis Logistics Ltd.   305,010    3,782,709 
Bharat Petroleum Corp. Ltd.   1,919,977    6,156,948 
Chennai Petroleum Corp. Ltd.   79,417    970,115 
Coal India Ltd.   12,609,702    58,486,824 
Great Eastern Shipping Co. Ltd.   800,607    12,543,798 
Gujarat Mineral Development Corp. Ltd.   86,519    533,736 
Hindustan Oil Exploration Co. Ltd.*   284,146    482,898 
Hindustan Petroleum Corp. Ltd.   3,170,455    13,211,520 
Indian Oil Corp. Ltd.   10,591,800    15,595,865 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
Mangalore Refinery & Petrochemicals Ltd.   1,037,412   $1,633,513 
Oil & Natural Gas Corp. Ltd.   22,302,065    55,343,590 
Oil India Ltd.   5,663,530    24,946,546 
Petronet LNG Ltd.   2,538,904    7,531,520 
Reliance Industries Ltd.   10,381,504    141,905,825 
Vedanta Oil & Gas Ltd.*   4,848,737    1,651,440 
Total Oil, Gas & Consumable Fuels        344,776,847 
Paper & Forest Products — 0.1%          
Century Plyboards India Ltd.   71,882    568,738 
JK Paper Ltd.   459,973    1,705,363 
Total Paper & Forest Products        2,274,101 
Passenger Airlines — 0.3%          
InterGlobe Aviation Ltd.(a)   99,961    5,669,108 
Personal Care Products — 1.1%          
Bajaj Consumer Care Ltd.*   429,835    2,719,993 
Colgate-Palmolive India Ltd.   91,445    1,930,069 
Dabur India Ltd.   369,250    1,646,941 
Emami Ltd.   232,668    993,756 
Gillette India Ltd.   2,710    219,858 
Godrej Consumer Products Ltd.   203,922    2,175,829 
Hindustan Unilever Ltd.   558,439    12,496,314 
Total Personal Care Products        22,182,760 
Pharmaceuticals — 4.8%          
Aarti Drugs Ltd.   73,885    294,966 
Aarti Pharmalabs Ltd.   63,253    454,424 
Acutaas Chemicals Ltd.   5,917    220,418 
Aether Industries Ltd.*   3,515    50,468 
Ajanta Pharma Ltd.   27,670    1,000,500 
Alembic Pharmaceuticals Ltd.   90,573    787,238 
Alivus Life Sciences Ltd.   28,446    347,541 
Alkem Laboratories Ltd.   31,714    1,866,145 
Aurobindo Pharma Ltd.   418,759    6,983,980 
Blue Jet Healthcare Ltd.   51,116    283,610 
Caplin Point Laboratories Ltd.   85,199    2,363,570 
Cipla Ltd.   556,889    8,621,127 
Cohance Lifesciences Ltd.*   96,290    464,011 
Concord Biotech Ltd.   38,274    517,632 
Dr. Reddy’s Laboratories Ltd.   1,087,059    15,584,907 
FDC Ltd.   42,862    191,922 
Gland Pharma Ltd.(a)   55,220    1,455,480 
GlaxoSmithKline Pharmaceuticals Ltd.   37,368    967,294 
Glenmark Pharmaceuticals Ltd.   116,268    2,707,510 
Granules India Ltd.   299,244    2,570,921 
IOL Chemicals & Pharmaceuticals Ltd.   303,396    465,677 
Ipca Laboratories Ltd.   111,354    2,001,011 
JB Chemicals & Pharmaceuticals Ltd.   50,669    1,228,951 
Jubilant Pharmova Ltd.   24,117    247,364 
Laurus Labs Ltd.(a)   519,393    8,325,981 
Lupin Ltd.   126,883    3,242,489 
Mankind Pharma Ltd.   41,828    1,124,855 
Marksans Pharma Ltd.   387,795    1,117,639 
Natco Pharma Ltd.   127,024    1,249,725 
Neuland Laboratories Ltd.   15,082    2,960,196 
Strides Pharma Science Ltd.   49,686    573,659 
Sun Pharmaceutical Industries Ltd.   1,216,791   23,941,508 
Supriya Lifescience Ltd.   5,100    54,850 
Torrent Pharmaceuticals Ltd.   60,096    2,933,163 
Zydus Lifesciences Ltd.   327,093    3,844,586 
Total Pharmaceuticals        101,045,318 
Professional Services — 0.4%          
BLS International Services Ltd.   137,896    365,066 
Computer Age Management Services Ltd.   177,734    1,496,189 
Datamatics Global Services Ltd.   42,912    366,339 
Digitide Solutions Ltd.*   101,377    90,915 
eClerx Services Ltd.   120,434    1,685,666 
Firstsource Solutions Ltd.   754,998    1,822,117 
International Gemological Institute Ltd.   138,111    518,178 
L&T Technology Services Ltd.(a)   28,774    954,424 
Quess Corp. Ltd.(a)   224,707    635,270 
RITES Ltd.   178,261    385,132 
Sagility Ltd.   1,058,149    440,435 
TeamLease Services Ltd.*   34,854    532,096 
Total Professional Services        9,291,827 
Real Estate Management & Development — 0.9%          
Anant Raj Ltd.   80,944    445,728 
Brigade Enterprises Ltd.   37,187    196,682 
DLF Ltd.   354,984    2,325,277 
Embassy Developments Ltd.*   350,127    229,772 
Ganesh Housing Ltd.   66,874    539,747 
Genus Prime Infra Ltd.*   22,720    7,520 
Godrej Properties Ltd.*   50,062    987,185 
Lodha Developers Ltd.(a)   57,405    579,303 
Mahindra Lifespace Developers Ltd.   1,751    6,779 
NESCO Ltd.   46,026    524,351 
Oberoi Realty Ltd.   178,064    3,328,069 
Phoenix Mills Ltd.   305,630    6,291,554 
Prestige Estates Projects Ltd.   197,982    3,272,414 
Sobha Ltd.   69,246    1,008,418 
Total Real Estate Management & Development        19,742,799 
Semiconductors & Semiconductor Equipment — 0.1%          
Premier Energies Ltd.(a)   106,901    1,186,926 
WAAREE Energies Ltd.   26,069    811,603 
Total Semiconductors & Semiconductor Equipment        1,998,529 
Software — 0.6%          
AurionPro Solutions Ltd.   69,415    628,601 
Birlasoft Ltd.   282,628    854,822 
BlackBuck Ltd.*   86,553    485,347 
Intellect Design Arena Ltd.   141,830    1,074,677 
KPIT Technologies Ltd.   8,939    63,417 
Newgen Software Technologies Ltd.   127,364    634,474 
Oracle Financial Services Software Ltd.   53,039    6,037,706 
Rategain Travel Technologies Ltd.*   10,648    101,144 
Tanla Platforms Ltd.   219,863    1,231,258 
Tata Elxsi Ltd.   38,393    1,553,302 
Total Software        12,664,748 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

Investments  Shares   Value 
Specialty Retail — 0.1%          
Cartrade Tech Ltd.*   13,050   $371,267 
Go Fashion India Ltd.*   83,619    347,740 
Metro Brands Ltd.   40,412    428,972 
PC Jeweller Ltd.*   4,025,205    372,504 
Senco Gold Ltd.   68,111    237,593 
Trent Ltd.   29,025    1,006,536 
Total Specialty Retail        2,764,612 
Textiles, Apparel & Luxury Goods — 1.0%          
Arvind Ltd.   484,068    3,002,325 
Campus Activewear Ltd.   264,065    656,266 
Garware Technical Fibres Ltd.   34,569    279,612 
Gokaldas Exports Ltd.*   7,229    66,689 
Indo Count Industries Ltd.   154,969    717,474 
Kalyan Jewellers India Ltd.   67,331    275,061 
KPR Mill Ltd.   97,450    1,212,016 
Page Industries Ltd.   3,892    1,700,974 
Pearl Global Industries Ltd.   8,927    190,085 
Safari Industries India Ltd.   3,381    56,934 
Siyaram Silk Mills Ltd.   10,874    73,308 
Swan Corp. Ltd.   133,377    441,660 
Titan Co. Ltd.   165,688    7,708,637 
Trident Ltd.   1,663,500    459,024 
Vaibhav Global Ltd.   49,321    119,454 
Vardhman Textiles Ltd.   244,441    1,642,755 
Welspun Living Ltd.*   368,946    619,102 
Total Textiles, Apparel & Luxury Goods        19,221,376 
Tobacco — 0.6%          
Godfrey Phillips India Ltd.   74,577    1,712,079 
ITC Ltd.   3,332,921    10,103,468 
VST Industries Ltd.   159,571    438,801 
Total Tobacco        12,254,348 
Trading Companies & Distributors — 0.3%          
Adani Enterprises Ltd.   87,913    2,819,643 
IndiaMart InterMesh Ltd.(a)   26,281    529,292 
MMTC Ltd.*   701,835    504,548 
MSTC Ltd.   133,991    1,004,167 
Refex Industries Ltd.   51,918    195,367 
Sanghvi Movers Ltd.   45,530    210,866 
Total Trading Companies & Distributors        5,263,883 
Transportation Infrastructure — 0.8%          
Adani Ports & Special Economic Zone Ltd.   792,411    15,153,617 
Gujarat Pipavav Port Ltd.   407,819    650,985 
JSW Infrastructure Ltd.   189,339    644,373 
Total Transportation Infrastructure        16,448,975 
Water Utilities — 0.0%          
VA Tech Wabag Ltd.   29,025    616,046 
Wireless Telecommunication Services — 1.4%          
Bharti Airtel Ltd.   1,533,018    29,993,522 
Bharti Hexacom Ltd.   24,509   383,978 
Total Wireless Telecommunication Services        30,377,500 
TOTAL COMMON STOCKS
(COST: $1,476,223,391)
        2,154,951,736 
MUTUAL FUND — 0.2%          
United States — 0.2%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)          
(Cost: $3,181,343)   3,181,343    3,181,343 
TOTAL INVESTMENTS IN SECURITIES — 102.5%
(Cost: $1,479,404,734)
        2,158,133,079 
Other Liabilities less Assets — (2.5)%        (51,728,427)
NET ASSETS — 100.0%       $2,106,404,652 

 

* Non-income producing security.
^ This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $320, which represents 0.0% of net assets.

(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree India Earnings Fund (EPI) (consolidated)

June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Building Products  $5,192,670   $   $320*   $5,192,990 
Other   2,149,758,746            2,149,758,746 
Mutual Fund       3,181,343        3,181,343 
Total Investments in Securities  $2,154,951,416   $3,181,343   $320   $2,158,133,079 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree India Hedged Equity Fund (INDH)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 102.0%
India — 102.0%
Aerospace & Defense — 2.2%          
Bharat Electronics Ltd.   20,154   $87,677 
Hindustan Aeronautics Ltd.   921    42,628 
Total Aerospace & Defense        130,305 
Automobiles — 8.9%          
Bajaj Auto Ltd.   393    40,338 
Eicher Motors Ltd.   841    62,845 
Hero MotoCorp Ltd.   774    39,202 
Mahindra & Mahindra Ltd.   5,618    182,133 
Maruti Suzuki India Ltd.   695    103,635 
Tata Motors Passenger Vehicles Limited   10,527    39,168 
TVS Motor Co. Ltd.   1,382    50,524 
Total Automobiles        517,845 
Banks — 22.3%          
Axis Bank Ltd.   12,977    184,485 
HDFC Bank Ltd.   54,325    457,946 
ICICI Bank Ltd.   28,779    418,101 
Kotak Mahindra Bank Ltd.   29,974    124,207 
State Bank of India   10,191    110,557 
Total Banks        1,295,296 
Beverages — 1.1%          
United Spirits Ltd.   1,905    27,177 
Varun Beverages Ltd.   6,695    35,898 
Total Beverages        63,075 
Chemicals — 1.6%          
Asian Paints Ltd.   2,537    70,641 
Pidilite Industries Ltd.   1,302    21,907 
Total Chemicals        92,548 
Construction & Engineering — 2.8%          
Larsen & Toubro Ltd.   3,741    163,751 
Construction Materials — 2.8%          
Ambuja Cements Ltd.   4,011    17,875 
Grasim Industries Ltd.   1,953    63,959 
UltraTech Cement Ltd.   682    81,076 
Total Construction Materials        162,910 
Consumer Staples Distribution & Retail — 0.7%          
Avenue Supermarts Ltd.*(a)   825    38,180 
Electric Utilities — 2.0%          
Power Grid Corp. of India Ltd.   24,722    74,773 
Tata Power Co. Ltd.   10,025    40,827 
Total Electric Utilities        115,600 
Electrical Equipment — 0.3%          
Suzlon Energy Ltd.*   26,521    16,502 
Financial Services — 0.6%          
Bajaj Finserv Ltd.   1,985    37,331 
Food Products — 2.3%          
Britannia Industries Ltd.   661    35,938 
Nestle India Ltd.   4,088    60,686 
Tata Consumer Products Ltd.   3,420   38,861 
Total Food Products        135,485 
Gas Utilities — 0.3%          
GAIL India Ltd.   9,545    17,491 
Health Care Providers & Services — 1.7%          
Apollo Hospitals Enterprise Ltd.   548    50,262 
Max Healthcare Institute Ltd.   3,942    47,027 
Total Health Care Providers & Services        97,289 
Hotels, Restaurants & Leisure — 2.0%          
Eternal Ltd.*   27,495    76,857 
Indian Hotels Co. Ltd.   4,826    36,399 
Total Hotels, Restaurants & Leisure        113,256 
Independent Power & Renewable Electricity Producers — 3.3%          
Adani Green Energy Ltd.*   2,051    32,332 
Adani Power Ltd.*   25,164    59,487 
NTPC Ltd.   25,578    96,372 
Total Independent Power & Renewable Electricity Producers        188,191 
Independent Power and Renewable Electricity Producers — 0.0%          
Vedanta Power Ltd.*   4,400    1,872 
Insurance — 2.0%          
HDFC Life Insurance Co. Ltd.(a)   4,899    29,803 
ICICI Lombard General Insurance Co. Ltd.(a)   1,164    21,417 
PB Fintech Ltd.*   841    14,469 
SBI Life Insurance Co. Ltd.(a)   2,683    50,047 
Total Insurance        115,736 
Interactive Media & Services — 0.4%          
Info Edge India Ltd.   2,028    20,953 
IT Services — 9.1%          
Coforge Ltd.   1,714    26,540 
HCL Technologies Ltd.   5,703    64,574 
Infosys Ltd.   19,827    209,541 
LTM Ltd.(a)   346    12,932 
Persistent Systems Ltd.   280    12,798 
Tata Consultancy Services Ltd.   5,646    121,170 
Tech Mahindra Ltd.   3,523    52,280 
Wipro Ltd.   14,373    25,872 
Total IT Services        525,707 
Life Sciences Tools & Services — 0.8%          
Divi's Laboratories Ltd.   678    47,123 
Machinery — 0.7%          
Cummins India Ltd.   715    42,749 
Metals & Mining — 4.7%          
Hindalco Industries Ltd.   7,693    77,744 
JSW Steel Ltd.   5,584    72,346 
Tata Steel Ltd.   44,439    88,288 
Vedanta Aluminium Metal Ltd.*   4,400    20,846 
Vedanta Iron & Steel Ltd.*   4,400    1,639 
Vedanta Ltd.   3,945    11,700 
Total Metals & Mining        272,563 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree India Hedged Equity Fund (INDH)

June 30, 2026

 

 

Investments  Shares   Value 
Oil, Gas & Consumable Fuels — 11.8%          
Bharat Petroleum Corp. Ltd.   10,192   $32,683 
Coal India Ltd.   10,552    48,943 
Indian Oil Corp. Ltd.   20,312    29,908 
Oil & Natural Gas Corp. Ltd.   22,143    54,949 
Reliance Industries Ltd.   37,651    514,655 
Vedanta Oil & Gas Ltd.*   4,400    1,499 
Total Oil, Gas & Consumable Fuels        682,637 
Passenger Airlines — 0.5%          
InterGlobe Aviation Ltd.(a)   463    26,258 
Personal Care Products — 2.4%          
Godrej Consumer Products Ltd.   2,508    26,760 
Hindustan Unilever Ltd.   5,157    115,399 
Total Personal Care Products        142,159 
Pharmaceuticals — 3.7%          
Cipla Ltd.   3,091    47,852 
Dr. Reddy’s Laboratories Ltd.   3,362    48,200 
Sun Pharmaceutical Industries Ltd.   6,141    120,830 
Total Pharmaceuticals        216,882 
Real Estate Management & Development — 0.4%          
DLF Ltd.   3,803    24,911 
Specialty Retail — 0.9%          
Trent Ltd.   1,536    53,266 
Textiles, Apparel & Luxury Goods — 1.9%          
Titan Co. Ltd.   2,378    110,637 
Tobacco — 0.9%          
ITC Ltd.   16,884    51,182 
Trading Companies & Distributors — 0.8%          
Adani Enterprises Ltd.   1,418    45,480 
Transportation Infrastructure — 1.4%          
Adani Ports & Special Economic Zone Ltd.   4,322    82,651 
Wireless Telecommunication Services — 4.7%          
Bharti Airtel Ltd.   13,806    270,115 
TOTAL COMMON STOCKS
(COST: $6,009,777)
        5,917,936 
MUTUAL FUND — 0.1%          
United States — 0.1%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)          
(Cost: $3,402)   3,402    3,402 
TOTAL INVESTMENTS IN SECURITIES — 102.1%
(Cost: $6,013,179)
        5,921,338 
Other Liabilities less Assets — (2.1)%        (123,658)
NET ASSETS — 100.0%       $5,797,680 

 

* Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

INR Indian rupee
USD United States dollar

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree India Hedged Equity Fund (INDH)

June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/3/2026   566,086,166  INR    5,987,162  USD   $   $(7,321)
Bank of America NA  8/5/2026   5,796,662  USD    549,784,458  INR    6,209     
Goldman Sachs  7/3/2026   5,958,802  USD    566,086,166  INR        (21,039)
                      $6,209   $(28,360)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $5,917,936   $   $   $5,917,936 
Mutual Fund       3,402        3,402 
Total Investments in Securities  $5,917,936   $3,402   $   $5,921,338 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $6,209   $   $6,209 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(28,360)  $   $(28,360)
Total - Net  $5,917,936   $(18,749)  $   $5,899,187 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree International AI Enhanced Value Fund (AIVI)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 97.5%
Australia — 5.9%    
APA Group   49,915   $350,653 
Evolution Mining Ltd.   15,541    126,510 
National Australia Bank Ltd.   48,633    1,275,615 
Northern Star Resources Ltd.   9,193    120,691 
Scentre Group   167,508    447,951 
Sonic Healthcare Ltd.   12,876    185,635 
Suncorp Group Ltd.   11,618    155,264 
Transurban Group   52,218    520,220 
Vicinity Ltd.   165,576    295,955 
Total Australia        3,478,494 
Belgium — 1.7%          
Ageas SA   3,053    244,335 
Anheuser-Busch InBev SA   2,031    168,719 
Syensqo SA   7,856    580,222 
Total Belgium        993,276 
Denmark — 1.1%          
Carlsberg AS, Class B   1,398    183,207 
Danske Bank AS   8,262    442,544 
Total Denmark        625,751 
Finland — 0.2%          
Nokia OYJ   9,299    122,848 
France — 10.2%          
Alstom SA*   7,344    127,751 
AXA SA   12,722    637,801 
Capgemini SE   4,884    491,158 
Carrefour SA   8,095    150,394 
Danone SA   1,988    163,056 
Eiffage SA   4,247    626,857 
Gecina SA   1,918    161,284 
Getlink SE   9,664    205,509 
Klepierre SA   4,492    187,864 
LVMH Moet Hennessy Louis Vuitton SE   277    153,312 
Orange SA   6,815    128,600 
Publicis Groupe SA   1,739    171,900 
Renault SA   7,008    200,947 
TotalEnergies SE   20,588    1,601,308 
Vinci SA   6,899    1,008,039 
Total France        6,015,780 
Germany — 4.0%          
BASF SE   3,607    192,915 
Bayer AG, Registered Shares   17,768    983,408 
Deutsche Telekom AG, Registered Shares   12,194    332,503 
Evonik Industries AG   21,409    388,694 
Fresenius Medical Care AG   3,041    137,680 
Hannover Rueck SE   465    128,868 
HochTief AG   322    186,648 
Total Germany        2,350,716 
Hong Kong — 1.5%          
CK Asset Holdings Ltd.   29,500    166,195 
Hong Kong & China Gas Co. Ltd.   146,000    121,014 
Hongkong Land Holdings Ltd.   22,900    163,048 
Link REIT   30,800   143,355 
Swire Pacific Ltd., Class A   13,500    140,646 
Wharf Real Estate Investment Co. Ltd.   48,000    130,864 
Total Hong Kong        865,122 
Ireland — 0.6%          
AIB Group PLC   29,595    347,665 
Israel — 1.3%          
Mizrahi Tefahot Bank Ltd.   11,275    745,498 
Italy — 7.5%          
Banca Mediolanum SpA   31,428    782,591 
Generali   12,285    598,476 
Intesa Sanpaolo SpA   91,490    626,557 
Italgas SpA   45,324    525,185 
Leonardo SpA   2,426    130,153 
Poste Italiane SpA   19,291    631,226 
Unipol Assicurazioni SpA   39,417    1,100,048 
Total Italy        4,394,236 
Ivory Coast — 0.2%          
Endeavour Mining PLC   2,467    121,281 
Japan — 21.6%          
Advantest Corp.   1,000    198,985 
Aeon Co. Ltd.   23,900    197,200 
AGC, Inc.   9,700    415,693 
Aisin Corp.   18,400    247,541 
Asahi Group Holdings Ltd.   27,300    260,024 
Bridgestone Corp.   47,600    998,714 
East Japan Railway Co.   14,800    310,342 
FANUC Corp.   5,500    248,900 
Fujikura Ltd.   4,500    172,718 
Honda Motor Co. Ltd.   17,300    157,539 
Ibiden Co. Ltd.   1,200    175,838 
Inpex Corp.   6,400    128,571 
JFE Holdings, Inc.(a)   17,400    167,014 
JX Advanced Metals Corp.   7,600    205,659 
Kioxia Holdings Corp.*   400    220,717 
Komatsu Ltd.   18,300    707,341 
Kubota Corp.   31,600    522,146 
Kyowa Kirin Co. Ltd.   9,600    152,809 
Makita Corp.   14,400    513,093 
Mitsubishi Chemical Group Corp.   151,200    1,049,864 
Mitsubishi Corp.   6,100    163,155 
Mitsubishi UFJ Financial Group, Inc.   27,200    536,720 
Mitsui Fudosan Co. Ltd.   15,300    141,115 
Mitsui Kinzoku Co. Ltd.   500    130,903 
Mizuho Financial Group, Inc.   8,100    385,899 
Nippon Steel Corp.   46,500    153,383 
Nippon Yusen KK   4,200    134,793 
Olympus Corp.   13,900    145,307 
ORIX Corp.   8,200    310,240 
Otsuka Corp.   10,100    172,357 
Renesas Electronics Corp.   7,900    233,658 
SMC Corp.   400    175,431 
SoftBank Group Corp.   16,900    620,057 
Subaru Corp.   9,400    138,231 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International AI Enhanced Value Fund (AIVI)

June 30, 2026

 

 

Investments  Shares   Value 
Sumitomo Corp.   38,000   $362,172 
Sumitomo Metal Mining Co. Ltd.   8,100    372,244 
Sumitomo Mitsui Financial Group, Inc.   3,900    152,281 
Takeda Pharmaceutical Co. Ltd.   11,600    367,931 
Terumo Corp.   9,700    133,332 
Toray Industries, Inc.   19,800    137,360 
Toyota Motor Corp.   11,400    191,140 
Unicharm Corp.   54,300    315,259 
West Japan Railway Co.   8,200    137,487 
Total Japan        12,661,163 
Mexico — 0.4%          
Fresnillo PLC   6,578    239,307 
Netherlands — 0.6%          
EXOR NV   1,809    138,571 
Nebius Group NV*(a)   769    212,375 
Total Netherlands        350,946 
Norway — 2.1%          
DNB Bank ASA   40,616    1,209,594 
Portugal — 0.5%          
Banco Comercial Portugues SA, Class R   238,714    282,474 
Singapore — 5.3%          
DBS Group Holdings Ltd.   3,100    156,744 
Oversea-Chinese Banking Corp. Ltd.   64,600    1,238,111 
United Overseas Bank Ltd.   56,500    1,736,781 
Total Singapore        3,131,636 
South Korea — 0.3%          
Delivery Hero SE*(b)   4,373    179,987 
Spain — 5.2%          
Aena SME SA(b)   12,897    393,106 
Amadeus IT Group SA   3,718    217,130 
Banco Bilbao Vizcaya Argentaria SA   39,135    978,531 
Endesa SA   19,701    898,263 
Mapfre SA   84,359    417,618 
Redeia Corp. SA   8,104    137,960 
Total Spain        3,042,608 
Sweden — 5.7%          
Skandinaviska Enskilda Banken AB, Class A   53,708    1,070,481 
Svenska Handelsbanken AB, Class A   45,601    671,895 
Swedbank AB, Class A   42,688    1,596,695 
Total Sweden        3,339,071 
Switzerland — 2.3%          
Nestle SA, Registered Shares   2,062    212,373 
Swatch Group AG, Bearer Shares   1,574    385,573 
Zurich Insurance Group AG   1,054    782,154 
Total Switzerland        1,380,100 
United Kingdom — 13.0%          
Admiral Group PLC   3,732    176,337 
Associated British Foods PLC   5,485    144,580 
Barclays PLC   25,535    171,693 
British American Tobacco PLC   21,685    1,346,106 
GSK PLC   35,856   942,755 
HSBC Holdings PLC   12,342    234,378 
Imperial Brands PLC   17,845    660,568 
M&G PLC   199,470    890,078 
NatWest Group PLC   21,934    194,176 
Reckitt Benckiser Group PLC   9,631    627,760 
Standard Life PLC   98,879    1,093,205 
Unilever PLC   4,633    278,403 
United Utilities Group PLC   42,809    743,750 
Verisure PLC*   11,959    133,446 
Total United Kingdom        7,637,235 
United States — 6.3%          
BP PLC   45,644    282,974 
Haleon PLC   30,675    141,560 
Holcim AG, Registered Shares*   6,094    550,587 
Sanofi SA   4,561    391,512 
Shell PLC   29,288    1,140,130 
Stellantis NV*   32,203    183,186 
Swiss Re AG   6,167    982,408 
Total United States        3,672,357 
TOTAL COMMON STOCKS          
(Cost: $49,101,013)        57,187,145 
PREFERRED STOCKS — 0.6%          
Germany — 0.6%          
Henkel AG & Co. KGaA, 3.01%          
(Cost: $331,270)   4,147    348,673 
EXCHANGE-TRADED FUND — 0.4%          
United States — 0.4%          
iShares MSCI EAFE Value ETF          
(Cost: $234,527)   3,078    235,621 
           
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.6%          
United States — 1.6%          
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)          
(Cost: $940,675)   940,675    940,675 
TOTAL INVESTMENTS IN SECURITIES — 100.1%
(Cost: $50,607,485)
        58,712,114 
Other Liabilities less Assets — (0.1)%        (29,494)
NET ASSETS — 100.0%       $58,682,620 

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $379,379 and the total market value of the collateral held by the Fund was $1,323,338. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $382,663.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree International AI Enhanced Value Fund (AIVI)

June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $57,187,145   $   $   $57,187,145 
Preferred Stocks   348,673            348,673 
Exchange-Traded Fund   235,621            235,621 
Investment of Cash Collateral for Securities Loaned       940,675        940,675 
Total Investments in Securities  $57,771,439   $940,675   $   $58,712,114 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
COMMON STOCKS — 99.3%
Australia — 6.7%    
ALS Ltd.   24,514   $387,899 
Ampol Ltd.   3,653    83,263 
Ansell Ltd.   1,108    24,364 
ANZ Group Holdings Ltd.   70,799    1,733,902 
APA Group   82,293    578,108 
Aristocrat Leisure Ltd.   10,255    435,303 
Aussie Broadband Ltd.   35,014    119,590 
Australian Clinical Labs Ltd.   163    253 
Bendigo & Adelaide Bank Ltd.   10,584    77,359 
BHP Group Ltd.   138,654    5,705,934 
BlueScope Steel Ltd.   9,759    215,474 
Brambles Ltd.   46,194    623,422 
Breville Group Ltd.   13,973    312,293 
CAR Group Ltd.   28,002    499,738 
Centuria Capital Group   36,429    48,709 
Cleanaway Waste Management Ltd.   69,574    113,272 
Cochlear Ltd.   535    45,126 
Codan Ltd.   16,560    506,408 
Coles Group Ltd.   43,156    728,626 
Commonwealth Bank of Australia   32,540    3,711,146 
Computershare Ltd.   12,963    343,784 
Corporate Travel Management Ltd.*^   12,273    91,449 
Cromwell Property Group   298,432    89,938 
CSL Ltd.   2,226    176,949 
Dalrymple Bay Infrastructure Ltd.   54,926    218,803 
Dexus   15,292    57,209 
Dicker Data Ltd.   13,800    120,273 
Downer EDI Ltd.   21,827    121,730 
Dyno Nobel Ltd.   34,504    93,705 
Eagers Automotive Ltd.   2,930    43,156 
Evolution Mining Ltd.   46,318    377,047 
EVT Ltd.   11,750    104,848 
Goodman Group   25,334    546,375 
GPT Group   39,031    131,959 
GWA Group Ltd.   45,894    73,129 
Hansen Technologies Ltd.   13,213    40,644 
Harvey Norman Holdings Ltd.   19,403    64,792 
Helia Group Ltd.   17,768    68,196 
Imdex Ltd.   43,945    124,825 
Ingenia Communities Group   46,453    142,247 
Insurance Australia Group Ltd.   18,719    104,915 
Integral Diagnostics Ltd.   34,555    47,879 
IVE Group Ltd.   55,111    108,434 
JB Hi-Fi Ltd.   5,953    331,919 
Lottery Corp. Ltd.   105,952    422,804 
Lovisa Holdings Ltd.   13,370    218,878 
Lycopodium Ltd.   8,665    108,116 
Maas Group Holdings Ltd.   40,792    150,064 
Macmahon Holdings Ltd.   154,427    102,173 
Macquarie Group Ltd.   5,611    972,953 
Mader Group Ltd.   24,572    134,826 
Metcash Ltd.   44,602    91,156 
Mirvac Group   95,171    113,407 
Monadelphous Group Ltd.   11,121    238,766 
MyState Ltd.   22,944   72,802 
National Australia Bank Ltd.   71,370    1,871,993 
Nick Scali Ltd.   8,056    91,085 
Northern Star Resources Ltd.   33,875    444,730 
NRW Holdings Ltd.   41,307    212,914 
Orica Ltd.   11,797    193,536 
Origin Energy Ltd.   46,307    352,255 
Perseus Mining Ltd.   56,803    188,895 
Pro Medicus Ltd.   2,863    403,501 
Qantas Airways Ltd.   43,998    323,717 
QBE Insurance Group Ltd.   12,402    216,435 
Qube Holdings Ltd.   67,814    239,606 
Ramelius Resources Ltd.   119,873    242,500 
REA Group Ltd.(a)   2,569    247,731 
Redox Ltd.   38,236    105,165 
Regis Healthcare Ltd.   26,331    118,391 
Rio Tinto Ltd.(a)   12,298    1,469,795 
Rio Tinto PLC   42,075    3,977,210 
Scentre Group   211,987    566,897 
SEEK Ltd.   6,462    60,214 
SGH Ltd.   9,770    315,690 
Sigma Healthcare Ltd.   225,540    429,699 
SmartGroup Corp. Ltd.   3,495    30,969 
SRG Global Ltd.   39,284    108,320 
Stockland   141,274    399,329 
Suncorp Group Ltd.   5,885    78,648 
Super Retail Group Ltd.   9,105    83,139 
Supply Network Ltd.   5,342    118,171 
Tasmea Ltd.(a)   19,465    127,976 
Technology One Ltd.   21,280    434,470 
Telstra Group Ltd.   462,253    1,626,864 
TPG Telecom Ltd.   42,284    105,460 
Transurban Group   130,510    1,300,201 
Universal Store Holdings Ltd.(a)   11,942    64,367 
Ventia Services Group Pty. Ltd.   62,070    266,183 
Vicinity Ltd.   195,257    349,007 
Vulcan Steel Ltd.   20,993    74,174 
Waypoint REIT Ltd.   5,025    8,460 
Wesfarmers Ltd.   35,577    2,228,156 
Westgold Resources Ltd.   44,077    143,522 
Westpac Banking Corp.   72,213    1,761,527 
Whitehaven Coal Ltd.   4,968    26,261 
WiseTech Global Ltd.   2,040    46,639 
Woolworths Group Ltd.   26,352    730,814 
Worley Ltd.   6,188    47,415 
Total Australia        44,432,370 
Austria — 0.4%          
ANDRITZ AG   3,062    264,659 
CA Immobilien Anlagen AG   3,882    101,193 
Erste Group Bank AG   8,702    1,165,028 
Kontron AG^    4,264    113,198 
Strabag SE, Bearer Shares   4,049    412,464 
Telekom Austria AG   37,868    419,957 
Verbund AG   3,491    221,914 
Wienerberger AG   878    22,686 
Total Austria        2,721,099 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Belgium — 1.2%          
Ackermans & van Haaren NV   490   $160,110 
Ageas SA   3,962    317,083 
Anheuser-Busch InBev SA   25,437    2,113,107 
Barco NV   2,065    19,808 
Bekaert SA   1,711    76,389 
Cofinimmo SA   1,838    174,100 
Colruyt Group NV   1,960    80,582 
Elia Group SA   2,371    378,965 
Fagron   7,553    208,112 
Financiere de Tubize SA   888    234,523 
KBC Group NV   12,805    1,746,547 
Kinepolis Group NV   3,016    122,238 
Melexis NV   5,046    450,566 
Montea NV   2,811    215,004 
Shurgard Self Storage Ltd.   500    14,634 
Solvay SA   2,986    89,717 
Syensqo SA   2,353    173,786 
UCB SA   1,987    595,195 
VGP NV   3,136    301,890 
Warehouses De Pauw CVA   13,737    346,464 
Total Belgium        7,818,820 
Brazil — 0.0%          
Yara International ASA   1,340    58,960 
Chile — 0.1%          
Antofagasta PLC   15,586    790,225 
China — 0.5%          
BOC Aviation Ltd.(b)   21,200    219,649 
BOC Hong Kong Holdings Ltd.   439,944    2,377,545 
Health & Happiness H&H International Holdings Ltd.   46,000    59,714 
Morimatsu International Holdings Co. Ltd.   47,000    45,969 
Prosus NV^    12,302    534,325 
VSTECS Holdings Ltd.   44,000    49,543 
Total China        3,286,745 
Denmark — 1.1%          
AL Sydbank   1,497    131,886 
Ambu AS, Class B   33,317    310,850 
Carlsberg AS, Class B   1,533    200,899 
Danske Bank AS   23,119    1,238,341 
H Lundbeck AS   5,585    36,288 
ISS AS   4,173    170,801 
Novo Nordisk AS, Class B   85,907    4,133,732 
Pandora AS   3,218    369,445 
Rockwool AS, Class B   36    1,152 
Royal Unibrew AS   1,797    118,572 
Tryg AS   2,261    51,493 
Vestas Wind Systems AS   9,230    260,608 
Total Denmark        7,024,067 
Finland — 1.5%          
Elisa OYJ   6,308    264,967 
Fortum OYJ   24,589    570,405 
F-Secure OYJ   39,673    93,438 
Harvia OYJ(a)   2,510    119,379 
Hiab OYJ, Class B   1,894   120,072 
Kalmar OYJ, Class B   1,483    65,142 
Kemira OYJ   6,955    130,487 
Kone OYJ, Class B   17,273    982,671 
Konecranes OYJ   11,427    351,173 
Metso OYJ   33,425    580,865 
Neste OYJ   14,067    460,611 
Nokian Renkaat OYJ(a)   13,900    190,226 
Nordea Bank Abp   217,812    4,133,806 
Orion OYJ, Class B   5,461    449,224 
Outokumpu OYJ   17,988    103,548 
Puuilo OYJ   8,594    176,466 
Raisio OYJ, Class V   28,402    82,966 
Sampo OYJ, Class A   39,276    412,850 
Sanoma OYJ   15,795    152,774 
Terveystalo OYJ(b)   6,269    54,902 
Valmet OYJ   6,640    160,333 
Wartsila OYJ Abp   15,608    595,654 
Total Finland        10,251,959 
France — 8.2%          
Accor SA   10,949    636,415 
Aeroports de Paris SA(a)   2,671    348,128 
Air Liquide SA   10,026    1,986,261 
Airbus SE   7,006    1,558,258 
AXA SA   110,402    5,534,862 
Ayvens SA(b)   20,700    272,636 
BioMerieux   1,707    134,076 
BNP Paribas SA   47,522    5,549,461 
Bouygues SA   9,864    550,455 
Bureau Veritas SA   12,992    397,784 
Cie de Saint-Gobain SA   9,137    826,932 
Cie des Alpes   3,353    84,528 
Cie Generale des Etablissements Michelin SCA   18,547    715,662 
Covivio SA   3,806    233,235 
Credit Agricole SA   109,862    2,210,024 
Danone SA   19,923    1,634,091 
Dassault Aviation SA   1,541    505,996 
Dassault Systemes SE   8,602    175,205 
Edenred SE   2,216    57,005 
Eiffage SA   1,609    237,488 
Elis SA   4,916    152,315 
Engie SA   128,383    4,049,668 
EssilorLuxottica SA   5,985    1,122,537 
Exosens SAS   5,564    363,231 
Gaztransport & Technigaz SA   3,156    670,775 
Getlink SE   28,771    611,826 
Hermes International SCA   819    1,496,308 
Interparfums SA   6,893    199,856 
Ipsen SA   1,052    203,024 
Kering SA   1,965    555,580 
Klepierre SA   16,432    687,218 
Legrand SA   5,153    870,164 
LISI SA   2,963    222,565 
L'Oreal SA   8,055    3,533,141 
LVMH Moet Hennessy Louis Vuitton SE   9,356    5,178,280 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Mersen SA   963   $45,868 
Nexans SA   848    140,871 
Opmobility   4,309    67,197 
Orange SA   100,596    1,898,263 
Planisware SA   10,019    208,247 
Publicis Groupe SA   6,962    688,192 
Rexel SA   10,402    454,416 
Rubis SCA   2,436    85,502 
Safran SA   4,230    1,668,475 
Societe Generale SA   2,765    244,584 
SPIE SA   5,521    318,133 
Technip Energies NV   5,321    201,485 
Thales SA   2,912    748,424 
Valeo SE   4,285    62,781 
Vallourec SACA^    10,482    245,554 
Veolia Environnement SA   22,781    949,099 
Vicat SACA   1,836    133,293 
Vinci SA   16,476    2,407,370 
Vusion/France(a)   994    143,419 
Total France        54,276,163 
Georgia — 0.0%          
Lion Finance Group PLC   988    148,573 
TBC Bank Group PLC   619    36,412 
Total Georgia        184,985 
Germany — 6.2%          
adidas AG   2,129    436,675 
AIXTRON SE   15,264    918,289 
Allianz SE, Registered Shares   10,655    5,044,509 
Alzchem Group AG   1,036    205,622 
Aurubis AG   510    105,655 
BASF SE   30,637    1,638,576 
Bayer AG, Registered Shares   3,958    219,064 
Bayerische Motoren Werke AG   18,595    1,217,328 
Bechtle AG   4,340    153,720 
Beiersdorf AG   2,780    239,459 
Bilfinger SE   1,758    161,497 
Commerzbank AG   14,219    605,233 
Continental AG   3,111    256,659 
CTS Eventim AG & Co. KGaA   3,436    200,544 
Daimler Truck Holding AG   31,057    1,498,415 
Deutsche Bank AG, Registered Shares   14,458    489,696 
Deutsche Boerse AG   1,844    503,449 
Deutsche Lufthansa AG, Registered Shares   9,681    110,794 
Deutsche Post AG, Registered Shares   36,539    2,218,255 
Deutsche Telekom AG, Registered Shares   112,409    3,065,136 
Deutz AG   17,332    173,288 
DWS Group GmbH & Co. KGaA(b)   2,826    212,113 
E.ON SE   59,560    1,227,412 
Eckert & Ziegler SE   8,324    145,322 
Elmos Semiconductor SE   2,099    432,922 
Fielmann Group AG   5,666    277,256 
Freenet AG   1,575    40,588 
Fresenius Medical Care AG   1,497    67,776 
Fresenius SE & Co. KGaA   4,519    206,508 
Friedrich Vorwerk Group SE   515    39,685 
GEA Group AG   3,642    250,042 
Hannover Rueck SE   1,252   346,974 
Heidelberg Materials AG   3,699    705,831 
Henkel AG & Co. KGaA   1,835    145,179 
Hensoldt AG   4,351    337,072 
HochTief AG   2,081    1,206,258 
Hugo Boss AG   309    13,273 
Indus Holding AG   3,062    90,495 
Infineon Technologies AG   15,610    1,457,557 
KION Group AG   1,400    62,056 
Knorr-Bremse AG   3,510    407,719 
LEG Immobilien SE   842    53,187 
MTU Aero Engines AG   656    272,927 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares   2,685    1,499,578 
Nemetschek SE   1,508    91,550 
PNE AG   8,891    111,613 
RENK Group AG   5,802    279,765 
Rheinmetall AG   499    565,087 
RWE AG   12,936    837,395 
SAP SE   11,064    1,695,029 
Schaeffler AG   32,591    315,976 
Schott Pharma AG & Co. KGaA   12,306    243,401 
Scout24 SE(b)   4,745    392,496 
Siemens AG, Registered Shares   13,004    4,179,990 
Siemens Healthineers AG(b)   14,407    563,326 
Sirius Real Estate Ltd.   154,688    198,534 
Stroeer SE & Co. KGaA   2,866    111,735 
Symrise AG   2,589    259,948 
TAG Immobilien AG   7,042    113,601 
Talanx AG   2,543    321,560 
Traton SE   24,165    916,692 
Vonovia SE   27,101    668,957 
Vossloh AG   1,531    110,012 
Wacker Neuson SE   2,013    43,037 
Total Germany        40,979,297 
Hong Kong — 1.8%          
AIA Group Ltd.   125,965    1,147,684 
ASMPT Ltd.   15,500    471,994 
Bank of East Asia Ltd.   59,400    94,909 
Cathay Pacific Airways Ltd.   473,000    782,900 
CK Asset Holdings Ltd.   30,500    171,829 
CK Infrastructure Holdings Ltd.   87,000    662,314 
CLP Holdings Ltd.   60,500    564,725 
DFI Retail Group Holdings Ltd., Registered Shares   15,900    60,261 
Dream International Ltd.   14,000    11,461 
Hang Lung Group Ltd.   45,000    72,188 
Hang Lung Properties Ltd.   73,000    64,138 
HKT Trust & HKT Ltd.   269,000    399,964 
Hong Kong & China Gas Co. Ltd.   519,570    430,653 
Hong Kong Exchanges & Clearing Ltd.   27,429    1,269,659 
Hongkong Land Holdings Ltd.   48,500    345,320 
Hutchison Telecommunications Hong Kong Holdings Ltd.   96,000    13,466 
Johnson Electric Holdings Ltd.(a)   22,000    54,453 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Kerry Properties Ltd.   30,000   $69,012 
Luk Fook Holdings International Ltd.   27,000    76,227 
Man Wah Holdings Ltd.   47,600    18,149 
MTR Corp. Ltd.(a)   155,553    604,991 
Nissin Foods Co. Ltd.   171,000    143,916 
Pacific Basin Shipping Ltd.   97,000    33,397 
PCCW Ltd.   480,000    326,241 
Power Assets Holdings Ltd.   80,000    582,501 
Sun Hung Kai Properties Ltd.   50,000    716,012 
SUNeVision Holdings Ltd.   211,000    117,042 
Swire Pacific Ltd., Class B   185,000    293,941 
Swire Properties Ltd.   210,800    552,130 
Techtronic Industries Co. Ltd.   46,000    759,623 
Time Interconnect Technology Ltd.   137,000    295,591 
United Laboratories International Holdings Ltd.(a)   30,000    32,249 
VTech Holdings Ltd.   1,400    9,185 
WH Group Ltd.(b)   817,500    864,197 
Wharf Real Estate Investment Co. Ltd.   17,000    46,348 
Total Hong Kong        12,158,670 
Indonesia — 0.1%          
Bumitama Agri Ltd.   196,700    249,401 
First Pacific Co. Ltd.   60,000    36,725 
First Resources Ltd.   21,400    51,455 
Jardine Matheson Holdings Ltd.   2,700    166,050 
Total Indonesia        503,631 
Ireland — 0.2%          
AIB Group PLC   71,441    839,246 
Cairn Homes PLC   68,062    192,204 
Cosmo NV   2,029    167,270 
Glanbia PLC   3,898    109,008 
Kerry Group PLC, Class A   1,857    170,592 
Total Ireland        1,478,320 
Israel — 1.2%          
Amot Investments Ltd.   27,589    171,583 
AudioCodes Ltd.(a)   5,621    54,088 
Aura Investments Ltd.(a)   28,053    173,339 
Azorim-Investment Development & Construction Co. Ltd.(a)   19,759    110,352 
Azrieli Group Ltd.   2,115    286,997 
Bank Hapoalim BM   23,996    552,413 
Bank Leumi Le-Israel BM   13,405    299,329 
Bezeq The Israeli Telecommunication Corp. Ltd.   51,686    121,901 
Big Shopping Centers Ltd.   1,175    266,238 
Carasso Real Estate Ltd.^(a)   4,796    53,587 
Danya Cebus Ltd.   2,907    119,131 
Delek Group Ltd.   301    76,759 
Elbit Systems Ltd.   1,003    760,805 
Energean PLC(a)   19,261    174,731 
Energix-Renewable Energies Ltd.   56,785    498,009 
Gav-Yam Lands Corp. Ltd.   5,667    69,652 
Hilan Ltd.(a)   4,090    263,428 
ICL Group Ltd.   18,805    94,295 
Inrom Construction Industries Ltd.   12,569    101,288 
Israel Canada TR Ltd.(a)   31,926   188,484 
Matrix IT Ltd.   9,923    251,724 
Mediterranean Towers Ltd.   44,251    235,554 
Mega Or Holdings Ltd.   3,343    673,211 
Mivne Real Estate KD Ltd.   35,619    155,414 
Mizrahi Tefahot Bank Ltd.   5,503    363,856 
Neto Malinda Trading Ltd.(a)   1,759    81,000 
Newmed Energy LP(a)   53,761    281,485 
Next Vision Stabilized Systems Ltd.   10,249    827,639 
One Software Technologies Ltd.   7,149    136,312 
Plus500 Ltd.   1,904    120,946 
Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.   2,331    285,561 
Retailors Ltd.^(a)   5,469    44,972 
Strauss Group Ltd.   6,700    258,605 
Total Israel        8,152,688 
Italy — 5.6%          
A2A SpA   68,948    178,152 
ACEA SpA   6,049    150,212 
Alerion Cleanpower SpA   4,697    115,725 
Azimut Holding SpA   4,336    175,887 
Banca Generali SpA   2,626    195,750 
Banca Mediolanum SpA   16,144    402,003 
Banca Monte dei Paschi di Siena SpA   99,168    1,231,747 
Banco BPM SpA   81,315    1,404,738 
BPER Banca SpA   76,939    1,207,927 
Brembo NV(a)   3,610    42,264 
Brunello Cucinelli SpA   4,716    445,363 
Carel Industries SpA(b)   14,331    520,212 
Coca-Cola HBC AG^    10,779    703,876 
Credito Emiliano SpA   14,347    279,014 
De' Longhi SpA   2,287    97,111 
DiaSorin SpA(a)   1,389    107,606 
El.En. SpA   7,070    137,979 
Enav SpA(b)   41,103    244,129 
Enel SpA   404,154    4,645,645 
ERG SpA   7,272    198,873 
Ferrari NV   2,400    889,990 
FinecoBank Banca Fineco SpA   5,971    149,845 
Generali   29,661    1,444,966 
Hera SpA   6,437    26,877 
Industrie De Nora SpA   41    312 
Infrastrutture Wireless Italiane SpA(b)   15,184    106,937 
Intesa Sanpaolo SpA   1,099,596    7,530,437 
Iren SpA   23,565    66,762 
Italgas SpA   53,437    619,193 
Leonardo SpA   6,833    366,586 
Lottomatica Group SpA   16,686    463,574 
Maire SpA   10,758    176,130 
Moncler SpA   8,643    501,785 
Orsero SpA   3,080    54,018 
OVS SpA(b)   1,751    12,102 
Poste Italiane SpA   42,101    1,377,597 
PRADA SpA(a)   58,000    293,770 
Prysmian SpA   4,406    735,709 
RAI Way SpA(b)   49,186    284,546 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Recordati Industria Chimica & Farmaceutica SpA   7,818   $458,536 
Reply SpA   1,628    170,215 
Rizzoli Corriere Della Sera Mediagroup SpA   128,063    136,897 
Ryanair Holdings PLC   23,057    720,975 
Saipem SpA   68,780    346,707 
Sanlorenzo SpA   1,401    57,343 
Snam SpA   124,666    900,223 
SOL SpA   5,381    358,052 
Technogym SpA(b)   18,671    324,468 
Terna - Rete Elettrica Nazionale   56,828    665,308 
UniCredit SpA   55,891    5,000,828 
Unipol Assicurazioni SpA   14,270    398,246 
Webuild SpA(a)   26,856    69,945 
Wiit SpA   3,573    140,933 
Total Italy        37,334,025 
Ivory Coast — 0.0%          
Endeavour Mining PLC   4,473    219,899 
Japan — 25.0%          
77 Bank Ltd./The   16,200    330,529 
A&D HOLON Holdings Co. Ltd.   5,700    100,760 
ABC-Mart, Inc.   10,300    177,481 
ADEKA Corp.   9,100    234,940 
Advantest Corp.   7,300    1,452,589 
Aeon Co. Ltd.   26,700    220,303 
Aichi Financial Group, Inc.   13,200    112,487 
Aida Engineering Ltd.   15,600    110,479 
Ain Holdings, Inc.   2,600    88,498 
Airport Facilities Co. Ltd.   27,000    154,001 
Aisan Industry Co. Ltd.   2,800    32,682 
Aisin Corp.   5,200    69,957 
AIT Corp.   9,700    135,182 
Ajinomoto Co., Inc.   24,700    892,559 
Alinco, Inc.   14,100    91,267 
Amada Co. Ltd.   16,000    290,565 
Amano Corp.   9,000    201,569 
Anritsu Corp.   12,800    346,216 
Anycolor, Inc.   9,300    128,177 
Aoyama Trading Co. Ltd.   9,000    38,099 
Arcs Co. Ltd.   2,400    50,134 
ARE Holdings, Inc.   5,900    106,256 
Ariake Japan Co. Ltd.   4,400    135,905 
Artner Co. Ltd.   5,800    70,731 
As One Corp.   11,600    161,661 
Asahi Intecc Co. Ltd.   33,100    773,912 
Asahi Kasei Corp.   4,531    49,931 
Asanuma Corp.   27,700    143,166 
Asics Corp.   23,700    637,979 
Astellas Pharma, Inc.   60,500    809,645 
Astena Holdings Co. Ltd.   30,000    92,109 
Aucnet, Inc.   10,500    88,122 
Avant Group Corp.   6,200    41,505 
Axial Retailing, Inc.   8,500    58,314 
Azbil Corp.   26,900    284,600 
AZOOM Co. Ltd.   2,000    51,315 
Bandai Namco Holdings, Inc.   18,500   430,728 
Baroque Japan Ltd.(a)   17,000    77,194 
Base Co. Ltd.   3,300    58,152 
BayCurrent, Inc.   11,900    441,953 
Belluna Co. Ltd.   11,000    64,095 
BIPROGY, Inc.   2,300    60,413 
Bridgestone Corp.   29,400    616,853 
Bunka Shutter Co. Ltd.   6,900    81,429 
Business Brain Showa-Ota, Inc.   26,400    161,787 
C Uyemura & Co. Ltd.   1,400    236,370 
Canon Marketing Japan, Inc.   9,900    209,665 
Canon, Inc.(a)   28,100    717,002 
Capcom Co. Ltd.   18,200    337,292 
Careerlink Co. Ltd.(a)   5,700    78,174 
Casio Computer Co. Ltd.   8,800    103,878 
Cawachi Ltd.   2,900    62,184 
Central Automotive Products Ltd.   7,700    95,750 
Central Japan Railway Co.   2,900    61,899 
Change Holdings, Inc.(a)   12,000    66,673 
Charm Care Corp. KK   8,600    70,271 
Chubu Electric Power Co., Inc.   4,700    88,491 
Chubu Steel Plate Co. Ltd.   4,300    52,492 
Chugai Pharmaceutical Co. Ltd.   22,300    1,033,738 
Chugoku Marine Paints Ltd.   7,500    152,746 
Citizen Watch Co. Ltd.   15,900    236,751 
CKD Corp.   5,000    229,811 
Cleanup Corp.   17,700    99,105 
Coca-Cola Bottlers Japan Holdings, Inc.   6,600    174,294 
COMSYS Holdings Corp.   2,100    70,433 
Cosmo Energy Holdings Co. Ltd.   8,200    191,119 
Cosmos Pharmaceutical Corp.   2,700    102,767 
Create Restaurants Holdings, Inc.(a)   52,300    236,842 
Create SD Holdings Co. Ltd.   1,200    23,996 
CTS Co. Ltd.   13,700    70,217 
Curves Holdings Co. Ltd.   13,900    78,512 
CyberAgent, Inc.   28,300    237,161 
Cybozu, Inc.   8,800    122,315 
Dai Nippon Toryo Co. Ltd.   12,200    100,212 
Daicel Corp.   4,300    36,273 
Dai-Dan Co. Ltd.   6,600    116,629 
Daido Steel Co. Ltd.   3,900    66,170 
Daiei Kankyo Co. Ltd.   13,000    302,753 
Daifuku Co. Ltd.   12,200    534,841 
Daihen Corp.   1,800    199,908 
Daiichi Life Group, Inc.   26,532    290,338 
Daiichi Sankyo Co. Ltd.   5,200    83,459 
Daiki Aluminium Industry Co. Ltd.   6,000    54,748 
Daikin Industries Ltd.   4,000    607,537 
Daikyonishikawa Corp.   16,200    99,777 
Daishi Hokuetsu Financial Group, Inc.   10,000    131,057 
Daito Trust Construction Co. Ltd.   10,000    190,986 
Daiwa House Industry Co. Ltd.   5,700    154,911 
Daiwa Securities Group, Inc.(a)   19,300    189,467 
Denso Corp.   50,800    586,376 
Dentsu Soken, Inc.   21,900    288,497 
Dexerials Corp.   16,100    421,408 
Dip Corp.(a)   8,200    94,046 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Disco Corp.   2,500   $1,249,962 
DMG Mori Co. Ltd.   14,300    306,017 
Doutor Nichires Holdings Co. Ltd.   9,200    153,574 
East Japan Railway Co.   15,000    314,536 
Ebara Corp.   13,900    535,046 
EDION Corp.   10,600    147,008 
Eisai Co. Ltd.   10,500    266,110 
Elan Corp.   12,600    57,680 
Electric Power Development Co. Ltd.   3,800    85,621 
EM Systems Co. Ltd.   14,200    42,812 
ENEOS Holdings, Inc.   44,200    325,534 
Enplas Corp.   400    31,207 
ES-Con Japan Ltd.   14,100    93,523 
Eslead Corp.   700    20,997 
Exedy Corp.   3,800    135,610 
Falco Holdings Co. Ltd.   3,600    57,104 
FANUC Corp.   19,000    859,837 
Fast Retailing Co. Ltd.   3,400    1,732,373 
Ferrotec Corp.   3,700    216,957 
Food & Life Cos. Ltd.   23,600    708,908 
France Bed Holdings Co. Ltd.   8,900    67,411 
Fuji Corp. Ltd.   14,400    67,426 
Fuji Electric Co. Ltd.   2,400    199,575 
Fuji Kyuko Co. Ltd.   7,300    114,581 
Fuji Oil Co. Ltd.   7,600    185,084 
Fujibo Holdings, Inc.   300    7,845 
FUJIFILM Holdings Corp.   18,200    390,036 
Fujikura Composites, Inc.   9,200    144,347 
Fujikura Ltd.   41,400    1,589,006 
Fujimi, Inc.   10,000    281,495 
Fujitsu Ltd.   21,700    433,533 
Fukuoka Financial Group, Inc.   2,900    121,995 
FULLCAST Holdings Co. Ltd.   8,200    76,135 
Funai Soken Holdings, Inc.   25,800    169,222 
Furukawa Electric Co. Ltd.   8,000    232,826 
Furuno Electric Co. Ltd.   2,000    70,020 
Fuso Chemical Co. Ltd.   9,300    257,499 
Fuso Pharmaceutical Industries Ltd.   5,100    65,803 
Futaba Industrial Co. Ltd.   18,200    105,264 
G-7 Holdings, Inc.   9,700    81,646 
Galilei Holdings Co. Ltd.   300    6,082 
Genki Global Dining Concepts Corp.   2,900    56,564 
Giken Ltd.(a)   8,000    86,288 
GLOBERIDE, Inc.   6,900    99,048 
Glory Ltd.   7,100    170,767 
Goldwin, Inc.   15,000    200,646 
Grandy House Corp.   23,200    72,087 
grems, Inc.   4,800    71,502 
GS Yuasa Corp.   2,100    83,548 
G-Tekt Corp.   10,900    138,560 
Gunze Ltd.   3,600    85,611 
Hagihara Industries, Inc.   7,600    80,431 
Happinet Corp.(a)   5,800    107,417 
Harima Chemicals Group, Inc.   13,700    87,076 
Harmonic Drive Systems, Inc.   9,600    460,138 
Haseko Corp.   11,700    204,700 
Hazama Ando Corp.   10,200    112,622 
Heiwado Co. Ltd.   5,500   85,550 
Hiday Hidaka Corp.   5,900    92,534 
Hioki EE Corp.   2,200    164,873 
Hirose Electric Co. Ltd.   1,300    230,645 
Hitachi Construction Machinery Co. Ltd.   8,500    274,782 
Hitachi Ltd.   43,200    1,188,415 
Hokuto Corp.   1,300    14,622 
Honda Motor Co. Ltd.   164,900    1,501,627 
Hoosiers Holdings Co. Ltd.   12,200    89,478 
Horiba Ltd.   2,000    337,302 
Hoshizaki Corp.   9,200    299,732 
Hoya Corp.   4,900    782,372 
HU Group Holdings, Inc.   6,600    133,807 
Hulic Co. Ltd.   22,900    239,110 
Ibiden Co. Ltd.   5,400    791,269 
Ichibanya Co. Ltd.   41,500    223,682 
Ichigo, Inc.   23,900    64,704 
Ichikoh Industries Ltd.   22,400    69,050 
Idemitsu Kosan Co. Ltd.   24,755    182,473 
IHI Corp.   21,000    350,355 
Iino Kaiun Kaisha Ltd.   7,500    64,329 
I'll, Inc.   4,400    59,858 
Infomart Corp.   40,900    96,635 
Innotech Corp.   6,000    146,931 
Inpex Corp.   30,500    612,721 
Intelligent Wave, Inc.   11,400    65,443 
Internet Initiative Japan, Inc.   17,300    340,305 
Ise Chemicals Corp.   6,000    164,467 
Isetan Mitsukoshi Holdings Ltd.   5,200    131,756 
Ishihara Sangyo Kaisha Ltd.   9,100    159,295 
Isuzu Motors Ltd.   13,400    177,306 
Ito En Ltd.   4,600    83,254 
ITOCHU Corp.   140,600    1,603,891 
Itochu Enex Co. Ltd.   1,300    15,958 
Itoham Yonekyu Holdings, Inc.   3,200    92,540 
Itoki Corp.   5,300    86,189 
Iyogin Holdings, Inc.   18,200    352,522 
J Front Retailing Co. Ltd.   8,900    198,070 
JAC Recruitment Co. Ltd.   32,700    171,825 
JALCO Holdings, Inc.(a)   27,400    56,477 
Japan Airlines Co. Ltd.   3,300    57,868 
Japan Airport Terminal Co. Ltd.   5,000    155,268 
Japan Electronic Materials Corp.   400    19,025 
Japan Elevator Service Holdings Co. Ltd.   21,900    234,328 
Japan Exchange Group, Inc.   8,800    110,728 
Japan Lifeline Co. Ltd.   9,500    75,696 
Japan Material Co. Ltd.   12,900    203,987 
Japan Post Holdings Co. Ltd.   12,000    160,148 
Japan Steel Works Ltd.   5,600    264,521 
Japan Tobacco, Inc.   65,844    2,435,651 
JCU Corp.   3,800    178,865 
Jeol Ltd.   5,400    247,531 
JINS Holdings, Inc.   4,400    217,936 
JM Holdings Co. Ltd.   1,400    10,518 
Joshin Corp.   8,900    215,210 
JTEKT Corp.   6,000    73,521 
JX Advanced Metals Corp.   21,700    587,212 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Kajima Corp.   3,700   $133,680 
Kakaku.com, Inc.   25,600    533,973 
Kakiyasu Honten Co. Ltd.   3,900    60,183 
Kamakura Shinsho Ltd.   16,700    48,911 
Kamigumi Co. Ltd.   4,500    140,904 
Kandenko Co. Ltd.   4,000    165,439 
Kanematsu Corp.   5,400    68,495 
Kansai Electric Power Co., Inc.   7,589    106,720 
Kansai Paint Co. Ltd.(a)   4,200    68,443 
Kao Corp.   14,600    289,530 
Kasumigaseki Capital Co. Ltd.   3,700    153,441 
Katitas Co. Ltd.   8,800    178,951 
Kawasaki Heavy Industries Ltd.   28,600    514,281 
KDDI Corp.   90,100    1,521,763 
KeePer Technical Laboratory Co. Ltd.   3,600    60,161 
Keihan Holdings Co. Ltd.   4,000    78,314 
Keikyu Corp.   12,400    112,346 
Keio Corp.   5,000    23,006 
Keisei Electric Railway Co. Ltd.   8,800    62,863 
Keyence Corp.   2,100    1,047,383 
KH Neochem Co. Ltd.   3,200    58,398 
Kikkoman Corp.   38,600    396,153 
Kobe Steel Ltd.   20,000    230,426 
Koei Tecmo Holdings Co. Ltd.   22,400    208,736 
Kokusai Electric Corp.   21,700    1,449,337 
Komatsu Ltd.   27,600    1,066,809 
Konami Group Corp.   3,800    413,026 
Koshidaka Holdings Co. Ltd.   11,200    66,156 
Kotobuki Spirits Co. Ltd.(a)   20,300    310,886 
Kraftia Corp.   2,200    125,970 
K's Holdings Corp.   4,500    52,760 
KU Holdings Co. Ltd.   11,000    77,360 
Kura Sushi, Inc.(a)   10,200    100,855 
Kurabo Industries Ltd.   2,000    122,812 
Kuraray Co. Ltd.   3,600    36,947 
Kureha Corp.   1,100    26,091 
Kurita Water Industries Ltd.   3,700    208,329 
Kusuri no Aoki Holdings Co. Ltd.   9,600    212,999 
KYB Corp.   7,200    171,001 
Kyoei Steel Ltd.   8,200    87,790 
Kyokuto Boeki Kaisha Ltd.   9,700    101,223 
Kyoritsu Maintenance Co. Ltd.   7,700    143,932 
Kyushu Railway Co.   1,300    27,964 
LA Holdings Co. Ltd.(a)   3,600    61,556 
Lasertec Corp.   4,800    1,467,836 
Leopalace21 Corp.   14,500    58,169 
Life Corp.   7,600    123,311 
LIKE, Inc.   9,500    86,042 
Lintec Corp.   7,800    340,268 
LY Corp.   122,000    325,634 
M3, Inc.   26,600    297,056 
Macnica Holdings, Inc.   9,500    183,775 
Maeda Kosen Co. Ltd.   7,200    77,970 
Makita Corp.   1,500    53,447 
Marubeni Corp.   29,200    842,627 
Maruwa Co. Ltd.   1,500    653,438 
Matching Service Japan Co. Ltd.   11,000    64,162 
MatsukiyoCocokara & Co.   16,900   249,718 
Max Co. Ltd.   20,900    218,613 
McDonald's Holdings Co. Japan Ltd.   6,200    285,347 
Meidensha Corp.   2,700    162,307 
Meiko Electronics Co. Ltd.   3,500    667,590 
MEITEC Group Holdings, Inc.   8,200    156,760 
Meiwa Corp.   19,600    105,763 
Micronics Japan Co. Ltd.   4,200    430,014 
Mie Kotsu Group Holdings, Inc.   21,600    69,907 
Milbon Co. Ltd.   5,500    90,085 
Minebea Mitsumi, Inc.   4,700    137,537 
Miraini Holdings Co. Ltd.   8,200    113,117 
Miroku Jyoho Service Co. Ltd.   7,500    80,018 
MISUMI Group, Inc.   10,500    258,034 
Mitsubishi Corp.   88,700    2,372,428 
Mitsubishi Electric Corp.   33,700    1,218,405 
Mitsubishi Estate Co. Ltd.   14,300    364,704 
Mitsubishi Gas Chemical Co., Inc.   3,000    93,549 
Mitsubishi Heavy Industries Ltd.   37,800    852,637 
Mitsubishi Logistics Corp.   17,500    166,197 
Mitsubishi Materials Corp.   700    18,585 
Mitsubishi Research Institute, Inc.   1,100    30,051 
Mitsubishi UFJ Financial Group, Inc.   247,500    4,883,756 
Mitsuboshi Belting Ltd.   3,000    72,912 
Mitsui & Co. Ltd.   55,900    1,546,730 
Mitsui Fudosan Co. Ltd.   58,100    535,868 
Mitsui High-Tec, Inc.   26,200    153,629 
Mitsui Kinzoku Co. Ltd.   700    183,264 
Mitsui-Soko Holdings Co. Ltd.   2,500    52,054 
Miura Co. Ltd.   7,400    143,151 
Mizuho Financial Group, Inc.   37,830    1,802,293 
Mizuho Medy Co. Ltd.   9,600    97,403 
Mizuno Corp.   6,300    129,857 
Modec, Inc.   500    28,565 
Monogatari Corp.   5,600    163,839 
MonotaRO Co. Ltd.   51,400    586,819 
Moriroku Co. Ltd.   5,400    78,180 
MOS Food Services, Inc.   3,200    71,767 
MS&AD Insurance Group Holdings, Inc.   15,390    401,499 
MTG Co. Ltd.   5,800    266,224 
MTI Ltd.   12,100    39,756 
Murata Manufacturing Co. Ltd.   32,100    2,250,605 
Musashi Seimitsu Industry Co. Ltd.   8,300    199,425 
Nabtesco Corp.   3,200    101,223 
Nagaileben Co. Ltd.   1,300    13,990 
Nakanishi, Inc.   11,600    213,407 
NANKAI Co. Ltd.   1,400    24,494 
NEC Corp.   19,300    466,098 
Nexon Co. Ltd.   10,600    139,931 
Nextage Co. Ltd.   8,800    220,643 
NGK Corp.   2,900    134,397 
NHK Spring Co. Ltd.   4,700    112,349 
Nichicon Corp.   6,900    176,188 
Nifco, Inc.   4,000    118,972 
Nihon Flush Co. Ltd.   16,900    75,180 
Nihon Nohyaku Co. Ltd.   18,600    114,558 
Nikkiso Co. Ltd.   11,700    291,555 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Nikkon Holdings Co. Ltd.   11,600   $420,962 
Nikon Corp.   15,100    210,903 
Nintendo Co. Ltd.   14,700    616,401 
Nippon Densetsu Kogyo Co. Ltd.   6,700    180,357 
Nippon Electric Glass Co. Ltd.   3,500    140,991 
Nippon Express Holdings, Inc.   7,300    226,557 
Nippon Gas Co. Ltd.   9,500    167,759 
Nippon Light Metal Holdings Co. Ltd.   5,200    87,059 
Nippon Paint Holdings Co. Ltd.   61,700    399,754 
Nippon Sanso Holdings Corp.   6,900    254,560 
Nippon Signal Co. Ltd.   25,700    247,631 
Nippon Soda Co. Ltd.   2,400    52,201 
Nippon Steel Corp.   139,300    459,491 
Nippon Thompson Co. Ltd.   12,800    170,509 
Nissan Chemical Corp.   5,800    302,374 
Nisshin Oillio Group Ltd.   6,900    78,160 
Nisso Holdings Co. Ltd.   18,600    66,492 
Niterra Co. Ltd.   8,700    573,041 
Nitto Boseki Co. Ltd.(a)   20,000    530,995 
Nitto Denko Corp.   15,400    300,372 
Nittoc Construction Co. Ltd.   18,300    123,858 
Noevir Holdings Co. Ltd.   2,700    72,930 
NOF Corp.   12,100    196,474 
Nohmi Bosai Ltd.   6,100    153,509 
Nomura Co. Ltd.   11,200    74,632 
Nomura Holdings, Inc.   27,200    236,562 
Nomura Micro Science Co. Ltd.   4,800    145,307 
Nomura Real Estate Holdings, Inc.   41,700    239,488 
Nomura Research Institute Ltd.   13,800    389,907 
Noritake Co. Ltd.   15,500    389,109 
NS Solutions Corp.   9,500    198,622 
NS Tool Co. Ltd.(a)   20,100    114,398 
NS United Kaiun Kaisha Ltd.   700    27,694 
NSD Co. Ltd.   7,600    115,268 
NTN Corp.   55,600    136,019 
NTT, Inc.   1,972,200    1,759,539 
Obara Group, Inc.   600    22,446 
Obayashi Corp.   12,600    252,504 
OBIC Business Consultants Co. Ltd.   2,700    101,039 
Obic Co. Ltd.   15,000    352,838 
Odakyu Electric Railway Co. Ltd.   900    9,231 
Ohsho Food Service Corp.(a)   11,200    196,401 
Okabe Co. Ltd.   18,800    103,066 
Okamoto Machine Tool Works Ltd.   3,600    123,821 
Oki Electric Industry Co. Ltd.   4,000    86,018 
Okinawa Cellular Telephone Co.   7,900    178,391 
OKUMA Corp.   3,100    88,217 
Okumura Corp.   4,100    141,775 
Okura Industrial Co. Ltd.   4,100    120,332 
Okuwa Co. Ltd.   14,400    67,603 
Olympus Corp.   11,900    124,400 
Ono Pharmaceutical Co. Ltd.   1,100    16,162 
Open House Group Co. Ltd.   3,600    187,769 
Open Up Group, Inc.   11,300    133,285 
Optorun Co. Ltd.   6,600    151,878 
Oracle Corp.   4,700    240,025 
Organo Corp.   5,100    511,491 
Oriental Land Co. Ltd.   3,300   50,558 
Osaka Gas Co. Ltd.   5,100    171,208 
Osaka Soda Co. Ltd.   13,600    157,652 
OSAKA Titanium Technologies Co. Ltd.   6,000    100,415 
OSG Corp.   3,900    87,155 
Otsuka Corp.   15,000    255,976 
Otsuka Holdings Co. Ltd.   5,300    352,355 
PAL GROUP Holdings Co. Ltd.   13,600    123,176 
Pan Pacific International Holdings Corp.   46,000    232,936 
Panasonic Holdings Corp.   30,900    855,941 
Park24 Co. Ltd.   17,400    215,513 
Penta-Ocean Construction Co. Ltd.   21,000    219,465 
Persol Holdings Co. Ltd.   128,400    195,454 
Pigeon Corp.   12,100    154,149 
PILLAR Corp.   2,900    192,173 
Plus Alpha Consulting Co. Ltd.   12,100    199,005 
Pola Orbis Holdings, Inc.   6,400    49,834 
Press Kogyo Co. Ltd.   26,600    127,660 
Qol Holdings Co. Ltd.(a)   8,200    93,945 
Quick Co. Ltd.   19,800    87,594 
Rakus Co. Ltd.   71,800    417,569 
Recruit Holdings Co. Ltd.   8,700    606,497 
Relo Group, Inc.   8,200    100,706 
Resona Holdings, Inc.   21,800    282,485 
Resonac Holdings Corp.   3,800    413,844 
Resorttrust, Inc.   11,500    123,084 
Retail Partners Co. Ltd.   10,000    82,756 
Rigaku Holdings Corp.(a)   27,900    429,165 
Riken Keiki Co. Ltd.   5,200    118,222 
Rohm Co. Ltd.   19,100    632,730 
Rohto Pharmaceutical Co. Ltd.   10,900    160,088 
Rorze Corp.   20,500    610,491 
Round One Corp.   38,600    275,977 
Royal Holdings Co. Ltd.   11,100    83,391 
Ryobi Ltd.   7,100    113,364 
Ryohin Keikaku Co. Ltd.   25,500    555,265 
Saizeriya Co. Ltd.   6,700    223,436 
Sakai Moving Service Co. Ltd.   5,100    91,284 
Sakata Seed Corp.   2,500    64,298 
Sangetsu Corp.   8,900    162,475 
San-In Godo Bank Ltd.   3,000    42,067 
Sanki Engineering Co. Ltd.   12,300    224,166 
Sankyo Co. Ltd.   15,900    154,377 
Sankyu, Inc.   3,200    169,859 
Sanoh Industrial Co. Ltd.   16,000    92,933 
Sanrio Co. Ltd.(a)   41,000    277,496 
Santec Holdings Corp.   1,200    196,327 
Santen Pharmaceutical Co. Ltd.   10,800    141,741 
Sanwa Holdings Corp.   10,800    251,784 
Sapporo Breweries Ltd.   9,200    114,912 
Sato Shoji Corp.   8,800    152,311 
SBI Holdings, Inc.   6,800    110,415 
SBS Holdings, Inc.   4,300    114,296 
SCREEN Holdings Co. Ltd.   7,000    766,867 
Secom Co. Ltd.   3,200    127,114 
Sega Sammy Holdings, Inc.   7,700    104,585 
Seibu Giken Co. Ltd.   6,300    87,644 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Seiko Group Corp.   5,600   $277,717 
Sekisui Chemical Co. Ltd.   3,200    51,025 
Seria Co. Ltd.   1,300    29,076 
SG Holdings Co. Ltd.   2,700    25,634 
Shibaura Mechatronics Corp.   6,500    184,772 
Shimadzu Corp.   8,200    207,668 
Shimizu Corp.   9,500    149,025 
Shimojima Co. Ltd.   9,300    76,277 
Shin Nippon Air Technologies Co. Ltd.   3,700    85,371 
Shin Nippon Biomedical Laboratories Ltd.   8,800    62,430 
Shin-Etsu Chemical Co. Ltd.   34,100    1,470,376 
Shin-Etsu Polymer Co. Ltd.   9,200    135,913 
Shionogi & Co. Ltd.   20,000    343,209 
Shoei Co. Ltd.   8,600    93,818 
Siix Corp.   14,300    114,734 
Simplex Holdings, Inc.   28,200    162,581 
Sinfonia Technology Co. Ltd.   3,100    303,849 
Sinko Industries Ltd.(a)   8,800    67,844 
Skylark Holdings Co. Ltd.   10,900    187,988 
SMS Co. Ltd.   11,800    162,198 
Socionext, Inc.   23,300    365,790 
SoftBank Corp.   1,413,000    1,809,231 
Softcreate Holdings Corp.   4,800    51,182 
Sojitz Corp.   8,800    279,986 
Soliton Systems KK   7,400    88,285 
Sompo Holdings, Inc.   8,000    307,054 
Sony Group Corp.   30,700    619,572 
Sotetsu Holdings, Inc.   1,300    19,877 
Square Enix Holdings Co. Ltd.   13,800    204,633 
St. Marc Holdings Co. Ltd.   10,800    166,859 
Starts Corp., Inc.   6,000    167,420 
Subaru Corp.   15,800    232,346 
Sugi Holdings Co. Ltd.   5,400    104,661 
SUMCO Corp.   7,400    183,446 
Sumida Corp.   13,500    113,715 
Sumitomo Bakelite Co. Ltd.   4,600    210,973 
Sumitomo Corp.   151,200    1,441,063 
Sumitomo Electric Industries Ltd.   82,400    1,483,986 
Sumitomo Forestry Co. Ltd.   18,100    150,402 
Sumitomo Mitsui Financial Group, Inc.   66,300    2,588,770 
Sumitomo Realty & Development Co. Ltd.   9,000    207,162 
Sumitomo Rubber Industries Ltd.   8,500    108,940 
Sun Frontier Fudousan Co. Ltd.   11,600    173,367 
Sundrug Co. Ltd.   3,000    70,235 
Sun-Wa Technos Corp.   9,200    206,331 
Suzuki Motor Corp.   40,100    482,483 
SWCC Corp.   3,600    298,366 
Systena Corp.   82,200    200,284 
T&D Holdings, Inc.   5,800    171,547 
Tachi-S Co. Ltd.   3,100    40,494 
Taiheiyo Cement Corp.   1,400    34,206 
Taikisha Ltd.   6,400    195,515 
Taisei Corp.   5,100    447,162 
Taiyo Yuden Co. Ltd.   9,200    1,140,625 
Takachiho Koheki Co. Ltd.(a)   7,200    95,380 
Takara Holdings, Inc.   4,400    60,656 
Takara Standard Co. Ltd.   6,100    116,351 
Takasago Thermal Engineering Co. Ltd.   8,800   275,167 
Takashimaya Co. Ltd.   6,200    95,503 
Takeda Pharmaceutical Co. Ltd.   51,100    1,620,800 
Takeuchi Manufacturing Co. Ltd.   1,800    78,302 
Tamron Co. Ltd.   14,500    103,046 
Tamura Corp.   24,200    139,519 
Tauns Laboratories, Inc.   18,900    54,889 
Tayca Corp.   8,300    120,523 
TDK Corp.   24,500    538,163 
Techno Ryowa Ltd.   1,900    66,870 
Teikoku Corp.   500    9,598 
Terumo Corp.   31,500    432,986 
THK Co. Ltd.   12,600    567,649 
TISI, Inc.   5,400    105,226 
TKC Corp.   4,400    92,453 
Toa Corp.   8,500    108,313 
Tocalo Co. Ltd.   13,300    265,550 
Toei Animation Co. Ltd.   29,200    437,304 
Toho Co. Ltd.   15,900    127,229 
Tokai Rika Co. Ltd.   400    7,280 
Tokio Marine Holdings, Inc.   47,500    2,104,876 
Tokushu Tokai Paper Co. Ltd.(a)   14,400    165,508 
Tokuyama Corp.   5,700    171,465 
Tokyo Electron Device Ltd.   3,700    88,331 
Tokyo Electron Ltd.   8,900    4,224,796 
Tokyo Gas Co. Ltd.   3,400    128,050 
Tokyo Ohka Kogyo Co. Ltd.   12,500    870,635 
Tokyo Seimitsu Co. Ltd.   4,200    520,203 
Tokyo Tatemono Co. Ltd.   7,700    156,156 
Tokyu Construction Co. Ltd.   16,100    116,100 
Tokyu Fudosan Holdings Corp.   14,000    111,681 
Tomoku Co. Ltd.   6,000    142,870 
Tomy Co. Ltd.   8,200    160,746 
Topre Corp.   3,200    52,039 
Topy Industries Ltd.   8,400    140,065 
Toray Industries, Inc.   9,400    65,211 
Toridoll Holdings Corp.(a)   10,800    255,505 
Tosei Corp.   10,500    109,442 
Totech Corp.   3,500    89,155 
Towa Corp.   9,800    201,397 
Toyo Seikan Group Holdings Ltd.   5,400    135,660 
Toyo Suisan Kaisha Ltd.   4,100    261,981 
Toyo Tanso Co. Ltd.   2,600    117,742 
Toyota Boshoku Corp.   1,200    15,697 
Toyota Motor Corp.   395,750    6,635,402 
Toyota Tsusho Corp.   31,100    1,143,921 
Trend Micro, Inc.   8,400    309,176 
Tri Chemical Laboratories, Inc.(a)   4,500    96,493 
Trial Holdings, Inc.(a)   16,100    296,393 
Tsumura & Co.   3,200    73,224 
Tsuruha Holdings, Inc.   5,400    68,378 
Tsurumi Manufacturing Co. Ltd.   6,900    98,283 
Ulvac, Inc.   1,500    95,478 
U-Next Holdings Co. Ltd.(a)   32,700    331,577 
Unicharm Corp.   18,100    105,086 
Union Tool Co.   2,800    387,977 
United Super Markets Holdings, Inc.   1,370    6,744 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
USS Co. Ltd.   26,500   $310,206 
UT Group Co. Ltd.   75,300    80,153 
Valor Holdings Co. Ltd.   8,000    191,724 
Valqua Ltd.   4,200    185,547 
ValueCommerce Co. Ltd.   9,900    27,716 
Vector, Inc.   11,100    119,452 
Vision, Inc.   8,900    53,063 
Wacoal Holdings Corp.   4,300    116,413 
Warabeya Nichiyo Holdings Co. Ltd.   4,900    79,413 
Wellneo Sugar Co. Ltd.   7,600    120,927 
West Japan Railway Co.   2,900    48,623 
Will Group, Inc.   14,700    93,794 
Workman Co. Ltd.   7,400    310,525 
World Holdings Co. Ltd.   8,500    128,343 
YAC Holdings Co. Ltd.   7,000    59,954 
Yamaguchi Financial Group, Inc.   11,700    205,456 
Yamaichi Electronics Co. Ltd.   1,900    111,294 
Yokogawa Electric Corp.   11,100    384,855 
Yokohama Financial Group, Inc.   23,200    247,310 
Yokohama Rubber Co. Ltd.   4,500    200,545 
Yokorei Co. Ltd.   13,300    170,541 
Yoshinoya Holdings Co. Ltd.(a)   6,700    129,115 
Yushin Co.   31,400    132,922 
Zenrin Co. Ltd.   19,100    101,773 
Zensho Holdings Co. Ltd.   8,400    416,834 
Zeon Corp.   800    11,592 
ZIGExN Co. Ltd.   20,300    47,588 
Zojirushi Corp.   1,100    9,029 
ZOZO, Inc.   52,900    373,986 
Total Japan        165,711,102 
Luxembourg — 0.1%          
ArcelorMittal SA   2,771    166,958 
CVC Capital Partners PLC(a)(b)   19,103    277,592 
Eurofins Scientific SE   2,051    160,767 
Total Luxembourg        605,317 
Macau — 0.2%          
Galaxy Entertainment Group Ltd.   123,000    461,443 
Sands China Ltd.   245,200    408,039 
Wynn Macau Ltd.(a)   383,600    247,024 
Total Macau        1,116,506 
Mexico — 0.1%          
Fresnillo PLC   13,201    480,251 
Netherlands — 2.9%          
Acomo NV   5,916    152,523 
Akzo Nobel NV   1,903    129,106 
ASM International NV   821    939,119 
ASML Holding NV   3,857    7,590,872 
BE Semiconductor Industries NV   3,314    1,087,792 
CTP NV(b)   14,793    269,929 
Euronext NV(b)   1,654    264,743 
ForFarmers NV   10,776    76,632 
Heineken Holding NV   4,985    380,432 
Heineken NV   8,089    680,664 
ING Groep NV   97,624    3,088,346 
Koninklijke Ahold Delhaize NV   18,156    731,088 
Koninklijke BAM Groep NV   6,056   84,955 
Koninklijke Heijmans NV   2,039    265,756 
Koninklijke KPN NV   170,006    838,892 
Koninklijke Philips NV   25,116    682,271 
Koninklijke Vopak NV   5,183    270,450 
SBM Offshore NV   2,345    81,343 
Universal Music Group NV   41,946    879,049 
Wereldhave NV   5,958    135,554 
Wolters Kluwer NV   4,916    317,219 
Total Netherlands        18,946,735 
Nigeria — 0.1%          
Airtel Africa PLC(b)   93,524    406,649 
Norway — 2.1%          
AF Gruppen ASA   6,215    121,467 
Aker ASA, Class A   5,341    619,622 
Borregaard ASA   4,877    73,435 
DNB Bank ASA   72,985    2,173,582 
Elopak ASA   30,015    106,617 
Equinor ASA   137,829    4,366,570 
Europris ASA(b)   14,857    132,573 
Frontline PLC   14,831    514,675 
Hoegh Autoliners ASA   2,756    40,356 
Kid ASA(b)   3,764    45,417 
Kitron ASA   23,946    258,202 
Klaveness Combination Carriers ASA(b)   10,674    94,060 
Kongsberg Gruppen ASA   30,732    926,416 
Leroy Seafood Group ASA   29,286    113,350 
Mowi ASA   18,024    332,958 
Multiconsult ASA(b)   3,608    52,868 
NORBIT ASA   8,017    137,080 
Norconsult Norge AS   23,085    83,984 
Odfjell Drilling Ltd.   20,670    175,044 
Orkla ASA   32,918    346,628 
Pexip Holding ASA^    11,892    94,458 
Salmar ASA   8,272    387,205 
SpareBank 1 Nord Norge   3,403    52,616 
SpareBank 1 Oestlandet   7,061    135,062 
SpareBank 1 Sor-Norge ASA   6,236    121,878 
Sparebanken Norge   6,496    121,996 
Stolt-Nielsen Ltd.   528    15,554 
Storebrand ASA   8,604    161,550 
Telenor ASA   83,780    1,200,546 
TOMRA Systems ASA   31,764    305,266 
Veidekke ASA   11,519    220,707 
Vend Marketplaces ASA   3,854    92,694 
Wallenius Wilhelmsen ASA   32,150    426,587 
Total Norway        14,051,023 
Peru — 0.0%          
Hochschild Mining PLC   30,216    185,522 
Portugal — 0.2%          
Altri SGPS SA(a)   5,467    29,689 
CTT-Correios de Portugal SA   16,342    108,086 
EDP SA   109,520    573,606 
Galp Energia SGPS SA   19,246    410,264 
Jeronimo Martins SGPS SA   17,099    327,646 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Semapa-Sociedade de Investimento & Gestao   3,670   $85,177 
Total Portugal        1,534,468 
Singapore — 2.0%          
China Aviation Oil Singapore Corp. Ltd.   113,800    161,007 
City Developments Ltd.   38,900    233,680 
ComfortDelGro Corp. Ltd.(a)   51,300    53,146 
CSE Global Ltd.   57,663    59,738 
DBS Group Holdings Ltd.   78,883    3,988,518 
Delfi Ltd.   131,900    91,778 
Food Empire Holdings Ltd.   42,960    78,716 
Hafnia Ltd.   21,212    138,691 
Hong Leong Asia Ltd.   30,400    64,868 
Keppel Infrastructure Trust   559,320    231,347 
Keppel Ltd.   54,000    456,732 
Oversea-Chinese Banking Corp. Ltd.   98,795    1,893,485 
Propnex Ltd.   29,500    42,421 
SATS Ltd.   52,300    183,168 
Sembcorp Industries Ltd.   41,100    201,774 
Sheng Siong Group Ltd.   123,800    309,153 
SIA Engineering Co. Ltd.   70,900    189,659 
Singapore Airlines Ltd.   89,100    529,041 
Singapore Exchange Ltd.   9,100    169,414 
Singapore Technologies Engineering Ltd.   109,056    876,023 
Singapore Telecommunications Ltd.   534,500    1,822,370 
UMS Integration Ltd.   124,775    255,637 
United Overseas Bank Ltd.   35,701    1,097,431 
UOL Group Ltd.   29,500    217,125 
Venture Corp. Ltd.   14,500    191,809 
Total Singapore        13,536,731 
South Africa — 0.1%          
Anglo American PLC   5,023    246,470 
Pan African Resources PLC   126,470    160,304 
Total South Africa        406,774 
Spain — 6.3%          
Acciona SA   1,548    490,596 
ACS Actividades de Construccion y Servicios SA   9,874    1,452,887 
Aena SME SA(b)   74,280    2,264,083 
Almirall SA   19,292    248,357 
Amadeus IT Group SA   10,416    608,292 
Banco Bilbao Vizcaya Argentaria SA   248,178    6,205,436 
Banco de Sabadell SA   105,612    374,192 
Banco Santander SA   329,094    4,546,644 
Bankinter SA   14,882    249,094 
CaixaBank SA   319,619    4,525,732 
Cellnex Telecom SA^(b)   11,500    343,819 
CIE Automotive SA   3,411    103,930 
Colonial SFL Socimi SA^    18,219    118,105 
Corp. ACCIONA Energias Renovables SA   4,799    126,962 
EDP Renewables SA   12,709    205,893 
Elecnor SA   8,031    364,978 
Endesa SA   45,197    2,060,749 
Faes Farma SA   28,144    147,693 
Fluidra SA   7,121    161,201 
Fomento de Construcciones y Contratas SA^    14,879   215,361 
Gestamp Automocion SA(b)   9,327    30,444 
Grifols SA   6,089    62,376 
Iberdrola SA   192,305    4,801,793 
Indra Sistemas SA   5,645    309,272 
Industria de Diseno Textil SA   84,807    5,344,427 
Laboratorios Farmaceuticos Rovi SA   4,406    291,412 
Logista Integral SA   4,524    174,513 
Merlin Properties Socimi SA   30,518    535,231 
Metrovacesa SA^(b)   6,839    88,355 
Naturgy Energy Group SA   70,564    2,215,358 
Pharma Mar SA^    2,295    197,971 
Prosegur Cia de Seguridad SA   15,123    46,770 
Puig Brands SA, Class B   6,439    118,744 
Repsol SA   42,434    1,067,811 
Sacyr SA   50,789    271,522 
Telefonica SA   264,723    1,064,145 
Total Spain        41,434,148 
Sweden — 3.8%          
AAK AB(a)   4,426    104,726 
AddLife AB, Class B   12,416    209,624 
AddTech AB, Class B   12,933    456,216 
Alfa Laval AB   6,151    366,715 
Alimak Group AB(b)   12,095    148,467 
Alleima AB   11,914    109,191 
AQ Group AB   10,367    235,444 
Assa Abloy AB, Class B   15,391    544,513 
Atea ASA^    5,056    88,290 
Atlas Copco AB, Class A   56,308    1,141,211 
Atlas Copco AB, Class B   36,631    649,870 
Axfood AB   9,216    245,109 
Beijer Alma AB   4,360    133,798 
Beijer Ref AB   22,214    325,929 
BioGaia AB, Class B   14,796    178,717 
Bravida Holding AB(b)   5,426    69,296 
Bufab AB   19,381    253,924 
Catena AB   5,102    219,407 
Clas Ohlson AB, Class B   4,510    199,447 
Cloetta AB, Class B   20,448    103,908 
Coor Service Management Holding AB(b)   21,195    110,704 
Corem Property Group AB, Class B   13,610    3,302 
Duni AB   9,213    75,298 
Engcon AB(a)   16,229    102,792 
Epiroc AB, Class A   19,371    532,204 
Epiroc AB, Class B   15,348    356,497 
EQT AB   9,095    257,490 
Essity AB, Class B   8,644    244,990 
FastPartner AB, Class A   2,042    8,028 
Getinge AB, Class B   5,967    122,137 
Granges AB   6,629    117,537 
H & M Hennes & Mauritz AB, Class B(a)   61,143    1,053,149 
Heba Fastighets AB, Class B   29,009    72,386 
Hexagon AB, Class B   34,594    286,384 
Hufvudstaden AB, Class A   16,628    205,484 
Indutrade AB   12,194    252,494 
Intea Fastigheter AB^    24,728    188,306 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
INVISIO AB   5,959   $126,222 
Lagercrantz Group AB, Class B   3,035    79,903 
Lifco AB, Class B   11,458    375,771 
Lindab International AB   2,548    34,305 
Logistea AB, Class B   74,215    102,142 
Loomis AB   1,246    61,179 
Medicover AB, Class B   8,494    201,859 
MIPS AB   3,888    103,727 
Munters Group AB(b)   23,488    418,399 
Mycronic AB   13,717    455,242 
NCC AB, Class B   4,491    88,491 
New Wave Group AB, Class B   11,894    112,019 
Nolato AB, Class B   15,293    76,875 
Nordnet AB publ   4,630    176,242 
NP3 Fastigheter AB   4,357    119,975 
Paradox Interactive AB   22,714    310,030 
Peab AB, Class B   16,020    150,796 
Platzer Fastigheter Holding AB, Class B   6,536    46,260 
Proact IT Group AB   7,652    97,882 
RaySearch Laboratories AB   3,577    81,311 
Rusta AB   16,610    137,814 
Saab AB, Class B   10,178    528,768 
Sagax AB, Class B   14,983    238,721 
Sandvik AB   32,706    1,351,408 
Scandi Standard AB   9,674    145,338 
Sectra AB, Class B   18,331    520,488 
Skandinaviska Enskilda Banken AB, Class A   31,902    635,855 
Skanska AB, Class B   8,102    216,988 
SKF AB, Class B   5,470    140,619 
SkiStar AB   5,877    96,613 
SSAB AB, Class A   3,452    32,051 
SSAB AB, Class B   3,072    28,434 
Sweco AB, Class B   13,262    174,166 
Swedbank AB, Class A   39,247    1,467,989 
Synsam AB   17,399    97,079 
Systemair AB   9,931    84,245 
Tele2 AB, Class B   32,828    572,056 
Telefonaktiebolaget LM Ericsson, Class A   22,173    247,432 
Telefonaktiebolaget LM Ericsson, Class B   37,466    418,670 
Telia Co. AB   123,819    603,989 
Thule Group AB(b)   9,223    196,312 
Trelleborg AB, Class B   5,946    247,961 
Troax Group AB   6,574    69,828 
Truecaller AB, Class B   11,077    16,127 
Volvo AB, Class A   24,267    827,944 
Volvo AB, Class B   83,726    2,850,516 
Wallenstam AB, Class B   16,528    67,218 
Wihlborgs Fastigheter AB   11,220    87,180 
Zinzino AB, Class B   4,100    56,640 
Total Sweden        25,150,063 
Switzerland — 5.4%          
ABB Ltd., Registered Shares   35,363    3,839,449 
Accelleron Industries AG   6,685    687,851 
Allreal Holding AG, Registered Shares   756    198,688 
Avolta AG^    4,397    294,351 
Bachem Holding AG(a)   6,885   645,695 
Belimo Holding AG, Registered Shares   601    678,002 
BKW AG   1,117    188,740 
Cie Financiere Richemont SA, Class A, Registered Shares   8,625    1,994,662 
Comet Holding AG, Registered Shares   896    454,304 
EFG International AG^    5,831    117,249 
Flughafen Zurich AG, Registered Shares   706    218,806 
Galderma Group AG^    2,913    664,105 
Galenica AG(b)   1,359    142,024 
Geberit AG, Registered Shares   791    529,327 
Georg Fischer AG, Registered Shares   2,629    136,559 
Givaudan SA, Registered Shares   157    665,642 
Helvetia Baloise Holding AG, Registered Shares   686    177,400 
Huber & Suhner AG, Registered Shares   1,259    348,053 
Inficon Holding AG, Registered Shares   2,719    614,147 
International Workplace Group PLC   28,079    68,945 
Kuehne & Nagel International AG, Registered Shares   3,819    927,705 
Logitech International SA, Registered Shares   3,437    322,715 
Nestle SA, Registered Shares   76,212    7,849,368 
Partners Group Holding AG   294    241,352 
PSP Swiss Property AG, Registered Shares   1,415    252,776 
Sandoz Group AG   7,712    699,066 
Schindler Holding AG, Participation Certificate   1,248    414,633 
Schindler Holding AG, Registered Shares   2,037    648,992 
SFS Group AG   1,424    235,141 
SGS SA, Registered Shares   5,822    676,425 
Sika AG, Registered Shares   2,182    451,061 
Sonova Holding AG, Registered Shares   1,635    389,368 
Straumann Holding AG, Registered Shares   4,178    551,093 
Sulzer AG, Registered Shares   1,523    253,377 
Sunrise Communications AG, Class A^    4,103    204,476 
Swiss Life Holding AG, Registered Shares   435    479,732 
Swiss Prime Site AG, Registered Shares   2,604    425,795 
Swisscom AG, Registered Shares   1,427    1,102,999 
Temenos AG, Registered Shares   1,894    155,202 
UBS Group AG, Registered Shares   38,670    1,920,437 
VAT Group AG(b)   1,231    1,077,707 
Vontobel Holding AG, Registered Shares   1,774    161,423 
Zurich Insurance Group AG   4,552    3,377,955 
Total Switzerland        35,482,797 
United Kingdom — 10.3%          
Admiral Group PLC   13,074    617,747 
Advanced Medical Solutions Group PLC(a)   31,163    115,811 
AG Barr PLC   9,748    81,898 
Alfa Financial Software Holdings PLC(b)   35,308    72,449 
Associated British Foods PLC   9,629    253,812 
AstraZeneca PLC   22,902    4,285,929 
Autotrader Group PLC(b)   38,809    257,083 
Aviva PLC   27,247    235,135 
Avon Technologies PLC   3,842    87,504 
B&M European Value Retail PLC   26,486    68,514 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Babcock International Group PLC   8,392   $106,014 
BAE Systems PLC   65,060    1,592,309 
Balfour Beatty PLC   17,100    196,888 
Baltic Classifieds Group PLC   45,659    113,990 
Barclays PLC   175,560    1,180,438 
Big Yellow Group PLC   6,238    74,721 
Bodycote PLC   4,984    43,924 
British American Tobacco PLC   100,367    6,230,326 
BT Group PLC   212,312    535,685 
BTG Consulting PLC   48,120    73,767 
Bunzl PLC   840    29,322 
Bytes Technology Group PLC(a)   26,204    131,466 
Centrica PLC   26,092    59,166 
Cerillion PLC   4,657    67,373 
Chemring Group PLC   31,101    211,347 
CK Hutchison Holdings Ltd.   85,000    718,084 
Coats Group PLC   83,620    86,513 
Coca-Cola Europacific Partners PLC   9,265    930,880 
Cohort PLC(a)   6,648    108,530 
Compass Group PLC   28,772    929,336 
Computacenter PLC   2,176    123,437 
Convatec Group PLC(b)   79,529    226,943 
Cranswick PLC   2,235    163,152 
Diploma PLC   6,464    611,707 
Dr. Martens PLC   27,423    25,150 
Drax Group PLC   8,018    80,772 
Dunelm Group PLC   7,420    77,456 
Elementis PLC   38,546    78,684 
Entain PLC   7,153    53,070 
Fevertree Drinks PLC   17,586    189,646 
Firstgroup PLC   21,608    53,860 
Forterra PLC(b)   4,241    7,610 
Games Workshop Group PLC   2,751    788,673 
GB Group PLC   21,866    57,289 
Genus PLC   4,304    122,704 
Greggs PLC   4,135    87,811 
GSK PLC   104,811    2,755,775 
Halma PLC   9,627    502,664 
Hammerson PLC   32,138    157,739 
Harworth Group PLC   30,541    48,643 
Helical PLC   20,640    52,543 
Hill & Smith PLC   3,406    124,091 
Hollywood Bowl Group PLC   14,645    53,356 
Howden Joinery Group PLC   17,484    194,347 
HSBC Holdings PLC   591,876    11,239,892 
IMI PLC   7,270    285,999 
Imperial Brands PLC   52,822    1,955,311 
Inchcape PLC   2,012    20,589 
Informa PLC   34,418    413,050 
IntegraFin Holdings PLC   1,109    5,218 
International Consolidated Airlines Group SA   98,993    627,380 
Intertek Group PLC   4,244    326,987 
ITV PLC   59,538    63,692 
J Sainsbury PLC   13,679    58,061 
James Halstead PLC   77,902    131,312 
JD Sports Fashion PLC   226    254 
JET2 PLC   726   12,450 
Johnson Matthey PLC   2,171    54,517 
Kainos Group PLC   14,068    143,212 
Kingfisher PLC   13,173    49,514 
Lloyds Banking Group PLC   1,183,019    1,744,449 
London Stock Exchange Group PLC   2,161    234,101 
LondonMetric Property PLC   154,029    384,951 
Marks & Spencer Group PLC   13,513    66,719 
Melrose Industries PLC   16,449    103,680 
Midwich Group PLC   1    2 
Mitie Group PLC   83,109    164,798 
MONY Group PLC   22,772    55,975 
Moonpig Group PLC   68,921    218,992 
Morgan Sindall Group PLC   1,149    74,969 
National Grid PLC   159,008    2,633,820 
NatWest Group PLC   315,582    2,793,769 
Next PLC   2,805    541,501 
Nichols PLC   4,506    57,055 
Oxford Instruments PLC   5,101    206,359 
Paratus Energy Services Ltd.   18,477    86,265 
Pearson PLC   14,660    232,711 
Pennon Group PLC   44,090    272,579 
PPHE Hotel Group Ltd.   5,572    127,201 
Property Franchise Group PLC   9,225    58,403 
PZ Cussons PLC   65,863    91,088 
QinetiQ Group PLC   31,199    174,911 
Reckitt Benckiser Group PLC   13,079    852,505 
RELX PLC   33,794    1,061,223 
Renishaw PLC   2,819    191,566 
Rentokil Initial PLC   57,345    324,690 
Rightmove PLC   55,570    323,195 
Rolls-Royce Holdings PLC   106,813    2,047,973 
Rotork PLC   61,004    239,178 
RS Group PLC   11,671    90,076 
Safestore Holdings PLC   34    277 
Sage Group PLC   26,872    291,033 
Savills PLC   6,933    78,584 
Senior PLC   40,471    154,700 
Serco Group PLC   45,729    132,919 
Severn Trent PLC   16,533    648,647 
Smith & Nephew PLC   17,465    252,782 
Smiths Group PLC   12,714    431,991 
Softcat PLC   14,613    354,930 
Spirax Group PLC   2,530    229,515 
Spire Healthcare Group PLC(b)   21,080    60,154 
SSE PLC   31,256    1,010,562 
SSP Group PLC   8,483    21,133 
Standard Chartered PLC   19,415    525,936 
Subsea 7 SA   17,337    592,179 
Tesco PLC   138,219    841,490 
Travis Perkins PLC   37    271 
Unilever PLC   56,988    3,424,478 
United Utilities Group PLC   22,882    397,545 
Vodafone Group PLC   463,151    612,258 
Volex PLC   18,146    135,594 
Volution Group PLC   42,130    341,653 
Weir Group PLC   7,630    243,451 

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

Investments  Shares   Value 
Whitbread PLC   5,553   $176,222 
Workspace Group PLC   52    239 
Total United Kingdom        67,933,768 
United States — 5.9%          
Acerinox SA   4,635    81,237 
Aegon Ltd.   20,107    170,987 
Alcon, Inc.   4,474    302,833 
BP PLC   633,120    3,925,079 
Buzzi SpA   1,252    64,113 
Experian PLC   13,226    446,403 
Ferrovial NV   13,651    936,119 
Haleon PLC   126,269    582,712 
Holcim AG, Registered Shares^    13,673    1,235,341 
InterContinental Hotels Group PLC   4,708    810,953 
Novartis AG, Registered Shares   51,720    8,115,933 
QIAGEN NV   2,902    112,475 
Reliance Worldwide Corp. Ltd.   34,827    94,341 
Roche Holding AG   16,986    7,007,923 
Roche Holding AG, Bearer Shares   2,332    980,617 
Sanofi SA   41,776    3,586,009 
Schneider Electric SE   7,847    2,560,459 
Shell PLC   164,814    6,415,916 
Swiss Re AG   4,640    739,156 
Tenaris SA   23,096    639,281 
Total United States        38,807,887 
TOTAL COMMON STOCKS          
(Cost: $418,759,208)        657,461,664 
RIGHTS — 0.0%          
Australia — 0.0%          
Centuria Capital Group*^   2,142    0 
Spain — 0.0%          
ACS Actividades de Construccion y Servicios SA^    9,874    20,738 
TOTAL RIGHTS          
(Cost: $21,046)        20,738 
MUTUAL FUND — 0.0%          
United States — 0.0%          
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)          
(Cost: $225,773)   225,773    225,773 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.7%          
United States — 0.7%          
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)          
(Cost: $4,921,617)   4,921,617    4,921,617 
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $423,927,644)
        662,629,792 
Other Liabilities less Assets — (0.0)%        (7,181)
NET ASSETS — 100.0%       $662,622,611 

  

* This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $91,449, which represents 0.0% of net assets.
^ Non-income producing security.

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $9,849,534 and the total market value of the collateral held by the Fund was $10,533,556. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $5,611,939.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

ABBREVIATIONS:

CVA Certificaten van Aandelen (Certificate of Stock)

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited) (concluded)

WisdomTree International Equity Fund (DWM)

June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $5,300,000   $12,100,000   $17,400,000   $   $   $^   $16,124 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Australia  $44,340,921   $   $91,449*   $44,432,370 
Other   613,029,294            613,029,294 
Rights   20,738        0*    20,738 
Mutual Fund       225,773        225,773 
Investment of Cash Collateral for Securities Loaned       4,921,617        4,921,617 
Total Investments in Securities  $657,390,953   $5,147,390   $91,449   $662,629,792 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

See Notes to Schedule of Investments.

 

  
 

 

Schedule of Investments (unaudited)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.0%
Australia — 2.3%      
Aristocrat Leisure Ltd.     77,045     $ 3,270,395  
Brambles Ltd.     385,348       5,200,558  
Cochlear Ltd.     9,235       778,957  
Codan Ltd.     12,913       394,882  
CSL Ltd.     108,088       8,592,118  
Eagers Automotive Ltd.     46,142       679,622  
HUB24 Ltd.     15,888       800,444  
JB Hi-Fi Ltd.     29,127       1,624,021  
Netwealth Group Ltd.     83,412       1,188,118  
Northern Star Resources Ltd.     328,226       4,309,135  
Pro Medicus Ltd.     5,342       752,882  
Ramelius Resources Ltd.     461,830       934,271  
REA Group Ltd.(a)     15,557       1,500,174  
Sigma Healthcare Ltd.     493,960       941,093  
Technology One Ltd.     34,920       712,955  
Wesfarmers Ltd.     281,065       17,602,854  
Whitehaven Coal Ltd.     141,407       747,486  
WiseTech Global Ltd.     14,933       341,404  
Total Australia             50,371,369  
Austria — 2.1%                
ANDRITZ AG     46,714       4,037,654  
BAWAG Group AG(b)     46,660       9,351,621  
Erste Group Bank AG     166,152       22,244,503  
Raiffeisen Bank International AG     153,063       9,773,579  
Wienerberger AG     33,216       858,254  
Total Austria             46,265,611  
Belgium — 0.3%                
Solvay SA(a)     89,313       2,683,492  
Syensqo SA     23,572       1,740,961  
UCB SA     11,130       3,333,932  
Total Belgium             7,758,385  
Chile — 0.2%                
Antofagasta PLC     107,932       5,472,252  
China — 0.2%                
Prosus NV*     106,547       4,627,759  
Denmark — 2.7%                
Novo Nordisk AS, Class B     1,162,573       55,941,491  
Pandora AS     25,455       2,922,380  
Royal Unibrew AS     12,804       844,853  
Total Denmark             59,708,724  
Finland — 0.6%                
Kone OYJ, Class B     152,541       8,678,151  
Konecranes OYJ     51,054       1,568,987  
Valmet OYJ     88,043       2,125,930  
Total Finland             12,373,068  
France — 12.4%                
Accor SA     72,955       4,240,537  
Air Liquide SA     130,602       25,873,698  
Airbus SE     82,898       18,437,974  
BioMerieux     8,619       676,977  
Bureau Veritas SA     153,471       4,698,910  
Cie Generale des Etablissements Michelin SCA     366,389       14,137,625  
Dassault Aviation SA     14,457       4,747,040  
Edenred SE     185,940       4,783,167  
Eiffage SA     44,531       6,572,777  
Hermes International SCA     8,835       16,141,488  
Kering SA     26,388       7,460,893  
Legrand SA     43,084       7,275,398  
L'Oreal SA     107,540       47,169,956  
LVMH Moet Hennessy Louis Vuitton SE     130,024       71,964,588  
Nexans SA     9,737       1,617,525  
Rexel SA     125,050       5,462,871  
Safran SA     43,672       17,225,920  
Technip Energies NV     41,306       1,564,097  
Thales SA     31,658       8,136,545  
Vallourec SACA*     223,805       5,242,905  
Total France             273,430,891  
Georgia — 0.3%                
Lion Finance Group PLC     24,118       3,626,801  
TBC Bank Group PLC     43,206       2,541,536  
Total Georgia             6,168,337  
Germany — 9.0%                
adidas AG     20,602       4,225,636  
Continental AG     71,984       5,938,719  
CTS Eventim AG & Co. KGaA     18,067       1,054,489  
Daimler Truck Holding AG     475,115       22,922,999  
Deutsche Lufthansa AG, Registered Shares     532,053       6,089,045  
Deutsche Post AG, Registered Shares     617,611       37,494,691  
Deutsche Telekom AG, Registered Shares     1,629,201       44,424,576  
Fielmann Group AG     18,346       897,729  
GEA Group AG     25,325       1,738,692  
Heidelberg Materials AG     30,931       5,902,154  
HochTief AG     15,592       9,037,952  
Hugo Boss AG     27,136       1,165,594  
Infineon Technologies AG     145,238       13,561,354  
Knorr-Bremse AG     39,062       4,537,414  
Krones AG     7,147       916,805  
Nemetschek SE     11,178       678,608  
Rheinmetall AG     2,190       2,480,041  
SAP SE     132,709       20,331,312  
Schott Pharma AG & Co. KGaA     13,237       261,816  
Sixt SE     10,798       786,399  
Traton SE     338,601       12,844,726  
Total Germany             197,290,751  
Hong Kong — 0.5%                
Bank of East Asia Ltd.     2,281,800       3,645,852  
Techtronic Industries Co. Ltd.     507,000       8,372,364  
Total Hong Kong             12,018,216  
Ireland — 0.4%                
Bank of Ireland Group PLC     419,327       8,353,834  
Israel — 1.4%                
Bank Leumi Le-Israel BM     541,033       12,081,064  
Elbit Systems Ltd.     1,918       1,454,859  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Investments   Shares     Value  
Israel Discount Bank Ltd., Class A     480,376     $ 4,756,278  
Mizrahi Tefahot Bank Ltd.     123,135       8,141,635  
Newmed Energy LP(a)     468,190       2,451,380  
Strauss Group Ltd.     35,015       1,351,499  
Total Israel             30,236,715  
Italy — 1.7%                
Brembo NV(a)     95,063       1,112,940  
Brunello Cucinelli SpA(a)     4,800       453,296  
DiaSorin SpA(a)     7,076       548,178  
Ferrari NV     18,434       6,835,869  
Leonardo SpA     57,906       3,106,620  
Maire SpA     99,591       1,630,509  
Moncler SpA     76,512       4,442,040  
PRADA SpA     833,600       4,222,186  
Prysmian SpA     26,163       4,368,671  
Recordati Industria Chimica & Farmaceutica SpA     56,939       3,339,546  
Ryanair Holdings PLC     206,619       6,460,823  
Technogym SpA(b)     56,474       981,414  
Total Italy             37,502,092  
Japan — 20.3%                
Advantest Corp.     29,400       5,850,152  
Ajinomoto Co., Inc.     124,900       4,513,384  
Amada Co. Ltd.     144,600       2,625,977  
Asics Corp.     60,400       1,625,904  
Bandai Namco Holdings, Inc.     130,100       3,029,063  
BayCurrent, Inc.     27,500       1,021,320  
BIPROGY, Inc.     35,800       940,349  
Bridgestone Corp.(a)     526,000       11,036,210  
Capcom Co. Ltd.     68,700       1,273,185  
Chugai Pharmaceutical Co. Ltd.(a)     262,800       12,182,342  
CyberAgent, Inc.     110,100       922,665  
Daiichi Sankyo Co. Ltd.     356,700       5,724,977  
Daiwa House Industry Co. Ltd.     206,900       5,622,995  
Disco Corp.     9,700       4,849,851  
Ebara Corp.     80,000       3,079,403  
Food & Life Cos. Ltd.     37,000       1,111,423  
Fujikura Ltd.     186,300       7,150,527  
GMO Payment Gateway, Inc.     35,300       2,015,591  
Hachijuni Nagano Bank Ltd.     307,600       4,520,551  
Hitachi Ltd.     518,100       14,252,731  
Hokuhoku Financial Group, Inc.     74,000       3,039,680  
Horiba Ltd.     13,400       2,259,923  
Hoya Corp.     31,900       5,093,401  
Ibiden Co. Ltd.     21,900       3,209,036  
Internet Initiative Japan, Inc.     59,600       1,172,381  
Isuzu Motors Ltd.     411,600       5,446,213  
Japan Steel Works Ltd.     11,500       543,212  
Kakaku.com, Inc.     70,391       1,468,239  
Keyence Corp.     16,100       8,029,940  
Kobe Bussan Co. Ltd.     25,500       414,449  
Koei Tecmo Holdings Co. Ltd.     124,700       1,162,025  
Koito Manufacturing Co. Ltd.     77,200       1,211,022  
Kokusai Electric Corp.     32,400       2,163,987  
Konami Group Corp.     14,500       1,576,019  
Kuraray Co. Ltd.(a)     126,300       1,296,222  
Lasertec Corp.     19,100       5,840,763  
M3, Inc.     85,300       952,589  
Maruwa Co. Ltd.     1,500       653,438  
Mazda Motor Corp.     367,300       2,459,966  
MISUMI Group, Inc.     72,900       1,791,494  
Mitsubishi Heavy Industries Ltd.     230,800       5,206,047  
Mitsui Kinzoku Co. Ltd.     12,600       3,298,754  
MonotaRO Co. Ltd.     98,100       1,119,979  
Murata Manufacturing Co. Ltd.     458,500       32,146,485  
Nintendo Co. Ltd.     149,100       6,252,063  
Nippon Steel Corp.(a)     2,848,600       9,396,305  
Nitto Denko Corp.     132,600       2,586,322  
Nomura Research Institute Ltd.     85,200       2,407,251  
OBIC Business Consultants Co. Ltd.     13,600       508,938  
Obic Co. Ltd.     87,200       2,051,165  
Olympus Corp.     163,300       1,707,102  
Oracle Corp.     26,400       1,348,223  
Organo Corp.     14,600       1,464,267  
Pan Pacific International Holdings Corp.     298,300       1,510,542  
Panasonic Holdings Corp.     706,600       19,573,070  
Persol Holdings Co. Ltd.     1,296,600       1,973,720  
Recruit Holdings Co. Ltd.     67,500       4,705,584  
Ryohin Keikaku Co. Ltd.     65,800       1,432,802  
Sanrio Co. Ltd.(a)     156,200       1,057,191  
Sanwa Holdings Corp.     82,400       1,921,019  
SCREEN Holdings Co. Ltd.     56,400       6,178,754  
Sega Sammy Holdings, Inc.     51,200       695,425  
Seibu Holdings, Inc.(a)     34,400       671,596  
Shin-Etsu Chemical Co. Ltd.     456,300       19,675,437  
Socionext, Inc.     50,700       795,946  
Sompo Holdings, Inc.     359,400       13,794,414  
Subaru Corp.     348,800       5,129,254  
SUMCO Corp.     62,800       1,556,814  
Sumitomo Forestry Co. Ltd.(a)     203,300       1,689,320  
TISI, Inc.     49,700       968,466  
Toei Animation Co. Ltd.     46,600       697,889  
Tokyo Electron Ltd.     102,900       48,846,239  
TOTO Ltd.     65,700       3,480,958  
Toyo Tire Corp.     69,800       1,601,073  
Toyota Motor Corp.     5,294,400       88,769,359  
Trend Micro, Inc.     44,900       1,652,618  
Yamato Holdings Co. Ltd.     89,000       1,004,587  
Zensho Holdings Co. Ltd.(a)     19,500       967,651  
ZOZO, Inc.     283,600       2,004,962  
Total Japan             444,980,190  
Luxembourg — 0.1%                
Eurofins Scientific SE     16,717       1,310,356  
Macau — 0.2%                
Sands China Ltd.     2,257,600       3,756,885  
Netherlands — 7.0%                
Arcadis NV     13,095       503,342  
ASM International NV     2,559       2,927,168  
ASML Holding NV     32,407       63,779,464  
Heineken Holding NV     96,707       7,380,222  
ING Groep NV     1,745,142       55,207,765  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Investments   Shares     Value  
Koninklijke KPN NV     1,763,478     $ 8,701,853  
Koninklijke Vopak NV     46,783       2,441,147  
Universal Music Group NV     426,119       8,930,044  
Wolters Kluwer NV     55,944       3,609,946  
Total Netherlands             153,480,951  
Nigeria — 0.1%                
Airtel Africa PLC(b)     698,589       3,037,513  
Norway — 0.5%                
Frontline PLC     101,592       3,525,511  
Kongsberg Gruppen ASA     135,126       4,073,376  
Mowi ASA     159,485       2,946,173  
Total Norway             10,545,060  
Portugal — 0.6%                
Banco Comercial Portugues SA, Class R     7,604,263       8,998,243  
Jeronimo Martins SGPS SA     180,779       3,464,035  
Total Portugal             12,462,278  
Singapore — 1.3%                
Singapore Exchange Ltd.     321,300       5,981,603  
Singapore Technologies Engineering Ltd.     649,800       5,219,701  
Singapore Telecommunications Ltd.     5,031,200       17,153,807  
Total Singapore             28,355,111  
Spain — 6.8%                
Amadeus IT Group SA     105,325       6,150,956  
Banco Bilbao Vizcaya Argentaria SA     2,772,026       69,311,663  
Industria de Diseno Textil SA     1,156,873       72,904,634  
Laboratorios Farmaceuticos Rovi SA     7,943       525,349  
Total Spain             148,892,602  
Sweden — 4.9%                
AAK AB(a)     51,585       1,220,581  
AddTech AB, Class B     32,225       1,136,748  
Assa Abloy AB, Class B     183,050       6,476,064  
Atlas Copco AB, Class A     710,885       14,407,722  
Atlas Copco AB, Class B     204,137       3,621,593  
Axfood AB     80,088       2,130,020  
Epiroc AB, Class B     79,901       1,855,907  
Epiroc AB, Class A     150,453       4,133,585  
EQT AB     189,624       5,368,482  
Indutrade AB     50,164       1,038,718  
Lifco AB, Class B     32,870       1,077,989  
Saab AB, Class B     26,509       1,377,197  
Sandvik AB     297,579       12,295,929  
Sectra AB, Class B     10,537       299,186  
SKF AB, Class B     127,395       3,274,993  
Sweco AB, Class B     70,219       922,163  
Tele2 AB, Class B     282,017       4,914,386  
Trelleborg AB, Class B     42,628       1,777,681  
Volvo AB, Class B     1,177,689       40,095,320  
Total Sweden             107,424,264  
Switzerland — 5.9%                
ABB Ltd., Registered Shares     297,567       32,307,590  
Accelleron Industries AG     16,398       1,687,267  
Belimo Holding AG, Registered Shares     1,542       1,739,565  
Bucher Industries AG, Registered Shares     1,806       711,967  
Geberit AG, Registered Shares     7,742       5,180,849  
Georg Fischer AG, Registered Shares     20,789       1,079,848  
Huber & Suhner AG, Registered Shares     2,535       700,806  
Logitech International SA, Registered Shares     25,649       2,408,300  
Partners Group Holding AG     12,550       10,302,622  
Schindler Holding AG, Participation Certificate     8,992       2,987,486  
SFS Group AG     13,331       2,201,313  
SGS SA, Registered Shares     75,503       8,772,257  
Sika AG, Registered Shares     33,819       6,991,035  
Sonova Holding AG, Registered Shares     12,375       2,947,049  
Straumann Holding AG, Registered Shares     20,196       2,663,924  
Sulzer AG, Registered Shares     10,864       1,807,412  
UBS Group AG, Registered Shares     809,518       40,202,431  
VAT Group AG(b)     5,012       4,387,869  
Total Switzerland             129,079,590  
United Kingdom — 11.7%                
AstraZeneca PLC     300,424       56,221,990  
Autotrader Group PLC(b)     147,240       975,362  
BAE Systems PLC     558,357       13,665,495  
Bridgepoint Group PLC(b)     539,452       1,878,751  
Centrica PLC     1,554,115       3,524,119  
Compass Group PLC     321,132       10,372,564  
GSK PLC     1,622,383       42,657,003  
Hiscox Ltd.     122,875       3,012,194  
Howden Joinery Group PLC     173,024       1,923,285  
Imperial Brands PLC     517,310       19,149,254  
Inchcape PLC     122,198       1,250,463  
International Consolidated Airlines Group SA     892,473       5,656,150  
Intertek Group PLC     54,465       4,196,355  
JD Sports Fashion PLC     530,891       596,958  
Lloyds Banking Group PLC     26,230,378       38,678,630  
Next PLC     24,282       4,687,601  
RELX PLC     363,406       11,411,936  
Rightmove PLC     158,157       919,842  
Rolls-Royce Holdings PLC     808,813       15,507,729  
RS Group PLC     168,619       1,301,394  
Sage Group PLC     178,931       1,937,886  
Softcat PLC     66,710       1,620,297  
Spirax Group PLC     20,181       1,830,770  
SSE PLC     410,230       13,263,471  
Weir Group PLC     30,485       972,687  
Total United Kingdom             257,212,186  
United States — 5.5%                
BP PLC     9,823,381       60,900,847  
Experian PLC     129,825       4,381,847  
Ferrovial NV(a)     118,237       8,108,119  
Holcim AG, Registered Shares*     140,661       12,708,577  
InterContinental Hotels Group PLC     25,725       4,431,131  
Schneider Electric SE     96,065       31,345,803  
Total United States             121,876,324  
TOTAL COMMON STOCKS                
(Cost: $1,889,590,336)             2,173,991,314  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Investments   Shares     Value  
EXCHANGE-TRADED FUND — 0.0%                
United States — 0.0%                
WisdomTree International Quality Dividend Growth Fund(a)(c)                
(Cost: $170,492)   $ 6,017     $ 259,212  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)                
(Cost: $459,500)     459,500       459,500  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.5%                
United States — 0.5%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)     5,495,878       5,495,878  
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)     5,100,000       5,100,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
(Cost: $10,595,878)             10,595,878  
TOTAL INVESTMENTS IN SECURITIES — 99.5%                
(Cost: $1,900,816,206)             2,185,305,904  
Other Assets less Liabilities — 0.5%             11,234,254  
NET ASSETS — 100.0%           $ 2,196,540,158  

 

* Non-income producing security.
(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $23,629,125 and the total market value of the collateral held by the Fund was $24,895,735. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $14,299,857.
(b) This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c) Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(d) Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

AUD Australian dollar
CHF Swiss franc
DKK Danish krone
EUR Euro
GBP British pound
HKD Hong Kong dollar
ILS Israel shekel
JPY Japanese yen
NOK Norwegian krone
SEK Swedish krona
SGD Singapore dollar
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
  

Securities

Lending

Income

 
WisdomTree International Quality Dividend Growth Fund  $241,522   $   $   $   $17,690   $259,212   $3,670   $ 
WisdomTree Treasury Money Market Digital Fund   11,100,000    83,200,000    89,200,000            5,100,000        102,717 
Total  $11,341,522   $83,200,000   $89,200,000   $   $17,690   $5,359,212   $3,670   $102,717 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 
Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Citibank NA  7/3/2026   240,817   AUD    168,162   USD   $   $(1,327)
Citibank NA  7/3/2026   80,272   AUD    56,054   USD        (442)
Citibank NA  7/3/2026   402,221   CHF    503,492   USD        (4,807)
Citibank NA  7/3/2026   134,074   CHF    167,831   USD        (1,602)
Citibank NA  7/3/2026   1,318,663   DKK    203,394   USD        (1,691)
Citibank NA  7/3/2026   439,554   DKK    67,798   USD        (564)
Citibank NA  7/3/2026   2,895,701   EUR    3,337,724   USD        (26,935)
Citibank NA  7/3/2026   965,234   EUR    1,112,575   USD        (8,978)
Citibank NA  7/3/2026   886,011   GBP    1,180,693   USD        (4,737)
Citibank NA  7/3/2026   295,337   GBP    393,564   USD        (1,579)
Citibank NA  7/3/2026   368,759   ILS    124,463   USD        (692)
Citibank NA  7/3/2026   122,921   ILS    41,488   USD        (231)
Citibank NA  7/3/2026   245,429,114   JPY    1,531,301   USD        (21,082)
Citibank NA  7/3/2026   81,809,758   JPY    510,434   USD        (7,027)
Citibank NA  7/3/2026   409,870   NOK    42,994   USD        (1,575)
Citibank NA  7/3/2026   136,620   NOK    14,331   USD        (525)
Citibank NA  7/3/2026   3,715,162   SEK    389,256   USD        (5,364)
Citibank NA  7/3/2026   1,238,387   SEK    129,752   USD        (1,788)
Citibank NA  7/3/2026   128,303   SGD    99,659   USD        (458)
Citibank NA  7/3/2026   42,768   SGD    33,220   USD        (153)
Citibank NA  7/6/2026   552,974   HKD    70,609   USD        (87)
Citibank NA  7/6/2026   184,322   HKD    23,536   USD        (29)
Deutsche Bank AG  7/3/2026   13,430,115   AUD    9,304,169   USD    59     
Deutsche Bank AG  7/3/2026   22,469,016   CHF    27,857,559   USD    204     
Deutsche Bank AG  7/3/2026   73,572,288   DKK    11,253,500   USD    124     
Deutsche Bank AG  7/3/2026   161,520,348   EUR    184,671,867   USD    1,813     
Deutsche Bank AG  7/3/2026   49,219,722   GBP    65,326,211   USD    564     
Deutsche Bank AG  7/3/2026   20,516,688   ILS    6,886,366   USD        (120)
Deutsche Bank AG  7/3/2026   13,768,960,258   JPY    84,724,855   USD    790     
Deutsche Bank AG  7/3/2026   23,539,772   NOK    2,378,781   USD    22     
Deutsche Bank AG  7/3/2026   208,429,047   SEK    21,537,028   USD    181     
Deutsche Bank AG  7/3/2026   7,131,695   SGD    5,514,028   USD    48     
Deutsche Bank AG  7/3/2026   9,652,486   USD    13,423,683   AUD    352,714     

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Counterparty  Settlement
Date
   Amount and Description
of Currency to
be Purchased
    Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Deutsche Bank AG  7/3/2026   28,900,452   USD    22,506,424   CHF   $996,309   $ 
Deutsche Bank AG  7/3/2026   11,674,793   USD    74,645,203   DKK    257,056     
Deutsche Bank AG  7/3/2026   191,585,363   USD    163,953,606   EUR    4,129,626     
Deutsche Bank AG  7/3/2026   67,771,805   USD    50,280,247   GBP    1,037,449     
Deutsche Bank AG  7/3/2026   7,144,169   USD    20,025,663   ILS    422,731     
Deutsche Bank AG  7/3/2026   87,896,670   USD    13,956,365,810   JPY    2,017,848     
Deutsche Bank AG  7/3/2026   2,467,835   USD    22,802,384   NOK    163,548     
Deutsche Bank AG  7/3/2026   22,343,302   USD    205,970,863   SEK    1,060,100     
Deutsche Bank AG  7/3/2026   5,720,455   USD    7,279,290   SGD    92,261     
Deutsche Bank AG  7/6/2026   30,633,176   HKD    3,906,681   USD    36     
Deutsche Bank AG  7/6/2026   4,052,934   USD    31,728,483   HKD    6,530     
Deutsche Bank AG  8/5/2026   10,326,693   USD    14,914,820   AUD        (68)
Deutsche Bank AG  8/5/2026   28,106,475   USD    22,588,387   CHF        (436)
Deutsche Bank AG  8/5/2026   12,161,430   USD    79,371,439   DKK        (323)
Deutsche Bank AG  8/5/2026   188,576,139   USD    164,714,451   EUR        (2,186)
Deutsche Bank AG  8/5/2026   66,005,676   USD    49,732,917   GBP        (833)
Deutsche Bank AG  8/5/2026   4,092,150   USD    32,051,879   HKD        (104)
Deutsche Bank AG  8/5/2026   6,172,616   USD    18,375,384   ILS        (11)
Deutsche Bank AG  8/5/2026   89,609,681   USD    14,525,041,535   JPY        (1,154)
Deutsche Bank AG  8/5/2026   2,192,059   USD    21,701,623   NOK        (19)
Deutsche Bank AG  8/5/2026   21,097,004   USD    203,807,755   SEK        (395)
Deutsche Bank AG  8/5/2026   5,697,636   USD    7,352,645   SGD        (390)
Goldman Sachs  7/3/2026   13,430,111   AUD    9,304,166   USD    59     
Goldman Sachs  7/3/2026   22,469,153   CHF    27,857,556   USD    377     
Goldman Sachs  7/3/2026   73,572,725   DKK    11,253,498   USD    193     
Goldman Sachs  7/3/2026   161,520,487   EUR    184,671,864   USD    1,975     
Goldman Sachs  7/3/2026   49,219,885   GBP    65,326,207   USD    786     
Goldman Sachs  7/3/2026   20,516,689   ILS    6,886,364   USD        (118)
Goldman Sachs  7/3/2026   13,768,983,395   JPY    84,724,854   USD    933     
Goldman Sachs  7/3/2026   23,539,916   NOK    2,378,779   USD    39     
Goldman Sachs  7/3/2026   208,429,887   SEK    21,537,028   USD    268     
Goldman Sachs  7/3/2026   7,131,771   SGD    5,514,027   USD    108     
Goldman Sachs  7/6/2026   30,633,161   HKD    3,906,679   USD    36     
Goldman Sachs  8/5/2026   10,326,690   USD    14,914,902   AUD        (128)
Goldman Sachs  8/5/2026   28,106,472   USD    22,588,553   CHF        (646)
Goldman Sachs  8/5/2026   12,161,430   USD    79,372,363   DKK        (465)
Goldman Sachs  8/5/2026   188,576,139   USD    164,714,738   EUR        (2,516)
Goldman Sachs  8/5/2026   66,005,676   USD    49,732,842   GBP        (733)
Goldman Sachs  8/5/2026   4,092,149   USD    32,051,872   HKD        (104)
Goldman Sachs  8/5/2026   6,172,613   USD    18,375,381   ILS        (13)
Goldman Sachs  8/5/2026   89,609,678   USD    14,525,110,497   JPY        (1,582)
Goldman Sachs  8/5/2026   2,192,055   USD    21,701,559   NOK        (16)
Goldman Sachs  8/5/2026   21,097,002   USD    203,806,449   SEK        (262)
Goldman Sachs  8/5/2026   5,697,636   USD    7,352,298   SGD        (120)
HSBC Holdings PLC  7/3/2026   898,383   AUD    620,506   USD    1,883     
HSBC Holdings PLC  7/3/2026   1,503,894   CHF    1,857,854   USD    6,719     
HSBC Holdings PLC  7/3/2026   4,929,962   DKK    750,509   USD    3,579     
HSBC Holdings PLC  7/3/2026   10,823,931   EUR    12,315,988   USD    59,512     
HSBC Holdings PLC  7/3/2026   3,299,170   GBP    4,356,683   USD    22,134     
HSBC Holdings PLC  7/3/2026   1,369,343   ILS    459,260   USD    348     
HSBC Holdings PLC  7/3/2026   913,182,373   JPY    5,650,402   USD        (31,244)
HSBC Holdings PLC  7/3/2026   1,564,443   NOK    158,644   USD        (550)
HSBC Holdings PLC  7/3/2026   13,949,001   SEK    1,436,330   USD    5,036     
HSBC Holdings PLC  7/3/2026   476,278   SGD    367,737   USD    511     
HSBC Holdings PLC  7/3/2026   9,652,484   USD    13,423,585   AUD    352,780     

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Counterparty  Settlement
Date
   Amount and Description
of Currency to
be Purchased
    Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
HSBC Holdings PLC  7/3/2026   28,900,452   USD    22,506,256   CHF   $996,517   $ 
HSBC Holdings PLC  7/3/2026   11,674,793   USD    74,644,891   DKK    257,104     
HSBC Holdings PLC  7/3/2026   191,585,361   USD    163,953,324   EUR    4,129,947     
HSBC Holdings PLC  7/3/2026   67,771,802   USD    50,280,704   GBP    1,036,840     
HSBC Holdings PLC  7/3/2026   7,144,165   USD    20,026,366   ILS    422,491     
HSBC Holdings PLC  7/3/2026   87,896,669   USD    13,956,444,055   JPY    2,017,365     
HSBC Holdings PLC  7/3/2026   2,467,831   USD    22,802,282   NOK    163,554     
HSBC Holdings PLC  7/3/2026   22,343,302   USD    205,970,545   SEK    1,060,132     
HSBC Holdings PLC  7/3/2026   5,720,452   USD    7,279,790   SGD    91,872     
HSBC Holdings PLC  7/6/2026   2,042,534   HKD    260,541   USD        (52)
HSBC Holdings PLC  7/6/2026   4,052,932   USD    31,727,940   HKD    6,598     
JPMorgan Chase Bank NA  7/3/2026   471,175   AUD    336,324   USD        (9,899)
JPMorgan Chase Bank NA  7/3/2026   13,430,098   AUD    9,304,169   USD    47     
JPMorgan Chase Bank NA  7/3/2026   790,176   CHF    1,006,984   USD        (27,301)
JPMorgan Chase Bank NA  7/3/2026   22,469,094   CHF    27,857,559   USD    301     
JPMorgan Chase Bank NA  7/3/2026   2,612,658   DKK    406,787   USD        (7,155)
JPMorgan Chase Bank NA  7/3/2026   73,572,282   DKK    11,253,500   USD    123     
JPMorgan Chase Bank NA  7/3/2026   5,738,684   EUR    6,675,448   USD        (114,145)
JPMorgan Chase Bank NA  7/3/2026   161,520,193   EUR    184,671,867   USD    1,636     
JPMorgan Chase Bank NA  7/3/2026   1,757,386   GBP    2,361,387   USD        (28,901)
JPMorgan Chase Bank NA  7/3/2026   49,219,651   GBP    65,326,211   USD    471     
JPMorgan Chase Bank NA  7/3/2026   702,229   ILS    248,926   USD        (13,229)
JPMorgan Chase Bank NA  7/3/2026   20,516,474   ILS    6,886,366   USD        (192)
JPMorgan Chase Bank NA  7/3/2026   487,988,050   JPY    3,062,602   USD        (59,826)
JPMorgan Chase Bank NA  7/3/2026   13,768,979,321   JPY    84,724,855   USD    907     
JPMorgan Chase Bank NA  7/3/2026   798,474   NOK    85,987   USD        (5,298)
JPMorgan Chase Bank NA  7/3/2026   23,539,800   NOK    2,378,781   USD    25     
JPMorgan Chase Bank NA  7/3/2026   7,248,893   SEK    778,512   USD        (29,476)
JPMorgan Chase Bank NA  7/3/2026   208,429,234   SEK    21,537,028   USD    201     
JPMorgan Chase Bank NA  7/3/2026   7,131,657   SGD    5,514,028   USD    19     
JPMorgan Chase Bank NA  7/3/2026   9,652,486   USD    13,423,414   AUD    352,900     
JPMorgan Chase Bank NA  7/3/2026   28,900,452   USD    22,506,296   CHF    996,467     
JPMorgan Chase Bank NA  7/3/2026   11,674,793   USD    74,644,617   DKK    257,145     
JPMorgan Chase Bank NA  7/3/2026   191,585,363   USD    163,954,237   EUR    4,128,905     
JPMorgan Chase Bank NA  7/3/2026   67,771,805   USD    50,280,083   GBP    1,037,667     
JPMorgan Chase Bank NA  7/3/2026   7,144,169   USD    20,027,937   ILS    421,968     
JPMorgan Chase Bank NA  7/3/2026   87,896,670   USD    13,956,387,081   JPY    2,017,717     
JPMorgan Chase Bank NA  7/3/2026   2,467,835   USD    22,802,430   NOK    163,543     
JPMorgan Chase Bank NA  7/3/2026   22,343,302   USD    205,968,467   SEK    1,060,347     
JPMorgan Chase Bank NA  7/3/2026   5,720,455   USD    7,279,742   SGD    91,912     
JPMorgan Chase Bank NA  7/6/2026   1,105,439   HKD    141,217   USD        (238)
JPMorgan Chase Bank NA  7/6/2026   30,633,267   HKD    3,906,681   USD    47     
JPMorgan Chase Bank NA  7/6/2026   4,052,934   USD    31,727,664   HKD    6,635     
JPMorgan Chase Bank NA  8/5/2026   10,326,693   USD    14,914,906   AUD        (128)
JPMorgan Chase Bank NA  8/5/2026   28,106,475   USD    22,588,418   CHF        (475)
JPMorgan Chase Bank NA  8/5/2026   12,161,430   USD    79,370,917   DKK        (243)
JPMorgan Chase Bank NA  8/5/2026   188,576,139   USD    164,714,868   EUR        (2,664)
JPMorgan Chase Bank NA  8/5/2026   66,005,676   USD    49,732,647   GBP        (475)
JPMorgan Chase Bank NA  8/5/2026   4,092,150   USD    32,052,243   HKD        (150)
JPMorgan Chase Bank NA  8/5/2026   6,172,616   USD    18,377,353   ILS        (673)
JPMorgan Chase Bank NA  8/5/2026   89,609,681   USD    14,525,043,776   JPY        (1,168)
JPMorgan Chase Bank NA  8/5/2026   2,192,059   USD    21,701,777   NOK        (34)
JPMorgan Chase Bank NA  8/5/2026   21,097,004   USD    203,807,607   SEK        (380)
JPMorgan Chase Bank NA  8/5/2026   5,697,636   USD    7,352,346   SGD        (158)
Morgan Stanley & Co. International  7/3/2026   13,430,096   AUD    9,304,169   USD    46     

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Counterparty  Settlement
Date
   Amount and Description
of Currency to
be Purchased
    Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Morgan Stanley & Co. International  7/3/2026   22,469,071   CHF    27,857,559   USD   $273   $ 
Morgan Stanley & Co. International  7/3/2026   73,572,277   DKK    11,253,500   USD    122     
Morgan Stanley & Co. International  7/3/2026   161,520,348   EUR    184,671,867   USD    1,813     
Morgan Stanley & Co. International  7/3/2026   49,219,777   GBP    65,326,211   USD    638     
Morgan Stanley & Co. International  7/3/2026   20,516,688   ILS    6,886,366   USD        (120)
Morgan Stanley & Co. International  7/3/2026   13,768,968,731   JPY    84,724,855   USD    842     
Morgan Stanley & Co. International  7/3/2026   23,539,810   NOK    2,378,781   USD    26     
Morgan Stanley & Co. International  7/3/2026   208,429,133   SEK    21,537,028   USD    190     
Morgan Stanley & Co. International  7/3/2026   7,131,706   SGD    5,514,028   USD    57     
Morgan Stanley & Co. International  7/3/2026   9,652,486   USD    13,423,663   AUD    352,728     
Morgan Stanley & Co. International  7/3/2026   28,900,452   USD    22,506,343   CHF    996,410     
Morgan Stanley & Co. International  7/3/2026   11,674,793   USD    74,644,774   DKK    257,121     
Morgan Stanley & Co. International  7/3/2026   191,585,363   USD    163,953,536   EUR    4,129,707     
Morgan Stanley & Co. International  7/3/2026   67,771,805   USD    50,280,669   GBP    1,036,890     
Morgan Stanley & Co. International  7/3/2026   7,144,169   USD    20,029,964   ILS    421,288     
Morgan Stanley & Co. International  7/3/2026   87,896,670   USD    13,956,422,943   JPY    2,017,496     
Morgan Stanley & Co. International  7/3/2026   2,467,835   USD    22,802,373   NOK    163,549     
Morgan Stanley & Co. International  7/3/2026   22,343,302   USD    205,969,897   SEK    1,060,199     
Morgan Stanley & Co. International  7/3/2026   5,720,455   USD    7,280,146   SGD    91,600     
Morgan Stanley & Co. International  7/6/2026   30,633,294   HKD    3,906,681   USD    51     
Morgan Stanley & Co. International  7/6/2026   4,052,934   USD    31,728,078   HKD    6,582     
Morgan Stanley & Co. International  8/5/2026   10,326,693   USD    14,914,949   AUD        (157)
Morgan Stanley & Co. International  8/5/2026   28,106,475   USD    22,588,528   CHF        (611)
Morgan Stanley & Co. International  8/5/2026   12,161,430   USD    79,372,181   DKK        (437)
Morgan Stanley & Co. International  8/5/2026   188,576,139   USD    164,714,738   EUR        (2,516)
Morgan Stanley & Co. International  8/5/2026   66,005,676   USD    49,732,992   GBP        (932)
Morgan Stanley & Co. International  8/5/2026   4,092,150   USD    32,052,821   HKD        (224)
Morgan Stanley & Co. International  8/5/2026   6,172,616   USD    18,378,470   ILS        (1,048)
Morgan Stanley & Co. International  8/5/2026   89,609,681   USD    14,525,086,340   JPY        (1,430)
Morgan Stanley & Co. International  8/5/2026   2,192,059   USD    21,701,399   NOK    4     
Morgan Stanley & Co. International  8/5/2026   21,097,004   USD    203,809,443   SEK        (570)
Morgan Stanley & Co. International  8/5/2026   5,697,636   USD    7,352,287   SGD        (111)
Royal Bank of Canada  7/3/2026   395,627   AUD    280,270   USD        (6,184)
Royal Bank of Canada  7/3/2026   158,251   AUD    112,108   USD        (2,474)
Royal Bank of Canada  7/3/2026   13,430,096   AUD    9,304,169   USD    46     
Royal Bank of Canada  7/3/2026   664,098   CHF    839,154   USD        (15,785)
Royal Bank of Canada  7/3/2026   265,639   CHF    335,661   USD        (6,314)
Royal Bank of Canada  7/3/2026   22,468,876   CHF    27,857,559   USD    32     
Royal Bank of Canada  7/3/2026   2,181,082   DKK    338,989   USD        (5,370)
Royal Bank of Canada  7/3/2026   872,435   DKK    135,596   USD        (2,148)
Royal Bank of Canada  7/3/2026   73,572,142   DKK    11,253,500   USD    102     
Royal Bank of Canada  7/3/2026   4,789,300   EUR    5,562,873   USD        (87,044)
Royal Bank of Canada  7/3/2026   1,915,720   EUR    2,225,149   USD        (34,818)
Royal Bank of Canada  7/3/2026   161,526,847   EUR    184,671,867   USD    9,244     
Royal Bank of Canada  7/3/2026   1,464,176   GBP    1,967,822   USD        (24,497)
Royal Bank of Canada  7/3/2026   585,671   GBP    787,129   USD        (9,799)
Royal Bank of Canada  7/3/2026   49,219,740   GBP    65,326,211   USD    589     
Royal Bank of Canada  7/3/2026   602,000   ILS    207,438   USD        (5,382)
Royal Bank of Canada  7/3/2026   240,799   ILS    82,975   USD        (2,153)
Royal Bank of Canada  7/3/2026   20,517,377   ILS    6,886,366   USD    111     
Royal Bank of Canada  7/3/2026   408,189,235   JPY    2,552,168   USD        (40,425)
Royal Bank of Canada  7/3/2026   163,275,662   JPY    1,020,867   USD        (16,170)
Royal Bank of Canada  7/3/2026   13,770,044,736   JPY    84,724,855   USD    7,463     
Royal Bank of Canada  7/3/2026   682,237   NOK    71,656   USD        (2,713)
Royal Bank of Canada  7/3/2026   272,891   NOK    28,662   USD        (1,085)

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

Counterparty  Settlement
Date
   Amount and Description
of Currency to
be Purchased
    Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Royal Bank of Canada  7/3/2026   23,539,765   NOK    2,378,781   USD   $22   $ 
Royal Bank of Canada  7/3/2026   6,075,135   SEK    648,760   USD        (21,009)
Royal Bank of Canada  7/3/2026   2,430,054   SEK    259,504   USD        (8,404)
Royal Bank of Canada  7/3/2026   208,428,702   SEK    21,537,028   USD    146     
Royal Bank of Canada  7/3/2026   254,504   SGD    199,319   USD        (2,542)
Royal Bank of Canada  7/3/2026   212,674   SGD    166,099   USD        (1,664)
Royal Bank of Canada  7/3/2026   85,070   SGD    66,440   USD        (665)
Royal Bank of Canada  7/3/2026   7,131,695   SGD    5,514,028   USD    48     
Royal Bank of Canada  7/3/2026   9,652,486   USD    13,423,625   AUD    352,754     
Royal Bank of Canada  7/3/2026   28,900,452   USD    22,506,256   CHF    996,517     
Royal Bank of Canada  7/3/2026   11,674,793   USD    74,649,047   DKK    256,468     
Royal Bank of Canada  7/3/2026   191,585,363   USD    163,961,604   EUR    4,120,482     
Royal Bank of Canada  7/3/2026   67,771,805   USD    50,280,109   GBP    1,037,632     
Royal Bank of Canada  7/3/2026   7,144,169   USD    20,027,449   ILS    422,132     
Royal Bank of Canada  7/3/2026   87,896,670   USD    13,957,569,995   JPY    2,010,438     
Royal Bank of Canada  7/3/2026   2,467,835   USD    22,801,988   NOK    163,588     
Royal Bank of Canada  7/3/2026   22,343,302   USD    205,969,115   SEK    1,060,280     
Royal Bank of Canada  7/3/2026   5,720,455   USD    7,280,492   SGD    91,332     
Royal Bank of Canada  7/6/2026   30,636,692   HKD    3,906,681   USD    484     
Royal Bank of Canada  7/6/2026   921,492   HKD    117,681   USD        (161)
Royal Bank of Canada  7/6/2026   368,594   HKD    47,072   USD        (64)
Royal Bank of Canada  7/6/2026   4,052,934   USD    31,728,333   HKD    6,550     
Royal Bank of Canada  8/5/2026   10,326,693   USD    14,914,884   AUD        (113)
Royal Bank of Canada  8/5/2026   28,106,475   USD    22,588,218   CHF        (226)
Royal Bank of Canada  8/5/2026   12,161,430   USD    79,371,828   DKK        (383)
Royal Bank of Canada  8/5/2026   188,576,139   USD    164,721,645   EUR        (10,422)
Royal Bank of Canada  8/5/2026   66,005,676   USD    49,732,767   GBP        (634)
Royal Bank of Canada  8/5/2026   4,092,150   USD    32,055,562   HKD        (574)
Royal Bank of Canada  8/5/2026   6,172,616   USD    18,376,619   ILS        (426)
Royal Bank of Canada  8/5/2026   89,609,681   USD    14,526,206,461   JPY        (8,341)
Royal Bank of Canada  8/5/2026   2,192,059   USD    21,701,680   NOK        (25)
Royal Bank of Canada  8/5/2026   21,097,004   USD    203,808,008   SEK        (422)
Royal Bank of Canada  8/5/2026   5,697,636   USD    7,352,332   SGD        (147)
UBS Group AG  7/3/2026   239,914   AUD    168,162   USD        (1,952)
UBS Group AG  7/3/2026   406,244   CHF    503,492   USD    182     
UBS Group AG  7/3/2026   1,327,666   DKK    203,394   USD        (314)
UBS Group AG  7/3/2026   2,915,061   EUR    3,337,724   USD        (4,800)
UBS Group AG  7/3/2026   890,244   GBP    1,180,693   USD    882     
UBS Group AG  7/3/2026   369,707   ILS    124,463   USD        (374)
UBS Group AG  7/3/2026   246,841,892   JPY    1,531,301   USD        (12,389)
UBS Group AG  7/3/2026   415,992   NOK    42,994   USD        (956)
UBS Group AG  7/3/2026   3,736,401   SEK    389,256   USD        (3,169)
UBS Group AG  7/3/2026   128,764   SGD    99,659   USD        (101)
UBS Group AG  7/6/2026   553,436   HKD    70,609   USD        (28)
                        $52,793,848   $(789,291)

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:
   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
  

Significant

Unobservable
Inputs
(Level 3)

   Total 
Assets:    
Investments in Securities                    
Common Stocks  $2,173,991,314   $   $   $2,173,991,314 
Exchange-Traded Fund   259,212            259,212 
Mutual Fund       459,500        459,500 
Investment of Cash Collateral for Securities Loaned       10,595,878        10,595,878 
Total Investments in Securities  $2,174,250,526   $11,055,378   $   $2,185,305,904 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $52,793,848   $   $52,793,848 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(789,291)  $   $(789,291)
Total - Net  $2,174,250,526   $63,059,935   $   $2,237,310,461 

 

1 Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
Australia — 9.0%      
Abacus Group     355,186     $ 237,460  
Accent Group Ltd.     240,165       118,134  
Adairs Ltd.(a)     92,010       93,067  
Amotiv Ltd.     54,091       236,088  
ANZ Group Holdings Ltd.     103,745       2,540,765  
APA Group     166,868       1,172,246  
Aurizon Holdings Ltd.     251,447       728,167  
Australian Clinical Labs Ltd.(a)     82,835       128,549  
Beach Energy Ltd.     639,306       378,689  
Bendigo & Adelaide Bank Ltd.     9,862       72,082  
BHP Group Ltd.     287,434       11,828,576  
Cedar Woods Properties Ltd.     36,751       176,700  
Centuria Capital Group     243,925       326,153  
Cromwell Property Group     1,002,168       302,021  
Dalrymple Bay Infrastructure Ltd.     139,070       553,999  
Dexus     134,388       502,762  
Dicker Data Ltd.     52,617       458,580  
Elders Ltd.     71,187       253,496  
G8 Education Ltd.     306,355       29,714  
GPT Group     200,243       676,994  
GR Engineering Services Ltd.     65,550       241,143  
GrainCorp Ltd., Class A     64,483       219,349  
GWA Group Ltd.     126,161       201,030  
Inghams Group Ltd.     151,050       215,574  
IVE Group Ltd.     95,848       188,586  
Jumbo Interactive Ltd.(a)     28,644       128,990  
Jupiter Mines Ltd.     820,959       153,565  
McMillan Shakespeare Ltd.     27,972       377,697  
Medibank Pvt Ltd.     44,055       151,691  
Metcash Ltd.     176,251       360,215  
Mirvac Group     401,084       477,938  
National Australia Bank Ltd.     94,230       2,471,597  
Nine Entertainment Co. Holdings Ltd.     489,360       300,040  
Origin Energy Ltd.     158,605       1,206,499  
Orora Ltd.     307,856       295,397  
QBE Insurance Group Ltd.     23,738       414,267  
Redox Ltd.     179,635       494,071  
Rio Tinto Ltd.     26,700       3,191,049  
Rio Tinto PLC     99,901       9,443,311  
Scentre Group     579,980       1,550,987  
Servcorp Ltd.     43,460       197,516  
SmartGroup Corp. Ltd.     57,357       508,235  
Stockland     272,654       770,690  
Suncorp Group Ltd.     17,991       240,434  
Super Retail Group Ltd.     39,298       358,834  
Telstra Group Ltd.     1,034,639       3,641,333  
Transurban Group     226,079       2,252,304  
Treasury Wine Estates Ltd.     145,134       478,613  
Universal Store Holdings Ltd.(a)     31,061       167,418  
Ventia Services Group Pty. Ltd.     148,891       638,509  
Vicinity Ltd.     440,155       786,744  
Waypoint REIT Ltd.     262,653       442,177  
Westpac Banking Corp.     103,836       2,532,922  
Total Australia             55,912,967  
Austria — 0.6%                
ANDRITZ AG     10,148       877,127  
BAWAG Group AG(b)     1,634       327,487  
CA Immobilien Anlagen AG     16,428       428,233  
Raiffeisen Bank International AG     5,091       325,077  
SBO AG     6,435       211,885  
Telekom Austria AG     66,910       742,033  
Verbund AG     14,489       921,029  
Total Austria             3,832,871  
Belgium — 1.3%                
Ageas SA     3,266       261,381  
Bekaert SA     9,626       429,761  
Cofinimmo SA     7,756       734,667  
Colruyt Group NV     23,881       981,821  
KBC Group NV     17,783       2,425,525  
Melexis NV     6,959       621,381  
Montea NV     4,993       381,899  
Proximus SADP     69,957       467,894  
Retail Estates NV*     5,442       427,440  
Solvay SA(a)     21,647       650,404  
Warehouses De Pauw CVA     28,313       714,088  
Total Belgium             8,096,261  
China — 0.8%                
BOC Aviation Ltd.(b)     79,000       818,504  
BOC Hong Kong Holdings Ltd.     745,547       4,029,085  
Total China             4,847,589  
Denmark — 0.3%                
Danske Bank AS     24,094       1,290,566  
Tryg AS     11,089       252,547  
Total Denmark             1,543,113  
Finland — 1.8%                
Elisa OYJ     17,586       738,697  
Fortum OYJ     82,951       1,924,261  
Nordea Bank Abp     363,780       6,904,101  
Outokumpu OYJ     96,058       552,959  
Terveystalo OYJ(a)(b)     33,331       291,902  
Valmet OYJ     21,773       525,742  
Total Finland             10,937,662  
France — 10.0%                
Amundi SA(b)     3,847       369,235  
AXA SA     203,325       10,193,436  
BNP Paribas SA     81,300       9,493,943  
Bouygues SA     34,832       1,943,782  
Cie des Alpes     16,055       404,743  
Cie Generale des Etablissements Michelin SCA     56,072       2,163,615  
Covivio SA     11,071       678,441  
Credit Agricole SA     177,594       3,572,546  
Edenred SE     3,827       98,447  
Eiffage SA     7,974       1,176,963  
Engie SA     279,278       8,809,447  
Etablissements Maurel & Prom SA     69,842       622,034  
Gaztransport & Technigaz SA     5,372       1,141,762  
Interparfums SA     13,790       399,829  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

Investments   Shares     Value  
IPSOS SA     10,253     $ 408,403  
Kaufman & Broad SA     8,242       226,625  
Klepierre SA     41,521       1,736,488  
Opmobility     32,237       502,724  
Orange SA     224,104       4,228,880  
Publicis Groupe SA     17,806       1,760,118  
Pullup Entertainment(a)     6,167       56,335  
Quadient SA     14,677       198,007  
Rexel SA     26,252       1,146,832  
Rubis SCA     21,468       753,512  
Societe BIC SA     8,205       534,704  
Television Francaise 1 SA(a)     50,449       384,138  
Valeo SE     38,159       559,082  
Vallourec SACA*     44,887       1,051,533  
Veolia Environnement SA     58,349       2,430,928  
Vinci SA     34,489       5,039,317  
Total France             62,085,849  
Germany — 5.2%                
Allianz SE, Registered Shares     17,898       8,473,639  
BASF SE     71,784       3,839,265  
Bayerische Motoren Werke AG     45,640       2,987,839  
Daimler Truck Holding AG     69,888       3,371,905  
Deutsche Lufthansa AG, Registered Shares     107,795       1,233,653  
Deutsche Post AG, Registered Shares     86,882       5,274,540  
DWS Group GmbH & Co. KGaA(b)     3,604       270,508  
Freenet AG     20,899       538,567  
Indus Holding AG     9,966       294,538  
LEG Immobilien SE     7,720       487,652  
SAF-Holland SE     18,624       431,180  
Schaeffler AG     92,400       895,835  
Sirius Real Estate Ltd.     331,813       425,865  
Stroeer SE & Co. KGaA     10,579       412,438  
Traton SE     54,126       2,053,253  
Vonovia SE     61,089       1,507,912  
Total Germany             32,498,589  
Hong Kong — 4.4%                
Cathay Pacific Airways Ltd.     1,047,000       1,732,973  
CK Asset Holdings Ltd.     284,000       1,599,980  
CK Infrastructure Holdings Ltd.     220,000       1,674,817  
CLP Holdings Ltd.     204,000       1,904,196  
Crystal International Group Ltd.(b)     537,500       387,941  
Dream International Ltd.(a)     266,000       217,765  
Hang Lung Group Ltd.(a)     255,000       409,064  
Hang Lung Properties Ltd.     660,000       579,874  
HKT Trust & HKT Ltd.     899,000       1,336,684  
Hong Kong & China Gas Co. Ltd.     1,633,000       1,353,536  
Hongkong Land Holdings Ltd.     147,600       1,050,912  
Hutchison Telecommunications Hong Kong Holdings Ltd.     2,154,000       302,140  
Hysan Development Co. Ltd.     230,000       484,516  
Kerry Properties Ltd.     240,500       553,251  
Luk Fook Holdings International Ltd.     118,000       333,143  
Man Wah Holdings Ltd.     812,400       309,750  
MTR Corp. Ltd.(a)     516,000       2,006,873  
PCCW Ltd.     1,155,000       785,018  
Power Assets Holdings Ltd.     216,518       1,576,524  
SmarTone Telecommunications Holdings Ltd.     496,000       293,474  
Sun Hung Kai Properties Ltd.     175,000       2,506,041  
Swire Pacific Ltd., Class B     405,000       643,492  
Swire Properties Ltd.     500,200       1,310,130  
United Laboratories International Holdings Ltd.     284,000       305,293  
VTech Holdings Ltd.(a)     65,500       429,731  
WH Group Ltd.(b)     2,407,500       2,545,020  
Wharf Real Estate Investment Co. Ltd.     342,000       932,404  
Total Hong Kong             27,564,542  
Indonesia — 0.3%                
Bumitama Agri Ltd.     544,300       690,133  
First Pacific Co. Ltd.     736,000       450,494  
First Resources Ltd.     347,800       836,258  
Total Indonesia             1,976,885  
Ireland — 0.2%                
AIB Group PLC     48,376       568,292  
Bank of Ireland Group PLC     15,337       305,544  
Cairn Homes PLC     161,745       456,760  
Total Ireland             1,330,596  
Israel — 1.1%                
Amot Investments Ltd.     74,275       461,936  
AudioCodes Ltd.(a)     12,166       117,068  
Bezeq The Israeli Telecommunication Corp. Ltd.     347,331       819,176  
Danya Cebus Ltd.     7,967       326,493  
Delek Group Ltd.     2,697       687,815  
Energean PLC     48,506       440,034  
G City Ltd.     71,492       267,305  
Land Development Nimrodi Group Ltd.(a)     14,756       172,301  
Mediterranean Towers Ltd.     58,769       312,835  
Mizrahi Tefahot Bank Ltd.     4,575       302,497  
Neto Malinda Trading Ltd.(a)     7,737       356,279  
Newmed Energy LP(a)     106,499       557,615  
Orion Retail Properties Ltd.*^     0       0
Palram Industries 1990 Ltd.(a)     10,335       148,394  
Partner Communications Co. Ltd.     37,174       453,657  
Phoenix Financial Ltd.     3,486       192,584  
Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.     4,452       545,396  
Ratio Energies Finance LP(a)     263,323       380,033  
Shufersal Ltd.     39,157       559,996  
Total Israel             7,101,414  
Italy — 8.6%                
A2A SpA     295,655       763,931  
ACEA SpA     25,219       626,250  
Arnoldo Mondadori Editore SpA     108,438       249,814  
Ascopiave SpA     98,905       332,450  
Banca Generali SpA     1,827       136,190  
Banca Mediolanum SpA     12,027       299,485  
Banca Monte dei Paschi di Siena SpA     62,643       778,077  
Banco BPM SpA     105,847       1,828,535  
BPER Banca SpA     69,290       1,087,839  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

Investments   Shares     Value  
Credito Emiliano SpA     11,350     $ 220,730  
Enav SpA(b)     102,310       607,665  
Enel SpA     821,155       9,438,963  
ERG SpA     19,252       526,499  
Esprinet SpA     20,242       155,403  
Fila SpA     17,475       183,808  
FinecoBank Banca Fineco SpA     9,947       249,624  
Generali     39,359       1,917,414  
Hera SpA     131,690       549,850  
Infrastrutture Wireless Italiane SpA(b)     92,260       649,762  
Intesa Sanpaolo SpA     1,986,592       13,604,912  
Iren SpA     166,516       471,756  
Italgas SpA     130,411       1,511,117  
Pirelli & C SpA*(b)     127,837       966,822  
Poste Italiane SpA     55,405       1,812,921  
RAI Way SpA(b)     73,670       426,188  
Saipem SpA(a)     299,639       1,510,423  
Snam SpA     309,449       2,234,557  
Sogefi SpA*     51,773       121,936  
Terna - Rete Elettrica Nazionale     149,404       1,749,131  
UniCredit SpA     95,664       8,559,504  
Unipol Assicurazioni SpA     10,907       304,392  
Total Italy             53,875,948  
Japan — 11.7%                
AGC, Inc.     21,800       934,238  
Aida Engineering Ltd.     30,000       212,460  
Aisan Industry Co. Ltd.     23,500       274,293  
AIT Corp.     14,100       196,502  
Alconix Corp.     12,200       186,838  
Amano Corp.     13,100       293,395  
Anest Iwata Corp.     18,400       191,217  
AOKI Holdings, Inc.     30,800       310,795  
Aoyama Trading Co. Ltd.     66,300       280,661  
ARE Holdings, Inc.     23,200       417,821  
Asahi Kogyosha Co. Ltd.     11,500       316,997  
Asanuma Corp.     29,700       153,503  
Asia Pile Holdings Corp.     19,600       175,468  
Astellas Pharma, Inc.     148,700       1,989,986  
Autobacs Seven Co. Ltd.     32,300       289,761  
Bando Chemical Industries Ltd.     18,400       249,409  
Bell System24 Holdings, Inc.     29,100       242,254  
Brother Industries Ltd.     30,900       697,947  
Central Glass Co. Ltd.     9,500       258,360  
Chubu Steel Plate Co. Ltd.     11,700       142,826  
Citizen Watch Co. Ltd.     55,100       820,440  
Cosel Co. Ltd.     18,300       169,235  
Cosmo Energy Holdings Co. Ltd.     23,800       554,711  
Daicel Corp.     47,700       402,379  
Daiichi Life Group, Inc.     57,500       629,219  
Daiki Aluminium Industry Co. Ltd.     20,300       185,232  
Daikoku Denki Co. Ltd.     10,300       141,263  
Daikyonishikawa Corp.     28,600       176,149  
Daito Trust Construction Co. Ltd.     51,600       985,488  
Daitron Co. Ltd.     9,600       217,074  
Daiwa Securities Group, Inc.     26,600       261,131  
Dear Life Co. Ltd.     19,300       121,126  
Dip Corp.(a)     22,100       253,465  
Eagle Industry Co. Ltd.     19,400       340,194  
EM Systems Co. Ltd.(a)     30,100       90,749  
en, Inc./Japan     20,500       143,289  
ES-Con Japan Ltd.     42,300       280,569  
Exedy Corp.     13,800       492,478  
Ferrotec Corp.     12,500       732,964  
Futaba Industrial Co. Ltd.     38,000       219,782  
Gecoss Corp.     19,100       180,746  
Godo Steel Ltd.(a)     10,300       163,317  
G-Tekt Corp.     18,900       240,255  
Hakuto Co. Ltd.     8,700       243,830  
Hanwa Co. Ltd.     38,500       401,286  
Hazama Ando Corp.     44,600       492,445  
Honda Motor Co. Ltd.     368,800       3,358,400  
H-One Co. Ltd.     15,600       146,378  
Hoosiers Holdings Co. Ltd.     19,700       144,485  
HU Group Holdings, Inc.     15,600       316,271  
Iino Kaiun Kaisha Ltd.     44,400       380,825  
Inabata & Co. Ltd.     17,200       410,620  
INFRONEER Holdings, Inc.     39,500       650,495  
Inui Global Logistics Co. Ltd.     13,100       115,665  
Ishihara Sangyo Kaisha Ltd.     15,000       262,575  
Isuzu Motors Ltd.     70,800       936,812  
Itfor, Inc.     15,200       149,826  
JALCO Holdings, Inc.(a)     62,200       128,208  
Japan Tobacco, Inc.     125,800       4,653,497  
JDC Corp.     38,000       121,581  
Joshin Corp.     11,200       270,826  
JSP Corp.     13,600       208,446  
Kawada Technologies, Inc.     18,400       147,177  
Kobe Steel Ltd.     54,500       627,911  
Kohsoku Corp.(a)     11,300       236,047  
Komatsu Ltd.     57,800       2,234,115  
KPP Group Holdings Co. Ltd.     36,600       231,502  
KU Holdings Co. Ltd.     19,200       135,029  
Kumagai Gumi Co. Ltd.     40,800       358,734  
Kureha Corp.     15,100       358,163  
Kuroda Group Co. Ltd.     25,900       168,125  
Kyoei Steel Ltd.     20,700       221,615  
Kyokuto Kaihatsu Kogyo Co. Ltd.     18,000       234,573  
LA Holdings Co. Ltd.(a)     10,800       184,668  
Lixil Corp.     44,500       493,943  
Marubun Corp.     13,800       140,526  
Mazda Motor Corp.     86,000       575,979  
MEITEC Group Holdings, Inc.     21,000       401,458  
Miraini Holdings Co. Ltd.     7,100       97,943  
Mitsuboshi Belting Ltd.     15,000       364,559  
Mitsui Chemicals, Inc.     45,200       593,211  
Mitsui DM Sugar Co. Ltd.     14,300       282,877  
Miyaji Engineering Group, Inc.(a)     14,900       140,451  
Morito Co. Ltd.     15,400       166,768  
Mugen Estate Co. Ltd.     11,400       125,135  
Nippon Air Conditioning Services Co. Ltd.     17,900       174,347  
Nippon Carbon Co. Ltd.     5,500       156,684  
Nippon Kayaku Co. Ltd.     42,600       522,392  
Nippon Seisen Co. Ltd.     11,400       99,252  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

Investments   Shares     Value  
Nippon Shokubai Co. Ltd.     38,500     $ 493,553  
Nippon Soda Co. Ltd.     16,800       365,408  
Nippon Steel Corp.     429,900       1,418,055  
Nippon Yakin Kogyo Co. Ltd.     6,200       178,151  
Nishimatsu Construction Co. Ltd.     8,700       284,138  
Nitto Kogyo Corp.     16,100       472,029  
Nittoc Construction Co. Ltd.     22,000       148,900  
Noevir Holdings Co. Ltd.     11,400       307,928  
Nomura Holdings, Inc.     51,100       444,423  
Nomura Real Estate Holdings, Inc.     92,900       533,536  
NPR-RIKEN Corp.     13,200       314,315  
NS United Kaiun Kaisha Ltd.     10,500       415,413  
NSK Ltd.     87,000       608,103  
Okamura Corp.     25,400       357,264  
Okumura Corp.     11,700       404,578  
Ono Pharmaceutical Co. Ltd.     57,400       843,385  
Onward Holdings Co. Ltd.     71,000       316,721  
Open Up Group, Inc.     29,500       347,956  
PCA Corp.     9,400       74,032  
PHC Holdings Corp.     46,500       294,121  
Pigeon Corp.     30,400       387,283  
Press Kogyo Co. Ltd.     44,300       212,607  
PS Construction Co. Ltd.     18,600       252,463  
Quick Co. Ltd.     27,300       120,773  
Raiznext Corp.     21,400       296,394  
Restar Corp.     11,400       293,899  
Roland Corp.     9,400       238,868  
RYODEN Corp.     9,300       228,316  
Ryoyo Ryosan Holdings, Inc.     19,500       322,030  
Sakai Chemical Industry Co. Ltd.     7,300       208,411  
San-Ai Obbli Co. Ltd.     26,900       345,922  
Sangetsu Corp.     20,200       368,764  
Sanki Engineering Co. Ltd.     41,000       747,220  
Sankyo Co. Ltd.     39,200       380,604  
Sanshin Electronics Co. Ltd.     8,000       134,527  
Sanyo Chemical Industries Ltd.     8,700       261,228  
Scroll Corp.     17,900       179,303  
Seika Corp.     15,300       256,906  
Seikitokyu Kogyo Co. Ltd.     14,700       131,059  
Seino Holdings Co. Ltd.     30,800       498,410  
Shinagawa Refra Co. Ltd.     19,200       227,411  
Shinsho Corp.     13,600       200,412  
Sinko Industries Ltd.     30,000       231,288  
SoftBank Corp.     2,968,700       3,801,178  
Sojitz Corp.     22,880       727,965  
Stella Chemifa Corp.     5,200       210,528  
Subaru Corp.     54,500       801,446  
Sumida Corp.     17,900       150,777  
Sumiseki Holdings, Inc.(a)     29,200       94,504  
Sumitomo Seika Chemicals Co. Ltd.     28,000       219,142  
Sun-Wa Technos Corp.     7,700       172,690  
Tachi-S Co. Ltd.     18,200       237,739  
Takachiho Koheki Co. Ltd.(a)     14,900       197,383  
Takeda Pharmaceutical Co. Ltd.     116,200       3,685,655  
Tanseisha Co. Ltd.     20,900       175,276  
TASUKI Holdings, Inc.     26,500       195,499  
Tauns Laboratories, Inc.     45,000       130,688  
Teijin Ltd.     41,800       418,193  
THK Co. Ltd.     20,700       932,567  
Toa Corp.     30,900       393,748  
TOA Road Corp.     21,300       202,483  
Toagosei Co. Ltd.     36,300       388,741  
TOBISHIMA HOLDINGS, Inc.*     13,500       164,052  
Toho Co. Ltd.     16,300       135,395  
Tokyo Tekko Co. Ltd.     11,400       127,871  
Tomen Devices Corp.     2,600       278,197  
Topy Industries Ltd.     10,800       180,083  
Tosoh Corp.     40,900       736,590  
Toyo Kanetsu KK     9,800       146,947  
Tsubakimoto Chain Co.     25,800       405,434  
UBE Corp.     28,500       557,637  
Unipres Corp.     19,900       147,911  
UT Group Co. Ltd.     232,500       247,485  
Valqua Ltd.     8,100       357,840  
Vital KSK Holdings, Inc.     20,800       193,762  
VT Holdings Co. Ltd.     51,300       141,724  
Wakita & Co. Ltd.     22,300       237,236  
Wellneo Sugar Co. Ltd.     15,500       246,627  
Yamada Consulting Group Co. Ltd.     13,800       140,611  
Yokogawa Bridge Holdings Corp.     17,200       300,557  
Yondenko Corp.     19,200       243,478  
Yotai Refractories Co. Ltd.     14,500       155,951  
Zeon Corp.     39,800       576,705  
Zero Co. Ltd.     7,900       176,447  
Total Japan             72,662,490  
Luxembourg — 0.2%                
APERAM SA     14,395       700,445  
RTL Group SA     20,464       728,801  
Total Luxembourg             1,429,246  
Macau — 0.1%                
Wynn Macau Ltd.(a)     756,800       487,352  
Netherlands — 1.7%                
Acomo NV     11,689       301,359  
ASR Nederland NV     3,057       230,814  
Brunel International NV(a)     20,662       155,675  
Eurocommercial Properties NV     12,751       397,985  
ForFarmers NV     33,785       240,256  
Havas NV     24,761       482,673  
ING Groep NV     137,406       4,346,855  
Koninklijke KPN NV     409,881       2,022,551  
Koninklijke Vopak NV     13,059       681,422  
NN Group NV     4,038       353,912  
PostNL NV(a)     211,047       221,866  
SBM Offshore NV     20,741       719,458  
Sligro Food Group NV     16,467       212,742  
Wereldhave NV     18,466       420,132  
Total Netherlands             10,787,700  
Norway — 4.4%                
Aker ASA, Class A     12,627       1,464,888  
Austevoll Seafood ASA     48,973       383,549  
Bouvet ASA     40,425       175,459  
BW Offshore Ltd.     70,746       313,140  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

Investments   Shares     Value  
DNB Bank ASA     116,053     $ 3,456,199  
DOF Group ASA     60,564       695,885  
Elmera Group ASA(b)     53,272       250,331  
Equinor ASA     291,831       9,245,518  
Frontline PLC     26,870       932,460  
Hoegh Autoliners ASA     68,457       1,002,417  
Kid ASA(b)     17,297       208,707  
Klaveness Combination Carriers ASA(b)     26,688       235,177  
Leroy Seafood Group ASA     83,585       323,511  
Moreld AS*     70,055       133,802  
Multiconsult ASA(b)     11,057       162,020  
Norwegian Air Shuttle ASA     289,762       431,620  
Odfjell Drilling Ltd.     72,253       611,874  
Odfjell SE, Class A     25,455       268,042  
Salmar ASA     12,123       567,467  
SpareBank 1 Sor-Norge ASA     7,890       154,204  
Stolt-Nielsen Ltd.     15,161       446,610  
Telenor ASA     181,846       2,605,807  
Veidekke ASA     34,511       661,238  
Wallenius Wilhelmsen ASA     156,048       2,070,547  
Wilh Wilhelmsen Holding ASA, Class A     8,427       585,049  
Total Norway             27,385,521  
Portugal — 0.9%                
Altri SGPS SA(a)     66,036       358,620  
Banco Comercial Portugues SA, Class R     228,299       270,150  
Corticeira Amorim SGPS SA     44,641       326,133  
EDP SA     318,640       1,668,863  
Galp Energia SGPS SA     55,631       1,185,877  
NOS SGPS SA     130,066       750,214  
REN - Redes Energeticas Nacionais SGPS SA     146,658       632,970  
Sonae SGPS SA     310,411       715,109  
Total Portugal             5,907,936  
Singapore — 2.8%                
Aztech Global Ltd.     256,900       173,789  
ComfortDelGro Corp. Ltd.     407,800       422,476  
DBS Group Holdings Ltd.     120,530       6,094,292  
Hafnia Ltd.     129,416       846,164  
Keppel Infrastructure Trust     1,326,536       548,685  
Keppel Ltd.     139,400       1,179,045  
Netlink NBN Trust     720,300       542,961  
Oversea-Chinese Banking Corp. Ltd.     144,892       2,776,971  
SBS Transit Ltd.(a)     118,000       342,108  
Sembcorp Industries Ltd.     160,700       788,933  
Singapore Airlines Ltd.     315,500       1,873,316  
StarHub Ltd.(a)     437,400       348,310  
United Overseas Bank Ltd.     39,900       1,226,506  
Venture Corp. Ltd.     43,200       571,458  
Total Singapore             17,735,014  
Spain — 8.6%                
Aena SME SA(b)     144,115       4,392,680  
Banco Bilbao Vizcaya Argentaria SA     419,531       10,489,942  
Banco de Sabadell SA     112,251       397,715  
Bankinter SA     15,697       262,735  
CaixaBank SA     520,216       7,366,140  
Colonial SFL Socimi SA*     79,561       515,755  
Ebro Foods SA     25,653       524,404  
Elecnor SA     22,047       1,001,952  
Enagas SA     44,813       868,940  
Endesa SA     111,001       5,061,069  
Faes Farma SA     81,327       426,783  
Iberdrola SA     376,271       9,395,364  
Logista Integral SA     21,798       840,857  
Mapfre SA     55,404       274,277  
Metrovacesa SA*(b)     32,601       421,182  
Naturgy Energy Group SA     141,614       4,445,974  
Prosegur Cash SA(b)     518,288       375,090  
Prosegur Cia de Seguridad SA     149,446       462,181  
Repsol SA(a)     130,436       3,282,296  
Telefonica SA     596,158       2,396,462  
Tubacex SA(a)     53,186       203,705  
Total Spain             53,405,503  
Sweden — 2.8%                
Atea ASA*     28,009       489,107  
Betsson AB, Class B     26,118       228,576  
Bilia AB, Class A     29,174       436,789  
Billerud AB     49,494       320,136  
BioGaia AB, Class B     33,987       410,521  
Bravida Holding AB(b)     39,242       501,161  
Duni AB(a)     19,223       157,110  
Elekta AB, Class B     82,320       420,354  
H & M Hennes & Mauritz AB, Class B(a)     132,407       2,280,627  
Hexpol AB     54,729       408,567  
NCC AB, Class B     20,191       397,847  
Sagax AB, Class D     56,877       192,761  
SSAB AB, Class B     84,344       780,680  
Swedbank AB, Class A     50,389       1,884,742  
Tele2 AB, Class B     74,573       1,299,498  
Telia Co. AB     377,932       1,843,552  
Volvo AB, Class B     164,709       5,607,643  
Total Sweden             17,659,671  
Switzerland — 4.7%                
Allreal Holding AG, Registered Shares     2,095       550,598  
Banque Cantonale Vaudoise, Registered Shares     1,741       255,544  
Clariant AG, Registered Shares*     58,871       514,524  
DKSH Holding AG     7,998       616,718  
EFG International AG*     6,885       138,442  
Julius Baer Group Ltd.     3,403       294,464  
Kuehne & Nagel International AG, Registered Shares     10,971       2,665,056  
Nestle SA, Registered Shares     146,911       15,130,931  
Partners Group Holding AG     433       355,461  
Sunrise Communications AG, Class A*     11,508       573,510  
Swiss Life Holding AG, Registered Shares     499       550,313  
Swisscom AG, Registered Shares     3,113       2,406,193  
Vetropack Holding AG, Registered Shares     5,817       129,948  
Zurich Insurance Group AG     7,082       5,255,421  
Total Switzerland             29,437,123  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

Investments   Shares     Value  
United Kingdom — 12.6%                
Admiral Group PLC     5,397     $ 255,009  
Aviva PLC     52,309       451,415  
B&M European Value Retail PLC     279,083       721,934  
Big Yellow Group PLC     30,061       360,083  
British American Tobacco PLC     198,377       12,314,341  
BT Group PLC     744,355       1,878,083  
Bytes Technology Group PLC     65,445       328,338  
Card Factory PLC     152,685       135,979  
CK Hutchison Holdings Ltd.     271,000       2,289,420  
Derwent London PLC     18,828       485,045  
Domino's Pizza Group PLC     145,472       349,664  
Drax Group PLC     50,364       507,358  
Dunelm Group PLC     47,351       494,288  
Grainger PLC     156,855       353,291  
Greggs PLC(a)     18,576       394,480  
GSK PLC     225,221       5,921,692  
Halfords Group PLC     96,996       296,741  
Hammerson PLC     111,566       547,585  
Hargreaves Services PLC     16,721       180,650  
Hilton Food Group PLC     34,467       235,593  
Hollywood Bowl Group PLC     65,470       238,527  
HSBC Holdings PLC     1,036,554       19,684,453  
Imperial Brands PLC     108,781       4,026,744  
Inchcape PLC     47,772       488,855  
Investec PLC     15,250       121,544  
ITV PLC     617,957       661,067  
J Sainsbury PLC     187,802       797,134  
James Halstead PLC     176,428       297,388  
Johnson Matthey PLC     22,776       571,941  
Kingfisher PLC     169,433       636,860  
Lloyds Banking Group PLC     1,409,688       2,078,689  
LondonMetric Property PLC     332,291       830,465  
Me Group International PLC     135,716       180,849  
MONY Group PLC     165,082       405,782  
Morgan Advanced Materials PLC     108,431       306,539  
National Grid PLC     311,003       5,151,476  
NatWest Group PLC     485,759       4,300,304  
Next 15 Group PLC     39,449       132,991  
Paratus Energy Services Ltd.     74,377       347,251  
Pennon Group PLC     84,444       522,060  
Pets at Home Group PLC     134,312       316,243  
PZ Cussons PLC     185,828       256,999  
RS Group PLC     64,657       499,020  
Safestore Holdings PLC     41,366       336,555  
Schroders PLC     21,580       168,272  
Severn Trent PLC     26,838       1,052,948  
Subsea 7 SA     44,052       1,504,682  
Telecom Plus PLC     18,159       179,074  
United Utilities Group PLC     59,248       1,029,357  
Vodafone Group PLC     1,823,211       2,410,176  
Wickes Group PLC     93,375       232,744  
Workspace Group PLC     69,742       320,645  
Yu Group PLC     7,174       155,680  
Total United Kingdom             78,744,303  
United States — 5.3%                
Acerinox SA     38,730       678,813  
Aegon Ltd.     26,756       227,529  
BP PLC     1,333,581       8,267,644  
Sanofi SA     82,396       7,072,788  
Shell PLC     333,251       12,972,868  
Signify NV(a)(b)     21,844       416,820  
Swiss Re AG     4,881       777,547  
Tenaris SA     88,549       2,450,974  
Total United States             32,864,983  
TOTAL COMMON STOCKS                
(Cost: $500,486,033)             620,111,128  
RIGHTS — 0.0%                
Australia — 0.0%          
Centuria Capital Group*‡   14,911    0 
Spain — 0.0%          
Tubacex, SA*   55,467    3,358 
TOTAL RIGHTS          
(Cost $3,358)        3,358 
EXCHANGE-TRADED FUND — 0.0%                
United States — 0.0%                
WisdomTree True Developed International Fund(c)                
(Cost: $52,175)     841       62,540  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)                
(Cost: $206,716)     206,716       206,716  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.9%                
United States — 1.9%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)     5,976,800       5,976,800  
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)     5,600,000       5,600,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
(Cost: $11,576,800)             11,576,800  
TOTAL INVESTMENTS IN SECURITIES — 101.3%
(Cost: $512,325,082)
            631,960,542  
Other Liabilities less Assets — (1.3)%             (8,160,515 )
NET ASSETS — 100.0%           $ 623,800,027  
         

 

Amount is less than $1.
* Non-income producing security.
^Share amount represents a fractional share.
This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $13,470,967 and the total market value of the collateral held by the Fund was $14,263,650. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,686,850.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(d)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

 

CURRENCY ABBREVIATIONS:

AUD Australian dollar
EUR Euro
GBP British pound
USD United States dollar

 

OTHER ABBREVIATIONS:

CVA Certificaten van Aandelen (Certificate of Stock)

  

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $12,900,000   $32,100,000   $39,400,000   $   $   $5,600,000   $   $53,530 
WisdomTree True Developed International Fund   507,926    1,353,589    1,832,294    28,276    5,043    62,540    25,697     
Total  $13,407,926   $33,453,589   $41,232,294   $28,276   $5,043   $5,662,540   $25,697   $53,530 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree International High Dividend Fund (DTH)
June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Citibank NA  7/2/2026   214,068  USD    161,500  GBP   $   $(283)
JPMorgan Chase Bank NA  7/2/2026   54,706  USD    47,900  EUR        (58)
Morgan Stanley & Co. International  7/2/2026   122,841  USD    177,500  AUD        (131)
                      $   $(472)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $620,111,128   $   $   $620,111,128 
Rights       3,358    0*    3,358 
Exchange-Traded Fund   62,540            62,540 
Mutual Fund       206,716        206,716 
Investment of Cash Collateral for Securities Loaned       11,576,800        11,576,800 
Total Investments in Securities  $620,173,668   $11,786,874   $0   $631,960,542 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(472)  $   $(472)
Total - Net  $620,173,668   $11,786,402   $0   $631,960,070 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.
1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
Australia — 6.5%      
ALS Ltd.     13,204     $ 208,934  
Ampol Ltd.     4,438       101,156  
APA Group     67,919       477,130  
ASX Ltd.     6,283       232,095  
Aurizon Holdings Ltd.     61,739       178,790  
Bank of Queensland Ltd.     29,427       128,642  
Bendigo & Adelaide Bank Ltd.     26,685       195,042  
BlueScope Steel Ltd.     10,560       233,160  
CAR Group Ltd.     7,789       139,007  
Challenger Ltd.     20,254       140,320  
Cleanaway Waste Management Ltd.     40,735       66,320  
Cochlear Ltd.     688       58,032  
Codan Ltd.     2,191       67,001  
Computershare Ltd.     15,147       401,704  
Dexus     43,017       160,932  
Downer EDI Ltd.     20,781       115,896  
Dyno Nobel Ltd.     41,338       112,265  
Eagers Automotive Ltd.     4,587       67,562  
Evolution Mining Ltd.     47,274       384,829  
GPT Group     74,047       250,343  
Harvey Norman Holdings Ltd.     41,489       138,544  
Insurance Australia Group Ltd.     81,515       456,871  
JB Hi-Fi Ltd.     4,292       239,307  
Lottery Corp. Ltd.     89,878       358,661  
Medibank Pvt Ltd.     109,850       378,237  
Mirvac Group     94,345       112,423  
Netwealth Group Ltd.     2,009       28,616  
Orica Ltd.     12,476       204,675  
Origin Energy Ltd.     83,237       633,179  
Perseus Mining Ltd.     27,067       90,010  
Qantas Airways Ltd.     61,195       450,244  
Qube Holdings Ltd.     42,528       150,263  
Ramelius Resources Ltd.     52,465       106,135  
Scentre Group     315,521       843,769  
SEEK Ltd.     3,282       30,582  
SGH Ltd.     4,979       160,882  
Steadfast Group Ltd.     28,176       99,554  
Stockland     119,731       338,435  
Suncorp Group Ltd.     69,975       935,154  
Technology One Ltd.     3,168       64,681  
TPG Telecom Ltd.     58,369       145,577  
Treasury Wine Estates Ltd.     52,972       174,687  
Vicinity Ltd.     219,707       392,710  
Whitehaven Coal Ltd.     17,602       93,045  
Worley Ltd.     16,810       128,804  
Total Australia             10,474,205  
Austria — 2.3%                
ANDRITZ AG     4,056       350,574  
BAWAG Group AG(a)     4,207       843,169  
EVN AG     5,045       164,963  
Raiffeisen Bank International AG     11,903       760,046  
Strabag SE, Bearer Shares     4,653       473,992  
Telekom Austria AG     22,967       254,704  
UNIQA Insurance Group AG     8,781       177,094  
Vienna Insurance Group AG Wiener Versicherung Gruppe     5,792       426,456  
voestalpine AG     3,905       182,334  
Wienerberger AG     3,068       79,273  
Total Austria             3,712,605  
Belgium — 2.0%                
Ackermans & van Haaren NV     605       197,687  
Ageas SA     11,334       907,071  
Cofinimmo SA     3,111       294,681  
Colruyt Group NV     10,542       433,414  
Elia Group SA     1,773       283,385  
Financiere de Tubize SA     201       53,085  
Melexis NV     2,084       186,084  
Shurgard Self Storage Ltd.     684       20,020  
Solvay SA     7,513       225,735  
Syensqo SA     2,281       168,468  
Umicore SA     6,570       152,032  
Warehouses De Pauw CVA     12,574       317,131  
Total Belgium             3,238,793  
Brazil — 0.1%                
Yara International ASA     3,411       150,083  
China — 0.2%                
BOC Aviation Ltd.(a)     28,500       295,283  
Denmark — 1.6%                
AL Sydbank     2,099       184,923  
Alm Brand AS     47,145       116,817  
Carlsberg AS, Class B     3,337       437,311  
FLSmidth & Co. AS     857       62,656  
H Lundbeck AS     15,494       100,671  
ISS AS     4,183       171,210  
Jyske Bank AS, Registered Shares     1,633       235,908  
Pandora AS     1,918       220,197  
Ringkjoebing Landbobank AS     183       43,385  
Rockwool AS, Class B     2,778       88,889  
Royal Unibrew AS     1,465       96,666  
Tryg AS     26,282       598,561  
Vestas Wind Systems AS     5,820       164,327  
Total Denmark             2,521,521  
Finland — 2.3%                
Elisa OYJ     7,842       329,402  
Fortum OYJ     47,607       1,104,366  
Hiab OYJ, Class B     1,661       105,301  
Huhtamaki OYJ     3,010       90,438  
Kemira OYJ     6,710       125,890  
Konecranes OYJ     7,705       236,789  
Metso OYJ     24,358       423,297  
Neste OYJ     8,835       289,294  
Orion OYJ, Class B     3,337       274,503  
Valmet OYJ(b)     8,243       199,040  
Wartsila OYJ Abp     12,805       488,682  
Total Finland             3,667,002  
France — 6.2%                
Accor SA     6,818       396,299  
Aeroports de Paris SA(b)     2,532       330,011  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
Amundi SA(a)     11,848     $ 1,137,171  
Ayvens SA(a)     24,444       321,947  
BioMerieux     528       41,472  
Bouygues SA     18,078       1,008,833  
Bureau Veritas SA     13,865       424,513  
Covivio SA     5,108       313,023  
Edenred SE     13,089       336,705  
Eiffage SA     3,891       574,312  
Elis SA     4,956       153,554  
Gaztransport & Technigaz SA     2,411       512,433  
Getlink SE     20,920       444,872  
Ipsen SA     876       169,058  
JCDecaux SE     7,733       170,103  
Klepierre SA     22,739       950,989  
Nexans SA     1,380       229,248  
Rexel SA     11,888       519,333  
Rubis SCA     9,542       334,918  
SCOR SE     8,686       315,200  
Sopra Steria Group     637       101,668  
SPIE SA     4,766       274,628  
Technip Energies NV     5,435       205,802  
Vallourec SACA*     20,275       474,967  
Wendel SE     2,725       256,249  
Total France             9,997,308  
Georgia — 0.3%                
Lion Finance Group PLC     2,030       305,266  
TBC Bank Group PLC     3,924       230,824  
Total Georgia             536,090  
Germany — 4.0%                
Aurubis AG(b)     753       155,996  
Bechtle AG     2,300       81,465  
Bilfinger SE     1,073       98,570  
Continental AG     9,452       779,795  
CTS Eventim AG & Co. KGaA     1,776       103,657  
Deutsche Lufthansa AG, Registered Shares     48,161       551,175  
Deutsche Wohnen SE     2,727       58,365  
DWS Group GmbH & Co. KGaA(a)     10,868       815,727  
Fielmann Group AG     2,518       123,214  
Freenet AG     7,677       197,836  
Fresenius Medical Care AG     8,080       365,820  
GEA Group AG     4,213       289,244  
Hensoldt AG     671       51,982  
Hugo Boss AG     1,804       77,489  
KION Group AG     2,070       91,754  
Knorr-Bremse AG     3,376       392,154  
Krones AG     645       82,740  
LEG Immobilien SE     2,046       129,240  
Nemetschek SE     692       42,011  
RENK Group AG     665       32,065  
Schaeffler AG     35,375       342,967  
Schott Pharma AG & Co. KGaA     1,490       29,471  
Scout24 SE(a)     1,123       92,892  
Sixt SE     925       67,366  
Symrise AG     2,128       213,661  
thyssenkrupp AG     6,376       75,849  
Traton SE     29,604       1,123,019  
United Internet AG, Registered Shares     2,637       69,342  
Total Germany             6,534,866  
Hong Kong — 5.8%                
ASMPT Ltd.     2,300       70,038  
Bank of East Asia Ltd.     116,180       185,632  
Cathay Pacific Airways Ltd.     571,000       945,107  
CK Asset Holdings Ltd.     157,000       884,496  
CK Infrastructure Holdings Ltd.     116,000       883,085  
DFI Retail Group Holdings Ltd., Registered Shares     46,100       174,719  
Guotai Junan International Holdings Ltd.     92,000       22,994  
Hang Lung Properties Ltd.     271,000       238,100  
HKT Trust & HKT Ltd.     472,000       701,796  
Hong Kong & China Gas Co. Ltd.     841,000       697,075  
Hongkong Land Holdings Ltd.     78,300       557,496  
Johnson Electric Holdings Ltd.     21,000       51,977  
Kerry Properties Ltd.     84,000       193,235  
PCCW Ltd.     499,000       339,155  
Power Assets Holdings Ltd.     111,000       808,220  
Swire Properties Ltd.     254,200       665,804  
United Laboratories International Holdings Ltd.(b)     80,000       85,998  
WH Group Ltd.(a)     1,405,000       1,485,256  
Wharf Real Estate Investment Co. Ltd.     154,000       419,855  
Total Hong Kong             9,410,038  
Indonesia — 0.5%                
First Pacific Co. Ltd.     224,000       137,107  
Jardine Matheson Holdings Ltd.     10,200       627,300  
Total Indonesia             764,407  
Ireland — 2.3%                
AIB Group PLC     188,571       2,215,221  
Bank of Ireland Group PLC     54,419       1,084,136  
Glanbia PLC     7,155       200,090  
Kerry Group PLC, Class A     2,391       219,647  
Total Ireland             3,719,094  
Israel — 2.6%                
Amot Investments Ltd.     18,076       112,420  
Azrieli Group Ltd.     2,831       384,156  
Bezeq The Israeli Telecommunication Corp. Ltd.     135,491       319,554  
Clal Insurance Enterprises Holdings Ltd.     890       68,226  
Delek Group Ltd.     1,041       265,469  
First International Bank of Israel Ltd.     4,343       307,419  
Harel Insurance Investments & Financial Services Ltd.     4,461       234,470  
ICL Group Ltd.     31,805       159,481  
Israel Discount Bank Ltd., Class A     36,693       363,303  
Menora Mivtachim Holdings Ltd.     2,650       397,395  
Mizrahi Tefahot Bank Ltd.     9,648       637,922  
Newmed Energy LP     58,262       305,052  
Next Vision Stabilized Systems Ltd.     526       42,476  
Phoenix Financial Ltd.     8,277       457,264  
Strauss Group Ltd.     2,526       97,498  
Total Israel             4,152,105  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
Italy — 6.6%                
A2A SpA     152,557     $ 394,186  
ACEA SpA     10,687       265,385  
Azimut Holding SpA     8,569       347,595  
Banca Generali SpA     7,474       557,136  
Banca Mediolanum SpA     59,662       1,485,648  
Brembo NV     10,008       117,168  
Brunello Cucinelli SpA     710       67,050  
Coca-Cola HBC AG*     12,895       842,052  
Credito Emiliano SpA     26,202       509,564  
De' Longhi SpA     3,889       165,135  
DiaSorin SpA     694       53,764  
ERG SpA     6,688       182,902  
FinecoBank Banca Fineco SpA     34,184       857,862  
Hera SpA     59,507       248,461  
Infrastrutture Wireless Italiane SpA(a)     40,532       285,456  
Interpump Group SpA     579       22,388  
Iren SpA     78,304       221,843  
Italgas SpA     64,028       741,915  
Lottomatica Group SpA     4,577       127,159  
Maire SpA     6,853       112,198  
Moncler SpA     6,508       377,834  
Pirelli & C SpA*(a)     59,679       451,348  
PRADA SpA(b)     79,100       400,642  
Recordati Industria Chimica & Farmaceutica SpA     4,442       260,529  
Reply SpA     251       26,243  
Saipem SpA     131,547       663,103  
SOL SpA     1,030       68,536  
Technogym SpA(a)     4,401       76,481  
Unipol Assicurazioni SpA     27,985       781,004  
Webuild SpA     21,524       56,058  
Total Italy             10,766,645  
Ivory Coast — 0.3%                
Endeavour Mining PLC     8,362       411,087  
Japan — 24.3%                
77 Bank Ltd./The     9,600       195,869  
ABC-Mart, Inc.     5,034       86,742  
AGC, Inc.     8,900       381,409  
Air Water, Inc.     12,200       207,706  
Aisin Corp.     24,900       334,988  
Alsok Co. Ltd.     12,100       79,513  
Amada Co. Ltd.     12,800       232,452  
ANA Holdings, Inc.     12,200       222,794  
Asahi Intecc Co. Ltd.     2,100       49,100  
Asahi Kasei Corp.     44,120       486,195  
Asics Corp.     7,700       207,276  
Astellas Pharma, Inc.     82,800       1,108,076  
Azbil Corp.     12,600       133,307  
BayCurrent, Inc.     1,900       70,564  
BIPROGY, Inc.     2,600       68,293  
Brother Industries Ltd.     10,500       237,167  
Canon Marketing Japan, Inc.     8,200       173,662  
Capcom Co. Ltd.     5,600       103,782  
Chiba Bank Ltd.     22,800       346,086  
Chubu Electric Power Co., Inc.     20,000       376,557  
Coca-Cola Bottlers Japan Holdings, Inc.     5,100       134,682  
COMSYS Holdings Corp.     2,300       77,141  
Cosmo Energy Holdings Co. Ltd.     8,400       195,780  
Cosmos Pharmaceutical Corp.     600       22,837  
CyberAgent, Inc.     7,200       60,338  
Dai Nippon Printing Co. Ltd.     5,200       94,609  
Daifuku Co. Ltd.     6,800       298,108  
Daito Trust Construction Co. Ltd.     23,600       450,727  
Daiwa Securities Group, Inc.(b)     56,900       558,585  
Ebara Corp.     8,900       342,584  
Eisai Co. Ltd.     9,700       245,835  
Electric Power Development Co. Ltd.     8,500       191,521  
ENEOS Holdings, Inc.     77,200       568,580  
Food & Life Cos. Ltd.     1,400       42,054  
Fuji Electric Co. Ltd.     2,275       189,181  
Fukuoka Financial Group, Inc.     5,800       243,991  
Furukawa Electric Co. Ltd.     13,000       378,342  
GMO Payment Gateway, Inc.     800       45,679  
Gunma Bank Ltd.     17,500       252,230  
Hachijuni Nagano Bank Ltd.     20,900       307,151  
Hankyu Hanshin Holdings, Inc.     4,400       115,655  
Haseko Corp.     10,400       181,956  
Hirose Electric Co. Ltd.     875       155,241  
Hitachi Construction Machinery Co. Ltd.     7,800       252,153  
Hokuhoku Financial Group, Inc.     2,500       102,692  
Horiba Ltd.     800       134,921  
Hoshizaki Corp.     2,700       87,965  
Hulic Co. Ltd.     27,500       287,140  
Ibiden Co. Ltd.     1,600       234,450  
Idemitsu Kosan Co. Ltd.     44,430       327,501  
Iida Group Holdings Co. Ltd.     11,000       147,750  
Internet Initiative Japan, Inc.     2,600       51,144  
Isetan Mitsukoshi Holdings Ltd.     8,300       210,302  
Isuzu Motors Ltd.     33,500       443,266  
Iyogin Holdings, Inc.     8,700       168,513  
J Front Retailing Co. Ltd.     6,200       137,981  
Japan Airlines Co. Ltd.     13,800       241,994  
Japan Exchange Group, Inc.     29,300       368,672  
Japan Post Insurance Co. Ltd.     24,800       232,932  
Japan Steel Works Ltd.     500       23,618  
JTEKT Corp.     11,800       144,591  
JX Advanced Metals Corp.     9,700       262,486  
Kajima Corp.     12,100       437,171  
Kakaku.com, Inc.     4,700       98,034  
Kamigumi Co. Ltd.     5,700       178,479  
Kandenko Co. Ltd.     6,700       277,111  
Kansai Electric Power Co., Inc.     28,895       406,335  
Kawasaki Heavy Industries Ltd.     13,200       237,360  
Keisei Electric Railway Co. Ltd.     7,000       50,005  
Kewpie Corp.     2,600       69,845  
Kikkoman Corp.     16,400       168,314  
Kirin Holdings Co. Ltd.     29,000       501,489  
Kobe Bussan Co. Ltd.     900       14,628  
Kobe Steel Ltd.     20,900       240,795  
Koei Tecmo Holdings Co. Ltd.     8,520       79,394  
Koito Manufacturing Co. Ltd.     8,200       128,632  
Kokusai Electric Corp.     2,700       180,332  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
Kraftia Corp.     1,900     $ 108,792  
Kuraray Co. Ltd.     10,400       106,736  
Kurita Water Industries Ltd.     2,200       123,871  
Kyoto Financial Group, Inc.     5,500       152,081  
Kyushu Electric Power Co., Inc.     10,500       106,114  
Kyushu Railway Co.     5,100       109,704  
Lasertec Corp.     2,100       642,178  
Lixil Corp.     13,400       148,738  
M3, Inc.     5,900       65,888  
Makita Corp.     6,100       217,352  
Marui Group Co. Ltd.     7,800       137,475  
Maruwa Co. Ltd.     100       43,563  
MatsukiyoCocokara & Co.     8,800       130,030  
Mazda Motor Corp.     26,900       180,161  
McDonald's Holdings Co. Japan Ltd.     1,000       46,024  
Mebuki Financial Group, Inc.     25,800       224,148  
Medipal Holdings Corp.     5,400       87,118  
Minebea Mitsumi, Inc.     7,300       213,621  
MISUMI Group, Inc.     5,400       132,703  
Mitsubishi Chemical Group Corp.     47,900       332,596  
Mitsubishi Gas Chemical Co., Inc.     7,700       240,108  
Mitsui Chemicals, Inc.     17,200       225,735  
Mitsui Kinzoku Co. Ltd.     1,100       287,986  
Modec, Inc.     1,300       74,269  
MonotaRO Co. Ltd.     5,700       65,075  
Nexon Co. Ltd.     7,100       93,727  
NGK Corp.     6,200       287,331  
NH Foods Ltd.     2,000       73,256  
NHK Spring Co. Ltd.     5,400       129,082  
Nikon Corp.     8,600       120,117  
Nippon Express Holdings, Inc.     7,800       242,075  
Nippon Paint Holdings Co. Ltd.     35,000       226,765  
Nippon Sanso Holdings Corp.     4,500       166,018  
Nissan Chemical Corp.     6,400       333,654  
Nisshin Seifun Group, Inc.     4,600       56,196  
Niterra Co. Ltd.     7,000       461,068  
Nitto Denko Corp.     15,500       302,323  
NOF Corp.     4,400       71,445  
Nomura Real Estate Holdings, Inc.     36,040       206,982  
NS Solutions Corp.     3,900       81,539  
Obayashi Corp.     26,700       535,068  
OBIC Business Consultants Co. Ltd.     1,000       37,422  
Obic Co. Ltd.     6,900       162,305  
Odakyu Electric Railway Co. Ltd.     10,900       111,800  
Oji Holdings Corp.     35,862       175,509  
Olympus Corp.     12,200       127,536  
Ono Pharmaceutical Co. Ltd.     19,600       287,985  
Open House Group Co. Ltd.     3,900       203,417  
Oracle Corp.     1,100       56,176  
Organo Corp.     900       90,263  
Osaka Gas Co. Ltd.     12,500       419,628  
Otsuka Corp.     14,400       245,737  
Persol Holdings Co. Ltd.     86,000       130,912  
Resonac Holdings Corp.     2,800       304,938  
Rinnai Corp.     4,700       102,921  
Rohm Co. Ltd.     8,400       278,269  
Rohto Pharmaceutical Co. Ltd.     4,400       64,623  
Ryohin Keikaku Co. Ltd.     6,200       135,006  
Sankyo Co. Ltd.     14,600       141,755  
Sanrio Co. Ltd.(b)     13,600       92,047  
Santen Pharmaceutical Co. Ltd.     8,400       110,243  
Sanwa Holdings Corp.     7,500       174,850  
Sapporo Breweries Ltd.     2,800       34,973  
SBI Holdings, Inc.     23,600       383,205  
SCREEN Holdings Co. Ltd.     6,300       690,180  
Secom Co. Ltd.     8,500       337,646  
Sega Sammy Holdings, Inc.     4,300       58,405  
Seibu Holdings, Inc.     2,700       52,712  
Sekisui Chemical Co. Ltd.     13,100       208,883  
SG Holdings Co. Ltd.     17,100       162,346  
Shimadzu Corp.     4,400       111,431  
Shimizu Corp.     20,900       327,854  
Shionogi & Co. Ltd.     22,000       377,530  
Shizuoka Financial Group, Inc.     26,900       500,677  
Skylark Holdings Co. Ltd.     1,400       24,145  
Socionext, Inc.     3,000       47,097  
Sojitz Corp.     9,480       301,622  
Square Enix Holdings Co. Ltd.     5,400       80,074  
Subaru Corp.     27,900       410,281  
Sugi Holdings Co. Ltd.     2,500       48,454  
SUMCO Corp.     3,500       86,765  
Sumitomo Bakelite Co. Ltd.     2,300       105,487  
Sumitomo Chemical Co. Ltd.     41,600       131,436  
Sumitomo Forestry Co. Ltd.     18,300       152,064  
Sumitomo Rubber Industries Ltd.     9,400       120,475  
Sundrug Co. Ltd.     3,100       72,576  
Suntory Beverage & Food Ltd.     7,500       207,522  
T&D Holdings, Inc.     13,251       391,925  
Taisei Corp.     5,300       464,698  
Takasago Thermal Engineering Co. Ltd.     4,000       125,076  
Takashimaya Co. Ltd.     4,100       63,155  
THK Co. Ltd.     7,000       315,361  
TISI, Inc.     3,600       70,150  
Tobu Railway Co. Ltd.     5,000       89,940  
Toei Animation Co. Ltd.     1,800       26,957  
Toho Co. Ltd.     11,700       93,622  
Tohoku Electric Power Co., Inc.     11,000       72,047  
Tokyo Gas Co. Ltd.     7,200       271,166  
Tokyo Metro Co. Ltd.(b)     13,700       119,825  
Tokyo Ohka Kogyo Co. Ltd.     2,300       160,197  
Tokyo Tatemono Co. Ltd.     7,600       154,128  
Tokyu Corp.     6,900       71,112  
Tokyu Fudosan Holdings Corp.     32,700       260,856  
Toray Industries, Inc.     30,300       210,203  
Tosoh Corp.     14,000       252,133  
TOTO Ltd.     4,700       249,018  
Toyo Seikan Group Holdings Ltd.     7,000       175,856  
Toyo Suisan Kaisha Ltd.     3,000       191,694  
Toyo Tire Corp.     6,100       139,922  
Toyoda Gosei Co. Ltd.     3,400       106,963  
Trend Micro, Inc.     3,130       115,205  
Tsuruha Holdings, Inc.     9,840       124,601  
Unicharm Corp.     34,000       197,400  
USS Co. Ltd.     17,700       207,194  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
West Japan Railway Co.     11,800     $ 197,846  
Workman Co. Ltd.     1,400       58,748  
Yamada Holdings Co. Ltd.     25,900       104,811  
Yamato Holdings Co. Ltd.     5,500       62,081  
Yamazaki Baking Co. Ltd.     3,200       63,143  
Yokogawa Electric Corp.     4,700       162,956  
Yokohama Financial Group, Inc.     30,000       319,797  
Yokohama Rubber Co. Ltd.     4,000       178,262  
Zensho Holdings Co. Ltd.     1,100       54,585  
ZOZO, Inc.     23,300       164,724  
Total Japan             39,345,591  
Luxembourg — 0.5%                
CVC Capital Partners PLC(a)(b)     28,806       418,590  
Eurofins Scientific SE     1,768       138,584  
RTL Group SA     8,778       312,618  
Total Luxembourg             869,792  
Macau — 0.1%                
Wynn Macau Ltd.(b)     282,800       182,113  
Netherlands — 3.6%                
Akzo Nobel NV     5,131       348,105  
Arcadis NV     1,497       57,541  
ASR Nederland NV     11,224       847,452  
BE Semiconductor Industries NV     1,300       426,714  
CTP NV(a)     13,489       246,135  
Euronext NV(a)     2,578       412,640  
Heineken Holding NV     8,922       680,885  
Koninklijke KPN NV     233,404       1,151,728  
Koninklijke Vopak NV     5,079       265,023  
NN Group NV     13,949       1,222,565  
SBM Offshore NV     6,023       208,924  
Total Netherlands             5,867,712  
Nigeria — 0.2%                
Airtel Africa PLC(a)     75,899       330,014  
Norway — 3.0%                
Aker ASA, Class A     5,725       664,171  
Frontline PLC     10,066       349,317  
Gjensidige Forsikring ASA     20,827       563,637  
Mowi ASA     14,205       262,409  
Norsk Hydro ASA     61,096       554,436  
Orkla ASA     35,082       369,415  
Protector Forsikring ASA     1,714       82,656  
Salmar ASA     4,852       227,118  
SpareBank 1 Sor-Norge ASA     25,557       499,492  
Storebrand ASA     17,937       336,789  
TOMRA Systems ASA     4,159       39,970  
Wallenius Wilhelmsen ASA     73,987       981,708  
Total Norway             4,931,118  
Portugal — 1.1%                
Banco Comercial Portugues SA, Class R     769,314       910,341  
Galp Energia SGPS SA     26,297       560,569  
Jeronimo Martins SGPS SA     18,063       346,118  
Total Portugal             1,817,028  
Singapore — 1.7%                
City Developments Ltd.     12,800       76,892  
Keppel Ltd.     66,000       558,228  
SATS Ltd.     14,500       50,783  
Sembcorp Industries Ltd.     64,400       316,162  
Singapore Airlines Ltd.     164,500       976,736  
Singapore Exchange Ltd.     34,000       632,974  
UOL Group Ltd.     23,400       172,228  
Total Singapore             2,784,003  
Spain — 3.5%                
Acciona SA     2,092       663,002  
Bankinter SA     43,526       728,534  
CIE Automotive SA     5,283       160,967  
Colonial SFL Socimi SA*     27,172       176,143  
Corp. ACCIONA Energias Renovables SA     4,901       129,661  
Ebro Foods SA     6,606       135,041  
EDP Renewables SA     5,688       92,149  
Enagas SA     16,618       322,229  
Fluidra SA     3,892       88,105  
Fomento de Construcciones y Contratas SA*     18,263       264,342  
Grifols SA     4,873       49,919  
Indra Sistemas SA     2,085       114,231  
Laboratorios Farmaceuticos Rovi SA     1,108       73,283  
Logista Integral SA     9,817       378,690  
Mapfre SA     188,620       933,761  
Merlin Properties Socimi SA     22,551       395,505  
Puig Brands SA, Class B     4,709       86,841  
Sacyr SA     21,619       115,577  
Unicaja Banco SA(a)     191,363       682,173  
Vidrala SA     720       69,064  
Viscofan SA     1,271       84,863  
VISCOFAN SA*     39       2,604  
Total Spain             5,746,684  
Sweden — 3.6%                
AAK AB(b)     4,414       104,442  
AddTech AB, Class B     3,261       115,033  
Alfa Laval AB     6,591       392,948  
Avanza Bank Holding AB     6,305       252,769  
Axfood AB     8,138       216,438  
Beijer Ref AB     3,338       48,976  
Essity AB, Class B     19,108       541,563  
Getinge AB, Class B     4,902       100,338  
Indutrade AB     3,881       80,362  
L E Lundbergforetagen AB, Class B     1,129       65,152  
Lagercrantz Group AB, Class B     1,178       31,014  
Lifco AB, Class B     3,803       124,721  
Mycronic AB     2,572       85,360  
Nordnet AB publ     7,720       293,863  
Sagax AB, Class B     3,559       56,705  
Sectra AB, Class B     871       24,731  
Securitas AB, Class B     16,115       265,082  
Skanska AB, Class B     10,529       281,987  
SKF AB, Class B     13,094       336,613  
SSAB AB, Class A     26,545       246,466  
SSAB AB, Class B     19,238       178,065  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
Sweco AB, Class B     7,481     $ 98,246  
Tele2 AB, Class B     38,559       671,923  
Telia Co. AB     201,561       983,214  
Trelleborg AB, Class B     3,971       165,599  
Total Sweden             5,761,610  
Switzerland — 4.6%                
Accelleron Industries AG     2,380       244,889  
Allreal Holding AG, Registered Shares     383       100,658  
Avolta AG*     2,790       186,772  
Bachem Holding AG(b)     1,063       99,691  
Banque Cantonale Vaudoise, Registered Shares     3,789       556,149  
Belimo Holding AG, Registered Shares     189       213,215  
BKW AG     958       161,874  
Bucher Industries AG, Registered Shares     184       72,537  
Cembra Money Bank AG     1,608       188,578  
DKSH Holding AG     2,318       178,739  
EFG International AG*     13,231       266,047  
Flughafen Zurich AG, Registered Shares     820       254,138  
Galenica AG(a)     1,267       132,410  
Georg Fischer AG, Registered Shares     2,050       106,484  
Helvetia Baloise Holding AG, Registered Shares     3,627       937,944  
Huber & Suhner AG, Registered Shares     376       103,946  
Julius Baer Group Ltd.     8,261       714,830  
Logitech International SA, Registered Shares     3,448       323,748  
PSP Swiss Property AG, Registered Shares     1,660       296,543  
SFS Group AG     1,172       193,529  
Sonova Holding AG, Registered Shares     1,100       261,960  
Straumann Holding AG, Registered Shares     1,639       216,190  
Sulzer AG, Registered Shares     1,272       211,619  
Sunrise Communications AG, Class A*     3,939       196,303  
Swiss Prime Site AG, Registered Shares     2,418       395,381  
Swissquote Group Holding SA, Registered Shares     2,440       114,642  
Temenos AG, Registered Shares     1,288       105,544  
VAT Group AG(a)     472       413,223  
Vontobel Holding AG, Registered Shares     2,332       212,197  
Total Switzerland             7,459,780  
United Kingdom — 7.7%                
Admiral Group PLC     28,401       1,341,949  
Allfunds Group PLC     10,651       102,411  
Autotrader Group PLC(a)     12,423       82,294  
B&M European Value Retail PLC     105,872       273,871  
Babcock International Group PLC     4,488       56,696  
Balfour Beatty PLC     13,892       159,951  
Beazley PLC     14,514       247,924  
Bridgepoint Group PLC(a)     16,613       57,858  
Bunzl PLC     8,978       313,392  
Centrica PLC     131,074       297,224  
Computacenter PLC     2,260       128,202  
Convatec Group PLC(a)     42,492       121,255  
Cranswick PLC     1,015       74,094  
Diploma PLC     2,537       240,084  
Drax Group PLC     15,407       155,207  
easyJet PLC     19,111       141,638  
Entain PLC     12,241       90,820  
Games Workshop Group PLC     1,444       413,974  
Halma PLC     3,141       164,004  
Hiscox Ltd.     8,597       210,749  
Howden Joinery Group PLC     11,042       122,740  
IMI PLC     5,358       210,782  
Inchcape PLC     9,249       94,646  
Informa PLC     26,884       322,635  
Intertek Group PLC     4,567       351,873  
Investec PLC     34,518       275,113  
ITV PLC     225,370       241,092  
J Sainsbury PLC     90,739       385,146  
JD Sports Fashion PLC     33,051       37,164  
JET2 PLC     2,447       41,961  
Johnson Matthey PLC     8,098       203,353  
Kingfisher PLC     67,469       253,600  
LondonMetric Property PLC     152,941       382,232  
Marks & Spencer Group PLC     16,721       82,558  
Melrose Industries PLC     11,221       70,727  
Pearson PLC     13,313       211,329  
QinetiQ Group PLC     8,718       48,876  
Renishaw PLC     1,404       95,409  
Rentokil Initial PLC     49,830       282,140  
Rightmove PLC     8,104       47,133  
Rotork PLC     16,510       64,731  
RS Group PLC     16,847       130,024  
Sage Group PLC     15,067       163,181  
Schroders PLC     77,848       607,027  
Serco Group PLC     16,641       48,370  
Severn Trent PLC     12,156       476,922  
Smith & Nephew PLC     16,877       244,272  
Smiths Group PLC     10,695       363,390  
Softcat PLC     4,647       112,869  
Spirax Group PLC     1,312       119,021  
St. James's Place PLC     8,476       136,291  
Subsea 7 SA     19,820       676,990  
United Utilities Group PLC     27,701       481,269  
Weir Group PLC     6,475       206,598  
Whitbread PLC     4,589       145,630  
Total United Kingdom             12,410,691  
United States — 1.9%                
Acerinox SA     10,358       181,543  
Aegon Ltd.     79,347       674,756  
Buzzi SpA     3,785       193,824  
InterContinental Hotels Group PLC     2,956       509,171  
QIAGEN NV     961       37,246  
Signify NV(a)     6,389       121,913  
Tenaris SA     48,066       1,330,433  
Total United States             3,048,886  
TOTAL COMMON STOCKS                
(Cost: $115,356,149)             160,906,154  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

Investments   Shares     Value  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
(Cost: $74,411)     74,411     $ 74,411  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.4%                
United States — 0.4%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)                
(Cost: $649,946)     649,946       649,946  
TOTAL INVESTMENTS IN SECURITIES — 99.8%
(Cost: $116,080,506)
            161,630,511  
Other Assets less Liabilities — 0.2%             316,876  
NET ASSETS — 100.0%           $ 161,947,387  
         

 

* Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $2,556,617 and the total market value of the collateral held by the Fund was $2,689,312. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,039,366.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

EUR Euro
USD United States dollar

 

OTHER ABBREVIATIONS:

CVA Certificaten van Aandelen (Certificate of Stock)

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
JPMorgan Chase Bank NA  7/2/2026   28,545  USD    25,000  EUR   $   $(38)

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree International MidCap Dividend Fund (DIM)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $160,906,154   $   $   $160,906,154 
Mutual Fund       74,411        74,411 
Investment of Cash Collateral for Securities Loaned       649,946        649,946 
Total Investments in Securities  $160,906,154   $724,357   $   $161,630,511 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(38)  $   $(38)
Total - Net  $160,906,154   $724,319   $   $161,630,473 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International Multifactor Fund (DWMF)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
Australia — 4.6%      
BHP Group Ltd.     7,705     $ 317,079  
Evolution Mining Ltd.     19,121       155,652  
Fortescue Ltd.     10,803       143,325  
Glencore PLC*     24,490       167,007  
Northern Star Resources Ltd.     8,974       117,816  
QBE Insurance Group Ltd.     9,809       171,183  
Rio Tinto Ltd.(a)     1,330       158,955  
Rio Tinto PLC     2,348       221,949  
South32 Ltd.     43,024       116,247  
Total Australia             1,569,213  
Austria — 0.9%                
OMV AG     2,383       150,255  
Raiffeisen Bank International AG     2,494       159,250  
Total Austria             309,505  
Belgium — 0.4%                
Ageas SA     1,877       150,218  
Brazil — 0.3%                
Yara International ASA     2,716       119,503  
Chile — 0.4%                
Antofagasta PLC     2,535       128,527  
China — 0.7%                
BOC Hong Kong Holdings Ltd.     24,500       132,403  
SITC International Holdings Co. Ltd.     28,000       112,042  
Total China             244,445  
Denmark — 0.9%                
Danske Bank AS     3,449       184,741  
Vestas Wind Systems AS     4,531       127,933  
Total Denmark             312,674  
Finland — 1.5%                
Metso OYJ     5,299       92,087  
Nordea Bank Abp     10,079       191,287  
UPM-Kymmene OYJ     4,637       122,994  
Wartsila OYJ Abp     3,018       115,177  
Total Finland             521,545  
France — 7.4%                
Amundi SA(b)     1,497       143,682  
AXA SA     4,734       237,333  
Ayvens SA(b)     7,595       100,032  
BNP Paribas SA     2,245       262,164  
Bouygues SA     1,969       109,879  
Credit Agricole SA     7,408       149,022  
Dassault Aviation SA     247       81,104  
Eiffage SA     640       94,464  
Engie SA     5,757       181,597  
Ipsen SA     1,089       210,165  
Legrand SA     670       113,140  
Rexel SA     2,781       121,489  
Societe Generale SA     2,448       216,543  
Unibail-Rodamco-Westfield*     1,197       140,206  
Veolia Environnement SA     4,653       193,853  
Vinci SA     1,001       146,260  
Total France             2,500,933  
Germany — 5.8%                
Allianz SE, Registered Shares     686       324,780  
BASF SE     3,062       163,767  
Commerzbank AG     3,872       164,812  
Daimler Truck Holding AG     2,519       121,535  
Deutsche Lufthansa AG, Registered Shares     9,764       111,743  
Deutsche Post AG, Registered Shares     2,247       136,414  
HochTief AG     183       106,076  
Infineon Technologies AG     2,510       234,367  
Knorr-Bremse AG     729       84,680  
Siemens AG, Registered Shares     931       299,260  
Siemens Energy AG     1,239       234,864  
Total Germany             1,982,298  
Hong Kong — 3.0%                
CK Asset Holdings Ltd.     26,500       149,294  
Prudential PLC     11,131       148,179  
Sun Hung Kai Properties Ltd.     10,500       150,362  
Swire Pacific Ltd., Class A     8,500       88,555  
Techtronic Industries Co. Ltd.     9,500       156,879  
WH Group Ltd.(b)     295,000       311,851  
Total Hong Kong             1,005,120  
Indonesia — 0.3%                
Jardine Matheson Holdings Ltd.     1,500       92,250  
Ireland — 1.0%                
AerCap Holdings NV     755       110,064  
Bank of Ireland Group PLC     7,188       143,199  
Kingspan Group PLC     974       89,030  
Total Ireland             342,293  
Israel — 1.0%                
Bank Hapoalim BM     6,753       155,461  
Bank Leumi Le-Israel BM     7,583       169,325  
Total Israel             324,786  
Italy — 5.9%                
Banca Mediolanum SpA     6,766       168,481  
Banca Monte dei Paschi di Siena SpA     15,590       193,640  
Banco BPM SpA     9,641       166,551  
BPER Banca SpA     11,809       185,399  
Enel SpA     20,688       237,803  
Eni SpA     7,438       175,350  
Italgas SpA     13,476       156,151  
Poste Italiane SpA     4,716       154,313  
Prysmian SpA     773       129,075  
UniCredit SpA     2,936       262,698  
Unipol Assicurazioni SpA     5,971       166,638  
Total Italy             1,996,099  
Ivory Coast — 0.5%                
Endeavour Mining PLC     3,362       165,280  
Japan — 25.4%                
Advantest Corp.     1,700       338,274  
AGC, Inc.     2,300       98,566  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Multifactor Fund (DWMF)
June 30, 2026

 

 

Investments   Shares     Value  
ANA Holdings, Inc.     4,300     $ 78,526  
Asahi Kasei Corp.     15,500       170,808  
Astellas Pharma, Inc.     15,600       208,768  
Canon, Inc.     5,800       147,993  
Central Japan Railway Co.     4,100       87,512  
Chubu Electric Power Co., Inc.     7,800       146,857  
Daifuku Co. Ltd.     2,200       96,447  
Daikin Industries Ltd.     800       121,507  
Daiwa Securities Group, Inc.(a)     16,000       157,071  
Disco Corp.     500       249,992  
Ebara Corp.     3,200       123,176  
FANUC Corp.     2,300       104,086  
Fuji Electric Co. Ltd.     900       74,841  
FUJIFILM Holdings Corp.     7,200       154,300  
Fujitsu Ltd.     7,200       143,845  
Hitachi Ltd.     7,000       192,567  
Hulic Co. Ltd.     12,400       129,474  
IHI Corp.     5,700       95,096  
ITOCHU Corp.     13,900       158,564  
Japan Airlines Co. Ltd.     4,300       75,404  
Kajima Corp.     2,400       86,712  
Kansai Electric Power Co., Inc.     9,200       129,375  
Keyence Corp.     500       249,377  
Komatsu Ltd.     3,200       123,688  
Kubota Corp.     6,200       102,446  
Lasertec Corp.     800       244,639  
Makita Corp.     2,800       99,768  
Marubeni Corp.     4,700       135,628  
Minebea Mitsumi, Inc.     3,000       87,790  
Mitsubishi Chemical Group Corp.     22,200       154,147  
Mitsubishi Corp.     5,800       155,131  
Mitsubishi Electric Corp.     4,100       148,233  
Mitsui & Co. Ltd.     5,300       146,649  
MS&AD Insurance Group Holdings, Inc.     6,000       156,530  
Nippon Sanso Holdings Corp.     3,500       129,125  
Nippon Steel Corp.     42,100       138,870  
Nitto Denko Corp.     8,000       156,037  
Obayashi Corp.     5,900       118,236  
Osaka Gas Co. Ltd.     4,500       151,066  
Otsuka Corp.     6,400       109,216  
SBI Holdings, Inc.     7,800       126,652  
SCREEN Holdings Co. Ltd.     2,200       241,015  
Shimadzu Corp.     5,200       131,692  
Shin-Etsu Chemical Co. Ltd.     4,400       189,726  
Sompo Holdings, Inc.     4,500       172,718  
Sumitomo Corp.     13,700       130,573  
Sumitomo Mitsui Financial Group, Inc.     6,600       257,706  
Taisei Corp.     1,200       105,215  
TDK Corp.     7,400       162,547  
Tokyo Electron Ltd.     800       379,757  
Tokyo Gas Co. Ltd.     4,200       158,180  
Toray Industries, Inc.     19,800       137,360  
Toyota Tsusho Corp.     3,400       125,059  
Yokogawa Electric Corp.     5,500       190,694  
Yokohama Financial Group, Inc.     13,500       143,909  
Total Japan             8,629,140  
Luxembourg — 0.4%                
ArcelorMittal SA     2,214       133,398  
Mexico — 0.4%                
Fresnillo PLC     3,838       139,626  
Netherlands — 4.8%                
ASM International NV     172       196,746  
ASML Holding NV     434       854,145  
BE Semiconductor Industries NV     470       154,274  
ING Groep NV     7,310       231,253  
Nebius Group NV*     673       185,862  
Total Netherlands             1,622,280  
Norway — 0.8%                
Aker BP ASA     4,506       138,065  
Equinor ASA     4,738       150,105  
Total Norway             288,170  
Russia — 0.0%                
Evraz PLC*^     17,300       0  
Singapore — 1.2%                
Singapore Exchange Ltd.     8,500       158,243  
Singapore Technologies Engineering Ltd.     9,900       79,525  
STMicroelectronics NV     2,200       162,209  
Total Singapore             399,977  
Spain — 3.7%                
ACS Actividades de Construccion y Servicios SA     801       117,861  
Banco Bilbao Vizcaya Argentaria SA     10,450       261,292  
Banco Santander SA     25,016       345,612  
Endesa SA     3,258       148,548  
Indra Sistemas SA     2,035       111,491  
Naturgy Energy Group SA     3,620       113,650  
Repsol SA     6,605       166,209  
Total Spain             1,264,663  
Sweden — 7.1%                
Alfa Laval AB     1,623       96,762  
Assa Abloy AB, Class B     3,255       115,158  
Atlas Copco AB, Class A     6,290       127,481  
Boliden AB     2,920       164,975  
Epiroc AB, Class A     3,411       93,715  
Investor AB, Class B     4,784       198,984  
Sandvik AB     3,405       140,694  
Securitas AB, Class B     5,127       84,336  
Skandinaviska Enskilda Banken AB, Class A     7,881       157,080  
Skanska AB, Class B     3,287       88,033  
SKF AB, Class B     3,066       78,819  
Svenska Handelsbanken AB, Class A     11,024       162,430  
Swedbank AB, Class A     4,465       167,008  
Swedish Orphan Biovitrum AB*     4,336       206,985  
Telefonaktiebolaget LM Ericsson, Class B     15,197       169,821  
Telia Co. AB     24,493       119,477  
Trelleborg AB, Class B     2,048       85,406  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Multifactor Fund (DWMF)
June 30, 2026

 

 

Investments   Shares     Value  
Volvo AB, Class B     4,241     $ 144,388  
Total Sweden             2,401,552  
Switzerland — 3.7%                
ABB Ltd., Registered Shares     2,192       237,991  
Avolta AG*     8,430       564,334  
Logitech International SA, Registered Shares     1,225       115,021  
VAT Group AG(b)     147       128,694  
Zurich Insurance Group AG     302       224,109  
Total Switzerland             1,270,149  
United Kingdom — 11.2%                
Admiral Group PLC     2,904       137,214  
BAE Systems PLC     6,134       150,127  
Barclays PLC     35,508       238,750  
Bunzl PLC     2,853       99,589  
Centrica PLC     63,260       143,449  
CK Hutchison Holdings Ltd.     14,000       118,273  
GSK PLC     11,505       302,499  
Halma PLC     2,468       128,864  
HSBC Holdings PLC     22,568       428,573  
International Consolidated Airlines Group SA     20,184       127,889  
Legal & General Group PLC     42,929       162,956  
Lloyds Banking Group PLC     161,244       237,766  
NatWest Group PLC     23,027       203,852  
Rolls-Royce Holdings PLC     13,919       266,875  
Severn Trent PLC     3,462       135,826  
Smiths Group PLC     2,717       92,317  
SSE PLC     5,237       169,322  
Standard Chartered PLC     7,048       190,924  
Standard Life PLC     15,614       172,628  
United Utilities Group PLC     7,758       134,785  
Vodafone Group PLC     114,304       151,103  
Total United Kingdom             3,793,581  
United States — 6.1%                
AP Moller - Maersk AS, Class B     33       78,437  
BP PLC     35,012       217,060  
InterContinental Hotels Group PLC     3,236       557,401  
Novartis AG, Registered Shares     3,196       501,518  
Schneider Electric SE     721       235,261  
Shell PLC     8,526       331,902  
Tenaris SA     4,940       136,735  
Total United States             2,058,314  
TOTAL COMMON STOCKS                
(Cost: $31,369,268)             33,765,539  
RIGHTS — 0.0%                
Spain — 0.0%                
ACS Actividades de Construccion y Servicios SA*                
(Cost: $1,707)     801       1,682  
MUTUAL FUND — 0.2%                
United States — 0.2%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
(Cost: $58,225)     58,225     $ 58,225  
TOTAL INVESTMENTS IN SECURITIES — 99.6%
(Cost: $31,429,200)
            33,825,446  
Other Assets less Liabilities — 0.4%             150,075  
NET ASSETS — 100.0%           $ 33,975,521  
         

 

* Non-income producing security.
^This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $314,224 and the total market value of the collateral held by the Fund was $330,697, which was entirely composed of non-cash U.S. Government securities.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

AUD Australian dollar
CHF Swiss franc
DKK Danish krone
EUR Euro
GBP British pound
HKD Hong Kong dollar
ILS Israel shekel
JPY Japanese yen
NOK Norwegian krone
NZD New Zealand dollar
SEK Swedish krona
SGD Singapore dollar
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International Multifactor Fund (DWMF)
June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
   
Bank of America NA  7/3/2026   522,923    ILS    175,461    USD   $53   $   
Bank of America NA  8/5/2026   162,020    USD    482,452    ILS        (45)  
Barclays Bank PLC  7/3/2026   453,030    USD    631,918    AUD    15,245       
Barclays Bank PLC  7/3/2026   281,652    USD    358,914    SGD    4,147       
Citibank NA  7/3/2026   129,592    DKK    19,749    USD    73       
Citibank NA  7/3/2026   1,463,676    EUR    1,667,223    USD    6,265       
Citibank NA  7/3/2026   386,809    USD    301,524    CHF    12,970       
Citibank NA  7/3/2026   59,414    USD    99,344    NZD    2,900       
Citibank NA  8/5/2026   314,911    USD    2,062,853    DKK        (1,171)  
Citibank NA  8/5/2026   9,225,223    USD    8,088,090    EUR        (34,672)  
Deutsche Bank AG  7/2/2026   27,383    EUR    31,307    USD    0^       
Deutsche Bank AG  7/3/2026   65,265    DKK    98,789    NOK        (1)  
Deutsche Bank AG  7/3/2026   6,346    EUR    10,473    AUD        (0) ^ 
Deutsche Bank AG  7/3/2026   7,368    EUR    25,098    ILS        (0) ^ 
Deutsche Bank AG  7/3/2026   13,196    GBP    169,499    SEK    1       
Deutsche Bank AG  7/3/2026   163,171    HKD    3,381,721    JPY        (0) ^ 
Deutsche Bank AG  7/3/2026   2,688,475    USD    427,153,322    JPY    60,038       
Deutsche Bank AG  7/3/2026   164,626    USD    1,524,398    NOK    10,578       
Goldman Sachs  7/3/2026   30,645    AUD    21,652    USD        (422)  
Goldman Sachs  7/3/2026   23,440    CHF    29,589    USD        (527)  
Goldman Sachs  7/3/2026   42,884    DKK    6,653    USD        (93)  
Goldman Sachs  7/3/2026   164,089    EUR    190,257    USD        (2,646)  
Goldman Sachs  7/3/2026   51,656    ILS    17,648    USD        (310)  
Goldman Sachs  7/3/2026   47,602,044    JPY    297,174    USD        (4,261)  
Goldman Sachs  7/3/2026   80,521    NOK    8,462    USD        (325)  
Goldman Sachs  7/3/2026   1,174,698    SEK    125,009    USD        (3,626)  
Goldman Sachs  7/3/2026   15,237    SGD    11,882    USD        (101)  
Goldman Sachs  7/3/2026   1,907,431    USD    1,635,759    EUR    37,192       
HSBC Holdings PLC  7/3/2026   269,898    AUD    185,776    USD    1,206       
HSBC Holdings PLC  7/3/2026   5,114    AUD    3,532    USD    11       
HSBC Holdings PLC  7/3/2026   3,907    CHF    4,826    USD    17       
HSBC Holdings PLC  7/3/2026   305    DKK    41    EUR        (0) ^ 
HSBC Holdings PLC  7/3/2026   7,127    DKK    1,085    USD    5       
HSBC Holdings PLC  7/3/2026   27,272    EUR    31,032    USD    150       
HSBC Holdings PLC  7/3/2026   8,581    ILS    2,878    USD    2       
HSBC Holdings PLC  7/3/2026   7,833,577    JPY    48,471    USD        (268)  
HSBC Holdings PLC  7/3/2026   13,609    NOK    1,380    USD        (5)  
HSBC Holdings PLC  7/3/2026   198,019    SEK    20,390    USD    71       
HSBC Holdings PLC  7/3/2026   2,510    SGD    1,938    USD    3       
HSBC Holdings PLC  7/3/2026   81,703    USD    115,807    AUD    1,473       
HSBC Holdings PLC  7/3/2026   69,760    USD    55,461    CHF    998       
HSBC Holdings PLC  7/3/2026   34,039    USD    218,066    DKK    684       
HSBC Holdings PLC  7/3/2026   6,139    USD    39,706    DKK    66       
HSBC Holdings PLC  7/3/2026   344,003    USD    297,752    EUR    3,569       
HSBC Holdings PLC  7/3/2026   194,562    USD    545,714    ILS    11,398       

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Multifactor Fund (DWMF)
June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
HSBC Holdings PLC  7/3/2026   35,089    USD    102,742    ILS   $604   $ 
HSBC Holdings PLC  7/3/2026   484,863    USD    77,475,046    JPY    8,130     
HSBC Holdings PLC  7/3/2026   29,690    USD    280,948    NOK    1,299     
HSBC Holdings PLC  7/3/2026   10,715    USD    18,393    NZD    252     
HSBC Holdings PLC  7/3/2026   518,014    USD    4,785,995    SEK    23,472     
HSBC Holdings PLC  7/3/2026   93,423    USD    878,790    SEK    2,617     
HSBC Holdings PLC  7/3/2026   50,796    USD    65,318    SGD    294     
HSBC Holdings PLC  8/5/2026   1,003,781    USD    1,459,179    AUD        (6,529)
HSBC Holdings PLC  8/5/2026   3,405,748    USD    2,575,957    GBP        (13,113)
Morgan Stanley & Co. International  7/3/2026   402,496    AUD    282,471    USD        (3,627)
Morgan Stanley & Co. International  7/3/2026   58,852    AUD    41,302    USD        (530)
Morgan Stanley & Co. International  7/3/2026   296,026    CHF    365,712    USD    1,310     
Morgan Stanley & Co. International  7/3/2026   44,933    CHF    56,442    USD        (732)
Morgan Stanley & Co. International  7/3/2026   82,024    DKK    12,691    USD        (145)
Morgan Stanley & Co. International  7/3/2026   313,878    EUR    362,922    USD        (4,051)
Morgan Stanley & Co. International  7/3/2026   99,919    ILS    33,664    USD        (127)
Morgan Stanley & Co. International  7/3/2026   90,826,408    JPY    566,870    USD        (7,981)
Morgan Stanley & Co. International  7/3/2026   437,169,114    JPY    2,691,128    USD        (1,060)
Morgan Stanley & Co. International  7/3/2026   152,856    NOK    16,142    USD        (695)
Morgan Stanley & Co. International  7/3/2026   1,671,728    NOK    168,332    USD    604     
Morgan Stanley & Co. International  7/3/2026   120,318    NZD    70,129    USD        (1,684)
Morgan Stanley & Co. International  7/3/2026   11,241,680    SEK    1,154,133    USD    7,483     
Morgan Stanley & Co. International  7/3/2026   2,259,086    SEK    238,459    USD        (5,025)
Morgan Stanley & Co. International  7/3/2026   249,593    SGD    194,320    USD        (1,340)
Morgan Stanley & Co. International  7/3/2026   29,112    SGD    22,665    USD        (156)
Morgan Stanley & Co. International  7/3/2026   131,637    SGD    101,643    USD    136     
Morgan Stanley & Co. International  7/3/2026   430,305    USD    68,945,362    JPY    6,058     
Morgan Stanley & Co. International  7/3/2026   926,554    USD    8,777,884    SEK    19,525     
Morgan Stanley & Co. International  8/5/2026   1,473,336    USD    1,188,318    CHF        (5,297)
Morgan Stanley & Co. International  8/5/2026   8,674,785    USD    1,405,546,266    JPY    3,404     
Morgan Stanley & Co. International  8/5/2026   343,029    USD    3,408,148    NOK        (1,228)
Morgan Stanley & Co. International  8/5/2026   2,383,034    USD    23,170,200    SEK        (15,456)
Morgan Stanley & Co. International  8/5/2026   119,827    USD    154,831    SGD        (161)
UBS Group AG  7/3/2026   314    GBP    364    EUR    0^     
                          $244,303   $(117,410)

 

^Amount represents less than $1.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree International Multifactor Fund (DWMF)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Russia  $   $   $0*   $0 
Other   33,765,539            33,765,539 
Rights   1,682            1,682 
Mutual Fund       58,225        58,225 
Total Investments in Securities  $33,767,221   $58,225   $0   $33,825,446 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $244,303   $   $244,303 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(117,410)  $   $(117,410)
Total - Net  $33,767,221   $185,118   $0   $33,952,339 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.
1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International Quality Dividend Growth Fund (IQDG)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
Australia — 2.3%      
ALS Ltd.     15,661     $ 247,813  
Aristocrat Leisure Ltd.     25,030       1,062,470  
Brambles Ltd.     128,116       1,729,021  
Cochlear Ltd.     1,727       145,670  
Codan Ltd.     5,403       165,225  
CSL Ltd.     29,303       2,329,350  
Eagers Automotive Ltd.     12,470       183,670  
HUB24 Ltd.     3,085       155,424  
JB Hi-Fi Ltd.     6,905       384,999  
Netwealth Group Ltd.     27,342       389,458  
Northern Star Resources Ltd.     102,666       1,347,857  
Pro Medicus Ltd.     1,311       184,767  
Ramelius Resources Ltd.     111,486       225,533  
REA Group Ltd.(a)     5,293       510,408  
Sigma Healthcare Ltd.     136,280       259,641  
Technology One Ltd.     18,544       378,609  
Wesfarmers Ltd.     92,189       5,773,716  
Whitehaven Coal Ltd.     42,253       223,352  
WiseTech Global Ltd.     928       21,216  
Total Australia             15,718,199  
Austria — 2.1%                
ANDRITZ AG     13,729       1,186,645  
BAWAG Group AG(b)     14,388       2,883,650  
Erste Group Bank AG     52,161       6,983,338  
Raiffeisen Bank International AG     46,847       2,991,336  
Wienerberger AG     19,228       496,824  
Total Austria             14,541,793  
Belgium — 0.3%                
Solvay SA     20,543       617,234  
Syensqo SA     7,666       566,189  
UCB SA     3,162       947,160  
Total Belgium             2,130,583  
Chile — 0.3%                
Antofagasta PLC     38,210       1,937,282  
China — 0.2%                
Prosus NV*     34,110       1,481,533  
Denmark — 2.8%                
Novo Nordisk AS, Class B     373,968       17,994,851  
Pandora AS     8,044       923,497  
Royal Unibrew AS     3,279       216,360  
Total Denmark             19,134,708  
Finland — 0.5%                
Kone OYJ, Class B     48,756       2,773,759  
Konecranes OYJ     14,712       452,128  
Valmet OYJ     23,759       573,696  
Total Finland             3,799,583  
France — 12.6%                
Accor SA     25,329       1,472,258  
Air Liquide SA     42,100       8,340,475  
Airbus SE     27,164       6,041,752  
BioMerieux     3,460       271,765  
Bureau Veritas SA     50,969       1,560,547  
Cie Generale des Etablissements Michelin SCA     115,841       4,469,885  
Dassault Aviation SA     4,556       1,495,989  
Edenred SE     62,487       1,607,431  
Eiffage SA     13,591       2,006,032  
Hermes International SCA     2,779       5,077,215  
Kering SA     8,263       2,336,265  
Legrand SA     12,496       2,110,142  
L'Oreal SA     34,598       15,175,620  
LVMH Moet Hennessy Louis Vuitton SE     41,850       23,162,785  
Nexans SA     2,756       457,831  
Rexel SA     42,835       1,871,268  
Safran SA     13,871       5,471,257  
Technip Energies NV     11,513       435,952  
Thales SA     10,150       2,608,691  
Vallourec SACA*     68,668       1,608,631  
Total France             87,581,791  
Georgia — 0.3%                
Lion Finance Group PLC     7,763       1,167,379  
TBC Bank Group PLC     17,322       1,018,944  
Total Georgia             2,186,323  
Germany — 9.1%                
adidas AG     6,387       1,310,025  
Continental AG     22,174       1,829,367  
CTS Eventim AG & Co. KGaA     3,944       230,193  
Daimler Truck Holding AG     150,909       7,280,946  
Deutsche Lufthansa AG, Registered Shares     171,570       1,963,522  
Deutsche Post AG, Registered Shares     198,663       12,060,679  
Deutsche Telekom AG, Registered Shares     522,350       14,243,287  
Fielmann Group AG     6,056       296,340  
GEA Group AG     8,263       567,298  
Heidelberg Materials AG     9,661       1,843,481  
HochTief AG     5,281       3,061,148  
Hugo Boss AG     6,941       298,142  
Infineon Technologies AG     45,490       4,247,552  
Knorr-Bremse AG     17,623       2,047,075  
Krones AG     1,467       188,184  
Nemetschek SE     3,092       187,713  
Rheinmetall AG     673       762,131  
SAP SE     40,543       6,211,277  
Schott Pharma AG & Co. KGaA     2,635       52,118  
Sixt SE     3,192       232,468  
Traton SE     108,697       4,123,388  
Total Germany             63,036,334  
Hong Kong — 0.5%                
Bank of East Asia Ltd.     732,600       1,170,546  
Techtronic Industries Co. Ltd.     156,000       2,576,112  
Total Hong Kong             3,746,658  
Ireland — 0.4%                
Bank of Ireland Group PLC     138,200       2,753,221  
Israel — 1.4%                
Bank Leumi Le-Israel BM     165,505       3,695,665  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Quality Dividend Growth Fund (IQDG)
June 30, 2026

 

 

Investments   Shares     Value  
Elbit Systems Ltd.     554     $ 420,225  
Israel Discount Bank Ltd., Class A     167,860       1,662,008  
Mizrahi Tefahot Bank Ltd.     40,121       2,652,784  
Newmed Energy LP(a)     171,370       897,270  
Strauss Group Ltd.     8,346       322,137  
Total Israel             9,650,089  
Italy — 1.7%                
Brembo NV(a)     30,369       355,542  
Brunello Cucinelli SpA     2,241       211,632  
DiaSorin SpA(a)     2,106       163,152  
Ferrari NV     5,836       2,164,160  
Leonardo SpA     17,996       965,474  
Maire SpA     35,286       577,704  
Moncler SpA     22,441       1,302,852  
PRADA SpA(a)     236,000       1,195,341  
Prysmian SpA     9,722       1,623,370  
Recordati Industria Chimica & Farmaceutica SpA     16,180       948,978  
Reply SpA     588       61,478  
Ryanair Holdings PLC     58,831       1,839,602  
Technogym SpA(b)     20,439       355,192  
Total Italy             11,764,477  
Japan — 20.2%                
Advantest Corp.     9,900       1,969,949  
Ajinomoto Co., Inc.     39,600       1,430,985  
Amada Co. Ltd.     46,000       835,373  
Asics Corp.     22,000       592,217  
Bandai Namco Holdings, Inc.     39,000       908,020  
BayCurrent, Inc.     6,600       245,117  
BIPROGY, Inc.     5,700       149,720  
Bridgestone Corp.(a)     162,100       3,401,083  
Capcom Co. Ltd.     24,100       446,634  
Chugai Pharmaceutical Co. Ltd.     83,500       3,870,721  
CyberAgent, Inc.     43,300       362,865  
Daiichi Sankyo Co. Ltd.     89,900       1,442,880  
Daiwa House Industry Co. Ltd.     67,600       1,837,189  
Disco Corp.     3,300       1,649,949  
Ebara Corp.     25,200       970,012  
Food & Life Cos. Ltd.     18,600       558,715  
Fujikura Ltd.     62,400       2,395,023  
GMO Payment Gateway, Inc.     12,900       736,576  
Hachijuni Nagano Bank Ltd.     99,800       1,466,681  
Hitachi Ltd.     164,700       4,530,833  
Hokuhoku Financial Group, Inc.     21,900       899,581  
Horiba Ltd.     4,200       708,334  
Hoya Corp.     11,200       1,788,279  
Ibiden Co. Ltd.     6,700       981,760  
Internet Initiative Japan, Inc.     14,200       279,326  
Isuzu Motors Ltd.     134,000       1,773,063  
Kakaku.com, Inc.     22,100       460,969  
Keyence Corp.     5,200       2,593,521  
Kobe Bussan Co. Ltd.     5,100       82,890  
Koei Tecmo Holdings Co. Ltd.     39,400       367,151  
Koito Manufacturing Co. Ltd.     38,200       599,236  
Kokusai Electric Corp.     10,900       728,008  
Konami Group Corp.     4,700       510,848  
Kuraray Co. Ltd.(a)     48,600       498,784  
Lasertec Corp.     6,100       1,865,375  
M3, Inc.     27,500       307,107  
Mazda Motor Corp.     138,100       924,915  
MISUMI Group, Inc.     24,200       594,707  
Mitsubishi Heavy Industries Ltd.     74,100       1,671,439  
Mitsui Kinzoku Co. Ltd.     4,100       1,073,404  
MonotaRO Co. Ltd.     22,900       261,443  
Murata Manufacturing Co. Ltd.     145,800       10,222,372  
Nintendo Co. Ltd.     48,600       2,037,896  
Nippon Steel Corp.     902,300       2,976,299  
Nitto Denko Corp.     40,700       793,841  
Nomura Research Institute Ltd.     29,800       841,973  
Obic Co. Ltd.     25,900       609,234  
Olympus Corp.     43,700       456,830  
Oracle Corp.     11,200       571,974  
Organo Corp.     3,900       391,140  
Pan Pacific International Holdings Corp.     115,800       586,392  
Panasonic Holdings Corp.     226,500       6,274,130  
Persol Holdings Co. Ltd.     354,000       538,868  
Recruit Holdings Co. Ltd.     20,800       1,450,017  
Ryohin Keikaku Co. Ltd.     19,000       413,727  
Sanrio Co. Ltd.(a)     40,200       272,081  
Sanwa Holdings Corp.     24,300       566,514  
SCREEN Holdings Co. Ltd.     19,300       2,114,361  
Sega Sammy Holdings, Inc.     14,600       198,305  
Seibu Holdings, Inc.(a)     5,700       111,282  
Shin-Etsu Chemical Co. Ltd.     145,800       6,286,826  
Socionext, Inc.     16,300       255,896  
Sompo Holdings, Inc.     113,500       4,356,333  
Subaru Corp.     100,600       1,479,366  
Sumitomo Forestry Co. Ltd.     72,800       604,931  
TISI, Inc.     9,400       183,171  
Toei Animation Co. Ltd.     16,300       244,111  
Tokyo Electron Ltd.     32,600       15,475,096  
TOTO Ltd.     19,200       1,017,266  
Toyo Tire Corp.     19,700       451,879  
Toyota Motor Corp.     1,698,600       28,479,834  
Trend Micro, Inc.     15,200       559,461  
Yamato Holdings Co. Ltd.     22,900       258,484  
Zensho Holdings Co. Ltd.     4,300       213,379  
ZOZO, Inc.     102,500       724,642  
Total Japan             140,788,593  
Luxembourg — 0.1%                
Eurofins Scientific SE     5,995       469,916  
Macau — 0.2%                
Sands China Ltd.     674,800       1,122,938  
Netherlands — 7.0%                
ASM International NV     1,047       1,197,634  
ASML Holding NV     10,275       20,221,989  
Heineken Holding NV     31,938       2,437,357  
ING Groep NV     558,055       17,654,133  
Koninklijke KPN NV     618,089       3,049,950  
Koninklijke Vopak NV     14,843       774,511  
Universal Music Group NV     136,519       2,860,987  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Quality Dividend Growth Fund (IQDG)
June 30, 2026

 

 

Investments   Shares     Value  
Wolters Kluwer NV     12,686     $ 818,600  
Total Netherlands             49,015,161  
Nigeria — 0.1%                
Airtel Africa PLC(b)     218,840       951,531  
Norway — 0.5%                
Frontline PLC     32,256       1,119,368  
Kongsberg Gruppen ASA     50,288       1,515,933  
Mowi ASA     55,115       1,018,142  
Total Norway             3,653,443  
Portugal — 0.6%                
Banco Comercial Portugues SA, Class R     2,376,702       2,812,388  
Jeronimo Martins SGPS SA     65,617       1,257,334  
Total Portugal             4,069,722  
Singapore — 1.3%                
Singapore Exchange Ltd.     91,300       1,699,721  
Singapore Technologies Engineering Ltd.     196,000       1,574,425  
Singapore Telecommunications Ltd.     1,591,700       5,426,879  
Total Singapore             8,701,025  
Spain — 6.8%                
Amadeus IT Group SA     31,044       1,812,962  
Banco Bilbao Vizcaya Argentaria SA     879,877       22,000,421  
Industria de Diseno Textil SA     371,352       23,402,121  
Laboratorios Farmaceuticos Rovi SA     4,045       267,536  
Total Spain             47,483,040  
Sweden — 4.9%                
AAK AB(a)     13,426       317,680  
AddTech AB, Class B     8,969       316,385  
Assa Abloy AB, Class B     53,615       1,896,827  
Atlas Copco AB, Class B     68,218       1,210,255  
Atlas Copco AB, Class A     223,799       4,535,802  
Axfood AB     30,544       812,348  
Epiroc AB, Class B     18,300       425,065  
Epiroc AB, Class A     51,670       1,419,595  
EQT AB     59,904       1,695,954  
Indutrade AB     7,340       151,985  
Lifco AB, Class B     8,824       289,388  
Saab AB, Class B     7,107       369,223  
Sandvik AB     106,541       4,402,261  
Sectra AB, Class B     9,983       283,456  
SKF AB, Class B     39,782       1,022,692  
Sweco AB, Class B     12,573       165,117  
Tele2 AB, Class B     86,000       1,498,623  
Trelleborg AB, Class B     13,663       569,777  
Volvo AB, Class B     374,190       12,739,584  
Total Sweden             34,122,017  
Switzerland — 5.9%                
ABB Ltd., Registered Shares     92,033       9,992,252  
Accelleron Industries AG     5,247       539,888  
Belimo Holding AG, Registered Shares     495       558,421  
Bucher Industries AG, Registered Shares     531       209,332  
Geberit AG, Registered Shares     2,695       1,803,460  
Georg Fischer AG, Registered Shares     2,009       104,354  
Huber & Suhner AG, Registered Shares     1,103       304,927  
Logitech International SA, Registered Shares     8,545       802,328  
Partners Group Holding AG     3,819       3,135,117  
Schindler Holding AG, Participation Certificate     1,950       647,865  
SFS Group AG     6,034       996,379  
SGS SA, Registered Shares     24,135       2,804,106  
Sika AG, Registered Shares     10,616       2,194,530  
Sonova Holding AG, Registered Shares     3,814       908,287  
Straumann Holding AG, Registered Shares     5,180       683,260  
Sulzer AG, Registered Shares     3,248       540,360  
UBS Group AG, Registered Shares     267,156       13,267,550  
VAT Group AG(b)     1,637       1,433,149  
Total Switzerland             40,925,565  
United Kingdom — 11.8%                
AstraZeneca PLC     96,275       18,017,110  
BAE Systems PLC     171,351       4,193,726  
Bridgepoint Group PLC(b)     142,051       494,721  
Centrica PLC     390,264       884,965  
Compass Group PLC     103,709       3,349,801  
GSK PLC     524,347       13,786,554  
Halma PLC     5,123       267,492  
Hiscox Ltd.     40,294       987,779  
Howden Joinery Group PLC     67,001       744,764  
Imperial Brands PLC     165,186       6,114,687  
Inchcape PLC     33,590       343,729  
International Consolidated Airlines Group SA     297,557       1,885,802  
Intertek Group PLC     16,664       1,283,908  
Lloyds Banking Group PLC     8,250,884       12,166,538  
Next PLC     8,785       1,695,930  
RELX PLC     118,922       3,734,474  
Rightmove PLC     47,572       276,679  
Rolls-Royce Holdings PLC     255,604       4,900,808  
RS Group PLC     55,154       425,676  
Sage Group PLC     71,746       777,035  
Softcat PLC     23,289       565,659  
Spirax Group PLC     5,440       493,503  
SSE PLC     127,900       4,135,236  
Weir Group PLC     6,427       205,067  
Total United Kingdom             81,731,643  
United States — 5.5%                
BP PLC     3,137,974       19,454,124  
Experian PLC     39,980       1,349,403  
Ferrovial NV     36,760       2,520,822  
Holcim AG, Registered Shares*     44,298       4,002,279  
InterContinental Hotels Group PLC     6,666       1,148,219  
Schneider Electric SE     30,217       9,859,742  
Total United States             38,334,589  
TOTAL COMMON STOCKS                
(Cost: $598,957,577)             690,831,757  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International Quality Dividend Growth Fund (IQDG)
June 30, 2026

 

 

Investments   Shares     Value  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
(Cost: $195,587)     195,587     $ 195,587  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.6%                
United States — 0.6%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)                
(Cost: $4,484,425)     4,484,425       4,484,425  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $603,637,589)
            695,511,769  
Other Liabilities less Assets — (0.0)%             (25,937 )
NET ASSETS — 100.0%           $ 695,485,832  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $5,726,605 and the total market value of the collateral held by the Fund was $6,036,471. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,552,046.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

EUR Euro
GBP British pound
ILS Israel shekel
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree International Quality Dividend Growth Fund (IQDG)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $41,700,000   $41,700,000   $   $   $^   $50,665 

 
^As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/1/2026   30,950    ILS    7,838    GBP   $   $(16)
Citibank NA  7/1/2026   92,448    USD    81,000    EUR        (159)
                          $   $(175)

 

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $690,831,757   $   $   $690,831,757 
Mutual Fund       195,587        195,587 
Investment of Cash Collateral for Securities Loaned       4,484,425        4,484,425 
Total Investments in Securities  $690,831,757   $4,680,012   $   $695,511,769 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $   $   $ 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(175)  $   $(175)
Total - Net  $690,831,757   $4,679,837   $   $695,511,594 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
Australia — 9.5%      
Abacus Group     1,434,757     $ 959,210  
Accent Group Ltd.     888,442       437,014  
Acrow Ltd.(a)     867,685       538,013  
Adairs Ltd.(a)     306,055       309,571  
Amotiv Ltd.     161,596       705,308  
AMP Ltd.     1,051,757       1,169,495  
Ansell Ltd.     70,592       1,552,281  
ARB Corp. Ltd.     37,534       491,987  
Aspen Group Ltd.     186,462       673,032  
AUB Group Ltd.     71,199       1,412,716  
Aussie Broadband Ltd.     157,804       538,980  
Austin Engineering Ltd.     2,895,224       280,814  
Australian Clinical Labs Ltd.     385,283       597,910  
Australian Ethical Investment Ltd.     135,986       394,744  
Autosports Group Ltd.     233,024       280,904  
Beach Energy Ltd.     3,689,008       2,185,162  
Beacon Lighting Group Ltd.     244,470       294,702  
Bega Cheese Ltd.     202,185       823,634  
Bisalloy Steel Group Ltd.     150,712       464,639  
Bravura Solutions Ltd.     289,632       405,327  
Breville Group Ltd.(a)     53,032       1,185,251  
Cash Converters International Ltd.     2,057,345       427,599  
Cedar Woods Properties Ltd.     169,024       812,673  
Centuria Capital Group     891,754       1,192,368  
Civmec Australia Ltd.     627,390       847,579  
Cobram Estate Olives Ltd.     217,992       664,509  
Collins Foods Ltd.     95,654       540,093  
Corporate Travel Management Ltd.*^     81,192       604,980  
Cromwell Property Group     3,836,763       1,156,278  
Dalrymple Bay Infrastructure Ltd.     553,358       2,204,357  
Data#3 Ltd.     131,895       900,062  
Dicker Data Ltd.     184,876       1,611,273  
Duratec Ltd.     311,493       552,454  
Elders Ltd.     175,505       624,972  
EQT Holdings Ltd.     45,986       519,303  
EVT Ltd.     124,615       1,111,973  
Fiducian Group Ltd.     72,856       429,034  
Fleetwood Ltd.     314,207       395,094  
G8 Education Ltd.     2,441,094       236,767  
GR Engineering Services Ltd.     386,831       1,423,061  
GrainCorp Ltd., Class A     240,328       817,511  
GWA Group Ltd.     496,078       790,470  
Hansen Technologies Ltd.     161,236       495,967  
Helia Group Ltd.     362,367       1,390,805  
Iluka Resources Ltd.     121,142       593,365  
Imdex Ltd.     217,672       618,293  
Ingenia Communities Group     225,799       691,436  
Inghams Group Ltd.     669,282       955,178  
Integral Diagnostics Ltd.     361,047       500,267  
IPD Group Ltd.(a)     199,989       786,977  
IRESS Ltd.     138,705       593,866  
IVE Group Ltd.     488,723       961,588  
Jumbo Interactive Ltd.(a)     124,812       562,053  
Jupiter Mines Ltd.     3,893,038       728,216  
Kelsian Group Ltd.     255,236       790,419  
Kogan.com Ltd.     209,028       641,529  
Lovisa Holdings Ltd.     73,578       1,204,535  
Lycopodium Ltd.     65,566       818,088  
Maas Group Holdings Ltd.     182,474       671,279  
Macmahon Holdings Ltd.     2,740,405       1,813,118  
Mader Group Ltd.     93,164       511,189  
Magellan Financial Group Ltd.     199,717       1,340,747  
McMillan Shakespeare Ltd.     130,931       1,767,918  
Metcash Ltd.     1,011,641       2,067,551  
Monadelphous Group Ltd.     93,463       2,006,639  
MotorCycle Holdings Ltd.     239,383       424,562  
MyState Ltd.     252,018       799,659  
nib holdings Ltd.     390,528       1,910,138  
Nick Scali Ltd.     67,008       757,626  
Nine Entertainment Co. Holdings Ltd.     1,995,015       1,223,200  
NRW Holdings Ltd.     366,632       1,889,780  
Objective Corp. Ltd.     49,588       353,852  
oOh!media Ltd.     653,022       656,000  
Orora Ltd.     1,331,930       1,278,024  
Perenti Ltd.     769,358       1,199,275  
Perpetual Ltd.     123,484       1,326,021  
Peter Warren Automotive Holdings Ltd.     373,986       243,552  
Pinnacle Investment Management Group Ltd.     158,754       1,881,839  
Praemium Ltd.     894,461       418,286  
Premier Investments Ltd.     102,798       1,064,004  
Propel Funeral Partners Ltd.     176,948       383,705  
Redox Ltd.     500,715       1,377,175  
Regal Partners Ltd.     448,378       894,632  
Regis Healthcare Ltd.     221,484       995,852  
Regis Resources Ltd.     219,013       914,945  
Ricegrowers Ltd.(a)     84,128       813,643  
Ridley Corp. Ltd.     352,909       647,913  
Servcorp Ltd.     155,509       706,752  
Service Stream Ltd.     636,240       1,168,086  
Shape Australia Pty Ltd.(a)     171,678       832,570  
Shaver Shop Group Ltd.     432,593       407,593  
SmartGroup Corp. Ltd.     216,205       1,915,773  
Southern Cross Electrical Engineering Ltd.     396,791       1,335,998  
SRG Global Ltd.     686,624       1,893,259  
Super Retail Group Ltd.     184,194       1,681,895  
Supply Network Ltd.(a)     29,199       645,914  
Tabcorp Holdings Ltd.     1,523,205       881,156  
Tasmea Ltd.(a)     251,993       1,656,771  
Universal Store Holdings Ltd.(a)     136,382       735,097  
Ventia Services Group Pty. Ltd.     924,193       3,963,339  
Vulcan Steel Ltd.     85,835       303,279  
Waypoint REIT Ltd.     1,134,757       1,910,368  
Westgold Resources Ltd.     203,742       663,417  
Total Australia             98,229,077  
Austria — 0.6%                
CA Immobilien Anlagen AG     87,207       2,273,246  
Kontron AG^     37,389       992,582  
Palfinger AG     24,503       892,255  
Porr AG     28,115       1,422,367  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
SBO AG     28,313     $ 932,263  
Total Austria             6,512,713  
Belgium — 1.6%                
Barco NV     85,366       818,855  
Bekaert SA     53,121       2,371,633  
Deceuninck NV     233,267       582,727  
EVS(a)     12,982       405,938  
Fagron     37,172       1,024,220  
Ion Beam Applications     35,455       685,054  
Kinepolis Group NV(a)     12,901       522,877  
Montea NV     24,583       1,880,274  
Proximus SADP     501,067       3,351,289  
Retail Estates NV^     25,200       1,979,327  
Tessenderlo Group SA     41,052       907,718  
VGP NV     18,140       1,746,263  
Total Belgium             16,276,175  
Brazil — 0.1%                
Pluxee NV     76,929       1,008,820  
China — 0.3%                
Health & Happiness H&H International Holdings Ltd.     381,500       495,237  
KLN Logistics Group Ltd.(a)     1,409,000       986,401  
Morimatsu International Holdings Co. Ltd.(a)     555,000       542,824  
VSTECS Holdings Ltd.     880,000       990,863  
Total China             3,015,325  
Denmark — 0.4%                
Cementir Holding NV(a)     72,437       1,204,991  
Chemometec AS     7,560       418,818  
D/S Norden AS     26,519       1,114,625  
Matas AS(a)     26,532       356,303  
Per Aarsleff Holding AS     8,969       1,011,036  
Total Denmark             4,105,773  
Finland — 1.5%                
Aktia Bank OYJ     100,711       1,298,812  
F-Secure OYJ     291,387       686,274  
Harvia OYJ(a)     12,555       597,132  
Kalmar OYJ, Class B     47,530       2,087,783  
Marimekko OYJ     42,873       516,636  
Nokian Renkaat OYJ(a)     113,547       1,553,925  
Oma Saastopankki OYJ     44,260       582,941  
Outokumpu OYJ     547,312       3,150,610  
Pihlajalinna OYJ     26,722       320,788  
Puuilo OYJ     92,968       1,908,974  
Raisio OYJ, Class V     206,023       601,820  
Sanoma OYJ     53,254       515,090  
Talenom OYJ     69,280       90,455  
Terveystalo OYJ(a)(b)     130,976       1,147,046  
Total Finland             15,058,286  
France — 3.1%                
ABC arbitrage     110,969       657,191  
Bonduelle SCA(a)     45,856       398,447  
Catana Group(a)     70,937       180,047  
Cie des Alpes     58,427       1,472,931  
Derichebourg SA     106,222       1,157,965  
Etablissements Maurel & Prom SA     298,875       2,661,873  
Exosens SAS     7,744       505,547  
GL Events SACA     31,902       1,223,688  
Interparfums SA     69,299       2,009,261  
IPSOS SA     44,684       1,779,879  
Kaufman & Broad SA     36,489       1,003,315  
Lectra     24,509       480,843  
LISI SA     15,762       1,183,960  
Louis Hachette Group     264,387       528,072  
Mersen SA     25,269       1,203,559  
Opmobility     188,471       2,939,132  
Planisware SA(a)     33,852       703,620  
Pullup Entertainment(a)     23,911       218,426  
Quadient SA     51,366       692,976  
Societe BIC SA     47,583       3,100,894  
Television Francaise 1 SA(a)     278,034       2,117,056  
Valeo SE     206,588       3,026,802  
Vicat SACA     43,629       3,167,446  
Total France             32,412,930  
Germany — 2.7%                
AIXTRON SE     44,357       2,668,537  
Alzchem Group AG     4,278       849,084  
Borussia Dortmund GmbH & Co. KGaA(a)     102,089       350,155  
Cancom SE     35,803       951,706  
Dermapharm Holding SE     32,234       1,737,625  
Deutz AG     76,966       769,518  
Eckert & Ziegler SE     26,073       455,187  
Elmos Semiconductor SE     9,703       2,001,257  
Friedrich Vorwerk Group SE     4,545       350,231  
Indus Holding AG     34,699       1,025,505  
MLP SE     125,508       1,048,936  
Mutares SE & Co. KGaA     32,587       1,013,383  
Nagarro SE     10,906       931,422  
PNE AG     23,443       294,290  
ProCredit Holding AG     90,838       847,458  
ProSiebenSat.1 Media SE     81,253       312,132  
SAF-Holland SE     64,514       1,493,617  
Salzgitter AG     14,711       761,232  
Sirius Real Estate Ltd.     1,672,322       2,146,342  
Softwareone Holding AG^(a)     169,817       1,642,066  
Stroeer SE & Co. KGaA     60,713       2,366,989  
SUSS MicroTec SE     10,867       1,156,076  
TAG Immobilien AG     91,634       1,478,236  
Vossloh AG     8,530       612,935  
Wacker Neuson SE     48,507       1,037,066  
Total Germany             28,300,985  
Hong Kong — 2.9%                
Cafe de Coral Holdings Ltd.     1,084,000       711,880  
Crystal International Group Ltd.(b)     2,896,000       2,090,188  
Dah Sing Banking Group Ltd.     2,601,200       3,837,757  
Dah Sing Financial Holdings Ltd.     597,829       2,875,538  
Dream International Ltd.     1,207,000       988,127  
Hang Lung Group Ltd.     1,546,000       2,480,050  
Hutchison Telecommunications Hong Kong Holdings Ltd.     7,946,000       1,114,581  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Hysan Development Co. Ltd.     1,356,000     $ 2,856,539  
Luk Fook Holdings International Ltd.     552,000       1,558,429  
Man Wah Holdings Ltd.     4,606,000       1,756,166  
Nissin Foods Co. Ltd.(a)     634,000       533,585  
Pacific Basin Shipping Ltd.     3,359,000       1,156,496  
SmarTone Telecommunications Holdings Ltd.     1,756,500       1,039,289  
SUNeVision Holdings Ltd.(a)     1,129,000       626,258  
Swire Pacific Ltd., Class B     1,887,500       2,998,993  
Vitasoy International Holdings Ltd.     498,000       411,505  
VTech Holdings Ltd.(a)     386,100       2,533,119  
Total Hong Kong             29,568,500  
Indonesia — 0.7%                
Bumitama Agri Ltd.     2,113,700       2,680,017  
First Resources Ltd.     1,927,400       4,634,284  
Total Indonesia             7,314,301  
Ireland — 0.5%                
C&C Group PLC     405,557       505,979  
Cairn Homes PLC     597,429       1,687,110  
Cosmo NV(a)     11,988       988,287  
Greencore Group PLC     173,194       457,215  
Origin Enterprises PLC     143,165       680,911  
Uniphar PLC     99,989       508,713  
Total Ireland             4,828,215  
Israel — 6.5%                
Ackerstein Group Ltd.(a)     187,052       522,712  
Altshuler Shaham Finance Ltd.(a)     286,600       660,745  
Aryt Industries Ltd.(a)     33,485       309,063  
Ashdod Refinery Ltd.^†     1       19  
Ashot -Ashkelon Industries Ltd.(a)     20,740       581,315  
Ashtrom Group Ltd.(a)     24,504       513,354  
Atreyu Capital Markets Ltd.     27,607       617,659  
AudioCodes Ltd.(a)     49,548       476,780  
Aura Investments Ltd.(a)     72,485       447,884  
Automatic Bank Services Ltd.(a)     89,039       694,214  
Ayalon Holdings Ltd.(a)     54,194       2,260,925  
Azorim-Investment Development & Construction Co. Ltd.(a)     70,904       395,993  
Carasso Real Estate Ltd.^(a)     52,230       583,576  
Danya Cebus Ltd.     24,503       1,004,151  
Delta Galil Ltd.(a)     15,001       821,683  
Delta Israel Brands Ltd.(a)     22,753       950,762  
Elco Ltd.(a)     8,838       435,456  
Electra Consumer Products 1970 Ltd.     13,647       346,368  
Energean PLC(a)     337,324       3,060,119  
Energix-Renewable Energies Ltd.     277,732       2,435,730  
FIBI Holdings Ltd.     48,851       4,374,447  
G City Ltd.     204,191       763,459  
Gav-Yam Lands Corp. Ltd.(a)     123,543       1,518,450  
Hilan Ltd.(a)     9,923       639,119  
IDI Insurance Co. Ltd.(a)     23,463       1,813,599  
Inrom Construction Industries Ltd.(a)     78,734       634,481  
Israel Canada TR Ltd.(a)     100,136       591,180  
Isramco Negev 2 LP     1,517,972       952,729  
Land Development Nimrodi Group Ltd.(a)     49,891       582,560  
Lapidoth Capital Ltd.     46,412       1,176,092  
Libra Insurance Co. Ltd.(a)     85,287       567,922  
Matrix IT Ltd.     68,540       1,738,661  
Max Stock Ltd.     103,255       1,249,339  
Maytronics Ltd.^†     0       0
Mediterranean Towers Ltd.     224,118       1,193,009  
Mega Or Holdings Ltd.     15,832       3,188,239  
Meitav Investment House Ltd.     33,429       1,450,727  
Meitav Trade Investments Ltd.(a)     69,332       588,965  
Mivne Real Estate KD Ltd.     225,291       982,995  
More Provident Funds & Pension Ltd.(a)     143,109       816,544  
Neto Malinda Trading Ltd.     31,825       1,465,502  
One Software Technologies Ltd.(a)     51,305       978,247  
Palram Industries 1990 Ltd.(a)     53,994       775,265  
Partner Communications Co. Ltd.     149,980       1,830,295  
Paz Retail & Energy Ltd.     1       151  
PCB Technologies Ltd.^(a)     154,071       610,192  
Plus500 Ltd.     103,758       6,590,931  
Prashkovsky Investments & Construction Ltd.(a)     9,232       469,432  
Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.     15,237       1,866,621  
Ratio Energies Finance LP(a)     1,040,232       1,501,283  
REIT Azorim HF Living Ltd.^†     0       1
Retailors Ltd.^(a)     40,086       329,627  
Shufersal Ltd.     228,547       3,268,519  
Sisram Medical Ltd.(b)     736,000       213,046  
Tamar Petroleum Ltd.(a)(b)     56,962       459,030  
Tel Aviv Stock Exchange Ltd.     24,418       1,012,141  
Tiv Taam Holdings 1 Ltd.     137,500       533,026  
Wesure Global Tech Ltd.     149,081       669,988  
YD More Investments Ltd.     80,406       1,187,422  
YH Dimri Construction & Development Ltd.     6,699       806,502  
Total Israel             66,508,246  
Italy — 2.7%                
Alerion Cleanpower SpA     56,839       1,400,406  
Arnoldo Mondadori Editore SpA     423,502       975,643  
Ascopiave SpA     255,481       858,749  
Banco di Desio e della Brianza SpA     165,380       2,510,969  
BasicNet SpA(a)     57,579       462,785  
Carel Industries SpA(b)     29,293       1,063,329  
Datalogic SpA     87,331       581,101  
El.En. SpA     43,501       848,971  
Enav SpA(b)     627,263       3,725,594  
Equita Group SpA     106,863       712,289  
Esprinet SpA     105,407       809,237  
Ferretti SpA(a)     270,675       921,580  
Fiera Milano SpA     108,437       1,046,358  
Fila SpA     58,544       615,787  
FNM SpA(a)     868,110       455,562  
Garofalo Health Care SpA     79,355       482,665  
Gas Plus SpA     74,604       482,768  
GPI SpA(a)     34,520       581,739  
Immobiliare Grande Distribuzione SIIQ SpA     135,893       654,870  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Industrie De Nora SpA     41,957     $ 319,237  
Moltiply Group SpA     7,699       298,837  
Orsero SpA     31,265       548,333  
OVS SpA(b)     213,454       1,475,234  
RAI Way SpA(b)     385,961       2,232,822  
Revo Insurance SpA(a)     17,669       531,286  
Sanlorenzo SpA(a)     24,902       1,019,242  
Sesa SpA     6,494       666,357  
Sogefi SpA^     278,594       656,144  
Wiit SpA     20,764       819,012  
Total Italy             27,756,906  
Japan — 28.3%                
ADEKA Corp.     77,501       2,000,887  
Ai Holdings Corp.     33,100       545,811  
Aica Kogyo Co. Ltd.     53,200       1,209,173  
Aichi Financial Group, Inc.     58,900       501,932  
Aichi Steel Corp.     24,400       450,392  
Aisan Industry Co. Ltd.     26,300       306,975  
Alfresa Holdings Corp.     86,600       1,158,397  
Alinco, Inc.     7,400       47,899  
Alps Alpine Co. Ltd.     110,500       1,390,386  
Amano Corp.     50,500       1,131,026  
and ST HD Co. Ltd.     18,800       400,812  
Anritsu Corp.     59,200       1,601,250  
Anycolor, Inc.     11,000       151,607  
AOKI Holdings, Inc.     97,100       979,812  
Aoyama Trading Co. Ltd.(a)     137,700       582,911  
Aozora Bank Ltd.     78,500       1,310,869  
Arcs Co. Ltd.     25,900       541,028  
ARE Holdings, Inc.     37,400       673,557  
Ariake Japan Co. Ltd.     8,200       253,278  
Artience Co. Ltd.     20,900       554,890  
As One Corp.     22,000       306,599  
Asahi Kogyosha Co. Ltd.     13,800       380,397  
Asanuma Corp.     107,100       553,539  
Autobacs Seven Co. Ltd.     27,403       245,830  
Awa Bank Ltd.     5,100       227,190  
Bando Chemical Industries Ltd.     36,900       500,174  
Bank of Nagoya Ltd.     27,600       1,010,429  
Bic Camera, Inc.(a)     64,500       656,013  
Bunka Shutter Co. Ltd.     37,500       442,547  
C Uyemura & Co. Ltd.     5,800       979,246  
Calbee, Inc.     36,500       663,412  
Casio Computer Co. Ltd.     131,200       1,548,729  
Central Glass Co. Ltd.     12,500       339,948  
Chori Co. Ltd.     21,800       515,742  
Chugin Financial Group, Inc.     143,700       2,722,365  
Chugoku Electric Power Co., Inc.     202,700       1,108,380  
Chugoku Marine Paints Ltd.     34,800       708,740  
Citizen Watch Co. Ltd.     158,900       2,366,024  
CKD Corp.     17,200       790,549  
Computer Engineering & Consulting Ltd.     13,800       178,566  
Create Restaurants Holdings, Inc.(a)     86,800       393,077  
Create SD Holdings Co. Ltd.     22,100       441,932  
Daicel Corp.     185,100       1,561,434  
Dai-Dan Co. Ltd.     89,400       1,579,799  
Daido Steel Co. Ltd.     101,255       1,717,955  
Daiei Kankyo Co. Ltd.     16,200       377,277  
Daihen Corp.     4,800       533,087  
Daiichi Jitsugyo Co. Ltd.     6,000       112,598  
Daiichikosho Co. Ltd.     40,000       421,351  
Dainichiseika Color & Chemicals Manufacturing Co. Ltd.     49,400       318,847  
Daio Paper Corp.     36,900       208,652  
Daishi Hokuetsu Financial Group, Inc.     233,640       3,062,010  
Daiwabo Holdings Co. Ltd.     41,800       887,052  
DCM Holdings Co. Ltd.     53,500       502,000  
Dentsu Soken, Inc.     46,800       616,513  
Dexerials Corp.     63,600       1,664,694  
DIC Corp.     36,900       1,092,526  
Dip Corp.(a)     26,500       303,929  
DMG Mori Co. Ltd.(a)     66,700       1,427,366  
Dowa Holdings Co. Ltd.     21,400       1,141,070  
DTS Corp.     98,800       607,906  
Eagle Industry Co. Ltd.     26,900       471,712  
EDION Corp.     38,200       529,782  
Eiken Chemical Co. Ltd.     9,700       151,953  
Elecom Co. Ltd.     42,300       465,879  
EM Systems Co. Ltd.(a)     71,000       214,059  
ES-Con Japan Ltd.(a)     85,900       569,760  
Exedy Corp.     66,300       2,366,036  
EXEO Group, Inc.     146,600       2,491,366  
Ezaki Glico Co. Ltd.     13,800       453,844  
Feed One Co. Ltd.     28,000       211,389  
Ferrotec Corp.     24,900       1,460,065  
First Bank of Toyama Ltd.     27,300       426,654  
FP Corp.     19,300       308,159  
France Bed Holdings Co. Ltd.     29,700       224,954  
Fuji Oil Co. Ltd.     12,500       304,415  
Fuji Seal International, Inc.     34,200       595,725  
Fujimi, Inc.     31,623       890,172  
Funai Soken Holdings, Inc.     58,600       384,357  
Furuno Electric Co. Ltd.     9,300       325,593  
Furyu Corp.     21,300       178,761  
Futaba Industrial Co. Ltd.     38,600       223,252  
Future Corp.     29,500       278,074  
Glory Ltd.     23,177       557,446  
GMO Financial Holdings, Inc.     118,700       718,664  
Goldwin, Inc.     42,200       564,484  
GS Yuasa Corp.     31,000       1,233,324  
Gunze Ltd.     13,900       330,555  
H2O Retailing Corp.     32,100       563,787  
Hakuhodo DY Holdings, Inc.     167,100       1,178,773  
Hakuto Co. Ltd.     25,600       717,477  
Hanwa Co. Ltd.     114,500       1,193,435  
Happinet Corp.(a)     15,800       292,620  
Harmonic Drive Systems, Inc.     7,400       354,690  
Hazama Ando Corp.     207,200       2,287,774  
Heiwa Real Estate Co. Ltd.     34,400       509,677  
Heiwado Co. Ltd.     17,800       276,871  
Hirogin Holdings, Inc.     160,200       2,067,987  
Hokkaido Electric Power Co., Inc.(a)     53,400       304,645  
Hokkaido Gas Co. Ltd.     81,200       376,710  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Hokuetsu Corp.     48,100     $ 259,552  
Hokuriku Electric Power Co.     46,700       249,728  
House Foods Group, Inc.     20,500       472,626  
HU Group Holdings, Inc.     23,600       478,462  
Hyakugo Bank Ltd.     80,600       981,433  
Hyakujushi Bank Ltd.     47,500       746,731  
Ichigo, Inc.     147,000       397,970  
Iino Kaiun Kaisha Ltd.     69,100       592,680  
Inaba Denki Sangyo Co. Ltd.     86,200       1,443,694  
Inabata & Co. Ltd.     37,000       883,310  
INFRONEER Holdings, Inc.     152,100       2,504,819  
Ishihara Sangyo Kaisha Ltd.     40,100       701,950  
Ito En Ltd.     14,900       269,671  
Itochu Enex Co. Ltd.     81,901       1,005,338  
Itoham Yonekyu Holdings, Inc.(a)     20,000       578,373  
IwaiCosmo Holdings, Inc.     14,100       345,722  
Iwatani Corp.     111,600       1,303,974  
Izumi Co. Ltd.     63,000       372,515  
JAC Recruitment Co. Ltd.     95,500       501,812  
Japan Airport Terminal Co. Ltd.     28,000       869,503  
Japan Elevator Service Holdings Co. Ltd.     28,600       306,017  
Japan Investment Adviser Co. Ltd.     25,700       321,477  
Japan Lifeline Co. Ltd.     36,200       288,442  
Japan Securities Finance Co. Ltd.     36,900       530,597  
Japan Transcity Corp.     36,900       255,195  
Jeol Ltd.     12,500       572,989  
JMDC, Inc.(a)     9,800       173,479  
Juroku Financial Group, Inc.     113,800       1,632,866  
Justsystems Corp.     12,500       281,495  
Kaga Electronics Co. Ltd.     30,400       786,537  
Kamei Corp.     16,100       337,305  
Kanamoto Co. Ltd.     12,500       408,399  
Kaneka Corp.     33,500       1,174,278  
Kanematsu Corp.     124,400       1,577,915  
Kansai Paint Co. Ltd.(a)     88,600       1,443,822  
Katitas Co. Ltd.     38,500       782,910  
Kato Sangyo Co. Ltd.     12,700       465,725  
Keihan Holdings Co. Ltd.     18,000       352,413  
Keikyu Corp.(a)     85,800       777,360  
Keio Corp.     235,500       1,083,568  
KH Neochem Co. Ltd.     12,000       218,994  
Ki-Star Real Estate Co. Ltd.     13,300       302,375  
Kitz Corp.     58,500       908,860  
Kiyo Bank Ltd.     70,300       1,918,354  
Koatsu Gas Kogyo Co. Ltd.     25,600       172,321  
Kojima Co. Ltd.     20,400       162,673  
Kokuyo Co. Ltd.     185,200       907,625  
Konica Minolta, Inc.     88,000       297,421  
Konoike Transport Co. Ltd.     41,600       692,885  
Kotobuki Spirits Co. Ltd.(a)     22,600       346,109  
K's Holdings Corp.     68,200       799,601  
Kumagai Gumi Co. Ltd.     81,700       718,347  
Kurabo Industries Ltd.     11,995       736,564  
Kureha Corp.     23,800       564,522  
Kurimoto Ltd.(a)     47,000       397,920  
Kusuri no Aoki Holdings Co. Ltd.     16,300       361,654  
KYB Corp.     39,400       935,758  
Kyokuto Kaihatsu Kogyo Co. Ltd.     35,600       463,934  
Kyorin Pharmaceutical Co. Ltd.     5,990       42,605  
Kyushu Financial Group, Inc.     202,100       1,786,911  
LA Holdings Co. Ltd.(a)     22,200       379,596  
LEC, Inc.     28,400       161,637  
Leopalace21 Corp.     85,800       344,203  
Life Corp.     51,900       842,088  
Lintec Corp.     45,630       1,990,566  
Lion Corp.     67,200       708,903  
Mabuchi Motor Co. Ltd.(a)     109,200       1,054,542  
Macnica Holdings, Inc.     98,200       1,899,651  
Marubun Corp.     5,300       53,970  
Maruzen Showa Unyu Co. Ltd.     7,700       348,223  
Matsui Securities Co. Ltd.     224,140       1,325,326  
Max Co. Ltd.     96,200       1,006,245  
Megmilk Snow Brand Co. Ltd.     22,200       496,521  
Meidensha Corp.     20,500       1,232,333  
Meiko Electronics Co. Ltd.     4,400       839,255  
MEITEC Group Holdings, Inc.     80,400       1,537,012  
Mirait One Corp.     35,900       851,307  
Mitsubishi Logistics Corp.     168,800       1,603,094  
Mitsubishi Materials Corp.     65,600       1,741,664  
Mitsuboshi Belting Ltd.     31,400       763,144  
Mitsui DM Sugar Co. Ltd.     18,700       369,915  
Mitsui E&S Co. Ltd.     12,700       320,303  
Mitsui-Soko Holdings Co. Ltd.     15,100       314,403  
Miura Co. Ltd.     39,900       771,854  
Mizuno Corp.     18,800       387,510  
Monex Group, Inc.     113,100       434,237  
Morinaga & Co. Ltd.     36,000       575,690  
Morinaga Milk Industry Co. Ltd.     122,400       954,573  
MTG Co. Ltd.     4,700       215,733  
Musashino Bank Ltd.     54,200       838,053  
Nabtesco Corp.     36,400       1,151,407  
Nagase & Co. Ltd.     190,400       1,364,812  
Nagoya Railroad Co. Ltd.(a)     49,800       565,488  
Nakanishi, Inc.     27,300       502,243  
NANKAI Co. Ltd.     24,300       425,147  
Nanto Bank Ltd.     65,900       714,854  
Nichias Corp.     103,400       2,513,029  
Nichicon Corp.     16,500       421,320  
Nichirei Corp.     89,300       1,192,864  
Nifco, Inc.     41,600       1,237,314  
Nihon Kohden Corp.     34,900       306,643  
Nihon M&A Center Holdings, Inc.     238,500       934,336  
Nihon Nohyaku Co. Ltd.     22,500       138,579  
Nikkon Holdings Co. Ltd.     33,200       1,204,821  
Nippn Corp.     37,000       638,806  
Nippon Denko Co. Ltd.     86,200       230,185  
Nippon Densetsu Kogyo Co. Ltd.     22,600       608,368  
Nippon Electric Glass Co. Ltd.     40,200       1,619,378  
Nippon Gas Co. Ltd.     96,100       1,697,013  
Nippon Kayaku Co. Ltd.     115,599       1,417,559  
Nippon Light Metal Holdings Co. Ltd.     8,200       137,285  
Nippon Shinyaku Co. Ltd.     28,500       704,236  
Nippon Shokubai Co. Ltd.     147,600       1,892,168  
Nippon Soda Co. Ltd.     37,900       824,344  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Nishimatsu Construction Co. Ltd.     24,700     $ 806,692  
Nishi-Nippon Financial Holdings, Inc.     83,800       2,133,091  
Nishi-Nippon Railroad Co. Ltd.     12,500       224,235  
Nissei ASB Machine Co. Ltd.     7,100       395,791  
Nisshin Oillio Group Ltd.     53,400       604,888  
Nisshinbo Holdings, Inc.     52,100       793,401  
Nissui Corp.     142,000       1,121,846  
Nitto Boseki Co. Ltd.(a)     14,000       371,697  
Nitto Kogyo Corp.     41,200       1,207,925  
Noevir Holdings Co. Ltd.     19,800       534,822  
Nohmi Bosai Ltd.     35,400       890,854  
Nojima Corp.     61,900       504,645  
Nomura Co. Ltd.     69,200       461,120  
Nomura Micro Science Co. Ltd.     7,300       220,988  
Noritake Co. Ltd.     31,100       780,729  
North Pacific Bank Ltd.     151,900       1,041,173  
NPR-RIKEN Corp.     21,500       511,952  
NS United Kaiun Kaisha Ltd.(a)     13,700       542,015  
NSD Co. Ltd.     43,000       652,177  
NSK Ltd.     364,300       2,546,345  
NTN Corp.     179,200       438,394  
Ogaki Kyoritsu Bank Ltd.     24,400       1,089,949  
Ohsho Food Service Corp.(a)     18,700       327,919  
Okamura Corp.     61,600       866,437  
Okasan Securities Group, Inc.     145,800       860,312  
Okinawa Cellular Telephone Co.     61,400       1,386,482  
Okinawa Financial Group, Inc.     5,500       214,890  
OKUMA Corp.     26,000       739,886  
Okumura Corp.     25,200       871,398  
Onward Holdings Co. Ltd.     213,600       952,838  
Open Up Group, Inc.     39,700       468,266  
Osaka Soda Co. Ltd.     20,700       239,956  
OSG Corp.     36,500       815,678  
PAL GROUP Holdings Co. Ltd.     54,000       489,082  
PALTAC Corp.     14,900       608,743  
Park24 Co. Ltd.     28,700       355,472  
Penta-Ocean Construction Co. Ltd.     88,100       920,707  
Pigeon Corp.     66,100       842,086  
Pola Orbis Holdings, Inc.(a)     131,500       1,023,924  
Prima Meat Packers Ltd.     27,800       403,679  
PS Construction Co. Ltd.     37,500       508,999  
Raito Kogyo Co. Ltd.     29,000       726,227  
Raiznext Corp.     30,500       422,430  
Relo Group, Inc.     52,900       649,675  
Rengo Co. Ltd.     103,500       902,700  
Resorttrust, Inc.     91,800       982,533  
Rigaku Holdings Corp.(a)     22,600       347,639  
Riken Vitamin Co. Ltd.     27,700       521,532  
Roland Corp.     5,500       139,763  
Rorze Corp.(a)     21,200       631,337  
Round One Corp.     48,600       347,474  
Ryobi Ltd.     8,500       135,718  
Ryoyo Ryosan Holdings, Inc.     39,100       645,712  
Saizeriya Co. Ltd.     12,000       400,185  
Sakai Moving Service Co. Ltd.     22,800       408,092  
Sakata INX Corp.     44,700       651,832  
San ju San Financial Group, Inc.     51,400       543,966  
San-A Co. Ltd.     22,500       445,085  
San-Ai Obbli Co. Ltd.     52,200       671,269  
Sangetsu Corp.     47,500       867,144  
San-In Godo Bank Ltd.     93,000       1,304,089  
Sanki Engineering Co. Ltd.     158,700       2,892,290  
Sankyu, Inc.     38,800       2,059,545  
Sanyo Denki Co. Ltd.     6,600       264,772  
Scroll Corp.     80,000       801,354  
Seika Corp.     23,800       399,632  
Seiko Group Corp.     24,700       1,224,932  
Seino Holdings Co. Ltd.     140,100       2,267,116  
Seiren Co. Ltd.     24,700       498,483  
Senko Group Holdings Co. Ltd.     88,800       1,069,807  
Senshu Ikeda Holdings, Inc.     89,900       540,976  
Seria Co. Ltd.     16,600       371,272  
Seven Bank Ltd.     674,300       1,167,501  
Shibaura Mechatronics Corp.     20,800       591,269  
Shiga Bank Ltd.     57,100       915,216  
Shikoku Electric Power Co., Inc.     88,200       797,748  
Shin Nippon Air Technologies Co. Ltd.(a)     24,400       562,990  
Shinagawa Refra Co. Ltd.(a)     34,500       408,629  
Shin-Etsu Polymer Co. Ltd.     48,800       720,928  
Ship Healthcare Holdings, Inc.     17,100       227,895  
SHO-BOND Holdings Co. Ltd.     127,200       977,528  
Sinfonia Technology Co. Ltd.     5,100       499,880  
SKY Perfect JSAT Corp.     100,900       1,661,955  
Sotetsu Holdings, Inc.(a)     32,600       498,453  
Starts Corp., Inc.     37,000       1,032,426  
Sumitomo Heavy Industries Ltd.     69,200       2,153,599  
Sun Frontier Fudousan Co. Ltd.     35,800       535,045  
Sun-Wa Technos Corp.     3,700       82,981  
Suruga Bank Ltd.     83,100       1,243,496  
Suzuken Co. Ltd.     16,500       501,117  
SWCC Corp.     6,400       530,429  
Systena Corp.     214,200       521,909  
Tachi-S Co. Ltd.     37,000       483,316  
Taiheiyo Cement Corp.     42,000       1,026,193  
Taikisha Ltd.     25,900       791,223  
Taiyo Yuden Co. Ltd.     47,700       5,913,890  
Takara Holdings, Inc.     38,800       534,880  
Takara Standard Co. Ltd.     58,400       1,113,921  
Takasago International Corp.     68,900       474,383  
Takeuchi Manufacturing Co. Ltd.     28,900       1,257,179  
Takuma Co. Ltd.     36,800       819,665  
Tamron Co. Ltd.     84,200       598,376  
Tanseisha Co. Ltd.     33,800       283,460  
Tayca Corp.(a)     21,700       315,102  
Teijin Ltd.     108,400       1,084,500  
Teikoku Corp.     12,500       239,963  
TKC Corp.     23,300       489,583  
Toa Corp.     107,200       1,366,013  
TOA Road Corp.(a)     55,600       528,546  
Toagosei Co. Ltd.     68,700       735,717  
Tocalo Co. Ltd.     52,700       1,052,217  
Toda Corp.     134,900       1,351,698  
Toenec Corp.     63,900       883,060  
Toho Gas Co. Ltd.     84,100       628,712  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Toho Holdings Co. Ltd.     12,500     $ 300,338  
Tokai Carbon Co. Ltd.     72,600       765,868  
TOKAI Holdings Corp.     82,800       585,370  
Tokai Rika Co. Ltd.     41,822       761,172  
Tokai Tokyo Financial Holdings, Inc.     157,500       730,688  
Tokuyama Corp.     47,400       1,425,864  
Tokyo Kiraboshi Financial Group, Inc.     128,800       1,426,488  
Tokyo Seimitsu Co. Ltd.     14,100       1,746,396  
Tokyu Construction Co. Ltd.     49,900       359,839  
Tomoku Co. Ltd.     12,400       295,265  
TOMONY Holdings, Inc.     120,800       652,591  
Tomy Co. Ltd.(a)     26,200       513,602  
Topy Industries Ltd.(a)     11,400       190,088  
Toridoll Holdings Corp.(a)     14,800       350,137  
Tosei Corp.     50,000       521,151  
Totech Corp.     33,000       840,609  
Totetsu Kogyo Co. Ltd.     23,100       599,086  
Toyota Boshoku Corp.     111,500       1,458,539  
Transcosmos, Inc.     15,200       336,219  
Trial Holdings, Inc.(a)     18,000       331,371  
Tsubakimoto Chain Co.     76,900       1,208,445  
Tsumura & Co.     41,601       951,940  
UACJ Corp.     58,000       910,371  
UBE Corp.(a)     78,000       1,526,165  
Uchida Yoko Co. Ltd.     24,000       293,419  
Ulvac, Inc.(a)     14,300       910,220  
Umios Corp.     72,600       584,284  
U-Next Holdings Co. Ltd.(a)     24,400       247,415  
UT Group Co. Ltd.     597,000       635,478  
Valor Holdings Co. Ltd.     34,600       829,208  
Wacoal Holdings Corp.     13,500       365,482  
Wakita & Co. Ltd.     39,000       414,896  
Wellneo Sugar Co. Ltd.(a)     35,200       560,081  
Xebio Holdings Co. Ltd.     44,000       284,805  
Yahagi Construction Co. Ltd.     22,200       248,465  
YAMABIKO Corp.     26,100       606,230  
Yamagata Bank Ltd.     16,700       362,206  
Yamaguchi Financial Group, Inc.     119,500       2,098,465  
Yamanashi Chuo Bank Ltd.(a)     12,000       456,299  
Yamazen Corp.     46,000       475,779  
Yellow Hat Ltd.     24,400       264,230  
Yokogawa Bridge Holdings Corp.     36,900       644,799  
Yokorei Co. Ltd.     15,400       197,469  
Yonex Co. Ltd.     12,000       170,632  
Yuasa Co. Ltd.     14,600       475,213  
Yurtec Corp.     46,100       684,444  
Zeon Corp.     133,300       1,931,527  
Total Japan             291,152,404  
Jersey — 0.1%                
JTC PLC(b)     46,736       821,281  
Luxembourg — 0.4%                
APERAM SA     88,793       4,320,565  
Malaysia — 0.1%                
Frencken Group Ltd.     406,900       943,755  
Netherlands — 1.9%                
Acomo NV     46,497       1,198,759  
AMG Critical Materials NV     15,797       591,308  
Brunel International NV(a)     91,476       689,212  
Corbion NV     53,148       1,223,789  
Eurocommercial Properties NV     71,236       2,223,425  
ForFarmers NV     155,241       1,103,969  
Havas NV     112,689       2,196,677  
Kendrion NV     35,589       798,316  
Koninklijke BAM Groep NV     171,062       2,399,708  
Koninklijke Heijmans NV     23,362       3,044,914  
PostNL NV(a)     861,230       905,380  
Sligro Food Group NV(a)     51,372       663,690  
Wereldhave NV     98,853       2,249,071  
Total Netherlands             19,288,218  
Norway — 5.7%                
AF Gruppen ASA     57,769       1,129,051  
Austevoll Seafood ASA     263,927       2,067,035  
Borregaard ASA     53,173       800,645  
Bouvet ASA     158,702       688,823  
BW Offshore Ltd.     243,212       1,076,518  
Deep Value Driller AS     296,989       615,257  
DOF Group ASA     409,147       4,701,128  
Elmera Group ASA(b)     276,958       1,301,455  
Elopak ASA     223,492       793,870  
Europris ASA(b)     143,083       1,276,765  
Hoegh Autoliners ASA     502,963       7,364,897  
Kid ASA(b)     62,646       755,892  
Kitron ASA     83,412       899,405  
Klaveness Combination Carriers ASA(b)     118,617       1,045,263  
Leroy Seafood Group ASA     579,413       2,242,587  
Moreld AS^     340,198       649,764  
Multiconsult ASA(b)     45,540       667,303  
NORBIT ASA     47,539       812,854  
Norconsult Norge AS     357,844       1,301,843  
Norwegian Air Shuttle ASA     1,687,494       2,513,634  
Odfjell Drilling Ltd.     482,728       4,087,980  
Odfjell SE, Class A     134,543       1,416,743  
Pareto Bank ASA     100,390       689,861  
Pexip Holding ASA^     150,504       1,195,454  
Reach Subsea ASA^     763,389       376,468  
SpareBank 1 Nord Norge     203,563       3,147,404  
SpareBank 1 Oestlandet     74,758       1,429,963  
SpareBank 1 SMN     188,768       3,586,316  
Sparebanken Norge     150,074       2,818,428  
Stolt-Nielsen Ltd.     87,506       2,577,737  
Veidekke ASA     137,166       2,628,131  
Wilh Wilhelmsen Holding ASA, Class A     32,988       2,290,208  
Total Norway             58,948,682  
Peru — 0.1%                
Hochschild Mining PLC     131,418       806,888  
Portugal — 1.8%                
Altri SGPS SA(a)     269,506       1,463,599  
Corticeira Amorim SGPS SA(a)     167,847       1,226,238  
CTT-Correios de Portugal SA     95,542       631,914  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Mota-Engil SGPS SA(a)     181,537     $ 968,019  
NOS SGPS SA     897,066       5,174,231  
REN - Redes Energeticas Nacionais SGPS SA     937,748       4,047,281  
Semapa-Sociedade de Investimento & Gestao     61,941       1,437,588  
Sonae SGPS SA     1,669,161       3,845,329  
Total Portugal             18,794,199  
Singapore — 4.5%                
APAC Realty Ltd.     1,123,900       469,215  
Aspial Lifestyle Ltd.     3,765,053       1,033,356  
Aztech Global Ltd.     1,576,600       1,066,547  
Banyan Tree Holdings Ltd.     1,107,200       466,523  
Centurion Corp. Ltd.     942,700       1,064,086  
China Aviation Oil Singapore Corp. Ltd.     860,900       1,218,019  
CNMC Goldmine Holdings Ltd.     497,700       430,959  
ComfortDelGro Corp. Ltd.(a)     2,266,000       2,347,551  
CSE Global Ltd.     1,399,673       1,450,046  
Delfi Ltd.     803,000       558,738  
Far East Orchard Ltd.     420,500       360,860  
Food Empire Holdings Ltd.     680,640       1,247,143  
Geo Energy Resources Ltd.(a)     1,318,500       474,006  
GuocoLand Ltd.     710,400       1,169,857  
Hafnia Ltd.     1,005,641       6,575,208  
Ho Bee Land Ltd.     351,400       554,220  
Hong Leong Asia Ltd.     523,300       1,116,632  
iFAST Corp. Ltd.(a)     85,100       580,953  
Keppel Infrastructure Trust     7,737,941       3,200,586  
KSH Holdings Ltd.     1,562,000       374,363  
LHN Ltd.(a)     683,000       300,986  
Netlink NBN Trust     3,970,500       2,992,955  
OUE Ltd.     475,000       367,235  
Pan-United Corp. Ltd.     751,100       783,938  
Propnex Ltd.(a)     752,400       1,081,962  
Q&M Dental Group Singapore Ltd.     1,471,400       625,668  
Sheng Siong Group Ltd.     1,334,600       3,332,760  
SIA Engineering Co. Ltd.     841,500       2,251,026  
StarHub Ltd.(a)     1,863,800       1,484,181  
Tuan Sing Holdings Ltd.     1,912,956       458,476  
UMS Integration Ltd.     1,137,247       2,329,974  
Venture Corp. Ltd.     282,100       3,731,672  
Wee Hur Holdings Ltd.     977,500       483,668  
Wing Tai Holdings Ltd.     585,800       697,462  
Total Singapore             46,680,831  
South Africa — 0.2%                
Pan African Resources PLC(a)     1,228,123       1,556,674  
Spain — 2.1%                
Alantra Partners SA     42,321       491,114  
Almirall SA     88,381       1,137,778  
ATALAYA MINING COPPER SA     66,985       725,916  
Befesa SA(b)     22,823       778,892  
Construcciones y Auxiliar de Ferrocarriles SA     26,685       1,937,319  
Elecnor SA     168,063       7,637,821  
Faes Farma SA     371,998       1,952,152  
Gestamp Automocion SA(b)     385,335       1,257,780  
Global Dominion Access SA(b)     154,429       526,145  
Grupo Empresarial San Jose SA     74,614       761,784  
Linea Directa Aseguradora SA Cia de Seguros y Reaseguros     654,395       899,300  
Melia Hotels International SA     112,351       1,560,678  
Pharma Mar SA^     6,697       577,697  
Prosegur Cash SA(a)(b)     1,218,501       881,840  
Tubacex SA(a)     202,173       774,334  
Total Spain             21,900,550  
Sweden — 6.8%                
AcadeMedia AB(b)     96,555       1,005,641  
AddLife AB, Class B     25,424       429,243  
Addnode Group AB     57,730       244,564  
Alimak Group AB(b)     72,496       889,894  
Alleima AB     172,143       1,577,686  
Alligo AB, Class B     37,935       522,098  
Ambea AB(b)     56,245       868,826  
AQ Group AB     35,860       814,415  
Arjo AB, Class B     226,920       576,318  
Atea ASA^     116,893       2,041,242  
Attendo AB(b)     80,931       1,026,047  
Bahnhof AB, Class B^(a)     103,345       555,265  
Beijer Alma AB     31,996       981,883  
Bergman & Beving AB     14,821       446,400  
Betsson AB, Class B     122,699       1,073,821  
Bilia AB, Class A     107,892       1,615,345  
Billerud AB     221,585       1,433,251  
BioGaia AB, Class B     136,291       1,646,226  
Bravida Holding AB(b)     172,562       2,203,796  
Bufab AB     69,594       911,798  
Catena AB     27,098       1,165,325  
Clas Ohlson AB, Class B     39,056       1,727,186  
Cloetta AB, Class B     287,254       1,459,695  
Coor Service Management Holding AB(b)     113,240       591,465  
Corem Property Group AB, Class B     1,197,499       290,523  
Dios Fastigheter AB     118,752       787,128  
Duni AB     78,244       639,492  
Electrolux Professional AB, Class B     106,285       465,086  
Elekta AB, Class B     381,362       1,947,367  
Engcon AB(a)     56,888       360,320  
Fagerhult Group AB     166,341       295,621  
FastPartner AB, Class A     122,047       479,832  
Granges AB     69,831       1,238,150  
Heba Fastighets AB, Class B     152,039       379,385  
Hemnet Group AB     26,526       201,724  
Hexpol AB     317,851       2,372,843  
Hufvudstaden AB, Class A     93,207       1,151,827  
Humana AB     88,660       590,874  
Husqvarna AB, Class B(a)     228,403       891,131  
Intea Fastigheter AB^     62,370       474,953  
INVISIO AB(a)     14,357       304,106  
Inwido AB(a)     42,379       630,114  
Lindab International AB     53,056       714,310  
Logistea AB, Class B     257,905       354,954  
Loomis AB     49,217       2,416,569  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
MIPS AB(a)     19,029     $ 507,668  
Morrow Bank AB^(a)     408,370       497,902  
Munters Group AB(b)     75,143       1,338,546  
NCC AB, Class B     109,111       2,149,943  
New Wave Group AB, Class B     83,025       781,940  
Nolato AB, Class B     154,747       777,880  
Note AB^     32,078       522,362  
NP3 Fastigheter AB     32,928       906,714  
Nyab AB     713,576       433,536  
OEM International AB, Class B     52,099       898,987  
Paradox Interactive AB     50,211       685,345  
Peab AB, Class B     186,945       1,759,705  
Platzer Fastigheter Holding AB, Class B     80,896       572,566  
Proact IT Group AB     39,229       501,806  
Ratos AB, Class B     216,054       742,046  
RaySearch Laboratories AB(a)     20,311       461,702  
Rejlers AB     23,861       347,629  
Rusta AB     92,052       763,759  
Rvrc Holding AB     98,396       573,409  
Scandi Standard AB     72,466       1,088,695  
Scandic Hotels Group AB(b)     134,547       1,254,668  
SkiStar AB     40,579       667,082  
Svedbergs Group AB(a)     120,640       804,005  
Synsam AB     133,200       743,200  
Systemair AB     99,774       846,385  
Thule Group AB(b)     80,104       1,705,018  
Troax Group AB(a)     47,402       503,498  
Truecaller AB, Class B(a)     243,101       353,920  
VBG Group AB, Class B     17,595       577,219  
Wallenstam AB, Class B(a)     182,262       741,240  
Wihlborgs Fastigheter AB     211,686       1,644,817  
Zinzino AB, Class B(a)     38,624       533,576  
Total Sweden             69,480,507  
Switzerland — 0.9%                
Clariant AG, Registered Shares^     374,470       3,272,812  
Comet Holding AG, Registered Shares     2,273       1,152,491  
Implenia AG, Registered Shares     7,666       677,600  
Inficon Holding AG, Registered Shares     11,265       2,544,453  
International Workplace Group PLC     177,520       435,884  
Landis & Gyr Group AG^     12,930       694,067  
Vetropack Holding AG, Registered Shares     20,672       461,798  
Zehnder Group AG     6,930       536,084  
Total Switzerland             9,775,189  
United Kingdom — 13.1%                
Advanced Medical Solutions Group PLC(a)     131,703       489,448  
AG Barr PLC     93,580       786,211  
AJ Bell PLC     285,999       2,321,205  
Alfa Financial Software Holdings PLC(a)(b)     304,331       624,465  
Alumasc Group PLC     93,005       302,430  
Avon Technologies PLC     20,674       470,863  
Baltic Classifieds Group PLC     168,539       420,767  
Big Yellow Group PLC     156,964       1,880,181  
Bloomsbury Publishing PLC(a)     77,084       635,343  
Bodycote PLC     136,617       1,203,997  
BRCK Group PLC     779,022       511,808  
Brooks Macdonald Group PLC     23,157       384,189  
BTG Consulting PLC     513,926       787,835  
Bytes Technology Group PLC     255,624       1,282,466  
Card Factory PLC     595,461       530,308  
Cerillion PLC     22,275       322,253  
Chemring Group PLC     111,815       759,841  
Chesnara PLC     357,136       1,568,968  
City of London Investment Group PLC     153,231       911,123  
Clarkson PLC     22,672       1,253,608  
CMC Markets PLC(b)     344,055       2,091,442  
Coats Group PLC     1,270,123       1,314,058  
Cohort PLC(a)     31,009       506,227  
Costain Group PLC     220,855       608,244  
Craneware PLC     23,106       413,397  
Currys PLC     354,133       750,156  
CVS Group PLC     27,871       433,913  
Derwent London PLC     99,890       2,573,357  
DiscoverIE Group PLC     73,341       658,031  
Domino's Pizza Group PLC(a)     517,845       1,244,717  
Dr. Martens PLC(a)     716,001       656,665  
Dunelm Group PLC     375,369       3,918,408  
Elementis PLC     350,553       715,587  
Elixirr International PLC     48,462       443,816  
Essentra PLC     302,270       320,549  
Eurocell PLC     202,135       295,112  
Everplay Group PLC(a)     95,810       296,927  
Ferrari Group PLC     109,439       894,620  
Fevertree Drinks PLC     63,363       683,300  
Fintel PLC(a)     138,787       333,411  
Firstgroup PLC     486,050       1,211,516  
Focusrite PLC     189,927       554,577  
Fonix PLC     190,502       415,928  
Foresight Group Holdings Ltd.     198,942       1,156,520  
Forterra PLC(b)     213,428       382,984  
Franchise Brands PLC     233,723       438,945  
FRP Advisory Group PLC(a)     344,943       524,210  
Fuller Smith & Turner PLC, Class A     49,670       478,612  
FW Thorpe PLC     110,433       370,827  
Galliford Try Holdings PLC     155,619       1,086,428  
Gamma Communications PLC     57,288       639,078  
GB Group PLC     120,289       315,156  
Genuit Group PLC     199,248       732,531  
Genus PLC     22,420       639,179  
Grainger PLC     659,531       1,485,489  
Greggs PLC(a)     87,923       1,867,132  
Halfords Group PLC     401,604       1,228,631  
Hammerson PLC     572,132       2,808,120  
Hargreaves Services PLC     75,314       813,678  
Harworth Group PLC     152,584       243,020  
Helical PLC     162,919       414,737  
Henry Boot PLC     151,045       332,787  
Hill & Smith PLC     60,354       2,198,877  
Hilton Food Group PLC     111,190       760,021  
Hollywood Bowl Group PLC     219,069       798,134  
Hunting PLC     148,138       871,009  
IntegraFin Holdings PLC     204,533       962,348  
J D Wetherspoon PLC(a)     89,259       808,551  
James Halstead PLC(a)     595,352       1,003,529  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
Johnson Service Group PLC     375,051     $ 820,352  
Jupiter Fund Management PLC     522,409       1,134,348  
Kainos Group PLC     81,554       830,220  
Keller Group PLC     57,570       2,027,914  
Keystone Law Group PLC     67,149       484,832  
Kier Group PLC     348,897       1,010,426  
Knights Group Holdings PLC(a)     197,777       492,186  
Lancashire Holdings Ltd.     187,605       1,607,286  
LSL Property Services PLC     140,710       384,720  
Luceco PLC(b)     292,627       1,056,418  
Macfarlane Group PLC     355,646       297,852  
Man Group PLC     1,438,962       5,580,614  
Me Group International PLC(a)     342,894       456,926  
Michelmersh Brick Holdings PLC(a)     349,225       370,807  
Midwich Group PLC     264,261       469,290  
Mitie Group PLC     883,210       1,751,326  
MONY Group PLC     721,056       1,772,403  
Moonpig Group PLC     183,486       583,015  
Morgan Advanced Materials PLC     308,221       871,353  
Morgan Sindall Group PLC     39,142       2,553,920  
Mortgage Advice Bureau Holdings Ltd.     64,569       441,351  
Next 15 Group PLC     133,172       448,951  
Nichols PLC     37,363       473,089  
Ninety One PLC     682,003       1,911,757  
NIOX Group PLC(a)     407,945       322,701  
Norcros PLC     145,678       568,452  
On the Beach Group PLC(a)(b)     146,307       339,437  
OSB Group PLC     405,270       2,791,671  
Oxford Instruments PLC     24,875       1,006,307  
Paratus Energy Services Ltd.     253,076       1,181,558  
PayPoint PLC     91,150       693,813  
Pennon Group PLC     541,882       3,350,092  
Personal Group Holdings PLC     104,696       534,987  
Petronor E&P ASA^     385,828       410,957  
Pets at Home Group PLC     578,718       1,362,615  
Polar Capital Holdings PLC     193,152       2,284,175  
PPHE Hotel Group Ltd.     38,723       883,995  
Premier Foods PLC     277,091       750,984  
Premier Miton Group PLC(a)     611,475       312,458  
Property Franchise Group PLC     93,207       590,092  
PZ Cussons PLC     621,062       858,925  
Ramsdens Holdings PLC     97,563       763,993  
Rank Group PLC     349,041       439,638  
Renew Holdings PLC     52,496       617,323  
Restore PLC     94,484       335,455  
S4 Capital PLC     1,651,139       690,314  
Sabre Insurance Group PLC(b)     537,184       1,240,580  
Safestore Holdings PLC     189,892       1,544,969  
Savills PLC     98,278       1,113,952  
Secure Trust Bank PLC     40,326       770,726  
Senior PLC     224,973       859,954  
Smiths News PLC     962,947       904,874  
Spire Healthcare Group PLC(b)     166,389       474,805  
SSP Group PLC     442,880       1,103,323  
Supreme PLC     217,527       450,392  
Tatton Asset Management PLC     55,016       543,268  
Telecom Plus PLC     81,805       806,717  
TP ICAP Group PLC     887,766       3,987,322  
Travis Perkins PLC     112,762       826,890  
Tristel PLC     98,037       520,478  
Vertu Motors PLC     540,611       530,969  
Victorian Plumbing Group PLC(a)     463,916       475,345  
Volex PLC     98,324       734,718  
Volution Group PLC     95,265       772,551  
Warpaint London PLC(a)     192,302       510,465  
Wickes Group PLC     322,397       803,598  
Wilmington PLC     109,496       406,920  
Workspace Group PLC     282,962       1,300,944  
XPS Pensions Group PLC     199,442       813,981  
YouGov PLC     145,314       415,052  
Young & Co.'s Brewery PLC, Class A     44,858       500,712  
Yu Group PLC(a)     24,135       523,742  
Zotefoams PLC     83,598       488,204  
Total United Kingdom             134,488,549  
United States — 0.3%                
Reliance Worldwide Corp. Ltd.     408,567       1,106,746  
Sims Ltd.     92,735       1,770,642  
Total United States             2,877,388  
TOTAL COMMON STOCKS                
(Cost: $839,828,344)             1,022,731,932  
RIGHTS — 0.0%                
Australia — 0.0%          
Centuria Capital Group*^   52,456    0 
Spain — 0.0%          
Tubacex, SA^    181,898    11,012 
TOTAL RIGHTS          
(Cost $11,012)        11,012 
EXCHANGE-TRADED FUNDS — 0.1%                
United States — 0.1%                
WisdomTree Europe SmallCap Dividend Fund(c)     1,549       111,482  
WisdomTree Japan SmallCap Dividend Fund(c)     882       92,879  
TOTAL EXCHANGE-TRADED FUNDS                
(Cost: $186,388)             204,361  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(d)                
(Cost: $259,485)     259,485       259,485  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 3.3%                
United States — 3.3%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(d)     17,810,611       17,810,611  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

Investments   Shares     Value  
WisdomTree Treasury Money Market Digital Fund, 3.45%(c)(d)     16,500,000     $ 16,500,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED                
(Cost: $34,310,611)             34,310,611  
TOTAL INVESTMENTS IN SECURITIES — 102.8%
(Cost: $874,595,840)
            1,057,517,401  
Other Liabilities less Assets — (2.8)%             (28,485,161 )
NET ASSETS — 100.0%           $ 1,029,032,240  
         

 

Share amount represents a fractional share.
* This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $604,980, which represents 0.1% of net assets.
^Non-income producing security.

Amount is less than $1.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $62,030,619 and the total market value of the collateral held by the Fund was $67,687,028. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $33,376,417.
(b)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(d)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

CHF Swiss franc
EUR Euro
HKD Hong Kong dollar
ILS Israel shekel
JPY Japanese yen
SGD Singapore dollar
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Europe SmallCap Dividend Fund  $1,856,020   $   $1,749,966   $12,046   $(6,618)  $111,482   $40,881   $ 
WisdomTree Japan SmallCap Dividend Fund   1,500,486        1,471,779    113,125    (48,953)   92,879    19,554     
WisdomTree Treasury Money Market Digital Fund   30,700,000    36,700,000    50,900,000            16,500,000        154,035 
Total  $34,056,506   $36,700,000   $54,121,745   $125,171   $(55,571)  $16,704,361   $60,435   $154,035 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America NA  7/2/2026   18,556    USD    15,000    CHF   $     –   $(40)
Citibank NA  7/2/2026   176,990    USD    155,000    EUR        (222)
Citibank NA  7/2/2026   187,574    USD    30,500,000    JPY        (90)
Royal Bank of Canada  7/2/2026   16,777    USD    50,000    ILS        (4)
Royal Bank of Canada  7/2/2026   7,728    USD    10,000    SGD        (3)
Standard Chartered Bank  7/2/2026   11,475    USD    90,000    HKD        (1)
                          $   $(360)

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree International SmallCap Dividend Fund (DLS)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Australia  $97,624,097   $   $604,980*   $98,229,077 
Other   924,502,855            924,502,855 
Rights       11,012    0*    11,012 
Exchange-Traded Funds   204,361            204,361 
Mutual Fund       259,485        259,485 
Investment of Cash Collateral for Securities Loaned       34,310,611        34,310,611 
Total Investments in Securities  $1,022,331,313   $34,581,108   $604,980   $1,057,517,401 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(360)  $   $(360)
Total - Net  $1,022,331,313   $34,580,748   $604,980   $1,057,517,041 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.
1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 98.9%
Japan — 98.9%
Air Freight & Logistics — 0.2%                
Mitsui-Soko Holdings Co. Ltd.     64,200     $ 1,336,735  
Nippon Express Holdings, Inc.(a)     437,000       13,562,393  
Total Air Freight & Logistics             14,899,128  
Automobile Components — 5.3%                
Aisan Industry Co. Ltd.     167,100       1,950,400  
Aisin Corp.     1,534,000       20,637,385  
Bridgestone Corp.(a)     2,311,070       48,489,455  
Daikyonishikawa Corp.     635,000       3,910,998  
Denso Corp.     4,355,200       50,271,375  
Eagle Industry Co. Ltd.     119,300       2,092,017  
Exedy Corp.     251,000       8,957,391  
Fujikura Composites, Inc.     195,300       3,064,236  
FuKoKu Co. Ltd.     62,100       686,243  
Futaba Industrial Co. Ltd.     258,300       1,493,936  
GS Yuasa Corp.     129,184       5,139,540  
G-Tekt Corp.(a)     192,900       2,452,124  
Ichikoh Industries Ltd.     406,400       1,252,770  
JTEKT Corp.     786,178       9,633,432  
Koito Manufacturing Co. Ltd.     446,200       6,999,458  
KYB Corp.     162,100       3,849,906  
Musashi Seimitsu Industry Co. Ltd.     71,900       1,727,547  
NHK Spring Co. Ltd.     320,300       7,656,456  
Nifco, Inc.     198,790       5,912,634  
Niterra Co. Ltd.     323,364       21,298,949  
NPR-RIKEN Corp.     114,500       2,726,442  
Press Kogyo Co. Ltd.     419,800       2,014,730  
Sanoh Industrial Co. Ltd.(a)     337,400       1,959,733  
Seiren Co. Ltd.     185,810       3,749,926  
Shoei Co. Ltd.     135,400       1,477,091  
Sumitomo Electric Industries Ltd.     6,000,332       108,063,201  
Sumitomo Rubber Industries Ltd.(a)     489,491       6,273,556  
Tachi-S Co. Ltd.     238,800       3,119,350  
Tokai Rika Co. Ltd.     224,214       4,080,757  
Topre Corp.     145,800       2,371,016  
Toyo Tire Corp.(a)     378,300       8,677,449  
Toyoda Gosei Co. Ltd.     230,800       7,260,916  
Toyota Boshoku Corp.     308,136       4,030,747  
Unipres Corp.     214,900       1,597,288  
Yokohama Rubber Co. Ltd.     199,800       8,904,177  
Total Automobile Components             373,782,631  
Automobiles — 6.5%                
Honda Motor Co. Ltd.     12,367,141       112,618,789  
Isuzu Motors Ltd.     1,817,200       24,044,846  
Mazda Motor Corp.     2,170,800       14,538,783  
Subaru Corp.     1,299,967       19,116,574  
Suzuki Motor Corp.     2,945,544       35,440,771  
Toyota Motor Corp.     15,292,950       256,411,560  
Total Automobiles             462,171,323  
Banks — 12.1%                
Ehime Bank Ltd.     355,000       4,667,805  
Mitsubishi UFJ Financial Group, Inc.     17,064,022       336,713,235  
Mizuho Financial Group, Inc.     4,073,764       194,081,862  
Sumitomo Mitsui Financial Group, Inc.     6,554,600       255,932,882  
Sumitomo Mitsui Trust Holdings, Inc.     1,666,800       62,118,490  
Total Banks             853,514,274  
Beverages — 0.6%                
Kirin Holdings Co. Ltd.(a)     1,521,145       26,304,741  
Sapporo Breweries Ltd.(a)     206,800       2,583,012  
Suntory Beverage & Food Ltd.(a)     479,600       13,270,335  
Takara Holdings, Inc.     232,700       3,207,902  
Total Beverages             45,365,990  
Broadline Retail — 0.1%                
Ryohin Keikaku Co. Ltd.     372,600       8,113,407  
Building Products — 1.5%                
AGC, Inc.(a)     495,500       21,234,625  
Central Glass Co. Ltd.     73,000       1,985,295  
Daikin Industries Ltd.     272,449       41,380,733  
Lixil Corp.(a)     955,300       10,603,668  
Nitto Boseki Co. Ltd.(a)     182,000       4,832,057  
Okabe Co. Ltd.     140,500       770,254  
Sanwa Holdings Corp.     407,931       9,510,233  
TOTO Ltd.     252,200       13,362,216  
Total Building Products             103,679,081  
Capital Markets — 1.2%                
Monex Group, Inc.     1,023,600       3,930,020  
Nomura Holdings, Inc.     6,813,800       59,260,460  
SBI Holdings, Inc.     1,410,300       22,899,749  
Sparx Group Co. Ltd.     182,300       2,467,682  
Total Capital Markets             88,557,911  
Chemicals — 6.8%                
ADEKA Corp.     277,000       7,151,466  
Aica Kogyo Co. Ltd.     215,200       4,891,240  
Arakawa Chemical Industries Ltd.     253,200       3,273,178  
Artience Co. Ltd.     104,600       2,777,105  
Asahi Kasei Corp.     2,408,060       26,536,443  
Asahi Yukizai Corp.(a)     49,800       2,200,055  
C Uyemura & Co. Ltd.     33,800       5,706,642  
Chugoku Marine Paints Ltd.     160,500       3,268,759  
Daicel Corp.     633,642       5,345,166  
DIC Corp.     135,953       4,025,263  
Fujimi, Inc.     159,400       4,487,033  
Fuso Chemical Co. Ltd.     163,700       4,532,533  
Harima Chemicals Group, Inc.     269,800       1,714,834  
Hodogaya Chemical Co. Ltd.     140,900       1,805,843  
Ise Chemicals Corp.(a)     79,300       2,173,706  
Ishihara Sangyo Kaisha Ltd.     191,200       3,346,956  
JCU Corp.     61,800       2,908,906  
JSP Corp.     107,600       1,649,172  
Kaneka Corp.     160,200       5,615,502  
Kansai Paint Co. Ltd.(a)     429,900       7,005,631  
Kanto Denka Kogyo Co. Ltd.     151,200       3,307,282  
KH Neochem Co. Ltd.(a)     114,700       2,093,218  
Kuraray Co. Ltd.(a)     555,437       5,700,470  
Kureha Corp.     114,200       2,708,759  
Lintec Corp.     190,747       8,321,158  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

Investments   Shares     Value  
Mitsubishi Chemical Group Corp.     3,047,763     $ 21,162,286  
Mitsubishi Gas Chemical Co., Inc.     434,982       13,563,998  
Mitsui Chemicals, Inc.     824,130       10,815,993  
Moriroku Co. Ltd.(a)     66,000       955,533  
Nihon Nohyaku Co. Ltd.     297,100       1,829,854  
Nippon Kayaku Co. Ltd.     451,900       5,541,527  
Nippon Paint Holdings Co. Ltd.(a)     2,012,100       13,036,402  
Nippon Sanso Holdings Corp.(a)     282,353       10,416,789  
Nippon Shokubai Co. Ltd.     572,100       7,334,074  
Nippon Soda Co. Ltd.     183,500       3,991,217  
Nissan Chemical Corp.     342,753       17,868,920  
Nitto Denko Corp.     812,670       15,850,878  
NOF Corp.     288,200       4,679,648  
Osaka Soda Co. Ltd.     117,000       1,356,271  
PILLAR Corp.     60,200       3,989,257  
Resonac Holdings Corp.     172,400       18,775,450  
Riken Technos Corp.     170,100       1,763,535  
Sakata INX Corp.     253,000       3,689,340  
Sanyo Chemical Industries Ltd.     73,100       2,194,912  
Shin-Etsu Chemical Co. Ltd.     2,143,395       92,422,164  
Shin-Etsu Polymer Co. Ltd.     246,700       3,644,527  
Stella Chemifa Corp.     59,100       2,392,727  
Sumitomo Bakelite Co. Ltd.     155,700       7,140,980  
Sumitomo Chemical Co. Ltd.     2,621,500       8,282,666  
Sumitomo Seika Chemicals Co. Ltd.     246,700       1,930,795  
Takasago International Corp.     300,200       2,066,905  
Tayca Corp.(a)     180,600       2,622,464  
Teijin Ltd.     453,800       4,540,094  
Tokai Carbon Co. Ltd.     374,400       3,949,600  
Tokuyama Corp.     197,600       5,944,110  
Tokyo Ohka Kogyo Co. Ltd.     165,100       11,499,351  
Toray Industries, Inc.     2,014,218       13,973,424  
Tosoh Corp.     912,007       16,424,824  
Toyobo Co. Ltd.     300,451       2,952,286  
UBE Corp.(a)     267,200       5,228,094  
Valqua Ltd.     65,000       2,871,558  
Zacros Corp.     256,600       2,174,054  
Zeon Corp.     590,500       8,556,391  
Total Chemicals             479,979,218  
Commercial Services & Supplies — 0.2%                
Dai Nippon Printing Co. Ltd.     454,800       8,274,688  
Pilot Corp.     280,800       2,919,007  
Total Commercial Services & Supplies             11,193,695  
Construction & Engineering — 1.1%                
CTI Engineering Co. Ltd.     60,500       1,058,308  
Kajima Corp.     714,900       25,829,213  
Mitsubishi Kakoki Kaisha Ltd.     103,000       2,313,183  
Obayashi Corp.     1,283,600       25,723,336  
Penta-Ocean Construction Co. Ltd.     414,200       4,328,680  
Taikisha Ltd.     145,500       4,444,901  
Toa Corp.     333,900       4,254,772  
Toda Corp.     794,500       7,960,887  
Total Construction & Engineering             75,913,280  
Construction Materials — 0.1%                
Taiheiyo Cement Corp.     157,000       3,836,007  
Containers & Packaging — 0.3%                
Fuji Seal International, Inc.     191,500       3,335,711  
Rengo Co. Ltd.     546,800       4,769,045  
Toyo Seikan Group Holdings Ltd.     437,000       10,978,440  
Total Containers & Packaging             19,083,196  
Distributors — 0.0%                
Central Automotive Products Ltd.     168,500       2,095,299  
Diversified Consumer Services — 0.0%                
Aucnet, Inc.     295,500       2,480,000  
Diversified Telecommunication Services — 2.0%                
NTT, Inc.     160,586,200       143,270,260  
Electrical Equipment — 2.5%                
Daihen Corp.     42,100       4,675,619  
Fuji Electric Co. Ltd.     132,373       11,007,667  
Fujikura Ltd.     1,222,800       46,933,250  
Furukawa Electric Co. Ltd.     755,810       21,996,501  
Mabuchi Motor Co. Ltd.(a)     436,900       4,219,133  
Mitsubishi Electric Corp.     2,270,414       82,085,542  
Sanyo Denki Co. Ltd.     61,700       2,475,213  
Sinfonia Technology Co. Ltd.(a)     38,000       3,724,596  
Toyo Tanso Co. Ltd.     64,500       2,920,904  
Total Electrical Equipment             180,038,425  
Electronic Equipment, Instruments & Components — 6.0%                
Ai Holdings Corp.     154,600       2,549,319  
Alps Alpine Co. Ltd.     630,800       7,937,154  
Amano Corp.     225,533       5,051,162  
Anritsu Corp.     302,000       8,168,540  
Azbil Corp.     922,800       9,763,142  
Citizen Watch Co. Ltd.     601,700       8,959,323  
Dexerials Corp.     282,100       7,383,808  
ESPEC Corp.     90,800       2,363,230  
Furuno Electric Co. Ltd.     56,300       1,971,063  
Hakuto Co. Ltd.     96,519       2,705,086  
Hioki EE Corp.     36,600       2,742,889  
Hirose Electric Co. Ltd.     59,260       10,513,842  
Horiba Ltd.     53,500       9,022,827  
Ibiden Co. Ltd.     73,000       10,696,785  
Iriso Electronics Co. Ltd.     119,100       2,135,409  
Japan Aviation Electronics Industry Ltd.     157,900       2,245,236  
Jeol Ltd.     71,100       3,259,160  
Kaga Electronics Co. Ltd.     158,200       4,093,100  
Keyence Corp.     70,940       35,381,611  
Kuroda Group Co. Ltd.     483,000       3,135,302  
Kyosan Electric Manufacturing Co. Ltd.     556,000       3,198,646  
Macnica Holdings, Inc.     413,500       7,999,040  
Marubun Corp.     252,200       2,568,165  
Maxell Ltd.     127,000       1,664,421  
Meiko Electronics Co. Ltd.     21,700       4,139,056  
Miraini Holdings Co. Ltd.     185,900       2,564,453  
Murata Manufacturing Co. Ltd.     2,117,204       148,442,022  
Nichicon Corp.     172,700       4,409,814  
Nippon Electric Glass Co. Ltd.     144,160       5,807,202  
Optex Group Co. Ltd.     111,500       2,864,252  
Osaki Electric Co. Ltd.     213,000       1,947,503  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

Investments   Shares     Value  
Restar Corp.     104,000     $ 2,681,188  
Rigaku Holdings Corp.(a)     299,200       4,602,369  
Riken Keiki Co. Ltd.     87,700       1,993,856  
Ryoyo Ryosan Holdings, Inc.     174,900       2,888,365  
Sanshin Electronics Co. Ltd.(a)     158,954       2,672,951  
Santec Holdings Corp.     27,200       4,450,072  
Shimadzu Corp.     268,100       6,789,722  
Siix Corp.     267,700       2,147,859  
Sun-Wa Technos Corp.     139,000       3,117,397  
Taiyo Yuden Co. Ltd.     191,800       23,779,542  
TDK Corp.     1,405,820       30,880,033  
Tomen Devices Corp.     24,500       2,621,474  
Yokogawa Electric Corp.     295,038       10,229,436  
Total Electronic Equipment, Instruments & Components             424,536,826  
Energy Equipment & Services — 0.1%                
Modec, Inc.     86,100       4,918,865  
Entertainment — 0.9%                
Anycolor, Inc.     4,400       60,643  
Capcom Co. Ltd.     377,500       6,996,031  
Koei Tecmo Holdings Co. Ltd.(a)     491,144       4,576,758  
Konami Group Corp.     88,900       9,662,627  
Nexon Co. Ltd.     190,500       2,514,799  
Nintendo Co. Ltd.     701,100       29,398,533  
Square Enix Holdings Co. Ltd.     327,400       4,854,847  
Toei Animation Co. Ltd.     258,200       3,866,844  
Total Entertainment             61,931,082  
Food Products — 1.3%                
Ajinomoto Co., Inc.     823,626       29,762,532  
Ariake Japan Co. Ltd.     51,900       1,603,064  
Calbee, Inc.     205,500       3,735,099  
Ezaki Glico Co. Ltd.(a)     78,000       2,565,205  
Fuji Oil Co. Ltd.     85,000       2,070,020  
House Foods Group, Inc.     110,000       2,536,041  
Kikkoman Corp.(a)     1,079,200       11,075,869  
Nichirei Corp.     415,100       5,544,883  
Nisshin Oillio Group Ltd.     234,100       2,651,765  
Nisshin Seifun Group, Inc.     573,600       7,007,431  
Nissui Corp.     473,200       3,738,433  
Riken Vitamin Co. Ltd.     115,100       2,167,088  
Sakata Seed Corp.     82,200       2,114,112  
Toyo Suisan Kaisha Ltd.     168,100       10,741,231  
Umios Corp.     292,800       2,356,452  
Total Food Products             89,669,225  
Ground Transportation — 0.1%                
Nishi-Nippon Railroad Co. Ltd.     144,600       2,593,947  
Zero Co. Ltd.     81,500       1,820,305  
Total Ground Transportation             4,414,252  
Health Care Equipment & Supplies — 1.0%                
Asahi Intecc Co. Ltd.     175,200       4,096,355  
Eiken Chemical Co. Ltd.     91,800       1,438,073  
Hoya Corp.     209,057       33,379,660  
Nakanishi, Inc.     166,500       3,063,129  
Nihon Kohden Corp.     170,200       1,495,435  
Nipro Corp.     171,300       1,661,618  
Olympus Corp.     726,400       7,593,623  
PHC Holdings Corp.     350,400       2,216,343  
Shofu, Inc.     154,900       1,928,089  
Terumo Corp.     892,424       12,266,883  
Total Health Care Equipment & Supplies             69,139,208  
Health Care Technology — 0.0%                
M3, Inc.     339,700       3,793,604  
Hotels, Restaurants & Leisure — 0.1%                
Food & Life Cos. Ltd.     131,400       3,947,053  
Round One Corp.     240,700       1,720,925  
Saizeriya Co. Ltd.     30,900       1,030,475  
Zensho Holdings Co. Ltd.(a)     59,800       2,967,464  
Total Hotels, Restaurants & Leisure             9,665,917  
Household Durables — 2.3%                
Casio Computer Co. Ltd.     563,557       6,652,417  
JVCKenwood Corp.     209,900       1,451,639  
Nikon Corp.     581,800       8,126,048  
Noritz Corp.     133,900       1,881,726  
Panasonic Holdings Corp.     3,273,000       90,663,258  
Rinnai Corp.     251,900       5,516,149  
Sony Group Corp.     1,627,800       32,851,463  
Sumitomo Forestry Co. Ltd.(a)     767,000       6,373,380  
Tamron Co. Ltd.     526,500       3,741,624  
Zojirushi Corp.     144,500       1,186,051  
Total Household Durables             158,443,755  
Household Products — 0.2%                
Lion Corp.     290,000       3,059,252  
Pigeon Corp.     302,600       3,854,997  
Unicharm Corp.(a)     1,665,600       9,670,267  
Total Household Products             16,584,516  
Independent Power & Renewable Electricity Producers — 0.1%                
Electric Power Development Co. Ltd.     450,900       10,159,642  
Industrial Conglomerates — 1.1%                
Hitachi Ltd.     2,423,125       66,659,233  
Nisshinbo Holdings, Inc.     360,000       5,482,234  
Sekisui Chemical Co. Ltd.     677,200       10,798,116  
Total Industrial Conglomerates             82,939,583  
Insurance — 5.8%                
Daiichi Life Group, Inc.     7,467,500       81,716,343  
MS&AD Insurance Group Holdings, Inc.     2,739,300       71,463,664  
Sompo Holdings, Inc.     1,533,300       58,850,795  
Tokio Marine Holdings, Inc.     4,550,100       201,629,412  
Total Insurance             413,660,214  
IT Services — 0.6%                
Fujitsu Ltd.     1,228,320       24,539,948  
NEC Corp.     651,400       15,731,395  
Total IT Services             40,271,343  
Leisure Products — 0.5%                
Bandai Namco Holdings, Inc.     766,000       17,834,450  
GLOBERIDE, Inc.(a)     134,200       1,926,403  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

Investments   Shares     Value  
Mizuno Corp.     141,900     $ 2,924,873  
Roland Corp.(a)     110,700       2,813,050  
Sega Sammy Holdings, Inc.     282,300       3,834,347  
Tomy Co. Ltd.(a)     131,800       2,583,694  
Yonex Co. Ltd.     68,600       975,447  
Total Leisure Products             32,892,264  
Life Sciences Tools & Services — 0.0%                
Shin Nippon Biomedical Laboratories Ltd.(a)     194,500       1,379,840  
Machinery — 6.8%                
Amada Co. Ltd.     610,493       11,086,726  
Anest Iwata Corp.     162,300       1,686,662  
Bando Chemical Industries Ltd.     166,300       2,254,170  
CKD Corp.     105,100       4,830,623  
Daifuku Co. Ltd.     453,400       19,876,788  
DMG Mori Co. Ltd.(a)     253,200       5,418,425  
Ebara Corp.     513,255       19,756,488  
FANUC Corp.     1,051,700       47,594,238  
Furukawa Co. Ltd.     88,200       1,921,108  
Glory Ltd.     148,300       3,566,865  
Harmonic Drive Systems, Inc.     51,100       2,449,279  
Hitachi Construction Machinery Co. Ltd.(a)     440,800       14,249,889  
Hoshizaki Corp.     186,038       6,061,044  
Hosokawa Micron Corp.     46,700       1,409,405  
IHI Corp.     594,500       9,918,393  
Japan Steel Works Ltd.     46,900       2,215,359  
Kanadevia Corp.     363,000       2,834,315  
Kawasaki Heavy Industries Ltd.(a)     738,400       13,277,797  
Kitz Corp.     267,500       4,155,899  
Komatsu Ltd.     1,849,706       71,495,789  
Kurita Water Industries Ltd.     155,200       8,738,565  
Makita Corp.     375,000       13,361,791  
Max Co. Ltd.     351,000       3,671,435  
Meidensha Corp.     103,200       6,203,747  
Minebea Mitsumi, Inc.     390,600       11,430,202  
MISUMI Group, Inc.     313,800       7,711,535  
Mitsubishi Heavy Industries Ltd.     1,599,290       36,074,432  
Mitsuboshi Belting Ltd.     153,500       3,730,657  
Mitsui E&S Co. Ltd.     45,100       1,137,455  
Miura Co. Ltd.     236,900       4,582,763  
Morita Holdings Corp.     98,100       1,462,521  
Nabtesco Corp.     190,800       6,035,396  
NGK Corp.     430,475       19,949,778  
Nippon Thompson Co. Ltd.     274,400       3,655,290  
Nissei ASB Machine Co. Ltd.     51,500       2,870,881  
Nomura Micro Science Co. Ltd.     78,500       2,376,373  
Noritake Co. Ltd.     166,600       4,182,298  
NSK Ltd.     1,400,300       9,787,668  
NTN Corp.     1,203,800       2,944,968  
Oiles Corp.     111,500       1,896,238  
Okamoto Machine Tool Works Ltd.     70,500       2,424,827  
OKUMA Corp.     177,100       5,039,763  
Organo Corp.(a)     68,700       6,890,078  
OSG Corp.     191,324       4,275,581  
Ryobi Ltd.     132,000       2,107,614  
Shibaura Machine Co. Ltd.     65,200       1,805,261  
Shinmaywa Industries Ltd.     211,800       2,612,884  
Sumitomo Heavy Industries Ltd.     307,737       9,577,196  
Takeuchi Manufacturing Co. Ltd.     138,100       6,007,488  
THK Co. Ltd.(a)     418,800       18,867,581  
Tocalo Co. Ltd.     223,800       4,468,426  
Tsubakimoto Chain Co.     313,800       4,931,212  
Tsugami Corp.     147,100       7,267,885  
Union Tool Co.     29,500       4,087,617  
YAMABIKO Corp.     150,300       3,491,048  
Yushin Co.(a)     337,100       1,427,010  
Total Machinery             483,144,726  
Marine Transportation — 0.1%                
Iino Kaiun Kaisha Ltd.(a)     422,000       3,619,554  
NS United Kaiun Kaisha Ltd.(a)     87,700       3,469,688  
Total Marine Transportation             7,089,242  
Media — 0.1%                
Hakuhodo DY Holdings, Inc.(a)     620,300       4,375,782  
Metals & Mining — 1.6%                
Aichi Steel Corp.     170,200       3,141,670  
ARE Holdings, Inc.     168,800       3,040,010  
Daido Steel Co. Ltd.     482,600       8,188,091  
Daiki Aluminium Industry Co. Ltd.     210,700       1,922,585  
Dowa Holdings Co. Ltd.     103,400       5,513,394  
Kobe Steel Ltd.     1,083,900       12,487,942  
Kyoei Steel Ltd.     144,400       1,545,953  
Mitsubishi Materials Corp.     240,800       6,393,183  
Mitsui Kinzoku Co. Ltd.     67,700       17,724,258  
Nippon Light Metal Holdings Co. Ltd.     180,700       3,025,287  
Nippon Steel Corp.     12,239,200       40,371,851  
Nippon Yakin Kogyo Co. Ltd.(a)     78,210       2,247,289  
Topy Industries Ltd.(a)     134,300       2,239,366  
UACJ Corp.     266,100       4,176,718  
Total Metals & Mining             112,017,597  
Oil, Gas & Consumable Fuels — 1.4%                
ENEOS Holdings, Inc.     4,246,200       31,273,351  
Idemitsu Kosan Co. Ltd.     2,399,800       17,689,343  
Inpex Corp.(a)     2,361,400       47,438,677  
Total Oil, Gas & Consumable Fuels             96,401,371  
Paper & Forest Products — 0.2%                
Hokuetsu Corp.     408,000       2,201,606  
Nippon Paper Industries Co. Ltd.     144,700       1,136,054  
Oji Holdings Corp.     2,008,500       9,829,632  
Total Paper & Forest Products             13,167,292  
Passenger Airlines — 0.3%                
ANA Holdings, Inc.     495,300       9,045,072  
Japan Airlines Co. Ltd.     829,600       14,547,670  
Total Passenger Airlines             23,592,742  
Personal Care Products — 0.4%                
Kao Corp.(a)     1,267,760       25,140,689  
Milbon Co. Ltd.     111,800       1,831,174  
Rohto Pharmaceutical Co. Ltd.     289,500       4,251,878  
Total Personal Care Products             31,223,741  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

Investments   Shares     Value  
Pharmaceuticals — 5.1%                
Astellas Pharma, Inc.     4,428,000     $ 59,257,960  
Chugai Pharmaceutical Co. Ltd.     1,222,300       56,660,872  
Daiichi Sankyo Co. Ltd.     1,673,400       26,857,800  
Eisai Co. Ltd.     571,700       14,489,047  
Nippon Shinyaku Co. Ltd.     166,800       4,121,635  
Ono Pharmaceutical Co. Ltd.     1,123,300       16,504,786  
Otsuka Holdings Co. Ltd.(a)     474,200       31,525,802  
Santen Pharmaceutical Co. Ltd.     458,300       6,014,791  
Shionogi & Co. Ltd.     1,225,331       21,027,215  
Takeda Pharmaceutical Co. Ltd.     3,793,163       120,312,292  
Towa Pharmaceutical Co. Ltd.     98,600       2,314,469  
ZERIA Pharmaceutical Co. Ltd.     85,600       1,074,971  
Total Pharmaceuticals             360,161,640  
Professional Services — 0.6%                
en, Inc./Japan     73,400       513,044  
Open Up Group, Inc.     262,900       3,100,934  
Persol Holdings Co. Ltd.     4,905,500       7,467,286  
Recruit Holdings Co. Ltd.     394,000       27,466,667  
Transcosmos, Inc.     127,400       2,818,046  
Weathernews, Inc.     136,000       1,674,425  
Total Professional Services             43,040,402  
Semiconductors & Semiconductor Equipment — 6.4%                
Advantest Corp.     165,700       32,971,777  
Disco Corp.     66,000       32,998,985  
Ferrotec Corp.     144,500       8,473,066  
Kokusai Electric Corp.     174,100       11,628,091  
Lasertec Corp.     121,800       37,246,331  
Micronics Japan Co. Ltd.     47,700       4,883,729  
Mitsui High-Tec, Inc.     315,000       1,847,070  
Optorun Co. Ltd.     132,100       3,039,865  
Rohm Co. Ltd.     499,000       16,530,478  
Rorze Corp.(a)     154,300       4,595,059  
SCREEN Holdings Co. Ltd.     362,640       39,728,074  
Shibaura Mechatronics Corp.     106,000       3,013,198  
Socionext, Inc.(a)     218,700       3,433,398  
SUMCO Corp.     214,000       5,305,067  
Tokyo Electron Ltd.     482,159       228,879,045  
Tokyo Seimitsu Co. Ltd.     61,700       7,642,030  
Ulvac, Inc.(a)     78,800       5,015,758  
YAC Holdings Co. Ltd.     324,400       2,778,433  
Yamaichi Electronics Co. Ltd.(a)     54,700       3,204,085  
Total Semiconductors & Semiconductor Equipment             453,213,539  
Software — 0.1%                
Trend Micro, Inc.     232,208       8,546,797  
Specialty Retail — 1.4%                
ABC-Mart, Inc.     349,100       6,015,410  
Fast Retailing Co. Ltd.     157,400       80,198,702  
JINS Holdings, Inc.     37,100       1,837,594  
Sanrio Co. Ltd.(a)     984,400       6,662,606  
VT Holdings Co. Ltd.     634,200       1,752,074  
Total Specialty Retail             96,466,386  
Technology Hardware, Storage & Peripherals — 1.5%                
Brother Industries Ltd.     638,600       14,424,246  
Canon, Inc.(a)     2,502,797       63,861,555  
FUJIFILM Holdings Corp.     1,258,785       26,976,454  
Konica Minolta, Inc.     619,800       2,094,792  
Wacom Co. Ltd.     561,300       2,662,743  
Total Technology Hardware, Storage & Peripherals             110,019,790  
Textiles, Apparel & Luxury Goods — 0.3%                
Asics Corp.     366,068       9,854,161  
Kurabo Industries Ltd.     65,247       4,006,553  
Morito Co. Ltd.     174,400       1,888,596  
Seiko Group Corp.     125,000       6,199,046  
Wacoal Holdings Corp.     67,000       1,813,875  
Total Textiles, Apparel & Luxury Goods             23,762,231  
Tobacco — 2.2%                
Japan Tobacco, Inc.(a)     4,224,931       156,285,403  
Trading Companies & Distributors — 9.7%                
Alconix Corp.     171,900       2,632,574  
Chori Co. Ltd.     83,800       1,982,532  
Daiichi Jitsugyo Co. Ltd.     102,700       1,927,303  
Hanwa Co. Ltd.     553,500       5,769,137  
Inabata & Co. Ltd.     113,786       2,716,442  
ITOCHU Corp.     9,652,770       110,113,740  
Japan Pulp & Paper Co. Ltd.     373,900       2,457,008  
KPP Group Holdings Co. Ltd.(a)     339,100       2,144,869  
Marubeni Corp.     2,246,078       64,815,295  
Meiwa Corp.     463,200       2,499,470  
Mitsubishi Corp.     6,111,600       163,464,853  
Mitsui & Co. Ltd.     4,319,100       119,507,723  
Nagase & Co. Ltd.     913,300       6,546,651  
Sanyo Trading Co. Ltd.     285,800       1,371,629  
Sojitz Corp.     473,904       15,078,035  
Sumitomo Corp.     11,146,708       106,237,506  
Toyota Tsusho Corp.     2,105,030       77,427,284  
Total Trading Companies & Distributors             686,692,051  
Transportation Infrastructure — 0.1%                
Mitsubishi Logistics Corp.     816,300       7,752,401  
TOTAL COMMON STOCKS
(COST: $5,419,053,809)
            7,009,326,394  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
(Cost: $3,833,201)     3,833,201       3,833,201  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 4.9%                
United States — 4.9%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)     179,266,819       179,266,819  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

Investments   Shares     Value  
WisdomTree Treasury Money Market Digital Fund, 3.45% (b)(c)     166,400,000     $ 166,400,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $345,666,819)
            345,666,819  
TOTAL INVESTMENTS IN SECURITIES — 103.9%
(Cost: $5,768,553,829)
            7,358,826,414  
Other Liabilities less Assets — (3.9)%             (279,223,009 )
NET ASSETS — 100.0%           $ 7,079,603,405  
         

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $490,576,784 and the total market value of the collateral held by the Fund was $529,016,184. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $183,349,365.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.
(c)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

CURRENCY ABBREVIATIONS:

JPY Japanese yen
USD United States dollar

  

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $5,700,000   $253,200,000   $92,500,000   $   $   $166,400,000   $317,735 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Japan Hedged Equity Fund (DXJ)
June 30, 2026

 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Citibank NA  7/3/2026   2,731,321,022    JPY    17,041,477    USD   $   $(234,621)
Deutsche Bank AG  7/3/2026   225,041,760,069    JPY    1,384,754,559    USD    12,907     
Deutsche Bank AG  7/3/2026   1,356,501,554    USD    215,387,362,348    JPY    31,141,266     
Deutsche Bank AG  8/5/2026   1,412,293,044    USD    228,921,863,083    JPY        (18,185)
Goldman Sachs  7/3/2026   225,042,140,226    JPY    1,384,754,555    USD    15,250     
Goldman Sachs  8/5/2026   1,412,293,040    USD    228,922,956,962    JPY        (24,937)
HSBC Holdings PLC  7/3/2026   4,710,998,466    JPY    29,149,747    USD        (161,183)
HSBC Holdings PLC  7/3/2026   1,356,501,554    USD    215,388,572,347    JPY    31,133,821     
HSBC Holdings PLC  7/3/2026   42,603,692    USD    6,885,340,297    JPY    235,577     
JPMorgan Chase Bank NA  7/3/2026   225,042,071,639    JPY    1,384,754,559    USD    14,824     
JPMorgan Chase Bank NA  7/3/2026   1,356,501,554    USD    215,387,690,621    JPY    31,139,246     
JPMorgan Chase Bank NA  7/3/2026   110,769,599    USD    17,718,366,101    JPY    1,741,759     
JPMorgan Chase Bank NA  8/5/2026   1,412,293,044    USD    228,921,898,390    JPY        (18,403)
Morgan Stanley & Co. International  7/3/2026   225,041,898,544    JPY    1,384,754,559    USD    13,759     
Morgan Stanley & Co. International  7/3/2026   1,356,501,554    USD    215,388,244,074    JPY    31,135,841     
Morgan Stanley & Co. International  7/3/2026   34,082,954    USD    5,436,142,513    JPY    632,303     
Morgan Stanley & Co. International  8/5/2026   1,412,293,044    USD    228,922,569,229    JPY        (22,541)
Royal Bank of Canada  7/3/2026   225,059,484,927    JPY    1,384,754,559    USD    121,974     
Royal Bank of Canada  7/3/2026   1,356,501,554    USD    215,405,946,419    JPY    31,026,911     
Royal Bank of Canada  8/5/2026   1,412,293,044    USD    228,940,222,892    JPY        (131,454)
                          $158,365,438   $(611,324)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $7,009,326,394   $   $   $7,009,326,394 
Mutual Fund       3,833,201        3,833,201 
Investment of Cash Collateral for Securities Loaned       345,666,819        345,666,819 
Total Investments in Securities  $7,009,326,394   $349,500,020   $   $7,358,826,414 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $158,365,438   $   $158,365,438 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(611,324)  $   $(611,324)
Total - Net  $7,009,326,394   $507,254,134   $   $7,516,580,528 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Japan Opportunities Fund (OPPJ)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.8%
Japan — 99.8%
Automobile Components — 0.6%                
Tachi-S Co. Ltd.     53,400     $ 697,543  
Toyoda Gosei Co. Ltd.     29,300       921,772  
Total Automobile Components             1,619,315  
Automobiles — 1.3%                
Suzuki Motor Corp.     297,200       3,575,909  
Banks — 0.7%                
Hokuhoku Financial Group, Inc.     22,200       911,904  
Suruga Bank Ltd.     62,700       938,233  
Total Banks             1,850,137  
Beverages — 0.4%                
Coca-Cola Bottlers Japan Holdings, Inc.     42,100       1,111,787  
Broadline Retail — 0.4%                
Isetan Mitsukoshi Holdings Ltd.     44,600       1,130,059  
Building Products — 1.4%                
AGC, Inc.     59,700       2,558,440  
Sanwa Holdings Corp.     25,800       601,484  
Toli Corp.     197,400       818,629  
Total Building Products             3,978,553  
Chemicals — 8.8%                
Asahi Kasei Corp.     229,700       2,531,258  
Kaneka Corp.     81,800       2,867,341  
Mitsubishi Gas Chemical Co., Inc.     82,400       2,569,470  
Nippon Kayaku Co. Ltd.     220,500       2,703,932  
Shin-Etsu Chemical Co. Ltd.     64,000       2,759,649  
Sumitomo Bakelite Co. Ltd.     72,100       3,306,774  
Sumitomo Chemical Co. Ltd.     806,100       2,546,884  
Tokyo Ohka Kogyo Co. Ltd.     43,600       3,036,776  
Toray Industries, Inc.     320,000       2,219,966  
Total Chemicals             24,542,050  
Commercial Services & Supplies — 0.3%                
TRE Holdings Corp.(a)     75,500       969,968  
Consumer Staples Distribution & Retail — 0.4%                
Life Corp.     42,000       681,458  
Yamatane Corp.     42,200       525,277  
Total Consumer Staples Distribution & Retail             1,206,735  
Diversified Consumer Services — 0.2%                
Waseda Academy Co. Ltd.(a)     45,900       655,775  
Electrical Equipment — 0.5%                
Endo Lighting Corp.     53,400       772,456  
Mirai Industry Co. Ltd.     31,900       605,516  
Total Electrical Equipment             1,377,972  
Electronic Equipment, Instruments & Components — 2.8%                
ESPEC Corp.     111,400       2,899,381  
Rigaku Holdings Corp.(a)     313,800       4,826,950  
Total Electronic Equipment, Instruments & Components             7,726,331  
Food Products — 1.4%                
Kenko Mayonnaise Co. Ltd.     61,600       755,005  
Megmilk Snow Brand Co. Ltd.     37,500       838,717  
Meito Co. Ltd.(a)     48,400       961,895  
Nisshin Oillio Group Ltd.     62,100       703,437  
Nisshin Seifun Group, Inc.     57,200       698,789  
Total Food Products             3,957,843  
Ground Transportation — 0.8%                
Keio Corp.     146,800       675,447  
Nishi-Nippon Railroad Co. Ltd.     50,000       896,939  
Tokyu Corp.     55,700       574,050  
Total Ground Transportation             2,146,436  
Health Care Equipment & Supplies — 0.8%                
Sysmex Corp.     233,100       2,109,051  
Health Care Providers & Services — 0.2%                
Toho Holdings Co. Ltd.     22,500       540,609  
Health Care Technology — 0.9%                
M3, Inc.     223,100       2,491,472  
Hotels, Restaurants & Leisure — 0.3%                
Hiday Hidaka Corp.     54,900       861,037  
Household Durables — 2.8%                
LEC, Inc.     108,400       616,951  
Panasonic Holdings Corp.     261,700       7,249,183  
Total Household Durables             7,866,134  
Industrial Conglomerates — 1.3%                
Hitachi Ltd.     112,400       3,092,081  
Keihan Holdings Co. Ltd.     32,900       644,133  
Total Industrial Conglomerates             3,736,214  
Insurance — 9.6%                
Daiichi Life Group, Inc.     402,500       4,404,530  
MS&AD Insurance Group Holdings, Inc.     145,200       3,788,020  
Sompo Holdings, Inc.     104,100       3,995,544  
T&D Holdings, Inc.     146,300       4,327,114  
Tokio Marine Holdings, Inc.     232,900       10,320,540  
Total Insurance             26,835,748  
IT Services — 1.7%                
Ad-sol Nissin Corp.     69,000       594,370  
Fujitsu Ltd.     169,600       3,388,348  
NCD Co. Ltd.     60,000       900,415  
Total IT Services             4,883,133  
Leisure Products — 0.2%                
Daikoku Denki Co. Ltd.(a)     45,200       619,910  
Machinery — 5.1%                
Aida Engineering Ltd.     121,100       857,629  
Bando Chemical Industries Ltd.     54,000       731,961  
Komatsu Ltd.     50,000       1,932,626  
Makita Corp.     25,800       919,291  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan Opportunities Fund (OPPJ)
June 30, 2026

 

 

Investments   Shares     Value  
Ryobi Ltd.     45,100     $ 720,101  
Tadano Ltd.     91,900       715,862  
Takeuchi Manufacturing Co. Ltd.     14,500       630,764  
Tsubakimoto Chain Co.     54,800       861,155  
Tsugami Corp.     142,700       7,050,491  
Total Machinery             14,419,880  
Metals & Mining — 2.4%                
JFE Holdings, Inc.(a)     206,500       1,982,095  
Mitsubishi Steel Manufacturing Co. Ltd.     63,000       834,185  
Nippon Yakin Kogyo Co. Ltd.(a)     81,900       2,353,318  
Tokyo Tekko Co. Ltd.     77,900       873,784  
Topy Industries Ltd.(a)     47,500       792,032  
Total Metals & Mining             6,835,414  
Passenger Airlines — 0.3%                
Japan Airlines Co. Ltd.     53,700       941,671  
Pharmaceuticals — 1.0%                
Daiichi Sankyo Co. Ltd.     136,500       2,190,803  
Sawai Group Holdings Co. Ltd.     54,800       568,146  
Total Pharmaceuticals             2,758,949  
Professional Services — 0.3%                
Management Solutions Co. Ltd.     104,900       837,780  
Real Estate Management & Development — 0.8%                
B-Lot Co. Ltd.     102,100       910,906  
Cosmos Initia Co. Ltd.     96,200       769,481  
Mugen Estate Co. Ltd.(a)     41,300       453,341  
Total Real Estate Management & Development             2,133,728  
Semiconductors & Semiconductor Equipment — 11.6%                
Ferrotec Corp.     65,500       3,840,732  
Kioxia Holdings Corp.*     35,600       19,643,796  
Tokyo Electron Ltd.     18,800       8,924,289  
Total Semiconductors & Semiconductor Equipment             32,408,817  
Software — 0.3%                
m-up Holdings, Inc.     214,000       942,772  
Specialty Retail — 1.8%                
Fast Retailing Co. Ltd.     9,800       4,993,312  
Technology Hardware, Storage & Peripherals — 1.8%                
FUJIFILM Holdings Corp.     231,000       4,950,457  
Textiles, Apparel & Luxury Goods — 0.3%                
Kurabo Industries Ltd.     13,300       816,699  
Trading Companies & Distributors — 34.5%                
Hanwa Co. Ltd.     502,700       5,239,648  
ITOCHU Corp.     1,269,500       14,481,790  
Marubeni Corp.     664,400       19,172,657  
Mitsubishi Corp.     714,600       19,113,159  
Mitsui & Co. Ltd.     628,500       17,390,337  
Shimojima Co. Ltd.     83,300       683,211  
Sumitomo Corp.     2,154,400       20,533,245  
Total Trading Companies & Distributors             96,614,047  
Wireless Telecommunication Services — 1.8%                
SoftBank Group Corp.     138,100     5,066,853  
TOTAL COMMON STOCKS
(COST: $242,909,262)
            279,512,557  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
(Cost: $311,379)     311,379       311,379  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 2.1%                
United States — 2.1%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)     3,097,064       3,097,064  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     2,800,000       2,800,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $5,897,064)
            5,897,064  
TOTAL INVESTMENTS IN SECURITIES — 102.0%
(Cost: $249,117,705)
            285,721,000  
Other Liabilities less Assets — (2.0)%             (5,488,551 )
NET ASSETS — 100.0%           $ 280,232,449  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $9,343,669 and the total market value of the collateral held by the Fund was $9,878,804. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $3,981,740.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.
(c)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

CURRENCY ABBREVIATIONS:

JPY Japanese yen
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Japan Opportunities Fund (OPPJ)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $11,000,000   $8,200,000   $   $   $2,800,000   $21,792 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Barclays Bank PLC  8/5/2026   140,417,538    USD    22,760,784,237    JPY   $   $(2,913)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $279,512,557   $   $   $279,512,557 
Mutual Fund       311,379        311,379 
Investment of Cash Collateral for Securities Loaned       5,897,064        5,897,064 
Total Investments in Securities  $279,512,557   $6,208,443   $   $285,721,000 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(2,913)  $   $(2,913)
Total - Net  $279,512,557   $6,205,530   $   $285,718,087 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.7%
Japan — 99.7%
Air Freight & Logistics — 0.8%                
AIT Corp.     17,400     $ 242,492  
Hamakyorex Co. Ltd.     20,200       225,708  
Konoike Transport Co. Ltd.     38,200       636,255  
Mitsui-Soko Holdings Co. Ltd.     9,600       199,886  
SBS Holdings, Inc.     7,500       199,354  
Senko Group Holdings Co. Ltd.     78,856       950,008  
Shibusawa Logistics Corp.(a)     34,100       332,555  
Total Air Freight & Logistics             2,786,258  
Automobile Components — 3.4%                
Ahresty Corp.     21,600       91,703  
Aisan Industry Co. Ltd.     35,800       417,859  
Daido Metal Co. Ltd.     33,500       345,461  
Daikyonishikawa Corp.     82,400       507,506  
Eagle Industry Co. Ltd.     28,400       498,016  
Exedy Corp.     58,325       2,081,433  
Fujikura Composites, Inc.     19,900       312,229  
FuKoKu Co. Ltd.     18,000       198,911  
Futaba Industrial Co. Ltd.     55,800       322,732  
GS Yuasa Corp.     30,800       1,225,367  
G-Tekt Corp.     33,900       430,933  
H-One Co. Ltd.     33,400       313,398  
KYB Corp.     31,300       743,381  
Musashi Seimitsu Industry Co. Ltd.     15,000       360,406  
NPR-RIKEN Corp.     26,700       635,773  
Press Kogyo Co. Ltd.     82,200       394,499  
Sanoh Industrial Co. Ltd.     26,600       154,502  
Seiren Co. Ltd.     34,211       690,430  
Shoei Co. Ltd.     31,400       342,545  
T RAD Co. Ltd.     58,000       514,247  
Tachi-S Co. Ltd.     44,300       578,673  
Tokai Rika Co. Ltd.     43,658       794,588  
Topre Corp.     26,500       430,946  
Unipres Corp.     38,400       285,416  
Total Automobile Components             12,670,954  
Banks — 11.4%                
Aichi Financial Group, Inc.     96,200       819,794  
Akita Bank Ltd.     15,700       660,748  
Aozora Bank Ltd.(a)     73,400       1,225,704  
Awa Bank Ltd.     15,975       711,638  
Bank of Iwate Ltd.     56,000       706,353  
Bank of Nagoya Ltd.     30,000       1,098,293  
Bank of Saga Ltd.     9,300       301,560  
Bank of the Ryukyus Ltd.     20,308       325,753  
CCI Group, Inc.     80,700       506,470  
Chugin Financial Group, Inc.     132,100       2,502,605  
Daishi Hokuetsu Financial Group, Inc.     203,330       2,664,777  
Ehime Bank Ltd.     26,799       352,373  
FIDEA Holdings Co. Ltd.     20,680       248,122  
First Bank of Toyama Ltd.     44,900       701,714  
Fukui Bank Ltd.(a)     14,148       479,652  
Hyakugo Bank Ltd.     103,300       1,257,842  
Hyakujushi Bank Ltd.     57,600       905,510  
Juroku Financial Group, Inc.     97,200       1,394,680  
Keiyo Bank Ltd.     52,842       805,351  
Kita-Nippon Bank Ltd.     7,600       252,515  
Kiyo Bank Ltd.     59,290       1,617,912  
Kyushu Financial Group, Inc.     179,600       1,587,972  
Miyazaki Bank Ltd.     48,100       628,607  
Musashino Bank Ltd.     50,300       777,750  
Nanto Bank Ltd.     97,200       1,054,383  
Nishi-Nippon Financial Holdings, Inc.     73,400       1,868,364  
North Pacific Bank Ltd.     183,415       1,257,187  
Ogaki Kyoritsu Bank Ltd.     24,642       1,100,759  
Oita Bank Ltd.     46,600       691,007  
Okinawa Financial Group, Inc.     15,480       604,818  
Procrea Holdings, Inc.     17,162       392,817  
San ju San Financial Group, Inc.     81,100       858,280  
San-In Godo Bank Ltd.     86,100       1,207,334  
Senshu Ikeda Holdings, Inc.     102,340       615,835  
Seven Bank Ltd.     661,200       1,144,819  
Shiga Bank Ltd.     64,700       1,037,031  
Shikoku Bank Ltd.     34,600       639,735  
Suruga Bank Ltd.     91,000       1,361,710  
Tochigi Bank Ltd.     46,600       265,794  
Toho Bank Ltd.     93,500       446,430  
Tokyo Kiraboshi Financial Group, Inc.     119,200       1,320,166  
TOMONY Holdings, Inc.     134,400       726,062  
Towa Bank Ltd.     37,200       333,261  
Yamagata Bank Ltd.     18,900       409,921  
Yamaguchi Financial Group, Inc.     116,500       2,045,784  
Yamanashi Chuo Bank Ltd.(a)     21,900       832,746  
Total Banks             42,747,938  
Beverages — 0.3%                
Ito En Ltd.     17,900       323,968  
Takara Holdings, Inc.     51,011       703,216  
Total Beverages             1,027,184  
Broadline Retail — 0.5%                
Aeon Kyushu Co. Ltd.     9,800       168,715  
Belluna Co. Ltd.     45,584       265,609  
Izumi Co. Ltd.     84,400       499,052  
Kintetsu Department Store Co. Ltd.(a)     11,100       124,711  
Matsuya Co. Ltd.     10,800       115,824  
Mr. Max Holdings Ltd.     32,100       151,094  
Seria Co. Ltd.     25,300       565,854  
Treasure Factory Co. Ltd.     9,800       135,611  
Total Broadline Retail             2,026,470  
Building Products — 1.5%                
Bunka Shutter Co. Ltd.     32,300       381,181  
Central Glass Co. Ltd.     12,286       334,128  
Kondotec, Inc.(a)     14,100       131,348  
Nichias Corp.     91,500       2,223,812  
Nitto Boseki Co. Ltd.(a)     27,000       716,844  
Sanko Metal Industrial Co. Ltd.     9,900       76,081  
Shin Nippon Air Technologies Co. Ltd.(a)     26,600       613,752  
Sinko Industries Ltd.(a)     32,200       248,249  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Takara Standard Co. Ltd.     49,731     $ 948,568  
Total Building Products             5,673,963  
Capital Markets — 2.0%                
GMO Financial Holdings, Inc.     135,400       819,773  
Ichiyoshi Securities Co. Ltd.(a)     32,088       277,395  
IwaiCosmo Holdings, Inc.     26,800       657,117  
M&A Capital Partners Co. Ltd.     8,900       187,008  
Matsui Securities Co. Ltd.     201,400       1,190,865  
Monex Group, Inc.     127,700       490,293  
Nihon M&A Center Holdings, Inc.     221,100       866,171  
Okasan Securities Group, Inc.     151,800       895,716  
SBI Global Asset Management Co. Ltd.(a)     71,944       252,319  
Sparx Group Co. Ltd.     22,600       305,922  
Strike Group Co. Ltd.     38,200       295,446  
Tokai Tokyo Financial Holdings, Inc.     198,900       922,754  
Traders Holdings Co. Ltd.     21,100       153,195  
Total Capital Markets             7,313,974  
Chemicals — 10.7%                
ADEKA Corp.     67,925       1,753,658  
Aica Kogyo Co. Ltd.(a)     44,915       1,020,865  
Arakawa Chemical Industries Ltd.     23,900       308,961  
Artience Co. Ltd.     25,502       677,072  
Asahi Yukizai Corp.     8,800       388,765  
C Uyemura & Co. Ltd.     6,100       1,029,897  
Carlit Co. Ltd.(a)     14,800       197,151  
Chugoku Marine Paints Ltd.     34,800       708,740  
Dai Nippon Toryo Co. Ltd.(a)     24,300       199,603  
Daicel Corp.     171,000       1,442,492  
Dainichiseika Color & Chemicals Manufacturing Co. Ltd.     60,668       391,575  
DIC Corp.     37,800       1,119,173  
DKS Co. Ltd.     4,800       362,677  
Fujimi, Inc.     36,400       1,024,642  
Fuso Chemical Co. Ltd.     25,400       703,276  
Harima Chemicals Group, Inc.     29,500       187,500  
Hodogaya Chemical Co. Ltd.     11,000       140,981  
Hokko Chemical Industry Co. Ltd.     14,100       185,224  
Ise Chemicals Corp.(a)     15,600       427,614  
Ishihara Sangyo Kaisha Ltd.     42,800       749,214  
JCU Corp.     10,900       513,060  
JSP Corp.     19,123       293,096  
Kaneka Corp.     33,400       1,170,772  
Kanto Denka Kogyo Co. Ltd.     20,000       437,471  
KeePer Technical Laboratory Co. Ltd.(a)     7,000       116,979  
KH Neochem Co. Ltd.     19,100       348,565  
Koatsu Gas Kogyo Co. Ltd.     27,700       186,456  
Konishi Co. Ltd.     34,600       314,652  
Kureha Corp.     28,792       682,930  
Kuriyama Holdings Corp.     16,000       153,773  
Lintec Corp.     42,565       1,856,858  
MEC Co. Ltd.     4,300       287,328  
Moriroku Co. Ltd.     10,800       156,360  
Nicca Chemical Co. Ltd.(a)     14,800       150,709  
Nihon Nohyaku Co. Ltd.     47,600       293,171  
Nippon Carbide Industries Co., Inc.     11,200       247,396  
Nippon Chemical Industrial Co. Ltd.     7,100       203,575  
Nippon Kayaku Co. Ltd.     111,300       1,364,842  
Nippon Shokubai Co. Ltd.     134,100       1,719,104  
Nippon Soda Co. Ltd.     36,336       790,326  
Okura Industrial Co. Ltd.     9,700       284,689  
Osaka Organic Chemical Industry Ltd.     8,800       322,707  
Osaka Soda Co. Ltd.     26,000       301,394  
PILLAR Corp.     10,100       669,294  
Rasa Industries Ltd.(a)     31,200       392,196  
Riken Technos Corp.     48,000       497,647  
Sakai Chemical Industry Co. Ltd.     13,800       393,982  
Sakata INX Corp.     45,000       656,207  
Sanyo Chemical Industries Ltd.     16,535       496,482  
Shin-Etsu Polymer Co. Ltd.     51,900       766,725  
Soken Chemical & Engineering Co. Ltd.     13,100       275,662  
Stella Chemifa Corp.     9,300       376,521  
Sumitomo Seika Chemicals Co. Ltd.     39,000       305,233  
T Hasegawa Co. Ltd.     19,600       384,704  
Takasago International Corp.     77,900       536,349  
Tayca Corp.     20,000       290,417  
Teijin Ltd.     110,500       1,105,510  
Toagosei Co. Ltd.     72,700       778,553  
Tokai Carbon Co. Ltd.     89,200       940,984  
Tokuyama Corp.     44,300       1,332,612  
Toyobo Co. Ltd.     47,853       470,212  
UBE Corp.     72,393       1,416,457  
Valqua Ltd.     12,537       553,857  
Zacros Corp.     37,200       315,179  
Zeon Corp.     130,600       1,892,404  
Total Chemicals             40,062,480  
Commercial Services & Supplies — 1.2%                
CTS Co. Ltd.     26,000       133,259  
Daiei Kankyo Co. Ltd.     15,200       353,989  
grems, Inc.     7,900       117,680  
Itoki Corp.(a)     19,800       321,990  
Japan Elevator Service Holdings Co. Ltd.     24,500       262,147  
Kokuyo Co. Ltd.     144,700       709,144  
Matsuda Sangyo Co. Ltd.     4,200       147,817  
Nippon Air Conditioning Services Co. Ltd.     24,600       239,605  
Nippon Kanzai Holdings Co. Ltd.     7,800       127,228  
Nippon Parking Development Co. Ltd.     98,300       151,812  
Okamura Corp.     56,076       788,739  
Park24 Co. Ltd.     16,600       205,604  
Pilot Corp.     38,700       402,299  
Sato Corp.     10,138       148,210  
TRE Holdings Corp.     13,600       174,723  
Total Commercial Services & Supplies             4,284,246  
Construction & Engineering — 6.8%                
Asahi Kogyosha Co. Ltd.     18,200       501,683  
Asanuma Corp.     71,400       369,026  
CTI Engineering Co. Ltd.     6,600       115,452  
Dai-Dan Co. Ltd.     79,000       1,396,019  
Daiho Corp.     54,000       250,854  
Hazama Ando Corp.     170,200       1,879,243  
INFRONEER Holdings, Inc.     134,700       2,218,271  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
JDC Corp.     42,200     $ 135,019  
Kawada Technologies, Inc.     34,900       279,157  
Kumagai Gumi Co. Ltd.     82,100       721,864  
Mirait One Corp.     30,500       723,255  
Mitsubishi Kakoki Kaisha Ltd.     12,200       273,989  
Miyaji Engineering Group, Inc.     13,100       123,484  
Nippon Densetsu Kogyo Co. Ltd.     23,200       624,519  
Nippon Rietec Co. Ltd.(a)     14,100       234,328  
Nishimatsu Construction Co. Ltd.     21,907       715,474  
Nittoc Construction Co. Ltd.     20,200       136,717  
Okumura Corp.     20,770       718,212  
Oriental Shiraishi Corp.     58,100       120,472  
Penta-Ocean Construction Co. Ltd.     81,193       848,524  
PS Construction Co. Ltd.     39,600       537,502  
Raito Kogyo Co. Ltd.     28,100       703,689  
Raiznext Corp.     32,900       455,671  
Sanki Engineering Co. Ltd.     124,700       2,272,644  
Seikitokyu Kogyo Co. Ltd.     19,900       177,419  
SHO-BOND Holdings Co. Ltd.     89,800       690,110  
Taihei Dengyo Kaisha Ltd.(a)     19,200       301,364  
Taikisha Ltd.     23,830       727,986  
Takamatsu Construction Group Co. Ltd.     9,900       218,680  
Techno Ryowa Ltd.(a)     5,400       190,051  
Toa Corp.     90,200       1,149,387  
TOA Road Corp.(a)     54,000       513,336  
Toda Corp.     142,949       1,432,348  
Toenec Corp.     65,300       902,408  
Tokyo Energy & Systems, Inc.     17,100       219,057  
Tokyu Construction Co. Ltd.     63,700       459,353  
Totetsu Kogyo Co. Ltd.     23,779       616,696  
Yahagi Construction Co. Ltd.     25,700       287,638  
Yokogawa Bridge Holdings Corp.     17,400       304,052  
Yondenko Corp.     26,100       330,977  
Yurtec Corp.     37,500       556,760  
Total Construction & Engineering             25,432,690  
Construction Materials — 0.5%                
Asia Pile Holdings Corp.     36,700       328,556  
Maeda Kosen Co. Ltd.     15,800       171,100  
Shinagawa Refra Co. Ltd.(a)     36,500       432,318  
Sumitomo Osaka Cement Co. Ltd.     16,040       599,162  
Vertex Corp.     27,300       221,390  
Yotai Refractories Co. Ltd.     19,800       212,954  
Total Construction Materials             1,965,480  
Consumer Finance — 0.1%                
Muninova Holdings, Inc.     106,400       286,745  
Consumer Staples Distribution & Retail — 2.4%                
Aeon Hokkaido Corp.(a)     30,800       157,861  
Ain Holdings, Inc.     6,700       228,054  
Arcs Co. Ltd.     21,094       440,635  
Axial Retailing, Inc.     56,600       388,303  
Belc Co. Ltd.     5,800       231,964  
Cawachi Ltd.     12,200       261,603  
Create SD Holdings Co. Ltd.     24,700       493,924  
Eco's Co. Ltd.(a)     8,700       122,584  
Fuji Co. Ltd.     19,000       232,407  
G-7 Holdings, Inc.     29,900       251,673  
H2O Retailing Corp.     39,900       700,782  
Halows Co. Ltd.     5,700       130,466  
Heiwado Co. Ltd.     26,963       419,397  
JM Holdings Co. Ltd.     22,600       169,787  
Kato Sangyo Co. Ltd.     12,716       466,312  
Kusuri no Aoki Holdings Co. Ltd.     9,800       217,436  
Lacto Japan Co. Ltd.     6,900       139,252  
Life Corp.     50,400       817,750  
Okuwa Co. Ltd.(a)     22,800       107,038  
Qol Holdings Co. Ltd.(a)     12,300       140,917  
Retail Partners Co. Ltd.     28,200       233,373  
San-A Co. Ltd.     28,800       569,709  
Shoei Foods Corp.     5,800       147,208  
Toho Co. Ltd.     24,300       201,846  
Trial Holdings, Inc.(a)     14,400       265,097  
United Super Markets Holdings, Inc.(a)     41,626       204,897  
Valor Holdings Co. Ltd.     30,691       735,527  
Yamatane Corp.     12,600       156,836  
Yokorei Co. Ltd.(a)     28,600       366,728  
Total Consumer Staples Distribution & Retail             8,999,366  
Containers & Packaging — 1.0%                
FP Corp.     29,800       475,810  
Fuji Seal International, Inc.     35,410       616,802  
Hokkan Holdings Ltd.(a)     16,300       233,881  
Kohsoku Corp.(a)     20,300       424,048  
Nihon Yamamura Glass Co. Ltd.     13,600       234,972  
Pack Corp.     33,000       274,112  
Rengo Co. Ltd.     128,000       1,116,382  
Tomoku Co. Ltd.     16,200       385,750  
Total Containers & Packaging             3,761,757  
Distributors — 0.6%                
Central Automotive Products Ltd.     28,700       356,885  
GSI Creos Corp.(a)     14,600       211,196  
Happinet Corp.(a)     21,300       394,481  
PALTAC Corp.     22,900       935,585  
Yamae Group Holdings Co. Ltd.     11,000       192,893  
Total Distributors             2,091,040  
Diversified Consumer Services — 0.3%                
Aucnet, Inc.     54,400       456,555  
JP-Holdings, Inc.     33,300       119,247  
Nagase Brothers, Inc.     13,300       188,217  
San Holdings, Inc.     15,900       131,485  
Waseda Academy Co. Ltd.(a)     12,200       174,302  
Total Diversified Consumer Services             1,069,806  
Diversified Telecommunication Services — 0.2%                
Asahi Net, Inc.     52,000       195,490  
U-Next Holdings Co. Ltd.     19,400       196,716  
Vision, Inc.     25,100       149,650  
Total Diversified Telecommunication Services             541,856  
Electric Utilities — 0.8%                
Chugoku Electric Power Co., Inc.     203,400       1,112,208  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Hokkaido Electric Power Co., Inc.(a)     71,700     $ 409,046  
Hokuriku Electric Power Co.     81,700       436,890  
Okinawa Electric Power Co., Inc.(a)     29,000       161,304  
Shikoku Electric Power Co., Inc.     96,300       871,011  
Total Electric Utilities             2,990,459  
Electrical Equipment — 1.2%                
Cosel Co. Ltd.     15,800       146,115  
Daihen Corp.     5,000       555,299  
Mabuchi Motor Co. Ltd.     97,600       942,521  
Mirai Industry Co. Ltd.     9,500       180,326  
Nitto Kogyo Corp.     34,300       1,005,627  
Sanyo Denki Co. Ltd.     6,400       256,748  
Sinfonia Technology Co. Ltd.     5,600       548,888  
SWCC Corp.     7,400       613,309  
Toyo Tanso Co. Ltd.     6,300       285,298  
Total Electrical Equipment             4,534,131  
Electronic Equipment, Instruments & Components — 8.5%                
A&D HOLON Holdings Co. Ltd.     15,400       272,230  
Ai Holdings Corp.     20,900       344,636  
Alps Alpine Co. Ltd.     97,400       1,225,553  
Amano Corp.     44,435       995,191  
Anritsu Corp.     63,000       1,704,033  
Chino Corp.     20,900       208,711  
Citizen Watch Co. Ltd.     149,300       2,223,079  
Daitron Co. Ltd.     20,300       459,022  
Daiwabo Holdings Co. Ltd.     46,295       982,442  
Dexerials Corp.     67,100       1,756,305  
Enplas Corp.     2,600       202,849  
ESPEC Corp.     17,100       445,058  
FTGroup Co. Ltd.(a)     21,700       141,796  
Furuno Electric Co. Ltd.     12,300       430,623  
Hakuto Co. Ltd.     18,934       530,653  
Hioki EE Corp.     7,000       524,596  
Hochiki Corp.     43,500       518,708  
Hokuriku Electric Industry Co. Ltd.     9,600       148,969  
Iriso Electronics Co. Ltd.     14,400       258,185  
Japan Aviation Electronics Industry Ltd.     19,800       281,543  
Jeol Ltd.     16,200       742,593  
Kaga Electronics Co. Ltd.     26,900       695,982  
Koa Corp.     18,200       324,526  
Kohoku Kogyo Co. Ltd.     5,200       170,214  
Kuroda Group Co. Ltd.     76,200       494,638  
Kyosan Electric Manufacturing Co. Ltd.     54,900       315,838  
Macnica Holdings, Inc.     88,200       1,706,204  
Marubun Corp.     33,700       343,169  
Maxell Ltd.     19,600       256,871  
Meiko Electronics Co. Ltd.     4,200       801,107  
Miraini Holdings Co. Ltd.     30,716       423,721  
Nagano Keiki Co. Ltd.     10,000       278,111  
Nichicon Corp.     28,100       717,520  
Nippon Signal Co. Ltd.     58,200       560,783  
Nohmi Bosai Ltd.     34,991       880,561  
Oki Electric Industry Co. Ltd.     35,500       763,406  
Optex Group Co. Ltd.     17,800       457,253  
Osaki Electric Co. Ltd.     30,100       275,211  
Restar Corp.     21,900       564,596  
Rigaku Holdings Corp.(a)     69,600       1,070,604  
Riken Keiki Co. Ltd.     10,300       234,170  
RYODEN Corp.     15,361       377,114  
Ryoyo Ryosan Holdings, Inc.     37,900       625,895  
Sanshin Electronics Co. Ltd.(a)     20,900       351,452  
Santec Holdings Corp.     5,100       834,389  
Siix Corp.     27,200       218,236  
Sumida Corp.     17,900       150,777  
Sun-Wa Technos Corp.     14,700       329,682  
Suzuki Co. Ltd.     16,000       320,443  
Tachibana Eletech Co. Ltd.     12,000       238,117  
Takachiho Koheki Co. Ltd.(a)     18,900       250,372  
Tokyo Electron Device Ltd.     14,700       350,937  
Tomen Devices Corp.     4,900       524,295  
Tsuzuki Denki Co. Ltd.     10,900       261,895  
V Technology Co. Ltd.     5,000       279,957  
Yashima Denki Co. Ltd.     12,100       207,492  
Yokowo Co. Ltd.     15,500       582,710  
Total Electronic Equipment, Instruments & Components             31,635,023  
Energy Equipment & Services — 0.1%                
Toyo Kanetsu KK     25,400       380,863  
Entertainment — 0.2%                
Anycolor, Inc.     8,100       111,638  
Daiichikosho Co. Ltd.     52,900       557,236  
Total Entertainment             668,874  
Financial Services — 0.4%                
GMO Financial Gate, Inc.     2,500       105,369  
Japan Investment Adviser Co. Ltd.     40,900       511,612  
Japan Securities Finance Co. Ltd.     54,400       782,235  
J-Lease Co. Ltd.     12,500       101,061  
Total Financial Services             1,500,277  
Food Products — 4.0%                
Ariake Japan Co. Ltd.     11,228       346,806  
Calbee, Inc.     40,100       728,844  
Chubu Shiryo Co. Ltd.(a)     26,000       294,835  
Ezaki Glico Co. Ltd.     14,000       460,421  
Feed One Co. Ltd.     34,400       259,707  
Fuji Oil Co. Ltd.     18,400       448,098  
Fujicco Co. Ltd.     16,700       153,719  
Fujiya Co. Ltd.     8,200       118,617  
Hokuto Corp.     12,591       141,617  
House Foods Group, Inc.     26,200       604,039  
Itoham Yonekyu Holdings, Inc.(a)     21,600       624,642  
J-Oil Mills, Inc.(a)     18,500       232,666  
Kakiyasu Honten Co. Ltd.     9,400       145,056  
Kameda Seika Co. Ltd.(a)     21,900       164,797  
Kanro, Inc.     19,700       131,879  
Kenko Mayonnaise Co. Ltd.     10,300       126,243  
Kotobuki Spirits Co. Ltd.(a)     41,000       627,897  
Kyokuyo Co. Ltd.(a)     6,500       174,773  
Marudai Food Co. Ltd.     19,500       267,919  
Megmilk Snow Brand Co. Ltd.     24,200       541,252  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Mitsui DM Sugar Co. Ltd.     19,098     $ 377,788  
Miyoshi Oil & Fat Co. Ltd.     12,500       140,594  
Morinaga & Co. Ltd.     45,474       727,192  
Morinaga Milk Industry Co. Ltd.     129,200       1,007,605  
Nichimo Co. Ltd.     10,900       152,845  
Nippn Corp.     33,983       586,718  
Nisshin Oillio Group Ltd.     57,400       650,198  
Nissui Corp.     130,200       1,028,622  
Prima Meat Packers Ltd.     27,100       393,515  
Riken Vitamin Co. Ltd.     28,000       527,180  
S Foods, Inc.     19,500       316,991  
S&B Foods, Inc.     9,300       299,271  
Sakata Seed Corp.     14,100       362,640  
Shimadaya Corp.     9,600       96,576  
Showa Sangyo Co. Ltd.     14,800       308,703  
Starzen Co. Ltd.     42,300       312,321  
Umios Corp.     69,696       560,913  
Warabeya Nichiyo Holdings Co. Ltd.     8,000       129,654  
Wellneo Sugar Co. Ltd.(a)     27,800       442,337  
Total Food Products             15,015,490  
Gas Utilities — 0.6%                
Hokkaido Gas Co. Ltd.     67,600       313,616  
Nippon Gas Co. Ltd.     84,900       1,499,234  
Saibu Gas Holdings Co. Ltd.     30,900       427,400  
Total Gas Utilities             2,240,250  
Ground Transportation — 1.5%                
Keikyu Corp.     80,700       731,154  
Maruzen Showa Unyu Co. Ltd.     9,300       420,581  
Nagoya Railroad Co. Ltd.(a)     54,700       621,128  
NANKAI Co. Ltd.     22,800       398,903  
Nishi-Nippon Railroad Co. Ltd.     16,000       287,020  
Sakai Moving Service Co. Ltd.     27,400       490,427  
Seino Holdings Co. Ltd.     117,500       1,901,400  
Sotetsu Holdings, Inc.     25,300       386,836  
Zero Co. Ltd.     13,900       310,457  
Total Ground Transportation             5,547,906  
Health Care Equipment & Supplies — 0.9%                
Eiken Chemical Co. Ltd.     16,070       251,741  
Japan Lifeline Co. Ltd.     39,600       315,533  
Mizuho Medy Co. Ltd.     14,800       150,163  
Nagaileben Co. Ltd.     19,926       214,432  
Nakanishi, Inc.     34,700       638,382  
Nihon Kohden Corp.     44,300       389,235  
Nipro Corp.     34,300       332,712  
PHC Holdings Corp.     78,300       495,262  
Rion Co. Ltd.     10,100       241,120  
Shofu, Inc.     17,400       216,583  
Tauns Laboratories, Inc.(a)     84,100       244,240  
Total Health Care Equipment & Supplies             3,489,403  
Health Care Providers & Services — 1.2%                
Alfresa Holdings Corp.     83,200       1,112,917  
As One Corp.     30,400       423,664  
Charm Care Corp. KK     16,900       138,091  
Elan Corp.     21,400       97,964  
Falco Holdings Co. Ltd.     11,800       187,174  
France Bed Holdings Co. Ltd.     21,200       160,573  
HU Group Holdings, Inc.     26,200       531,174  
Ship Healthcare Holdings, Inc.     33,914       451,978  
Suzuken Co. Ltd.     17,100       519,339  
Toho Holdings Co. Ltd.(a)     15,800       379,628  
Tokai Corp.     12,700       181,367  
Vital KSK Holdings, Inc.     36,000       335,357  
Total Health Care Providers & Services             4,519,226  
Health Care Technology — 0.1%                
EM Systems Co. Ltd.(a)     59,500       179,388  
JMDC, Inc.     5,400       95,590  
Total Health Care Technology             274,978  
Hotels, Restaurants & Leisure — 1.5%                
Create Restaurants Holdings, Inc.(a)     54,700       247,711  
Curves Holdings Co. Ltd.     47,900       270,556  
Doutor Nichires Holdings Co. Ltd.     15,700       262,077  
Fuji Kyuko Co. Ltd.(a)     10,800       169,517  
Hiday Hidaka Corp.     12,098       189,742  
HIS Co. Ltd.     12,700       76,344  
Ichibanya Co. Ltd.     23,780       128,173  
Kisoji Co. Ltd.(a)     9,500       135,961  
KOMEDA Holdings Co. Ltd.     16,000       273,386  
Koshidaka Holdings Co. Ltd.     34,000       200,831  
Kura Sushi, Inc.(a)     10,700       105,798  
Kyoritsu Maintenance Co. Ltd.     17,400       325,250  
Monogatari Corp.     6,400       187,245  
MOS Food Services, Inc.(a)     6,500       145,778  
Ohsho Food Service Corp.(a)     22,800       399,815  
Resorttrust, Inc.     82,816       886,377  
Round One Corp.     58,300       416,826  
Royal Holdings Co. Ltd.(a)     21,500       161,523  
Saizeriya Co. Ltd.     5,800       193,422  
St. Marc Holdings Co. Ltd.     11,500       177,674  
Tokyotokeiba Co. Ltd.     8,942       265,193  
Toridoll Holdings Corp.(a)     7,900       186,897  
Yoshinoya Holdings Co. Ltd.     7,700       148,386  
Total Hotels, Restaurants & Leisure             5,554,482  
Household Durables — 1.8%                
&Do Holdings Co. Ltd.     21,100       122,686  
Casio Computer Co. Ltd.     123,500       1,457,836  
Cleanup Corp.     42,100       235,724  
ES-Con Japan Ltd.     75,200       498,788  
Eslead Corp.(a)     9,700       290,955  
Foster Electric Co. Ltd.     17,200       323,839  
Fuji Corp. Ltd.(a)     26,300       123,146  
Hoosiers Holdings Co. Ltd.(a)     36,300       266,233  
JVCKenwood Corp.     36,800       254,504  
Ki-Star Real Estate Co. Ltd.     24,500       557,007  
LEC, Inc.     18,700       106,430  
Noritz Corp.     28,300       397,706  
Sangetsu Corp.     41,000       748,482  
Tamron Co. Ltd.     89,528       636,239  
TASUKI Holdings, Inc.     54,000       398,376  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Zojirushi Corp.     29,900     $ 245,418  
Total Household Durables             6,663,369  
Household Products — 0.4%                
Earth Corp.     8,600       248,171  
Pigeon Corp.     77,200       983,496  
ST Corp.     22,900       209,943  
Transaction Co. Ltd.     24,200       208,758  
Total Household Products             1,650,368  
Independent Power and Renewable Electricity Producers — 0.0%                
eRex Co. Ltd.(a)     23,600       108,180  
Industrial Conglomerates — 0.5%                
Keihan Holdings Co. Ltd.     14,800       289,762  
Mie Kotsu Group Holdings, Inc.     38,500       124,603  
Mitsui Matsushima Holdings Co. Ltd.     14,300       131,540  
Nisshinbo Holdings, Inc.     58,300       887,817  
TOKAI Holdings Corp.     78,500       554,970  
Total Industrial Conglomerates             1,988,692  
Insurance — 0.1%                
FP Partner, Inc.(a)     12,200       161,240  
Zenhoren Co. Ltd.     29,800       183,540  
Total Insurance             344,780  
Interactive Media & Services — 0.2%                
Kamakura Shinsho Ltd.(a)     40,300       118,030  
LIFULL Co. Ltd.     96,000       115,773  
MTI Ltd.     28,100       92,327  
Sharingtechnology, Inc.     19,900       171,175  
ZIGExN Co. Ltd.     34,100       79,939  
Total Interactive Media & Services             577,244  
IT Services — 1.6%                
Avant Group Corp.     12,900       86,357  
Base Co. Ltd.     13,500       237,896  
Business Brain Showa-Ota, Inc.     21,900       134,209  
Business Engineering Corp.     30,200       183,588  
Change Holdings, Inc.(a)     23,900       132,790  
Comture Corp.     17,500       138,256  
Dentsu Soken, Inc.     44,700       588,849  
Digital Information Technologies Corp.     20,300       103,046  
Double Standard, Inc.     12,300       89,530  
DTS Corp.     91,228       561,317  
Future Corp.     28,200       265,820  
ID Holdings Corp.     30,600       201,647  
Ines Corp.(a)     11,000       144,501  
Itfor, Inc.     19,500       192,210  
Japan Business Systems, Inc.     18,900       166,294  
JBCC Holdings, Inc.     47,900       366,047  
Mitsubishi Research Institute, Inc.     9,800       267,725  
NCD Co. Ltd.     8,100       121,556  
NSD Co. Ltd.     33,300       505,058  
Ryoyu Systems Co. Ltd.     8,500       140,581  
Simplex Holdings, Inc.     61,200       352,834  
Softcreate Holdings Corp.     12,400       132,221  
Startia Holdings, Inc.     11,600       215,905  
TDC Soft, Inc.     19,200       106,558  
TechMatrix Corp.     12,600       132,648  
Uchida Yoko Co. Ltd.     30,900       377,778  
Total IT Services             5,945,221  
Leisure Products — 0.6%                
Daikoku Denki Co. Ltd.     6,800       93,261  
GLOBERIDE, Inc.(a)     12,900       185,176  
Mamiya-Op Co. Ltd.(a)     14,800       94,523  
Mizuno Corp.     23,269       479,625  
Roland Corp.     20,800       528,559  
Tomy Co. Ltd.     27,100       531,245  
Yonex Co. Ltd.     12,900       183,430  
Total Leisure Products             2,095,819  
Life Sciences Tools & Services — 0.0%                
Shin Nippon Biomedical Laboratories Ltd.     19,800       140,467  
Machinery — 6.1%                
Aida Engineering Ltd.     20,900       148,013  
Anest Iwata Corp.     28,100       292,022  
Bando Chemical Industries Ltd.     21,500       291,429  
CKD Corp.     18,800       864,089  
Daihatsu Infinearth Mfg Co. Ltd.     9,600       151,273  
DMG Mori Co. Ltd.(a)     57,700       1,234,768  
Furukawa Co. Ltd.(a)     11,900       259,197  
Galilei Holdings Co. Ltd.     15,500       314,244  
Glory Ltd.     21,800       524,327  
Harmonic Drive Systems, Inc.     6,900       330,724  
Hosokawa Micron Corp.     4,800       144,864  
Kanadevia Corp.     44,000       343,553  
Kitz Corp.     42,589       661,666  
Kyokuto Kaihatsu Kogyo Co. Ltd.     26,580       346,386  
Max Co. Ltd.     73,800       771,943  
Meidensha Corp.     18,900       1,136,151  
METAWATER Co. Ltd.     12,400       253,684  
Mitsuboshi Belting Ltd.     17,446       424,007  
Miura Co. Ltd.     35,500       686,737  
Morita Holdings Corp.     14,005       208,793  
Nabtesco Corp.     32,000       1,012,226  
Nachi-Fujikoshi Corp.(a)     6,600       240,812  
Nikkiso Co. Ltd.     13,600       338,902  
Nissei ASB Machine Co. Ltd.     7,700       429,239  
Nomura Micro Science Co. Ltd.     9,200       278,505  
Noritake Co. Ltd.     19,900       499,566  
NSK Ltd.     292,400       2,043,786  
NTN Corp.     202,800       496,128  
Obara Group, Inc.     7,479       279,787  
Oiles Corp.     14,100       239,793  
OKUMA Corp.     22,440       638,579  
OSG Corp.(a)     31,400       701,706  
Ryobi Ltd.     9,200       146,894  
Shibaura Machine Co. Ltd.     8,861       245,344  
Shinmaywa Industries Ltd.     23,585       290,958  
Shinwa Co. Ltd.     5,900       116,167  
Takeuchi Manufacturing Co. Ltd.     23,100       1,004,873  
Takuma Co. Ltd.     33,800       752,844  
Teikoku Corp.     11,800       226,525  
Tocalo Co. Ltd.     36,200       722,775  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Tsubakimoto Chain Co.     55,735     $ 875,848  
Tsugami Corp.     20,000       988,156  
Union Tool Co.     3,000       415,690  
YAMABIKO Corp.     18,300       425,058  
Total Machinery             22,798,031  
Marine Transportation — 0.3%                
Iino Kaiun Kaisha Ltd.     53,800       461,450  
Japan Transcity Corp.     22,500       155,607  
NS United Kaiun Kaisha Ltd.     12,600       498,496  
Total Marine Transportation             1,115,553  
Media — 0.6%                
Intage Holdings, Inc.     18,700       198,477  
SKY Perfect JSAT Corp.     100,200       1,650,425  
ValueCommerce Co. Ltd.(a)     23,200       64,950  
Vector, Inc.     26,800       288,406  
Zenrin Co. Ltd.     38,180       203,439  
Total Media             2,405,697  
Metals & Mining — 3.0%                
Aichi Steel Corp.     31,700       585,141  
Araya Industrial Co. Ltd.     12,800       196,972  
ARE Holdings, Inc.     41,600       749,197  
Chubu Steel Plate Co. Ltd.     21,900       267,341  
Daido Steel Co. Ltd.     101,800       1,727,202  
Daiki Aluminium Industry Co. Ltd.     38,800       354,040  
Dowa Holdings Co. Ltd.     24,200       1,290,369  
Godo Steel Ltd.(a)     14,200       225,155  
Kurimoto Ltd.(a)     50,700       429,246  
Kyoei Steel Ltd.     27,214       291,354  
Mitsubishi Materials Corp.     63,300       1,680,600  
Mitsubishi Steel Manufacturing Co. Ltd.     12,900       170,809  
Mory Industries, Inc.     26,500       152,453  
Nippon Denko Co. Ltd.     87,400       233,389  
Nippon Light Metal Holdings Co. Ltd.     30,800       515,655  
Nippon Yakin Kogyo Co. Ltd.     12,500       359,176  
OSAKA Titanium Technologies Co. Ltd.(a)     8,600       143,929  
Tokyo Rope Manufacturing Co. Ltd.     19,400       229,780  
Tokyo Tekko Co. Ltd.     27,800       311,825  
Topy Industries Ltd.     22,000       366,836  
UACJ Corp.     62,200       976,294  
Total Metals & Mining             11,256,763  
Oil, Gas & Consumable Fuels — 0.9%                
Itochu Enex Co. Ltd.     84,881       1,041,917  
Iwatani Corp.     101,400       1,184,794  
Sala Corp.     47,300       312,277  
San-Ai Obbli Co. Ltd.     49,816       640,612  
Total Oil, Gas & Consumable Fuels             3,179,600  
Paper & Forest Products — 0.4%                
Chuetsu Pulp & Paper Co. Ltd.     17,900       221,595  
Daio Paper Corp.     40,600       229,573  
Hokuetsu Corp.(a)     71,800       387,440  
Nippon Paper Industries Co. Ltd.     27,000       211,980  
Tokushu Tokai Paper Co. Ltd.(a)     30,400       349,406  
Total Paper & Forest Products             1,399,994  
Personal Care Products — 0.6%                
Milbon Co. Ltd.     21,200       347,235  
MTG Co. Ltd.     4,900       224,913  
Noevir Holdings Co. Ltd.     19,800       534,822  
Pola Orbis Holdings, Inc.(a)     126,400       984,213  
Shinnihonseiyaku Co. Ltd.     11,100       133,043  
Total Personal Care Products             2,224,226  
Pharmaceuticals — 1.0%                
ASKA Pharmaceutical Holdings Co. Ltd.     12,500       177,050  
Daito Pharmaceutical Co. Ltd.     19,100       144,785  
Fuji Pharma Co. Ltd.(a)     14,400       176,583  
Fuso Pharmaceutical Industries Ltd.     11,500       148,380  
JCR Pharmaceuticals Co. Ltd.(a)     64,600       184,032  
Kyorin Pharmaceutical Co. Ltd.     26,485       188,381  
Mochida Pharmaceutical Co. Ltd.     14,022       275,220  
Nippon Shinyaku Co. Ltd.     36,800       909,330  
Towa Pharmaceutical Co. Ltd.     21,100       495,287  
Tsumura & Co.     41,900       958,782  
ZERIA Pharmaceutical Co. Ltd.     17,800       223,534  
Total Pharmaceuticals             3,881,364  
Professional Services — 1.6%                
Altech Corp.     26,880       125,862  
Bell System24 Holdings, Inc.     42,400       352,975  
Copro-Holdings Co. Ltd.     14,100       66,715  
Dip Corp.(a)     22,600       259,200  
en, Inc./Japan     13,100       91,565  
Funai Soken Holdings, Inc.     62,520       410,068  
Insource Co. Ltd.(a)     20,500       77,320  
JAC Recruitment Co. Ltd.     74,600       391,991  
MEITEC Group Holdings, Inc.     60,100       1,148,935  
Nomura Co. Ltd.     63,900       425,803  
Open Up Group, Inc.     50,700       598,012  
Quick Co. Ltd.     21,000       92,903  
SMS Co. Ltd.     14,800       203,435  
Space Co. Ltd.     16,600       146,058  
Tanseisha Co. Ltd.     37,900       317,845  
TKC Corp.     15,000       315,182  
Transcosmos, Inc.     14,200       314,099  
UT Group Co. Ltd.     532,500       566,820  
Weathernews, Inc.     10,300       126,813  
Total Professional Services             6,031,601  
Real Estate Management & Development — 2.5%                
Airport Facilities Co. Ltd.     39,600       225,868  
Aoyama Zaisan Networks Co. Ltd.(a)     15,700       120,557  
Arealink Co. Ltd.     29,600       149,525  
AZOOM Co. Ltd.     4,500       115,459  
B-Lot Co. Ltd.     17,400       155,238  
Cosmos Initia Co. Ltd.     21,500       171,974  
Dear Life Co. Ltd.(a)     39,600       248,528  
FaithNetwork Co. Ltd.     30,000       138,994  
Global Link Management KK     11,200       125,627  
Good Com Asset Co. Ltd.     19,000       171,850  
Heiwa Real Estate Co. Ltd.     37,136       550,214  
Ichigo, Inc.     186,200       504,095  
JALCO Holdings, Inc.(a)     101,200       208,596  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Japan Property Management Center Co. Ltd.     28,000     $ 220,692  
JINUSHI Co. Ltd.     11,100       195,876  
JSB Co. Ltd.     9,400       519,379  
Kasumigaseki Capital Co. Ltd.(a)     4,200       174,176  
Katitas Co. Ltd.     39,300       799,179  
Keihanshin Building Co. Ltd.     42,800       285,202  
LA Holdings Co. Ltd.     28,800       492,449  
Leopalace21 Corp.     101,000       405,181  
Loadstar Capital KK     10,920       169,251  
Mugen Estate Co. Ltd.     26,900       295,275  
Relo Group, Inc.     51,400       631,253  
Star Mica Holdings Co. Ltd.     21,400       211,860  
Starts Corp., Inc.     31,000       865,005  
Sun Frontier Fudousan Co. Ltd.     33,200       496,187  
Tosei Corp.     51,400       535,743  
Urbanet Corp. Co. Ltd.(a)     40,200       125,652  
Total Real Estate Management & Development             9,308,885  
Semiconductors & Semiconductor Equipment — 2.7%                
Ferrotec Corp.     25,800       1,512,838  
Japan Electronic Materials Corp.     5,800       275,859  
Japan Material Co. Ltd.     28,900       456,994  
Micronics Japan Co. Ltd.     8,800       900,981  
Mitsui High-Tec, Inc.     69,400       406,942  
Optorun Co. Ltd.     24,100       554,586  
Rorze Corp.     27,500       818,951  
Shibaura Mechatronics Corp.     23,500       668,020  
Tera Probe, Inc.     3,900       322,510  
Tokyo Seimitsu Co. Ltd.     14,200       1,758,782  
Towa Corp.     12,400       254,829  
Tri Chemical Laboratories, Inc.(a)     7,400       158,677  
Ulvac, Inc.     17,200       1,094,810  
YAC Holdings Co. Ltd.     26,500       226,968  
Yamaichi Electronics Co. Ltd.     12,700       743,910  
Total Semiconductors & Semiconductor Equipment             10,155,657  
Software — 1.0%                
Celsys, Inc.     13,600       157,234  
Computer Engineering & Consulting Ltd.     15,400       199,269  
Cresco Ltd.     29,800       264,767  
Cybozu, Inc.(a)     15,200       211,271  
Digital Arts, Inc.     2,800       63,830  
Focus Systems Corp.     13,800       136,365  
Fukui Computer Holdings, Inc.     5,800       109,737  
I'll, Inc.     9,360       127,334  
Intelligent Wave, Inc.     19,700       113,091  
Japan System Techniques Co. Ltd.     10,300       104,569  
Justsystems Corp.     6,400       144,125  
Miroku Jyoho Service Co. Ltd.(a)     20,100       214,449  
NCS&A Co. Ltd.     12,400       90,029  
NSW, Inc.     9,800       152,193  
PCA Corp.(a)     17,000       133,887  
Plus Alpha Consulting Co. Ltd.(a)     12,400       203,939  
Pro-Ship, Inc.(a)     16,000       163,519  
Soliton Systems KK     16,100       192,081  
SRA Holdings     8,700       237,407  
System Research Co. Ltd.(a)     12,500       133,595  
Systena Corp.     215,200       524,345  
WingArc1st, Inc.     15,700       226,432  
Total Software             3,903,468  
Specialty Retail — 3.4%                
Alpen Co. Ltd.(a)     9,900       124,751  
and ST HD Co. Ltd.     27,900       594,822  
AOKI Holdings, Inc.     89,700       905,141  
Aoyama Trading Co. Ltd.     151,800       642,599  
ARCLANDS Corp.     19,936       235,761  
Asahi Co. Ltd.     20,000       158,868  
Autobacs Seven Co. Ltd.     55,400       496,989  
Bic Camera, Inc.     69,200       703,815  
DCM Holdings Co. Ltd.     67,145       630,033  
EDION Corp.     37,939       526,162  
Geo Holdings Corp.     13,900       172,505  
Hard Off Corp. Co. Ltd.     14,900       244,873  
Honeys Holdings Co. Ltd.     14,600       124,957  
Japan Eyewear Holdings Co. Ltd.     16,300       233,480  
JINS Holdings, Inc.     6,000       297,185  
Joshin Corp.     27,500       664,975  
Joyful Honda Co. Ltd.     27,500       382,910  
Kohnan Shoji Co. Ltd.     16,900       437,253  
Kojima Co. Ltd.     23,000       183,406  
Komehyo Holdings Co. Ltd.     8,100       242,713  
K's Holdings Corp.     68,000       797,256  
KU Holdings Co. Ltd.     31,100       218,719  
Nafco Co. Ltd.     16,300       214,726  
Nextage Co. Ltd.     15,700       393,647  
Nishimatsuya Chain Co. Ltd.     17,200       206,262  
Nissan Tokyo Sales Holdings Co. Ltd.     63,900       215,457  
Nojima Corp.     77,300       630,195  
Scroll Corp.     47,300       473,800  
Syuppin Co. Ltd.     17,000       113,281  
United Arrows Ltd.     14,700       215,446  
VT Holdings Co. Ltd.     74,900       206,923  
World Co. Ltd.     38,500       378,308  
Xebio Holdings Co. Ltd.     28,300       183,182  
Yellow Hat Ltd.     51,200       554,450  
Total Specialty Retail             12,804,850  
Technology Hardware, Storage & Peripherals — 0.4%                
Elecom Co. Ltd.     55,500       611,260  
Konica Minolta, Inc.     75,900       256,526  
Mimaki Engineering Co. Ltd.     15,900       174,628  
Toshiba TEC Corp.     9,300       162,339  
Wacom Co. Ltd.     84,000       398,486  
Total Technology Hardware, Storage & Peripherals             1,603,239  
Textiles, Apparel & Luxury Goods — 1.7%                
Daidoh Ltd.(a)     46,700       206,885  
Fujibo Holdings, Inc.     17,700       462,852  
Goldwin, Inc.     51,600       690,222  
Gunze Ltd.     19,766       470,054  
Hagihara Industries, Inc.     13,500       142,870  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

Investments   Shares     Value  
Japan Wool Textile Co. Ltd.     30,625     $ 321,278  
Kurabo Industries Ltd.     14,176       870,491  
Matsuoka Corp.     9,500       140,345  
Morito Co. Ltd.     24,300       263,147  
Onward Holdings Co. Ltd.     207,433       925,328  
Seiko Group Corp.     29,200       1,448,097  
Wacoal Holdings Corp.     13,600       368,190  
Total Textiles, Apparel & Luxury Goods             6,309,759  
Trading Companies & Distributors — 3.3%                
Alconix Corp.     22,400       343,046  
Chori Co. Ltd.     12,300       290,992  
Daiichi Jitsugyo Co. Ltd.     18,400       345,301  
Gecoss Corp.     22,300       211,028  
Hanwa Co. Ltd.     106,610       1,111,197  
Inaba Denki Sangyo Co. Ltd.     80,576       1,349,502  
Inabata & Co. Ltd.     26,641       636,007  
Japan Pulp & Paper Co. Ltd.     63,600       417,934  
Kamei Corp.     18,200       381,301  
Kanaden Corp.     12,900       199,780  
Kanamoto Co. Ltd.     15,528       507,329  
Kanematsu Corp.     120,300       1,525,910  
KPP Group Holdings Co. Ltd.(a)     34,200       216,321  
Meiwa Corp.     41,000       221,240  
Nagase & Co. Ltd.     160,300       1,149,051  
Nishio Holdings Co. Ltd.     7,600       183,307  
Sanyo Trading Co. Ltd.     27,200       130,540  
Seika Corp.     22,700       381,162  
Senshu Electric Co. Ltd.     5,900       255,204  
Shinsho Corp.     14,500       213,675  
Tomoe Engineering Co. Ltd.     13,500       148,768  
Totech Corp.     29,800       759,096  
Trusco Nakayama Corp.     18,400       257,447  
Tsubakimoto Kogyo Co. Ltd.     8,000       132,755  
Wakita & Co. Ltd.     35,500       377,662  
Yamazen Corp.     38,906       402,406  
Yuasa Co. Ltd.     8,200       266,901  
Total Trading Companies & Distributors             12,414,862  
Wireless Telecommunication Services — 0.3%                
Okinawa Cellular Telephone Co.     49,600       1,120,025  
TOTAL COMMON STOCKS
(COST: $308,232,354)
            372,521,283  
EXCHANGE-TRADED FUND — 0.0%                
United States — 0.0%                
WisdomTree Japan Hedged Equity Fund(b)                
(Cost: $36,271)     217       37,654  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
(Cost: $92,256)     92,256       92,256  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.5%                
United States — 1.5%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     2,945,193       2,945,193  
WisdomTree Treasury Money Market Digital Fund, 3.45% (b)(c)     2,800,000       2,800,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $5,745,193)
            5,745,193  
TOTAL INVESTMENTS IN SECURITIES — 101.2%
(Cost: $314,106,074)
            378,396,386  
Other Liabilities less Assets — (1.2)%             (4,382,355 )
NET ASSETS — 100.0%           $ 374,014,031  

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $18,448,229 and the total market value of the collateral held by the Fund was $19,572,614. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $13,827,421.
(b)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

JPY Japanese yen
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree Japan SmallCap Dividend Fund (DFJ)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Japan Hedged Equity Fund  $1,045,518   $1,015,792   $2,074,255   $54,660   $(4,061)  $37,654   $6,834   $ 
WisdomTree Treasury Money Market Digital Fund       27,000,000    24,200,000            2,800,000        28,186 
Total  $1,045,518   $28,015,792   $26,274,255   $54,660   $(4,061)  $2,837,654   $6,834   $28,186 

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
   Amount and Description
of Currency to
be Sold
   Unrealized
Appreciation
   Unrealized
Depreciation
 
UBS Group AG  7/1/2026   193,597   USD    31,350,000   JPY   $704   $   – 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $372,521,283   $   $   $372,521,283 
Exchange-Traded Fund   37,654            37,654 
Mutual Fund       92,256        92,256 
Investment of Cash Collateral for Securities Loaned       5,745,193        5,745,193 
Total Investments in Securities  $372,558,937   $5,837,449   $   $378,396,386 
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $704   $   $704 
Total - Net  $372,558,937   $5,838,153   $   $378,397,090 

 

1Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree New Economy Real Estate Fund (WTRE)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
Australia — 8.1%      
DigiCo Infrastructure REIT     53,960     $ 91,216  
Goodman Group     36,864       795,041  
IREN Ltd.*     4,491       205,373  
NEXTDC Ltd.*     22,605       228,334  
Total Australia             1,319,964  
Belgium — 1.8%                
Montea NV     1,092       83,524  
Warehouses De Pauw CVA     7,998       201,719  
Total Belgium             285,243  
Democratic Republic of the Congo — 0.7%                
Helios Towers PLC*     42,436       112,759  
France — 0.7%                
Eutelsat Communications SACA*     42,596       117,513  
Hong Kong — 0.5%                
SUNeVision Holdings Ltd.     142,000       78,768  
Italy — 1.3%                
Infrastrutture Wireless Italiane SpA(a)     30,438       214,366  
Japan — 4.2%                
GLP J-REIT     172       145,410  
Japan Logistics Fund, Inc.     148       86,419  
LaSalle Logiport REIT     95       85,341  
Mitsubishi Estate Logistics REIT Investment Corp.     94       69,116  
Mitsui Fudosan Logistics Park, Inc.     161       106,788  
Nippon Prologis REIT, Inc.     259       138,325  
SOSiLA Logistics REIT, Inc.     67       46,748  
Total Japan             678,147  
Luxembourg — 0.7%                
SES SA     13,428       109,999  
Netherlands — 4.9%                
Nebius Group NV*     2,900       800,893  
Nigeria — 0.6%                
IHS Holding Ltd.*     11,502       94,776  
Singapore — 5.2%                
CapitaLand Ascendas REIT     135,489       260,828  
Digital Core REIT Management Pte. Ltd.     91,600       46,258  
ESR-REIT     30,780       55,684  
Frasers Logistics & Commercial Trust     163,700       122,131  
Keppel DC REIT     97,001       167,987  
Mapletree Industrial Trust     96,509       143,258  
NTT DC REIT     60,500       56,870  
Total Singapore             853,016  
Spain — 3.2%                
Cellnex Telecom SA*(a)     17,613       526,581  
United Kingdom — 5.0%                
LondonMetric Property PLC     76,419       190,987  
Segro PLC     37,572       436,440  
Tritax Big Box REIT PLC     86,857       186,063  
Total United Kingdom             813,490  
United States — 62.5%                
Alexandria Real Estate Equities, Inc.     5,228       276,300  
American Tower Corp.     4,480       732,794  
Applied Digital Corp.*(b)     3,724       138,905  
AST SpaceMobile, Inc.*(b)     8,273       735,139  
Bitdeer Technologies Group, Class A*     3,294       52,276  
Cipher Digital, Inc.*(b)     6,020       147,490  
Cleanspark, Inc.*     3,633       52,860  
Core Scientific, Inc.*(b)     3,933       100,645  
CoreWeave, Inc., Class A*     4,549       452,807  
Crown Castle, Inc.     7,987       604,855  
Digital Realty Trust, Inc.     4,477       803,980  
EastGroup Properties, Inc.     1,526       309,061  
Equinix, Inc.     831       866,226  
First Industrial Realty Trust, Inc.     3,983       244,198  
Globalstar, Inc.*     3,763       305,894  
Healthpeak Properties, Inc.     20,088       429,883  
Hut 8 Corp.*     1,582       182,634  
Iridium Communications, Inc.     3,931       215,615  
Iron Mountain, Inc.     5,218       659,086  
LXP Industrial Trust     2,459       132,491  
MARA Holdings, Inc.*(b)     5,068       70,395  
Prologis, Inc.     6,130       830,431  
Rexford Industrial Realty, Inc.     6,628       222,038  
Riot Platforms, Inc.*     5,522       151,192  
SBA Communications Corp.     2,769       488,618  
Terawulf, Inc.*(b)     5,642       139,357  
Terreno Realty Corp.     3,132       202,860  
U.S. Cellular Corp.     2,732       99,062  
Uniti Group, Inc.*     14,210       162,989  
Viasat, Inc.*     3,916       351,696  
Total United States             10,161,777  
TOTAL COMMON STOCKS                
(Cost: $15,450,659)             16,167,292  
MUTUAL FUND — 0.2%                
United States — 0.2%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
(Cost: $29,060)     29,060       29,060  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.1%                
United States — 0.1%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)                
(Cost: $24,047)     24,047       24,047  
TOTAL INVESTMENTS IN SECURITIES — 99.7%
(Cost: $15,503,766)
            16,220,399  
Other Assets less Liabilities — 0.3%             48,216  
NET ASSETS — 100.0%           $ 16,268,615  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree New Economy Real Estate Fund (WTRE)
June 30, 2026

 

 

* Non-income producing security.
(a)This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(b)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $1,089,938 and the total market value of the collateral held by the Fund was $1,102,805. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,078,758.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

ABBREVIATIONS:

CVA Certificaten van Aandelen (Certificate of Stock)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $16,167,292   $   $   $16,167,292 
Mutual Fund       29,060        29,060 
Investment of Cash Collateral for Securities Loaned       24,047        24,047 
Total Investments in Securities  $16,167,292   $53,107   $   $16,220,399 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree True Developed International Fund (DOL)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.2%
Australia — 6.0%      
ANZ Group Holdings Ltd.     111,838     $ 2,738,967  
Aristocrat Leisure Ltd.     16,090       682,986  
BHP Group Ltd.     223,674       9,204,704  
Brambles Ltd.     71,833       969,440  
Coles Group Ltd.     84,630       1,428,854  
Commonwealth Bank of Australia     45,305       5,166,978  
CSL Ltd.     13,091       1,040,628  
Goodman Group     32,017       690,506  
Macquarie Group Ltd.     6,406       1,110,806  
National Australia Bank Ltd.     99,004       2,596,816  
Northern Star Resources Ltd.     52,430       688,331  
REA Group Ltd.(a)     4,092       394,595  
Rio Tinto Ltd.(a)     21,450       2,563,595  
Rio Tinto PLC     78,118       7,384,236  
Sigma Healthcare Ltd.     196,401       374,183  
Telstra Group Ltd.     832,561       2,930,135  
Transurban Group     180,567       1,798,892  
Wesfarmers Ltd.     48,077       3,011,020  
Westpac Banking Corp.     111,009       2,707,897  
WiseTech Global Ltd.     2,206       50,435  
Woolworths Group Ltd.     59,098       1,638,952  
Total Australia             49,172,956  
Austria — 0.2%                
Erste Group Bank AG     7,535       1,008,789  
Verbund AG     10,742       682,842  
Total Austria             1,691,631  
Belgium — 0.9%                
Anheuser-Busch InBev SA     42,230       3,508,138  
KBC Group NV     20,354       2,776,198  
UCB SA     2,599       778,517  
Total Belgium             7,062,853  
Chile — 0.1%                
Antofagasta PLC     18,324       929,044  
China — 0.6%                
BOC Hong Kong Holdings Ltd.     727,134       3,929,577  
Prosus NV*     16,944       735,945  
Total China             4,665,522  
Denmark — 0.9%                
Danske Bank AS     35,358       1,893,908  
Novo Nordisk AS, Class B     121,698       5,855,949  
Total Denmark             7,749,857  
Finland — 1.1%                
Kone OYJ, Class B     27,615       1,571,034  
Nordea Bank Abp     328,312       6,230,962  
Sampo OYJ, Class A     80,309       844,168  
Total Finland             8,646,164  
France — 8.8%                
Air Liquide SA     14,385       2,849,827  
Airbus SE     9,677       2,152,335  
AXA SA     175,934       8,820,224  
BNP Paribas SA     71,377       8,335,169  
Cie de Saint-Gobain SA     16,033       1,451,045  
Cie Generale des Etablissements Michelin SCA     45,652       1,761,545  
Credit Agricole SA     175,868       3,537,825  
Danone SA     34,629       2,840,283  
Dassault Aviation SA     2,277       747,666  
Dassault Systemes SE     19,296       393,019  
Engie SA     215,958       6,812,103  
EssilorLuxottica SA     8,176       1,533,477  
Hermes International SCA     1,005       1,836,129  
Kering SA     3,565       1,007,961  
Legrand SA     7,943       1,341,298  
L'Oreal SA     11,537       5,060,441  
LVMH Moet Hennessy Louis Vuitton SE     13,451       7,444,746  
Orange SA     181,763       3,429,898  
Publicis Groupe SA     14,550       1,438,264  
Safran SA     5,329       2,101,963  
Thales SA     4,241       1,089,996  
Veolia Environnement SA     48,922       2,038,181  
Vinci SA     27,068       3,955,007  
Total France             71,978,402  
Germany — 6.6%                
adidas AG     3,239       664,345  
Allianz SE, Registered Shares     16,128       7,635,650  
BASF SE     57,445       3,072,364  
Bayer AG, Registered Shares     12,261       678,612  
Bayerische Motoren Werke AG     36,097       2,363,103  
Beiersdorf AG     5,327       458,848  
Commerzbank AG     15,013       639,029  
Daimler Truck Holding AG     54,959       2,651,621  
Deutsche Bank AG, Registered Shares     22,944       777,119  
Deutsche Boerse AG     1,595       435,467  
Deutsche Post AG, Registered Shares     69,796       4,237,262  
Deutsche Telekom AG, Registered Shares     172,865       4,713,632  
E.ON SE     112,793       2,324,436  
Fresenius SE & Co. KGaA     17,417       795,917  
Hannover Rueck SE     1,856       514,364  
Heidelberg Materials AG     6,211       1,185,163  
Henkel AG & Co. KGaA     12,786       1,011,582  
HochTief AG     3,321       1,925,028  
Infineon Technologies AG     21,616       2,018,358  
MTU Aero Engines AG     872       362,793  
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares     3,925       2,192,121  
Rheinmetall AG     461       522,054  
RWE AG     28,105       1,819,339  
SAP SE     13,637       2,089,219  
Siemens AG, Registered Shares     18,880       6,068,765  
Siemens Healthineers AG(b)     29,150       1,139,790  
Vonovia SE     48,213       1,190,082  
Total Germany             53,486,063  
Hong Kong — 1.2%                
AIA Group Ltd.     189,404       1,725,686  
CLP Holdings Ltd.     162,000       1,512,155  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree True Developed International Fund (DOL)
June 30, 2026

 

 

Investments   Shares     Value  
Hong Kong Exchanges & Clearing Ltd.     35,724     $ 1,653,625  
MTR Corp. Ltd.(a)     400,938       1,559,364  
Sun Hung Kai Properties Ltd.     137,442       1,968,202  
Techtronic Industries Co. Ltd.     76,500       1,263,286  
Total Hong Kong             9,682,318  
Israel — 0.2%                
Bank Hapoalim BM     27,818       640,399  
Elbit Systems Ltd.     811       615,167  
Total Israel             1,255,566  
Italy — 5.4%                
Banca Monte dei Paschi di Siena SpA     135,437       1,682,238  
Banco BPM SpA     133,488       2,306,040  
BPER Banca SpA     116,612       1,830,785  
Enel SpA     639,871       7,355,150  
Ferrari NV     2,595       962,302  
Generali     51,127       2,490,704  
Intesa Sanpaolo SpA     1,660,355       11,370,721  
Leonardo SpA     10,431       559,616  
Poste Italiane SpA     76,417       2,500,460  
Prysmian SpA     5,486       916,047  
Ryanair Holdings PLC     38,818       1,213,810  
Snam SpA     246,218       1,777,961  
Terna - Rete Elettrica Nazionale     115,539       1,352,660  
UniCredit SpA     84,543       7,564,457  
Total Italy             43,882,951  
Japan — 15.1%                
Advantest Corp.     5,000       994,924  
Aeon Co. Ltd.     43,635       360,034  
Ajinomoto Co., Inc.     27,600       997,353  
Bandai Namco Holdings, Inc.     26,900       626,301  
Bridgestone Corp.(a)     64,410       1,351,411  
Canon, Inc.(a)     56,636       1,445,128  
Central Japan Railway Co.     21,100       450,367  
Chugai Pharmaceutical Co. Ltd.     31,700       1,469,483  
Daiichi Sankyo Co. Ltd.     45,500       730,268  
Daikin Industries Ltd.     8,200       1,245,451  
Daiwa House Industry Co. Ltd.     33,300       905,006  
Denso Corp.     113,600       1,311,267  
Disco Corp.     2,000       999,969  
East Japan Railway Co.     35,000       733,918  
FANUC Corp.     31,100       1,407,417  
Fast Retailing Co. Ltd.     4,200       2,139,991  
FUJIFILM Holdings Corp.     39,900       855,079  
Fujikura Ltd.     39,700       1,523,757  
Fujitsu Ltd.     37,500       749,192  
Hitachi Ltd.     58,400       1,606,561  
Honda Motor Co. Ltd.     293,700       2,674,518  
Hoya Corp.     6,100       973,973  
IHI Corp.     25,100       418,758  
Inpex Corp.(a)     66,700       1,339,951  
ITOCHU Corp.     229,500       2,618,016  
Japan Tobacco, Inc.     99,609       3,684,660  
Kao Corp.     41,200       817,029  
KDDI Corp.     172,960       2,921,244  
Keyence Corp.     2,100       1,047,383  
Komatsu Ltd.     47,367       1,830,854  
Konami Group Corp.     3,900       423,895  
LY Corp.     232,500       620,572  
Marubeni Corp.     58,900       1,699,683  
Mitsubishi Corp.     140,315       3,752,957  
Mitsubishi Electric Corp.     57,681       2,085,424  
Mitsubishi Estate Co. Ltd.     32,800       836,524  
Mitsubishi Heavy Industries Ltd.     44,400       1,001,510  
Mitsubishi UFJ Financial Group, Inc.     360,300       7,109,565  
Mitsui & Co. Ltd.     101,500       2,808,463  
Mitsui Fudosan Co. Ltd.     119,500       1,102,172  
Mizuho Financial Group, Inc.     57,414       2,735,312  
MS&AD Insurance Group Holdings, Inc.     19,400       506,113  
Murata Manufacturing Co. Ltd.     58,630       4,110,684  
NEC Corp.     21,400       516,813  
Nintendo Co. Ltd.     18,400       771,549  
Nippon Steel Corp.     367,600       1,212,554  
Nomura Research Institute Ltd.     20,000       565,082  
NTT, Inc.     3,762,200       3,356,524  
Oriental Land Co. Ltd.(a)     21,400       327,863  
Otsuka Holdings Co. Ltd.     15,000       997,231  
Pan Pacific International Holdings Corp.     88,400       447,643  
Panasonic Holdings Corp.     91,800       2,542,893  
Recruit Holdings Co. Ltd.     10,700       745,922  
Shin-Etsu Chemical Co. Ltd.     54,500       2,350,014  
SoftBank Corp.     2,344,100       3,001,429  
Sony Group Corp.     44,600       900,095  
Sumitomo Corp.     281,640       2,684,266  
Sumitomo Electric Industries Ltd.     169,200       3,047,214  
Sumitomo Mitsui Financial Group, Inc.     105,982       4,138,205  
Sumitomo Realty & Development Co. Ltd.     32,700       752,689  
Suzuki Motor Corp.     80,868       973,003  
Takeda Pharmaceutical Co. Ltd.     93,000       2,949,792  
TDK Corp.     46,400       1,019,216  
Terumo Corp.     36,200       497,590  
Tokio Marine Holdings, Inc.     75,000       3,323,489  
Tokyo Electron Ltd.     11,450       5,435,272  
Toyota Motor Corp.     583,465       9,782,754  
Toyota Tsusho Corp.     54,100       1,989,908  
Total Japan             123,351,147  
Luxembourg — 0.1%                
ArcelorMittal SA     20,476       1,233,718  
Macau — 0.2%                
Galaxy Entertainment Group Ltd.     209,000       784,078  
Sands China Ltd.     344,400       573,118  
Total Macau             1,357,196  
Mexico — 0.1%                
Fresnillo PLC     23,389       850,889  
Netherlands — 2.6%                
ASM International NV     625       714,920  
ASML Holding NV     5,076       9,989,958  
Heineken NV     21,827       1,836,674  
ING Groep NV     137,823       4,360,046  
Koninklijke Ahold Delhaize NV     39,316       1,583,138  
Koninklijke Philips NV     48,714       1,323,307  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree True Developed International Fund (DOL)
June 30, 2026

 

 

Investments   Shares     Value  
Universal Music Group NV     53,273     $ 1,116,426  
Wolters Kluwer NV     7,033       453,824  
Total Netherlands             21,378,293  
Norway — 1.7%                
DNB Bank ASA     116,486       3,469,094  
Equinor ASA     226,776       7,184,506  
Kongsberg Gruppen ASA     30,121       907,998  
Telenor ASA     147,301       2,110,786  
Total Norway             13,672,384  
Poland — 0.5%                
ORLEN SA     76,044       2,561,201  
Powszechna Kasa Oszczednosci Bank Polski SA     59,105       1,621,796  
Total Poland             4,182,997  
Portugal — 0.2%                
EDP SA     257,135       1,346,734  
Singapore — 1.8%                
DBS Group Holdings Ltd.     109,587       5,540,987  
Oversea-Chinese Banking Corp. Ltd.     166,212       3,185,585  
Singapore Technologies Engineering Ltd.     136,800       1,098,884  
Singapore Telecommunications Ltd.     830,100       2,830,215  
United Overseas Bank Ltd.     58,886       1,810,126  
Total Singapore             14,465,797  
South Africa — 0.1%                
Anglo American PLC     16,474       808,353  
South Korea — 5.2%                
Celltrion, Inc.*     3,588       401,343  
Hanwha Aerospace Co. Ltd.     586       376,344  
HD Hyundai Heavy Industries Co. Ltd.     1,062       405,799  
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.     2,468       557,542  
KB Financial Group, Inc.     7,536       773,397  
NAVER Corp.     2,575       330,746  
Samsung Electronics Co. Ltd.     133,704       28,824,073  
SK hynix, Inc.     6,100       10,433,744  
Total South Korea             42,102,988  
Spain — 7.0%                
ACS Actividades de Construccion y Servicios SA     15,288       2,249,518  
Aena SME SA(b)     113,245       3,451,751  
Amadeus IT Group SA     13,303       776,892  
Banco Bilbao Vizcaya Argentaria SA     362,092       9,053,739  
Banco de Sabadell SA     292,088       1,034,893  
Banco Santander SA     493,348       6,815,918  
CaixaBank SA     469,917       6,653,917  
Cellnex Telecom SA*(b)     9,958       297,717  
Endesa SA     87,143       3,973,268  
Iberdrola SA     290,207       7,246,374  
Industria de Diseno Textil SA     121,539       7,659,230  
Naturgy Energy Group SA     111,846       3,511,408  
Repsol SA     103,155       2,595,796  
Telefonica SA     464,162       1,865,858  
Total Spain             57,186,279  
Sweden — 2.6%                
Assa Abloy AB, Class B     29,168       1,031,925  
Atlas Copco AB, Class A     79,776       1,616,844  
Atlas Copco AB, Class B     51,383       911,586  
Epiroc AB, Class A     44,237       1,215,379  
H & M Hennes & Mauritz AB, Class B(a)     105,072       1,809,799  
Hexagon AB, Class B     50,886       421,257  
Saab AB, Class B     8,490       441,073  
Sandvik AB     52,620       2,174,252  
Skandinaviska Enskilda Banken AB, Class A     61,937       1,234,497  
Swedbank AB, Class A     65,476       2,449,054  
Telefonaktiebolaget LM Ericsson, Class B     189,636       2,119,117  
Volvo AB, Class A     34,839       1,188,640  
Volvo AB, Class B     137,713       4,688,544  
Total Sweden             21,301,967  
Switzerland — 4.9%                
ABB Ltd., Registered Shares     48,124       5,224,943  
Cie Financiere Richemont SA, Class A, Registered Shares     12,721       2,941,924  
Geberit AG, Registered Shares     1,143       764,881  
Givaudan SA, Registered Shares     266       1,127,775  
Kuehne & Nagel International AG, Registered Shares     8,919       2,166,588  
Nestle SA, Registered Shares     113,924       11,733,473  
Partners Group Holding AG     459       376,805  
Sandoz Group AG     10,534       954,870  
Schindler Holding AG, Registered Shares     3,027       964,407  
Schindler Holding AG, Participation Certificate     2,245       745,875  
SGS SA, Registered Shares     10,584       1,229,694  
Sika AG, Registered Shares     4,639       958,970  
Swiss Life Holding AG, Registered Shares     525       578,987  
Swisscom AG, Registered Shares     2,566       1,983,389  
UBS Group AG, Registered Shares     58,091       2,884,926  
Zurich Insurance Group AG     6,776       5,028,344  
Total Switzerland             39,665,851  
Taiwan — 8.2%                
ASE Technology Holding Co. Ltd.     170,000       3,628,773  
Chunghwa Telecom Co. Ltd.     237,000       1,052,705  
CTBC Financial Holding Co. Ltd.     527,000       1,174,548  
Delta Electronics, Inc.     30,000       1,836,360  
Fubon Financial Holding Co. Ltd.     167,000       678,873  
Hon Hai Precision Industry Co. Ltd.     584,000       4,601,384  
MediaTek, Inc.     78,000       10,393,797  
Quanta Computer, Inc.*     224,000       2,587,604  
Taiwan Semiconductor Manufacturing Co. Ltd.     532,000       40,246,731  
Wiwynn Corp.     7,000       1,018,474  
Total Taiwan             67,219,249  
United Kingdom — 9.9%                
Associated British Foods PLC     31,156       821,246  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree True Developed International Fund (DOL)
June 30, 2026

 

 

Investments   Shares     Value  
AstraZeneca PLC     31,564     $ 5,906,955  
Aviva PLC     92,057       794,431  
BAE Systems PLC     97,107       2,376,643  
Barclays PLC     198,000       1,331,321  
British American Tobacco PLC     153,563       9,532,492  
BT Group PLC     616,273       1,554,919  
CK Hutchison Holdings Ltd.     215,000       1,816,330  
Coca-Cola Europacific Partners PLC     16,641       1,671,967  
Compass Group PLC     42,309       1,366,581  
GSK PLC     174,574       4,590,040  
HSBC Holdings PLC     853,262       16,203,686  
Imperial Brands PLC     85,422       3,162,065  
International Consolidated Airlines Group SA     197,529       1,251,863  
Lloyds Banking Group PLC     1,760,987       2,596,705  
London Stock Exchange Group PLC     3,323       359,981  
National Grid PLC     240,572       3,984,852  
NatWest Group PLC     472,736       4,185,015  
Next PLC     4,486       866,015  
Reckitt Benckiser Group PLC     26,781       1,745,618  
RELX PLC     43,898       1,378,516  
Rolls-Royce Holdings PLC     141,634       2,715,611  
SSE PLC     53,794       1,739,256  
Tesco PLC     268,676       1,635,724  
Unilever PLC     85,407       5,132,210  
Vodafone Group PLC     1,452,660       1,920,330  
Total United Kingdom             80,640,372  
United States — 7.0%                
Alcon, Inc.     6,191       419,052  
BP PLC     1,034,712       6,414,781  
Experian PLC     18,985       640,781  
Ferrovial NV     23,196       1,590,669  
Haleon PLC     247,879       1,143,923  
Holcim AG, Registered Shares*     25,201       2,276,884  
Novartis AG, Registered Shares     77,450       12,153,500  
Roche Holding AG, Bearer Shares     4,837       2,033,981  
Roche Holding AG     25,167       10,383,162  
Sanofi SA     64,744       5,557,558  
Schneider Electric SE     10,608       3,461,368  
Shell PLC     258,308       10,055,471  
Swiss Re AG     8,231       1,311,204  
Total United States             57,442,334  
TOTAL COMMON STOCKS                
                 
(Cost: $506,929,739)             808,409,875  
RIGHTS — 0.0%                
Spain — 0.0%                
ACS Actividades de Construccion y Servicios SA*                
                 
(Cost: $32,586)     15,288       32,109  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $153,391)     153,391       153,391  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.6%                
United States — 0.6%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)                
                 
(Cost: $4,950,410)     4,950,410       4,950,410  
TOTAL INVESTMENTS IN SECURITIES — 99.8%
(Cost: $512,066,126)
            813,545,785  
Other Assets less Liabilities — 0.2%             1,293,973  
NET ASSETS — 100.0%           $ 814,839,758  

 

* Non-income producing security.
(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $10,253,473 and the total market value of the collateral held by the Fund was $10,761,280. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $5,810,870.
(b) This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.
(c) Rate shown represents annualized 7-day yield as of June 30, 2026.

 

CURRENCY ABBREVIATIONS:

AUD Australian dollar
GBP British pound
USD United States dollar

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree True Developed International Fund (DOL)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $22,900,000   $22,900,000   $   $   $^   $   $22,341 

 

^As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FINANCIAL DERIVATIVE INSTRUMENTS

 

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

 

Counterparty  Settlement
Date
  Amount and Description
of Currency to
be Purchased
  Amount and Description
of Currency to
be Sold
  Unrealized
Appreciation
   Unrealized
Depreciation
 
Royal Bank of Canada  7/2/2026   172,316  USD   130,000  GBP  $   $(226)
Standard Chartered Bank  7/2/2026   124,557  USD   180,000  AUD       (148)
                    $   $(374)

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:                    
Investments in Securities                    
Common Stocks  $808,409,875   $   $   $808,409,875 
Rights   32,109            32,109 
Mutual Fund       153,391        153,391 
Investment of Cash Collateral for Securities Loaned       4,950,410        4,950,410 
Total Investments in Securities  $808,441,984   $5,103,801   $   $813,545,785 
Liabilities:                    
Financial Derivative Instruments                    
Foreign Currency Contracts1  $   $(374)  $   $(374)
Total - Net  $808,441,984   $5,103,427   $   $813,545,411 

 

1 Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. AI Enhanced Value Fund (AIVL)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.0%
United States — 96.7%
Aerospace & Defense — 8.2%                
General Dynamics Corp.     2,627     $ 930,589  
Hexcel Corp.     58,534       5,856,912  
Honeywell Aerospace, Inc.*     24,519       5,420,661  
L3Harris Technologies, Inc.     27,487       7,987,447  
RTX Corp.     51,039       9,683,629  
Textron, Inc.(a)     47,279       4,336,903  
Total Aerospace & Defense             34,216,141  
Air Freight & Logistics — 0.6%                
CH Robinson Worldwide, Inc.     12,829       2,416,214  
Automobile Components — 0.3%                
Gentex Corp.     41,688       1,053,456  
Banks — 7.7%                
Bank of America Corp.     294,892       16,802,946  
U.S. Bancorp     237,113       14,321,625  
Wells Fargo & Co.     11,656       963,252  
Total Banks             32,087,823  
Beverages — 0.8%                
Keurig Dr. Pepper, Inc.     95,993       3,141,851  
Biotechnology — 0.3%                
REVOLUTION Medicines, Inc.*     6,508       1,218,818  
Capital Markets — 5.4%                
CME Group, Inc.     3,056       674,857  
Intercontinental Exchange, Inc.     68,099       8,383,668  
Moody's Corp.     4,744       2,148,652  
Nasdaq, Inc.     131,035       10,328,179  
S&P Global, Inc.     2,208       899,230  
Total Capital Markets             22,434,586  
Chemicals — 4.8%                
Element Solutions, Inc.     113,266       5,408,451  
NewMarket Corp.     1,278       1,011,205  
PPG Industries, Inc.     70,285       8,524,868  
RPM International, Inc.     12,924       1,436,502  
Sherwin-Williams Co.     2,762       951,012  
Solstice Advanced Materials, Inc.     29,885       2,647,811  
Total Chemicals             19,979,849  
Communications Equipment — 3.2%                
Ciena Corp.*     22,252       10,915,941  
Lumentum Holdings, Inc.*     2,942       2,524,413  
Total Communications Equipment             13,440,354  
Distributors — 0.2%                
LKQ Corp.     30,005       790,032  
Diversified Telecommunication Services — 2.4%                
Comcast Corp., Class A     405,436       9,953,454  
Electric Utilities — 2.7%                
Eversource Energy     14,241       1,029,197  
Exelon Corp.     20,395       950,815  
FirstEnergy Corp.     19,294       917,237  
PG&E Corp.     325,406       5,473,329  
PPL Corp.     79,585       2,892,914  
Total Electric Utilities             11,263,492  
Electronic Equipment, Instruments & Components — 3.1%                
Teledyne Technologies, Inc.*     19,267       12,849,162  
Financial Services — 0.2%                
Jack Henry & Associates, Inc.     5,849       805,641  
Gas Utilities — 0.2%                
MDU Resources Group, Inc.     43,482       922,253  
Ground Transportation — 2.2%                
CSX Corp.     166,997       7,937,367  
Union Pacific Corp.     3,937       1,070,864  
Total Ground Transportation             9,008,231  
Health Care Equipment & Supplies — 5.7%                
Becton Dickinson & Co.     28,532       4,317,748  
Boston Scientific Corp.*     19,733       842,204  
Dentsply Sirona, Inc.     81,204       861,574  
Dexcom, Inc.*     18,586       1,251,767  
GE HealthCare Technologies, Inc.     16,275       1,041,763  
Medtronic PLC     158,315       12,384,983  
ResMed, Inc.(a)     4,405       858,446  
Solventum Corp.*     14,169       1,093,138  
Zimmer Biomet Holdings, Inc.     10,843       933,474  
Total Health Care Equipment & Supplies             23,585,097  
Health Care Providers & Services — 0.3%                
Humana, Inc.     3,251       1,291,362  
Health Care REITs — 0.6%                
Omega Healthcare Investors, Inc.     48,684       2,321,253  
Hotels, Restaurants & Leisure — 1.4%                
Airbnb, Inc., Class A*     6,880       984,528  
Aramark     27,423       1,560,369  
Carnival Corp. Ltd.     117,000       3,342,690  
Total Hotels, Restaurants & Leisure             5,887,587  
Household Products — 3.8%                
Colgate-Palmolive Co.     26,508       2,430,253  
Procter & Gamble Co.     83,811       12,290,045  
Reynolds Consumer Products, Inc.(a)     45,154       1,212,385  
Total Household Products             15,932,683  
Industrial Conglomerates — 1.3%                
Honeywell International, Inc.     24,519       5,489,804  
Industrial REITs — 0.6%                
First Industrial Realty Trust, Inc.     42,104       2,581,396  
Insurance — 2.8%                
First American Financial Corp.     13,566       930,492  
Marsh & McLennan Cos., Inc.     16,066       2,677,720  
Old Republic International Corp.     113,449       4,642,333  
Reinsurance Group of America, Inc.     16,762       3,564,440  
Total Insurance             11,814,985  
Interactive Media & Services — 1.1%                
Alphabet, Inc., Class A     13,334       4,765,172  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. AI Enhanced Value Fund (AIVL)
June 30, 2026

 

 

Investments   Shares     Value  
Life Sciences Tools & Services — 5.3%                
Agilent Technologies, Inc.     22,923     $ 3,044,862  
Danaher Corp.     67,025       12,766,922  
IQVIA Holdings, Inc.*     6,018       1,162,798  
Mettler-Toledo International, Inc.*     717       915,975  
QIAGEN NV     49,466       1,934,120  
Sotera Health Co.*     128,472       2,280,378  
Total Life Sciences Tools & Services             22,105,055  
Machinery — 4.9%                
CNH Industrial NV     94,636       1,062,762  
Donaldson Co., Inc.     30,761       2,761,415  
Fortive Corp.     182,336       11,138,906  
IDEX Corp.     5,478       1,243,232  
Otis Worldwide Corp.     11,729       839,797  
Pentair PLC     27,865       2,136,131  
Toro Co.     12,335       1,201,676  
Total Machinery             20,383,919  
Media — 0.2%                
Fox Corp., Class A     20,235       1,055,457  
Multi-Utilities — 5.9%                
CenterPoint Energy, Inc.     228,443       10,060,630  
CMS Energy Corp.     17,494       1,338,291  
NiSource, Inc.     257,375       12,238,181  
Public Service Enterprise Group, Inc.     12,098       981,874  
Total Multi-Utilities             24,618,976  
Oil, Gas & Consumable Fuels — 3.1%                
Antero Midstream Corp.     314,039       7,144,387  
Kinder Morgan, Inc.     184,140       5,886,956  
Total Oil, Gas & Consumable Fuels             13,031,343  
Pharmaceuticals — 0.2%                
Pfizer, Inc.     32,237       776,267  
Professional Services — 0.2%                
Automatic Data Processing, Inc.     4,358       975,974  
Semiconductors & Semiconductor Equipment — 7.6%                
Amkor Technology, Inc.     13,792       1,189,284  
Intel Corp.*     49,870       6,963,348  
Micron Technology, Inc.     20,352       23,492,110  
Total Semiconductors & Semiconductor Equipment             31,644,742  
Software — 1.5%                
Bentley Systems, Inc., Class B(a)     29,597       884,654  
Datadog, Inc., Class A*     10,873       2,830,894  
Dolby Laboratories, Inc., Class A(a)     15,920       837,074  
Dropbox, Inc., Class A*     56,705       1,557,687  
Total Software             6,110,309  
Specialized REITs — 0.3%                
Rayonier, Inc.     47,984       1,021,100  
Technology Hardware, Storage & Peripherals — 3.9%                
HP, Inc.     49,602       1,088,268  
Sandisk Corp.*     3,144       7,148,607  
Western Digital Corp.     12,727       8,128,989  
Total Technology Hardware, Storage & Peripherals             16,365,864  
Textiles, Apparel & Luxury Goods — 0.2%                
NIKE, Inc., Class B     21,654       888,897  
Tobacco — 3.5%                
Altria Group, Inc.     185,709       13,361,762  
Philip Morris International, Inc.     5,470       989,578  
Total Tobacco             14,351,340  
Total United States             402,579,939  
Bermuda — 0.3%                
Insurance — 0.3%                
RenaissanceRe Holdings Ltd.     3,437       1,089,185  
Brazil — 1.0%                
Capital Markets — 1.0%                
XP, Inc., Class A     241,826       3,932,091  
Canada — 1.0%                
Hotels, Restaurants & Leisure — 1.0%                
Restaurant Brands International, Inc.     58,839       4,266,416  
TOTAL COMMON STOCKS
(COST: $349,747,648)
            411,867,631  
EXCHANGE-TRADED FUND — 0.6%                
United States — 0.6%                
iShares Russell 1000 Value ETF                
                 
(Cost: $2,320,930)     10,293       2,495,332  
MUTUAL FUND — 0.2%                
United States — 0.2%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $995,965)     995,965       995,965  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.2%                
United States — 0.2%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $847,741)     847,741       847,741  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $353,912,284)
            416,206,669  
Other Assets less Liabilities — 0.0%             78,898  
NET ASSETS — 100.0%           $ 416,285,567  

 

* Non-income producing security.
(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $3,890,388 and the total market value of the collateral held by the Fund was $4,002,247. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $3,154,506.
(b) Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. AI Enhanced Value Fund (AIVL)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $411,867,631   $   $   $411,867,631 
Exchange-Traded Fund   2,495,332            2,495,332 
Mutual Fund       995,965        995,965 
Investment of Cash Collateral for Securities Loaned       847,741        847,741 
Total Investments in Securities  $414,362,963   $1,843,706   $   $416,206,669 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. High Dividend Fund (DHS)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.4%
United States — 99.2%
Aerospace & Defense — 2.0%                
TransDigm Group, Inc.     22,944     $ 30,562,326  
Automobile Components — 0.2%                
LCI Industries     17,294       1,831,089  
Standard Motor Products, Inc.     15,318       596,942  
Total Automobile Components             2,428,031  
Automobiles — 1.3%                
Ford Motor Co.     1,407,651       19,566,349  
Banks — 13.8%                
Arrow Financial Corp.(a)     11,445       469,131  
Associated Banc-Corp.     90,743       2,792,162  
Atlantic Union Bankshares Corp.(a)     71,835       3,039,339  
Bank of Hawaii Corp.     27,824       2,267,378  
Bank of Marin Bancorp(a)     12,738       352,843  
Bank OZK     52,894       2,755,248  
Bar Harbor Bankshares     11,940       450,854  
Burke & Herbert Financial Services Corp.     13,726       986,350  
Camden National Corp.(a)     11,698       634,266  
Capitol Federal Financial, Inc.     86,171       733,315  
Central Pacific Financial Corp.     18,685       713,767  
ChoiceOne Financial Services, Inc.     10,392       353,328  
Citizens & Northern Corp.     11,972       279,067  
Citizens Financial Group, Inc.     106,325       7,450,193  
Citizens Financial Services, Inc.     3,546       256,872  
Columbia Banking System, Inc.     140,379       4,499,147  
Community Financial System, Inc.     32,138       2,157,103  
Community Trust Bancorp, Inc.     13,904       1,006,093  
Cullen/Frost Bankers, Inc.(a)     22,203       3,430,808  
CVB Financial Corp.     120,627       2,720,139  
Dime Commercial Bancshares, Inc.     29,894       1,215,191  
Eagle Financial Services, Inc.     3,723       154,356  
Farmers & Merchants Bancorp, Inc.     9,949       304,240  
Farmers National Banc Corp.     25,279       369,073  
Fidelity D&D Bancorp, Inc.     4,261       219,101  
Fifth Third Bancorp     244,777       13,798,079  
Financial Institutions, Inc.     13,981       544,840  
First Bancorp, Inc.     8,326       289,911  
First Busey Corp.     62,464       1,842,688  
First Commonwealth Financial Corp.     73,424       1,492,710  
First Financial Bancorp(a)     67,040       2,267,963  
First Financial Corp.     7,389       572,204  
First Hawaiian, Inc.     81,763       2,395,656  
First Interstate BancSystem, Inc., Class A     73,653       2,840,060  
First Merchants Corp.     40,712       1,778,707  
Fulton Financial Corp.     109,494       2,648,660  
Hanmi Financial Corp.     20,845       675,378  
HBT Financial, Inc.     21,852       699,045  
Heritage Financial Corp.(a)     24,731       732,532  
Horizon Bancorp, Inc.     34,683       692,966  
Huntington Bancshares, Inc.     406,194       7,201,820  
Independent Bank Corp.     26,686       2,234,152  
Kearny Financial Corp.     44,373       419,769  
KeyCorp     350,780       8,085,479  
Lakeland Financial Corp.     18,227       1,124,970  
LCNB Corp.     9,961       175,214  
Mechanics Bancorp, Class A     156,955       2,495,585  
Mercantile Bank Corp.     11,504       660,560  
Metrocity Bankshares, Inc.     18,272       655,782  
Midland States Bancorp, Inc.     13,028       405,692  
National Bank Holdings Corp., Class A(a)     26,616       1,182,549  
NBT Bancorp, Inc.(a)     36,613       1,807,584  
Northeast Community Bancorp, Inc.     9,969       276,540  
Northfield Bancorp, Inc.(a)     29,312       431,766  
Northwest Bancshares, Inc.(a)     97,381       1,476,296  
Norwood Financial Corp.     6,691       215,116  
OceanFirst Financial Corp.     59,226       1,156,684  
OP Bancorp     11,198       167,858  
Parke Bancorp, Inc.     8,669       287,464  
PCB Bancorp     9,384       266,224  
Peoples Bancorp, Inc.     26,117       1,003,154  
Peoples Financial Services Corp.(a)     7,132       473,351  
PNC Financial Services Group, Inc.     85,116       20,957,262  
Primis Financial Corp.(a)     19,220       314,631  
Princeton Bancorp, Inc.     5,178       196,505  
Prosperity Bancshares, Inc.     37,439       2,734,170  
Provident Financial Services, Inc.     90,046       2,128,687  
RBB Bancorp(a)     11,950       327,609  
Regions Financial Corp.     261,482       7,896,756  
S&T Bancorp, Inc.(a)     26,618       1,306,411  
Sierra Bancorp     10,212       416,241  
Southside Bancshares, Inc.     19,519       686,874  
Timberland Bancorp, Inc.     5,675       254,297  
Tompkins Financial Corp.     9,963       941,703  
Towne Bank     52,922       1,917,893  
Truist Financial Corp.     357,099       17,790,672  
TrustCo Bank Corp.(a)     11,868       651,672  
U.S. Bancorp     394,624       23,835,290  
United Bankshares, Inc.(a)     66,645       3,054,340  
United Community Banks, Inc.     64,727       2,271,270  
Valley National Bancorp(a)     234,849       3,440,538  
Virginia National Bankshares Corp.     3,776       167,579  
WaFd, Inc.     53,816       2,064,920  
Washington Trust Bancorp, Inc.     13,485       491,933  
WesBanco, Inc.     62,622       2,444,137  
West BanCorp, Inc.(a)     11,902       315,760  
Westamerica BanCorp     18,343       1,076,184  
Zions Bancorp NA     52,765       3,650,810  
Total Banks             206,418,516  
Beverages — 2.2%                
Brown-Forman Corp., Class A     74,650       2,042,424  
PepsiCo, Inc.     227,532       30,807,833  
Total Beverages             32,850,257  
Biotechnology — 4.9%                
AbbVie, Inc.     294,202       74,032,991  
Broadline Retail — 0.4%                
Dillard's, Inc., Class A     6,569       3,471,191  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. High Dividend Fund (DHS)
June 30, 2026

 

 

Investments   Shares     Value  
Macy's, Inc.(a)     108,493     $ 2,555,010  
Total Broadline Retail             6,026,201  
Building Products — 0.0%                
Insteel Industries, Inc.     12,906       389,761  
Capital Markets — 4.2%                
Ares Management Corp., Class A(a)     42,817       4,765,960  
Blackstone, Inc.     220,097       25,898,814  
Blue Owl Capital, Inc.     732,642       6,410,618  
Cohen & Steers, Inc.(a)     33,193       2,527,315  
Franklin Resources, Inc.     227,861       7,580,935  
GCM Grosvenor, Inc., Class A     38,469       473,169  
Lazard, Inc.(a)     44,587       1,869,979  
Moelis & Co., Class A     45,458       2,973,862  
T Rowe Price Group, Inc.     75,038       8,531,070  
TPG, Inc.     49,498       2,007,144  
Virtus Investment Partners, Inc.(a)     4,774       685,069  
Total Capital Markets             63,723,935  
Chemicals — 0.9%                
Avient Corp.     60,428       2,233,419  
Eastman Chemical Co.     57,187       3,830,385  
Kronos Worldwide, Inc.     97,997       620,321  
Mosaic Co.     122,014       2,585,477  
Olin Corp.     81,254       1,610,454  
Scotts Miracle-Gro Co.(a)     38,545       2,625,300  
Total Chemicals             13,505,356  
Commercial Services & Supplies — 0.4%                
ACCO Brands Corp.     63,486       264,102  
Deluxe Corp.(a)     31,016       740,662  
Ennis, Inc.     19,000       403,750  
HNI Corp.(a)     32,320       1,306,051  
NLI Holdings, Inc.     35,658       212,165  
Pitney Bowes, Inc.     120,449       2,110,267  
Quad/Graphics, Inc.     25,850       217,916  
Total Commercial Services & Supplies             5,254,913  
Consumer Finance — 0.3%                
OneMain Holdings, Inc.     79,891       4,870,954  
Regional Management Corp.     7,700       317,240  
Total Consumer Finance             5,188,194  
Consumer Staples Distribution & Retail — 0.7%                
Albertsons Cos., Inc., Class A     184,105       2,490,941  
Target Corp.     58,376       7,624,489  
Village Super Market, Inc., Class A     8,608       363,085  
Total Consumer Staples Distribution & Retail             10,478,515  
Containers & Packaging — 0.4%                
Greif, Inc., Class B(a)     15,123       1,414,605  
Myers Industries, Inc.(a)     26,979       952,629  
Sonoco Products Co.(a)     61,037       3,439,435  
Total Containers & Packaging             5,806,669  
Distributors — 0.0%                
Weyco Group, Inc.(a)     6,709       263,865  
Diversified Consumer Services — 0.1%                
H&R Block, Inc.     59,725       2,274,328  
Matthews International Corp., Class A     21,895       589,413  
Total Diversified Consumer Services             2,863,741  
Diversified REITs — 0.3%                
Alpine Income Property Trust, Inc.     9,966       206,894  
American Assets Trust, Inc.     45,241       1,117,000  
Broadstone Net Lease, Inc.     136,051       2,812,174  
CTO Realty Growth, Inc.     23,169       498,365  
Total Diversified REITs             4,634,433  
Diversified Telecommunication Services — 7.1%                
AT&T, Inc.     1,880,447       38,925,253  
ATN International, Inc.     10,627       281,509  
Comcast Corp., Class A     1,073,730       26,360,071  
Iridium Communications, Inc.     71,841       3,940,479  
Verizon Communications, Inc.     866,910       36,704,969  
Total Diversified Telecommunication Services             106,212,281  
Electric Utilities — 6.8%                
Alliant Energy Corp.(a)     31,108       2,373,229  
American Electric Power Co., Inc.     128,371       17,562,436  
Duke Energy Corp.     220,672       27,932,662  
Edison International     87,214       6,493,082  
Evergy, Inc.     20,825       1,799,905  
Eversource Energy     60,918       4,402,544  
Exelon Corp.     262,993       12,260,734  
FirstEnergy Corp.     145,311       6,908,085  
OGE Energy Corp.     19,468       947,313  
Pinnacle West Capital Corp.(a)     11,100       1,187,700  
Portland General Electric Co.     9,371       485,699  
PPL Corp.     65,974       2,398,155  
Southern Co.     188,151       18,007,932  
Total Electric Utilities             102,759,476  
Energy Equipment & Services — 0.1%                
Archrock, Inc.     13,623       554,592  
Helmerich & Payne, Inc.     7,328       239,919  
Kodiak Gas Services, Inc.     6,746       506,827  
Patterson-UTI Energy, Inc.     30,531       280,275  
Total Energy Equipment & Services             1,581,613  
Entertainment — 0.0%                
CuriosityStream, Inc.     42,038       111,821  
Financial Services — 0.8%                
Alerus Financial Corp.     17,740       551,714  
Federal Agricultural Mortgage Corp., Class C     6,794       1,353,840  
HA Sustainable Infrastructure Capital, Inc.     74,963       2,927,305  
Jackson Financial, Inc., Class A     25,758       2,637,362  
NewtekOne, Inc.     19,036       281,923  
TFS Financial Corp.(a)     206,656       3,661,944  
UWM Holdings Corp.     170,250       389,873  
Waterstone Financial, Inc.     11,327       234,809  
Total Financial Services             12,038,770  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. High Dividend Fund (DHS)
June 30, 2026

 

 

Investments   Shares     Value  
Food Products — 3.4%                
Archer-Daniels-Midland Co.     85,851     $ 6,559,016  
Cal-Maine Foods, Inc.(a)     33,618       2,708,266  
Campbell's Company/The     136,220       3,033,619  
General Mills, Inc.     111,953       3,895,965  
Hershey Co.     33,871       5,942,667  
J M Smucker Co.     39,370       4,429,125  
Kraft Heinz Co.     270,104       6,379,857  
Mondelez International, Inc., Class A     221,174       12,792,704  
Tyson Foods, Inc., Class A     84,755       4,852,224  
Total Food Products             50,593,443  
Gas Utilities — 0.2%                
New Jersey Resources Corp.     8,235       461,489  
Northwest Natural Holding Co.     4,042       198,301  
ONE Gas, Inc.     5,263       405,619  
RGC Resources, Inc.(a)     813       19,431  
Southwest Gas Holdings, Inc.     5,534       490,755  
Spire, Inc.     3,833       299,319  
UGI Corp.     17,871       617,264  
Total Gas Utilities             2,492,178  
Health Care Equipment & Supplies — 0.0%                
Embecta Corp.     44,271       144,323  
Health Care Providers & Services — 1.9%                
CVS Health Corp.     278,938       28,856,136  
NRC Health     17,172       370,400  
Total Health Care Providers & Services             29,226,536  
Health Care REITs — 0.6%                
LTC Properties, Inc.     32,910       1,265,389  
Medical Properties Trust, Inc.     439,596       2,030,934  
Sabra Health Care REIT, Inc.(a)     178,395       3,480,486  
Sila Realty Trust, Inc.     39,032       1,185,012  
Universal Health Realty Income Trust     9,718       426,231  
Total Health Care REITs             8,388,052  
Hotel & Resort REITs — 0.0%                
Summit Hotel Properties, Inc.(a)     80,267       562,672  
Hotels, Restaurants & Leisure — 0.9%                
Darden Restaurants, Inc.     30,144       6,209,966  
Papa John's International, Inc.(a)     22,729       835,745  
Travel & Leisure Co.     37,501       2,866,201  
Vail Resorts, Inc.     22,499       3,063,239  
Wendy's Co.(a)     133,678       1,108,191  
Total Hotels, Restaurants & Leisure             14,083,342  
Household Durables — 0.0%                
Cricut, Inc., Class A     43,755       192,085  
Ethan Allen Interiors, Inc.(a)     15,201       339,590  
Total Household Durables             531,675  
Household Products — 1.0%                
Clorox Co.     45,243       4,317,992  
Energizer Holdings, Inc.(a)     47,257       1,013,190  
Kimberly-Clark Corp.     56,531       6,205,408  
Reynolds Consumer Products, Inc.(a)     103,943       2,790,869  
Total Household Products             14,327,459  
Independent Power & Renewable Electricity Producers — 0.1%                
AES Corp.     57,375       841,117  
Clearway Energy, Inc., Class C     2,354       80,460  
Total Independent Power & Renewable Electricity Producers             921,577  
Industrial REITs — 0.4%                
Americold Realty Trust, Inc.     197,263       3,100,974  
LXP Industrial Trust     41,958       2,260,697  
One Liberty Properties, Inc.     16,608       405,568  
Total Industrial REITs             5,767,239  
Insurance — 3.8%                
American Financial Group, Inc.     38,359       5,367,958  
Donegal Group, Inc., Class A(a)     18,077       340,932  
Fidelity National Financial, Inc.     79,035       3,727,291  
First American Financial Corp.     40,436       2,773,505  
Horace Mann Educators Corp.(a)     29,472       1,522,229  
Investors Title Co.     1,535       420,099  
Lincoln National Corp.     78,830       2,786,641  
MetLife, Inc.     203,406       17,210,182  
Principal Financial Group, Inc.     63,473       6,841,120  
Prudential Financial, Inc.     112,882       12,183,354  
RLI Corp.(a)     43,905       2,593,468  
Safety Insurance Group, Inc.     10,891       815,300  
Total Insurance             56,582,079  
Interactive Media & Services — 0.0%                
Shutterstock, Inc.     27,508       383,737  
IT Services — 2.0%                
Information Services Group, Inc.     35,099       144,257  
International Business Machines Corp.     107,361       30,190,987  
Total IT Services             30,335,244  
Leisure Products — 0.5%                
Hasbro, Inc.     58,621       4,841,508  
Johnson Outdoors, Inc., Class A     7,207       331,810  
Polaris, Inc.     32,890       2,250,992  
Smith & Wesson Brands, Inc.     31,760       477,671  
Total Leisure Products             7,901,981  
Machinery — 1.7%                
Douglas Dynamics, Inc.     16,757       904,040  
Omega Flex, Inc.     7,795       244,685  
PACCAR, Inc.     133,280       16,009,594  
Stanley Black & Decker, Inc.     59,485       5,598,728  
Trinity Industries, Inc.     56,456       1,952,249  
Wabash National Corp.     28,244       381,294  
Total Machinery             25,090,590  
Media — 1.0%                
Entravision Communications Corp., Class A(a)     56,840       741,194  
Gray Media, Inc.     66,533       264,136  
John Wiley & Sons, Inc., Class A     30,065       1,458,453  
Nexstar Media Group, Inc.     13,689       2,444,719  
Omnicom Group, Inc.     64,252       4,679,473  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. High Dividend Fund (DHS)
June 30, 2026

 

 

Investments   Shares     Value  
Sinclair, Inc.     33,629     $ 479,213  
Sirius XM Holdings, Inc.(a)     164,254       4,852,063  
Total Media             14,919,251  
Metals & Mining — 0.2%                
Kaiser Aluminum Corp.     10,509       2,055,876  
Mesabi Trust(a)     9,881       249,989  
Ryerson Holding Corp.     22,382       550,821  
Total Metals & Mining             2,856,686  
Multi-Utilities — 1.8%                
Avista Corp.     8,004       327,444  
Black Hills Corp.(a)     5,710       424,824  
Consolidated Edison, Inc.     48,325       5,346,195  
Dominion Energy, Inc.     179,481       12,256,757  
DTE Energy Co.     21,043       3,206,322  
Northwestern Energy Group, Inc.     4,881       349,577  
WEC Energy Group, Inc.     38,338       4,476,728  
Total Multi-Utilities             26,387,847  
Office REITs — 0.4%                
Highwoods Properties, Inc.(a)     78,613       2,370,968  
Postal Realty Trust, Inc., Class A     19,306       475,700  
SL Green Realty Corp.     52,571       2,721,601  
Total Office REITs             5,568,269  
Oil, Gas & Consumable Fuels — 8.0%                
Antero Midstream Corp.     41,166       936,526  
APA Corp.     27,672       901,277  
California Resources Corp.     7,140       377,492  
Chevron Corp.     198,631       32,925,075  
Chord Energy Corp.     4,329       494,805  
ConocoPhillips     94,635       9,838,255  
Crescent Energy Co., Class A(a)     20,650       202,783  
Diversified Energy Co.     6,352       88,039  
EOG Resources, Inc.     41,918       5,438,022  
Exxon Mobil Corp.     346,314       47,348,050  
Granite Ridge Resources, Inc.     9,463       41,732  
HF Sinclair Corp.     14,630       1,018,979  
Kinder Morgan, Inc.     179,981       5,753,993  
Matador Resources Co.     9,653       480,526  
Murphy Oil Corp.(a)     11,007       358,388  
Northern Oil & Gas, Inc.     8,445       153,277  
Permian Resources Corp., Class A     58,589       1,078,623  
Phillips 66     31,782       5,372,747  
Riley Exploration Permian, Inc.     1,255       41,365  
SandRidge Energy, Inc.     2,811       38,511  
Sunococorp LLC     4,247       287,394  
VAALCO Energy, Inc.(a)     8,567       43,520  
Williams Cos., Inc.     95,457       7,096,273  
Total Oil, Gas & Consumable Fuels             120,315,652  
Paper & Forest Products — 0.1%                
Sylvamo Corp.     28,192       1,065,658  
Personal Care Products — 0.2%                
Inter Parfums, Inc.(a)     22,135       2,476,021  
Pharmaceuticals — 8.9%                
Bristol-Myers Squibb Co.     600,801       34,618,154  
Merck & Co., Inc.     497,482       63,926,437  
Pfizer, Inc.     1,162,929       28,003,330  
Viatris, Inc.     426,234       6,768,596  
Total Pharmaceuticals             133,316,517  
Professional Services — 0.1%                
Concentrix Corp.(a)     43,063       964,827  
Kelly Services, Inc., Class A     23,218       285,117  
Kforce, Inc.     13,126       615,872  
Total Professional Services             1,865,816  
Residential REITs — 0.1%                
BRT Apartments Corp.     13,687       210,369  
UMH Properties, Inc.     60,686       918,786  
Total Residential REITs             1,129,155  
Retail REITs — 0.5%                
Alexander's, Inc.(a)     3,506       966,114  
Getty Realty Corp.(a)     40,053       1,336,168  
NNN REIT, Inc.     97,198       4,522,623  
Saul Centers, Inc.     17,439       652,044  
Total Retail REITs             7,476,949  
Semiconductors & Semiconductor Equipment — 5.2%                
Microchip Technology, Inc.     68,639       6,259,877  
NVE Corp.(a)     3,106       324,732  
Qualcomm, Inc.     87,533       16,175,223  
Skyworks Solutions, Inc.(a)     54,273       3,679,710  
Texas Instruments, Inc.     172,257       51,344,644  
Total Semiconductors & Semiconductor Equipment             77,784,186  
Software — 0.0%                
OneSpan, Inc.     26,947       386,689  
Specialized REITs — 0.7%                
EPR Properties     54,045       3,135,150  
Four Corners Property Trust, Inc.     75,509       1,853,746  
Millrose Properties, Inc.     104,655       3,144,883  
National Storage Affiliates Trust     53,519       2,379,990  
Total Specialized REITs             10,513,769  
Specialty Retail — 1.1%                
Bath & Body Works, Inc.     121,014       2,799,054  
Best Buy Co., Inc.     80,027       6,072,449  
Buckle, Inc.     36,478       1,539,372  
Haverty Furniture Cos., Inc.     11,189       285,655  
Monro, Inc.(a)     21,515       368,122  
Penske Automotive Group, Inc.     20,298       3,632,327  
Upbound Group, Inc.     35,219       747,347  
Winmark Corp.(a)     2,393       1,012,430  
Total Specialty Retail             16,456,756  
Textiles, Apparel & Luxury Goods — 0.1%                
Carter's, Inc.     25,854       1,064,151  
Movado Group, Inc.     11,660       458,354  
Total Textiles, Apparel & Luxury Goods             1,522,505  
Tobacco — 7.0%                
Altria Group, Inc.     789,332       56,792,437  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. High Dividend Fund (DHS)
June 30, 2026

 

 

Investments   Shares     Value  
Philip Morris International, Inc.     261,483     $ 47,304,890  
Universal Corp.     17,891       933,373  
Total Tobacco             105,030,700  
Trading Companies & Distributors — 0.3%                
Global Industrial Co.     27,156       908,640  
Karat Packaging, Inc.     14,028       469,377  
MSC Industrial Direct Co., Inc., Class A     29,725       3,535,788  
Total Trading Companies & Distributors             4,913,805  
Water Utilities — 0.1%                
Artesian Resources Corp., Class A     755       25,663  
Essential Utilities, Inc.     22,598       865,729  
Total Water Utilities             891,392  
Wireless Telecommunication Services — 0.0%                
Spok Holdings, Inc.     15,542       159,150  
Total United States             1,489,066,914  
Puerto Rico — 0.2%                
Banks — 0.2%                
First BanCorp     108,746       2,835,008  
TOTAL COMMON STOCKS
(COST: $1,262,301,753)
            1,491,901,922  
EXCHANGE-TRADED FUND — 0.3%                
United States — 0.3%                
WisdomTree U.S. Total Dividend Fund(b)                
                 
(Cost: $4,030,774)     43,723       4,077,030  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $1,072,432)     1,072,432       1,072,432  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.7%                
United States — 0.7%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     5,586,924       5,586,924  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     5,100,000       5,100,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $10,686,924)
            10,686,924  
TOTAL INVESTMENTS IN SECURITIES — 100.5%
(Cost: $1,278,091,883)
            1,507,738,308  
Other Liabilities less Assets — (0.5)%             (7,925,300 )
NET ASSETS — 100.0%           $ 1,499,813,008  

 

(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $75,583,218 and the total market value of the collateral held by the Fund was $77,198,260. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $66,511,336.
(b) Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(c) Rate shown represents annualized 7-day yield as of June 30, 2026.

 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. High Dividend Fund (DHS)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
 Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $47,500,000   $42,400,000   $   $   $5,100,000   $  $ 36,628  
WisdomTree U.S. Total Dividend Fund       11,005,879    7,026,560    51,455    46,256    4,077,030    23,979     
Total  $   $58,505,879   $49,426,560   $51,455   $46,256   $9,177,030   $23,979  $ 36,628  

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities    
Common Stocks  $1,491,901,922   $   $   $1,491,901,922 
Exchange-Traded Fund   4,077,030            4,077,030 
Mutual Fund       1,072,432        1,072,432 
Investment of Cash Collateral for Securities Loaned       10,686,924        10,686,924 
Total Investments in Securities  $1,495,978,952   $11,759,356   $   $1,507,738,308 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. LargeCap Dividend Fund (DLN)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 99.9%
Aerospace & Defense — 2.6%                
Curtiss-Wright Corp.     1,142     $ 865,362  
General Dynamics Corp.     57,511       20,372,697  
General Electric Co.     64,194       23,991,223  
HEICO Corp., Class A     4,700       1,212,177  
HEICO Corp.     2,369       843,814  
Honeywell Aerospace, Inc.*     28       6,190  
Howmet Aerospace, Inc.     17,473       4,697,791  
L3Harris Technologies, Inc.     25,347       7,365,585  
Lockheed Martin Corp.     57,650       29,370,369  
Northrop Grumman Corp.     19,124       9,740,044  
RTX Corp.     174,049       33,022,317  
TransDigm Group, Inc.     20,534       27,352,109  
Woodward, Inc.     3,041       1,293,763  
Total Aerospace & Defense             160,133,441  
Air Freight & Logistics — 0.3%                
CH Robinson Worldwide, Inc.     21,261       4,004,297  
Expeditors International of Washington, Inc.     12,836       2,092,011  
FedEx Corp.     40,292       12,616,634  
Total Air Freight & Logistics             18,712,942  
Automobiles — 0.4%                
Ford Motor Co.     1,400,099       19,461,376  
General Motors Co.     60,997       4,701,649  
Total Automobiles             24,163,025  
Banks — 8.0%                
Bank of America Corp.     1,224,958       69,798,107  
Citigroup, Inc.     333,931       46,736,983  
Citizens Financial Group, Inc.     116,458       8,160,212  
Fifth Third Bancorp     197,429       11,129,073  
First Citizens BancShares, Inc., Class A     722       1,502,330  
Huntington Bancshares, Inc.     436,160       7,733,117  
JPMorgan Chase & Co.     540,794       177,018,100  
KeyCorp     363,988       8,389,923  
M&T Bank Corp.     37,715       8,976,547  
PNC Financial Services Group, Inc.     108,078       26,610,965  
Regions Financial Corp.     293,473       8,862,885  
Truist Financial Corp.     445,835       22,211,500  
U.S. Bancorp     510,018       30,805,087  
Wells Fargo & Co.     775,389       64,078,147  
Total Banks             492,012,976  
Beverages — 2.4%                
Coca-Cola Co.     1,003,601       81,562,653  
Constellation Brands, Inc., Class A     42,622       5,928,294  
PepsiCo, Inc.     427,857       57,931,838  
Total Beverages             145,422,785  
Biotechnology — 3.6%                
AbbVie, Inc.     427,824       107,657,631  
Amgen, Inc.     179,650       65,054,858  
Gilead Sciences, Inc.     377,594       47,705,226  
Regeneron Pharmaceuticals, Inc.     4,927       3,072,182  
Total Biotechnology             223,489,897  
Broadline Retail — 0.1%                
eBay, Inc.     77,916       8,707,113  
Capital Markets — 5.6%                
Ameriprise Financial, Inc.     10,686       4,902,309  
Ares Management Corp., Class A(a)     46,351       5,159,330  
Bank of New York Mellon Corp.     159,300       23,036,373  
Blackrock, Inc.     23,486       22,583,198  
Blackstone, Inc.     181,734       21,384,640  
Carlyle Group, Inc.(a)     80,478       3,388,929  
Cboe Global Markets, Inc.     13,785       3,345,206  
Charles Schwab Corp.     169,345       15,625,463  
CME Group, Inc.     52,161       11,518,714  
Goldman Sachs Group, Inc.     69,392       70,180,987  
Interactive Brokers Group, Inc., Class A     28,853       2,511,365  
Intercontinental Exchange, Inc.     57,642       7,096,307  
KKR & Co., Inc.     47,924       4,398,465  
LPL Financial Holdings, Inc.     4,061       1,143,902  
Moody's Corp.     16,612       7,523,907  
Morgan Stanley     441,795       92,352,827  
MSCI, Inc.     8,627       4,831,465  
Nasdaq, Inc.     55,396       4,366,313  
Northern Trust Corp.     39,120       6,800,621  
Raymond James Financial, Inc.     21,435       3,258,763  
S&P Global, Inc.     19,121       7,787,218  
State Street Corp.     59,278       10,053,549  
T Rowe Price Group, Inc.     80,387       9,139,198  
Tradeweb Markets, Inc., Class A     7,022       699,812  
Total Capital Markets             343,088,861  
Chemicals — 0.4%                
Corteva, Inc.     57,815       4,896,352  
Ecolab, Inc.     22,834       6,361,781  
PPG Industries, Inc.     49,614       6,017,682  
Sherwin-Williams Co.     18,877       6,499,729  
Total Chemicals             23,775,544  
Commercial Services & Supplies — 0.2%                
Cintas Corp.     31,328       5,328,266  
Republic Services, Inc.     28,301       6,030,377  
Rollins, Inc.     64,945       2,710,805  
Veralto Corp.     13,263       1,176,163  
Total Commercial Services & Supplies             15,245,611  
Communications Equipment — 1.3%                
Cisco Systems, Inc.     672,418       78,982,218  
Ubiquiti, Inc.     3,735       1,994,602  
Total Communications Equipment             80,976,820  
Construction & Engineering — 0.1%                
Comfort Systems USA, Inc.     1,492       2,957,070  
EMCOR Group, Inc.     1,983       1,645,652  
Quanta Services, Inc.     6,084       4,380,723  
Total Construction & Engineering             8,983,445  
Construction Materials — 0.1%                
Martin Marietta Materials, Inc.     3,824       2,205,301  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Dividend Fund (DLN)
June 30, 2026

 

 

Investments   Shares     Value  
Vulcan Materials Co.     9,453     $ 2,788,729  
Total Construction Materials             4,994,030  
Consumer Finance — 0.7%                
American Express Co.     72,816       24,630,012  
Capital One Financial Corp.     72,941       14,633,423  
Synchrony Financial     68,598       5,216,878  
Total Consumer Finance             44,480,313  
Consumer Staples Distribution & Retail — 2.0%                
Casey's General Stores, Inc.     1,321       1,049,918  
Costco Wholesale Corp.     20,080       18,784,238  
Dollar General Corp.     36,369       4,186,436  
Kroger Co.     110,410       6,131,067  
Sysco Corp.     113,113       9,453,984  
Target Corp.     160,598       20,975,705  
Walmart, Inc.     524,106       59,360,245  
Total Consumer Staples Distribution & Retail             119,941,593  
Containers & Packaging — 0.1%                
Packaging Corp. of America     19,338       4,607,859  
Distributors — 0.1%                
Genuine Parts Co.     33,531       3,955,987  
Diversified Telecommunication Services — 2.4%                
AT&T, Inc.     2,523,539       52,237,257  
Comcast Corp., Class A     1,240,504       30,454,373  
Verizon Communications, Inc.     1,509,201       63,899,571  
Total Diversified Telecommunication Services             146,591,201  
Electric Utilities — 3.8%                
Alliant Energy Corp.(a)     87,611       6,683,843  
American Electric Power Co., Inc.     196,229       26,846,089  
Constellation Energy Corp.     16,791       4,170,381  
Duke Energy Corp.     287,147       36,347,067  
Edison International     146,666       10,919,284  
Entergy Corp.     97,050       11,147,163  
Evergy, Inc.     65,809       5,687,872  
Eversource Energy     142,289       10,283,226  
Exelon Corp.     374,573       17,462,593  
FirstEnergy Corp.(a)     212,788       10,115,942  
NextEra Energy, Inc.     442,341       38,824,270  
NRG Energy, Inc.     24,258       3,543,123  
PG&E Corp.     120,053       2,019,291  
PPL Corp.     186,419       6,776,331  
Southern Co.(a)     298,087       28,529,907  
Xcel Energy, Inc.(a)     137,774       11,063,252  
Total Electric Utilities             230,419,634  
Electrical Equipment — 0.7%                
AMETEK, Inc.     11,646       2,817,633  
Emerson Electric Co.     73,343       10,499,050  
GE Vernova, Inc.     10,524       12,364,227  
Hubbell, Inc.     5,657       2,959,742  
Rockwell Automation, Inc.     20,247       10,023,885  
Vertiv Holdings Co., Class A     14,757       4,940,939  
Total Electrical Equipment             43,605,476  
Electronic Equipment, Instruments & Components — 0.9%                
Amphenol Corp., Class A     103,064       18,172,245  
Corning, Inc.     138,082       35,270,285  
Jabil, Inc.     4,669       1,799,806  
Total Electronic Equipment, Instruments & Components             55,242,336  
Energy Equipment & Services — 0.3%                
Baker Hughes Co.     212,900       11,815,950  
Halliburton Co.     170,744       5,796,759  
Total Energy Equipment & Services             17,612,709  
Entertainment — 0.2%                
Walt Disney Co.     137,774       13,260,748  
Financial Services — 1.5%                
Apollo Global Management, Inc.(a)     71,002       8,400,247  
Global Payments, Inc.(a)     21,507       1,560,548  
Mastercard, Inc., Class A     40,292       20,693,971  
PayPal Holdings, Inc.     68,270       2,947,899  
Visa, Inc., Class A     168,168       57,696,759  
Total Financial Services             91,299,424  
Food Products — 0.7%                
Archer-Daniels-Midland Co.     129,019       9,857,052  
General Mills, Inc.(a)     188,246       6,550,961  
Hershey Co.     35,009       6,142,329  
Kraft Heinz Co.     438,900       10,366,818  
McCormick & Co., Inc., Non-Voting Shares     56,579       2,852,713  
Tyson Foods, Inc., Class A     83,670       4,790,107  
Total Food Products             40,559,980  
Gas Utilities — 0.1%                
Atmos Energy Corp.     44,635       7,689,271  
Ground Transportation — 0.7%                
CSX Corp.     217,080       10,317,812  
Old Dominion Freight Line, Inc.     12,496       2,706,634  
Union Pacific Corp.     112,804       30,682,688  
Total Ground Transportation             43,707,134  
Health Care Equipment & Supplies — 0.7%                
Abbott Laboratories     261,617       23,739,127  
Becton Dickinson & Co.     47,937       7,254,306  
GE HealthCare Technologies, Inc.     19,128       1,224,383  
ResMed, Inc.(a)     15,898       3,098,202  
Stryker Corp.     28,459       8,960,032  
Zimmer Biomet Holdings, Inc.(a)     12,880       1,108,839  
Total Health Care Equipment & Supplies             45,384,889  
Health Care Providers & Services — 2.5%                
Cardinal Health, Inc.     28,084       6,671,635  
Cencora, Inc.     11,279       3,191,731  
Cigna Group     49,764       13,718,939  
CVS Health Corp.     363,706       37,625,386  
HCA Healthcare, Inc.     16,094       6,274,890  
Labcorp Holdings, Inc.     7,326       2,051,280  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Dividend Fund (DLN)
June 30, 2026

 

 

Investments   Shares     Value  
McKesson Corp.     5,643     $ 4,263,851  
Quest Diagnostics, Inc.     14,489       3,070,944  
UnitedHealth Group, Inc.     189,433       78,734,038  
Total Health Care Providers & Services             155,602,694  
Health Care REITs — 0.6%                
Ventas, Inc.     129,045       11,459,196  
Welltower, Inc.     116,565       26,456,758  
Total Health Care REITs             37,915,954  
Hotels, Restaurants & Leisure — 1.7%                
Booking Holdings, Inc.     47,736       8,508,465  
Darden Restaurants, Inc.     32,272       6,648,355  
Expedia Group, Inc.     8,565       2,191,612  
Hilton Worldwide Holdings, Inc.     11,520       3,806,899  
Las Vegas Sands Corp.     125,590       5,801,002  
Marriott International, Inc., Class A     19,324       7,161,281  
McDonald's Corp.     138,604       37,466,047  
Starbucks Corp.     261,276       26,699,794  
Yum! Brands, Inc.     42,353       6,770,551  
Total Hotels, Restaurants & Leisure             105,054,006  
Household Durables — 0.1%                
DR Horton, Inc.     27,129       4,418,772  
PulteGroup, Inc.     15,867       2,177,111  
Somnigroup International, Inc.     9,128       715,635  
Total Household Durables             7,311,518  
Household Products — 1.8%                
Church & Dwight Co., Inc.     31,029       3,006,090  
Colgate-Palmolive Co.     173,794       15,933,434  
Kimberly-Clark Corp.(a)     116,764       12,817,184  
Procter & Gamble Co.     540,180       79,211,995  
Total Household Products             110,968,703  
Independent Power & Renewable Electricity Producers — 0.1%                
Vistra Corp.     22,261       3,531,262  
Industrial Conglomerates — 0.4%                
3M Co.     71,596       11,592,109  
Honeywell International, Inc.     62,578       14,011,214  
Total Industrial Conglomerates             25,603,323  
Industrial REITs — 0.5%                
Prologis, Inc.     237,243       32,139,309  
Insurance — 1.9%                
Aflac, Inc.     100,005       11,725,586  
Allstate Corp.     61,120       14,542,893  
American International Group, Inc.     104,976       7,823,861  
Cincinnati Financial Corp.     27,567       5,103,754  
Hartford Insurance Group, Inc.     60,172       7,973,993  
Loews Corp.     16,047       1,816,681  
Marsh & McLennan Cos., Inc.     73,766       12,294,579  
MetLife, Inc.     160,133       13,548,853  
Principal Financial Group, Inc.     69,769       7,519,703  
Progressive Corp.     25,286       5,523,727  
Prudential Financial, Inc.     116,602       12,584,854  
Travelers Cos., Inc.     41,879       13,825,096  
WR Berkley Corp.     33,804       2,384,196  
Total Insurance             116,667,776  
Interactive Media & Services — 4.6%                
Alphabet, Inc., Class A     249,272       89,082,335  
Alphabet, Inc., Class C     229,946       81,246,820  
Meta Platforms, Inc., Class A     195,291       110,005,467  
Total Interactive Media & Services             280,334,622  
IT Services — 1.1%                
Cognizant Technology Solutions Corp., Class A     58,329       2,259,082  
International Business Machines Corp.     214,109       60,209,592  
VeriSign, Inc.     13,354       3,359,332  
Total IT Services             65,828,006  
Life Sciences Tools & Services — 0.3%                
Agilent Technologies, Inc.     16,538       2,196,743  
Danaher Corp.     32,900       6,266,792  
Thermo Fisher Scientific, Inc.     15,081       7,561,010  
West Pharmaceutical Services, Inc.     4,142       1,486,978  
Total Life Sciences Tools & Services             17,511,523  
Machinery — 2.3%                
Caterpillar, Inc.     38,576       41,079,582  
Cummins, Inc.     25,817       18,412,943  
Deere & Co.     28,962       18,371,466  
Dover Corp.     11,752       2,635,739  
Fortive Corp.     23,642       1,444,290  
Illinois Tool Works, Inc.     60,307       16,311,234  
Otis Worldwide Corp.     52,519       3,760,360  
PACCAR, Inc.     168,185       20,202,382  
Parker-Hannifin Corp.     12,583       12,307,684  
Westinghouse Air Brake Technologies Corp.     7,400       1,995,040  
Xylem, Inc.     20,873       2,467,397  
Total Machinery             138,988,117  
Media — 0.1%                
Fox Corp., Class B     22,209       1,040,270  
Fox Corp., Class A(a)     23,396       1,220,335  
Paramount Skydance Corp., Class B     99,557       981,632  
Total Media             3,242,237  
Metals & Mining — 0.5%                
Freeport-McMoRan, Inc.     158,273       9,953,789  
Newmont Corp.     142,643       13,322,856  
Nucor Corp.     25,527       5,686,139  
Steel Dynamics, Inc.     13,421       3,079,583  
Total Metals & Mining             32,042,367  
Multi-Utilities — 1.7%                
Ameren Corp.     88,642       10,020,092  
CenterPoint Energy, Inc.(a)     118,717       5,228,297  
CMS Energy Corp.(a)     75,341       5,763,587  
Consolidated Edison, Inc.     101,854       11,268,108  
Dominion Energy, Inc.     292,668       19,986,298  
DTE Energy Co.     54,157       8,251,902  
NiSource, Inc.     145,426       6,915,006  
Public Service Enterprise Group, Inc.     130,078       10,557,130  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Dividend Fund (DLN)
June 30, 2026

 

 

Investments   Shares     Value  
Sempra     151,864     $ 14,079,311  
WEC Energy Group, Inc.     87,286       10,192,386  
Total Multi-Utilities             102,262,117  
Oil, Gas & Consumable Fuels — 6.7%                
Cheniere Energy, Inc.     17,898       4,277,801  
Chevron Corp.     545,039       90,345,665  
ConocoPhillips     366,553       38,106,850  
Devon Energy Corp.     258,748       10,691,467  
Diamondback Energy, Inc.     59,818       10,514,808  
EOG Resources, Inc.     162,600       21,094,098  
EQT Corp.     50,528       2,686,574  
Expand Energy Corp.     35,333       3,222,016  
Exxon Mobil Corp.     830,394       113,531,468  
Kinder Morgan, Inc.     744,850       23,812,855  
Marathon Petroleum Corp.     51,393       13,139,648  
Occidental Petroleum Corp.     189,051       9,182,207  
Phillips 66     111,348       18,823,379  
Targa Resources Corp.     38,136       10,225,787  
Texas Pacific Land Corp.     3,965       1,735,243  
Valero Energy Corp.     63,580       16,558,775  
Venture Global, Inc., Class A(a)     41,029       456,653  
Williams Cos., Inc.     311,066       23,124,646  
Total Oil, Gas & Consumable Fuels             411,529,940  
Passenger Airlines — 0.2%                
Delta Air Lines, Inc.     60,423       5,659,218  
Southwest Airlines Co.     84,704       4,355,480  
Total Passenger Airlines             10,014,698  
Personal Care Products — 0.0%                
Estee Lauder Cos., Inc., Class A     24,050       1,898,748  
Pharmaceuticals — 6.2%                
Bristol-Myers Squibb Co.     686,636       39,563,966  
Eli Lilly & Co.     66,654       79,946,807  
Johnson & Johnson     491,624       124,857,747  
Merck & Co., Inc.     668,765       85,936,303  
Pfizer, Inc.     2,023,212       48,718,945  
Zoetis, Inc.     57,131       4,105,434  
Total Pharmaceuticals             383,129,202  
Professional Services — 0.4%                
Automatic Data Processing, Inc.     86,030       19,266,418  
Broadridge Financial Solutions, Inc.     15,568       2,132,038  
Equifax, Inc.     5,648       896,451  
Leidos Holdings, Inc.     7,767       799,768  
SS&C Technologies Holdings, Inc.     13,143       815,523  
UL Solutions, Inc., Class A(a)     4,756       484,446  
Verisk Analytics, Inc.     8,833       1,585,788  
Total Professional Services             25,980,432  
Residential REITs — 0.3%                
AvalonBay Communities, Inc.     46,152       8,708,421  
Equity Residential     146,999       9,985,642  
Total Residential REITs             18,694,063  
Retail REITs — 0.8%                
Realty Income Corp.     325,772       20,184,833  
Simon Property Group, Inc.     120,274       26,899,280  
Total Retail REITs             47,084,113  
Semiconductors & Semiconductor Equipment — 10.6%                
Analog Devices, Inc.     56,650       22,499,681  
Applied Materials, Inc.     43,762       31,639,926  
Broadcom, Inc.     353,871       133,674,770  
KLA Corp.     99,754       30,096,779  
Lam Research Corp.     98,889       42,851,570  
Marvell Technology, Inc.     30,571       9,106,795  
Micron Technology, Inc.     44,491       51,355,516  
Monolithic Power Systems, Inc.     3,735       5,163,115  
NVIDIA Corp.     1,099,925       220,083,993  
Qualcomm, Inc.     178,539       32,992,222  
Teradyne, Inc.     6,016       2,910,782  
Texas Instruments, Inc.     227,866       67,920,019  
Total Semiconductors & Semiconductor Equipment             650,295,168  
Software — 4.4%                
Intuit, Inc.     16,555       4,320,855  
Microsoft Corp.     607,272       226,524,601  
Oracle Corp.     222,422       32,595,944  
Salesforce, Inc.     52,421       8,212,274  
Total Software             271,653,674  
Specialized REITs — 1.7%                
American Tower Corp.     142,022       23,230,538  
Digital Realty Trust, Inc.     84,465       15,168,225  
Equinix, Inc.     20,148       21,002,074  
Extra Space Storage, Inc.     71,247       10,352,189  
Iron Mountain, Inc.     94,957       11,994,018  
Public Storage     60,938       19,397,175  
SBA Communications Corp.     18,765       3,311,272  
Total Specialized REITs             104,455,491  
Specialty Retail — 2.1%                
Dick's Sporting Goods, Inc.     12,229       2,773,659  
Home Depot, Inc.     205,392       72,437,651  
Lowe's Cos., Inc.     87,825       19,364,534  
Ross Stores, Inc.     22,986       4,892,570  
TJX Cos., Inc.     149,038       22,579,257  
Tractor Supply Co.     64,812       2,048,707  
Williams-Sonoma, Inc.     15,267       3,558,738  
Total Specialty Retail             127,655,116  
Technology Hardware, Storage & Peripherals — 2.9%                
Apple, Inc.     462,929       133,953,136  
Dell Technologies, Inc., Class C     42,273       18,239,109  
Hewlett Packard Enterprise Co.     243,911       11,002,825  
NetApp, Inc.     28,515       4,412,981  
Western Digital Corp.     15,622       9,978,084  
Total Technology Hardware, Storage & Peripherals             177,586,135  
Textiles, Apparel & Luxury Goods — 0.3%                
NIKE, Inc., Class B     237,183       9,736,362  
Ralph Lauren Corp.     4,945       1,984,973  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Dividend Fund (DLN)
June 30, 2026

 

 

Investments   Shares     Value  
Tapestry, Inc.     34,206     $ 5,007,074  
Total Textiles, Apparel & Luxury Goods             16,728,409  
Tobacco — 2.1%                
Altria Group, Inc.     599,804       43,155,898  
Philip Morris International, Inc.     486,628       88,035,871  
Total Tobacco             131,191,769  
Trading Companies & Distributors — 0.4%                
Fastenal Co.     193,223       9,280,501  
Ferguson Enterprises, Inc.     32,940       7,817,650  
United Rentals, Inc.     4,644       5,261,141  
WW Grainger, Inc.     3,412       4,641,685  
Total Trading Companies & Distributors             27,000,977  
Water Utilities — 0.1%                
American Water Works Co., Inc.     38,420       5,055,304  
Wireless Telecommunication Services — 0.5%                
T-Mobile U.S., Inc.     177,630       29,793,880  
TOTAL COMMON STOCKS
(COST: $4,350,961,331)
            6,132,815,697  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $5,989,271)     5,989,271       5,989,271  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.1%                
United States — 0.1%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)     4,593,365       4,593,365  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     4,200,000       4,200,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $8,793,365)
            8,793,365  
TOTAL INVESTMENTS IN SECURITIES — 100.1%
(Cost: $4,365,743,967)
            6,147,598,333  
Other Liabilities less Assets — (0.1)%             (5,019,666 )
NET ASSETS — 100.0%           $ 6,142,578,667  
         

 

* Non-income producing security.
(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $78,310,667 and the total market value of the collateral held by the Fund was $80,835,729. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $72,042,364.
(b) Rate shown represents annualized 7-day yield as of June 30, 2026.
(c) Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments(unaudited) (concluded)
WisdomTree U.S. LargeCap Dividend Fund (DLN)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $7,900,000   $3,700,000   $   $   $4,200,000   $3,003 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $6,132,815,697   $   $   $6,132,815,697 
Mutual Fund       5,989,271        5,989,271 
Investment of Cash Collateral for Securities Loaned       8,793,365        8,793,365 
Total Investments in Securities  $6,132,815,697   $14,782,636   $   $6,147,598,333 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 99.4%
Aerospace & Defense — 1.2%                
AeroVironment, Inc.*(a)     397     $ 65,533  
ATI, Inc.*     922       181,726  
BWX Technologies, Inc.     671       130,610  
Carpenter Technology Corp.     331       204,174  
Curtiss-Wright Corp.     258       195,502  
FTAI Aviation Ltd.     807       218,318  
General Dynamics Corp.     6,148       2,177,867  
General Electric Co.     11,715       4,378,247  
HEICO Corp.     690       245,771  
Honeywell Aerospace, Inc.*     8,500       1,879,180  
Howmet Aerospace, Inc.     3,630       975,962  
Kratos Defense & Security Solutions, Inc.*(a)     1,222       60,929  
L3Harris Technologies, Inc.     3,531       1,026,073  
Northrop Grumman Corp.     3,199       1,629,283  
RTX Corp.     26,061       4,944,553  
Textron, Inc.     3,601       330,320  
TransDigm Group, Inc.     676       900,459  
Woodward, Inc.     318       135,290  
Total Aerospace & Defense             19,679,797  
Air Freight & Logistics — 0.4%                
CH Robinson Worldwide, Inc.     893       168,188  
Expeditors International of Washington, Inc.     2,034       331,501  
FedEx Corp.     8,126       2,544,494  
United Parcel Service, Inc., Class B     34,175       3,673,813  
Total Air Freight & Logistics             6,717,996  
Automobile Components — 0.0%                
Aptiv PLC*     8,626       529,464  
Versigent PLC*     2,875       120,779  
Total Automobile Components             650,243  
Automobiles — 1.2%                
Ford Motor Co.     213,916       2,973,432  
General Motors Co.     66,356       5,114,721  
Tesla, Inc.*     26,065       10,962,939  
Total Automobiles             19,051,092  
Banks — 5.5%                
Bank of America Corp.     285,651       16,276,394  
Citigroup, Inc.     67,797       9,488,868  
Citizens Financial Group, Inc.     12,842       899,839  
East West Bancorp, Inc.     3,745       483,442  
Fifth Third Bancorp     23,452       1,321,989  
First Citizens BancShares, Inc., Class A     536       1,115,303  
Huntington Bancshares, Inc.     52,671       933,857  
JPMorgan Chase & Co.     100,095       32,764,096  
KeyCorp     31,969       736,886  
M&T Bank Corp.     5,709       1,358,799  
PNC Financial Services Group, Inc.     15,513       3,819,611  
Regions Financial Corp.     35,799       1,081,130  
Truist Financial Corp.     52,471       2,614,105  
U.S. Bancorp     68,023       4,108,589  
Wells Fargo & Co.     122,232       10,101,253  
Total Banks             87,104,161  
Beverages — 1.0%                
Coca-Cola Co.     97,796       7,947,881  
Constellation Brands, Inc., Class A     7,657       1,065,012  
Monster Beverage Corp.*     12,039       1,157,189  
PepsiCo, Inc.     38,623       5,229,554  
Total Beverages             15,399,636  
Biotechnology — 1.9%                
AbbVie, Inc.     39,395       9,913,358  
Alnylam Pharmaceuticals, Inc.*     956       287,785  
Amgen, Inc.     18,462       6,685,459  
Biogen, Inc.*     5,878       1,270,001  
Gilead Sciences, Inc.     43,217       5,460,036  
Incyte Corp.*     4,067       461,035  
Natera, Inc.*     1,313       356,414  
Neurocrine Biosciences, Inc.*     747       125,895  
Regeneron Pharmaceuticals, Inc.     3,498       2,181,143  
United Therapeutics Corp.*     941       509,862  
Vertex Pharmaceuticals, Inc.*     4,755       2,361,951  
Total Biotechnology             29,612,939  
Broadline Retail — 5.8%                
Amazon.com, Inc.*     377,868       90,061,059  
eBay, Inc.     14,470       1,617,023  
Total Broadline Retail             91,678,082  
Building Products — 0.3%                
Allegion PLC     1,359       190,926  
Carlisle Cos., Inc.     758       274,964  
Johnson Controls International PLC     9,977       1,457,739  
Lennox International, Inc.     503       288,194  
Masco Corp.     3,781       307,660  
Trane Technologies PLC     3,173       1,558,451  
Total Building Products             4,077,934  
Capital Markets — 3.3%                
Ameriprise Financial, Inc.     3,889       1,784,118  
Ares Management Corp., Class A     2,839       316,009  
Bank of New York Mellon Corp.     21,532       3,113,742  
Blackrock, Inc.     3,567       3,429,885  
Blackstone, Inc.     10,749       1,264,835  
Carlyle Group, Inc.     8,121       341,975  
Cboe Global Markets, Inc.     1,521       369,101  
Charles Schwab Corp.     45,303       4,180,108  
CME Group, Inc.     7,034       1,553,318  
Coinbase Global, Inc., Class A*(a)     5,909       863,837  
Goldman Sachs Group, Inc.     10,268       10,384,747  
Interactive Brokers Group, Inc., Class A     4,388       381,931  
Intercontinental Exchange, Inc.     11,968       1,473,380  
KKR & Co., Inc.     16,703       1,533,001  
LPL Financial Holdings, Inc.     1,567       441,393  
Moody's Corp.     2,391       1,082,932  
Morgan Stanley     47,870       10,006,745  
MSCI, Inc.     845       473,234  
Nasdaq, Inc.     8,609       678,561  
Northern Trust Corp.     5,513       958,380  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
Raymond James Financial, Inc.     6,748     $ 1,025,898  
Robinhood Markets, Inc., Class A*     8,183       820,591  
S&P Global, Inc.     5,333       2,171,918  
State Street Corp.     11,738       1,990,765  
T Rowe Price Group, Inc.     6,772       769,909  
Tradeweb Markets, Inc., Class A     1,339       133,445  
Total Capital Markets             51,543,758  
Chemicals — 0.7%                
Corteva, Inc.     15,791       1,337,340  
DuPont de Nemours, Inc.     2,517       341,406  
Ecolab, Inc.     3,401       947,553  
International Flavors & Fragrances, Inc.     4,914       389,287  
Linde PLC     9,918       5,146,847  
PPG Industries, Inc.     6,705       813,249  
RPM International, Inc.     2,225       247,309  
Sherwin-Williams Co.     4,188       1,442,012  
Total Chemicals             10,665,003  
Commercial Services & Supplies — 0.1%                
Cintas Corp.     4,823       820,296  
Republic Services, Inc.     4,034       859,565  
Rollins, Inc.     4,948       206,529  
Veralto Corp.     3,517       311,888  
Total Commercial Services & Supplies             2,198,278  
Communications Equipment — 1.6%                
Arista Networks, Inc.*     21,119       3,587,696  
Ciena Corp.*     4,630       2,271,293  
Cisco Systems, Inc.     120,664       14,173,193  
F5, Inc.*     4,133       1,719,162  
Lumentum Holdings, Inc.*     2,785       2,389,697  
Ubiquiti, Inc.     2,025       1,081,411  
Total Communications Equipment             25,222,452  
Construction & Engineering — 0.2%                
AECOM     578       40,344  
API Group Corp.*     1,929       81,693  
Comfort Systems USA, Inc.     283       560,892  
EMCOR Group, Inc.     553       458,924  
MasTec, Inc.*     432       179,738  
Quanta Services, Inc.     1,455       1,047,658  
Total Construction & Engineering             2,369,249  
Construction Materials — 0.2%                
Amrize Ltd.*     5,587       297,787  
CRH PLC     15,039       1,609,173  
Martin Marietta Materials, Inc.     747       430,795  
Vulcan Materials Co.     1,367       403,279  
Total Construction Materials             2,741,034  
Consumer Finance — 0.7%                
Ally Financial, Inc.     7,695       353,585  
American Express Co.     14,354       4,855,241  
Capital One Financial Corp.     21,883       4,390,168  
SoFi Technologies, Inc.*     3,140       56,300  
Synchrony Financial     22,964       1,746,412  
Total Consumer Finance             11,401,706  
Consumer Staples Distribution & Retail — 1.2%                
Casey's General Stores, Inc.     360       286,124  
Costco Wholesale Corp.     4,588       4,291,936  
Dollar General Corp.     4,187       481,966  
Dollar Tree, Inc.*     1,880       227,386  
Kroger Co.     20,722       1,150,693  
Performance Food Group Co.*     1,793       200,440  
Sysco Corp.     11,799       986,160  
U.S. Foods Holding Corp.*     2,750       281,188  
Walmart, Inc.     96,801       10,963,681  
Total Consumer Staples Distribution & Retail             18,869,574  
Containers & Packaging — 0.1%                
Avery Dennison Corp.     767       124,522  
Ball Corp.     5,505       343,512  
Packaging Corp. of America     1,403       334,307  
Total Containers & Packaging             802,341  
Distributors — 0.0%                
Genuine Parts Co.     3,034       357,951  
Diversified REITs — 0.0%                
WP Carey, Inc.     1,434       102,531  
Diversified Telecommunication Services — 1.5%                
AT&T, Inc.     325,177       6,731,164  
Comcast Corp., Class A     259,141       6,361,912  
Verizon Communications, Inc.     266,615       11,288,479  
Total Diversified Telecommunication Services             24,381,555  
Electric Utilities — 1.3%                
Alliant Energy Corp.(a)     4,354       332,167  
American Electric Power Co., Inc.     13,459       1,841,326  
Constellation Energy Corp.     3,786       940,329  
Duke Energy Corp.     21,272       2,692,610  
Edison International     16,773       1,248,750  
Entergy Corp.     8,560       983,202  
Evergy, Inc.     4,070       351,770  
Eversource Energy     9,997       722,483  
Exelon Corp.     28,763       1,340,931  
FirstEnergy Corp.     13,980       664,609  
NextEra Energy, Inc.     47,099       4,133,879  
NRG Energy, Inc.     4,301       628,204  
PG&E Corp.     99,423       1,672,295  
PPL Corp.     12,700       461,645  
Southern Co.     24,909       2,384,040  
Xcel Energy, Inc.     10,858       871,897  
Total Electric Utilities             21,270,137  
Electrical Equipment — 0.7%                
AMETEK, Inc.     3,319       802,999  
Bloom Energy Corp., Class A*     1,868       565,444  
Eaton Corp. PLC     6,394       2,724,611  
Emerson Electric Co.     11,955       1,711,358  
GE Vernova, Inc.     2,099       2,466,031  
Hubbell, Inc.     588       307,641  
Nextpower, Inc., Class A*     1,619       192,888  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
nVent Electric PLC     1,176     $ 199,461  
Rockwell Automation, Inc.     1,221       604,493  
Vertiv Holdings Co., Class A     3,406       1,140,397  
Total Electrical Equipment             10,715,323  
Electronic Equipment, Instruments & Components — 1.5%                
Amphenol Corp., Class A     20,280       3,575,770  
Coherent Corp.*     6,418       2,531,708  
Corning, Inc.     22,764       5,814,609  
Flex Ltd.*     23,424       3,796,328  
Jabil, Inc.     6,113       2,356,439  
Keysight Technologies, Inc.*     6,890       2,411,982  
Teledyne Technologies, Inc.*     2,447       1,631,904  
Zebra Technologies Corp., Class A*     3,877       1,020,659  
Total Electronic Equipment, Instruments & Components             23,139,399  
Energy Equipment & Services — 0.3%                
Baker Hughes Co.     23,228       1,289,154  
Halliburton Co.     32,403       1,100,082  
SLB Ltd.     56,995       2,649,697  
Total Energy Equipment & Services             5,038,933  
Entertainment — 0.6%                
Liberty Media Corp.-Liberty Formula One, Class C*     1,745       166,019  
Live Nation Entertainment, Inc.*(a)     1,749       320,259  
Netflix, Inc.*     52,359       3,738,433  
Take-Two Interactive Software, Inc.*     1,515       378,720  
TKO Group Holdings, Inc.(a)     523       105,285  
Walt Disney Co.     55,396       5,331,865  
Total Entertainment             10,040,581  
Financial Services — 3.6%                
Affirm Holdings, Inc.*(a)     2,426       197,840  
Apollo Global Management, Inc.     18,157       2,148,155  
Berkshire Hathaway, Inc., Class B*     53,604       26,822,906  
Block, Inc.*     10,661       810,236  
Corpay, Inc.*     1,784       594,554  
Equitable Holdings, Inc.     16,153       708,794  
Fiserv, Inc.*     37,583       1,843,446  
Global Payments, Inc.     12,901       936,097  
Jack Henry & Associates, Inc.     1,518       209,089  
Mastercard, Inc., Class A     14,242       7,314,691  
PayPal Holdings, Inc.     40,381       1,743,652  
Rocket Cos., Inc., Class A*(a)     7,782       122,566  
Toast, Inc., Class A*     887       24,676  
Visa, Inc., Class A     37,312       12,801,374  
Total Financial Services             56,278,076  
Food Products — 0.3%                
Archer-Daniels-Midland Co.     12,898       985,407  
Bunge Global SA     3,896       415,820  
General Mills, Inc.     25,078       872,714  
Hershey Co.     3,024       530,561  
Kraft Heinz Co.     40,653       960,224  
McCormick & Co., Inc., Non-Voting Shares     5,362       270,352  
Tyson Foods, Inc., Class A     9,586       548,799  
Total Food Products             4,583,877  
Gas Utilities — 0.0%                
Atmos Energy Corp.     2,748       473,398  
Ground Transportation — 0.9%                
CSX Corp.     41,267       1,961,420  
Fedex Freight Holding Co., Inc.*     4,063       613,513  
JB Hunt Transport Services, Inc.     867       250,936  
Old Dominion Freight Line, Inc.     2,215       479,769  
Uber Technologies, Inc.*     98,379       7,099,029  
Union Pacific Corp.     15,305       4,162,960  
XPO, Inc.*     952       195,436  
Total Ground Transportation             14,763,063  
Health Care Equipment & Supplies — 1.0%                
Abbott Laboratories     33,154       3,008,394  
Becton Dickinson & Co.     10,602       1,604,401  
Boston Scientific Corp.*     25,157       1,073,701  
Cooper Cos., Inc.*     4,041       289,780  
Dexcom, Inc.*     4,786       322,337  
Edwards Lifesciences Corp.*     6,806       615,671  
GE HealthCare Technologies, Inc.     12,504       800,381  
IDEXX Laboratories, Inc.*     756       397,989  
Insulet Corp.*     1,493       227,309  
Intuitive Surgical, Inc.*     3,148       1,251,896  
Medtronic PLC     37,784       2,955,842  
ResMed, Inc.     2,030       395,606  
Solventum Corp.*     3,159       243,717  
STERIS PLC     1,347       283,638  
Stryker Corp.     6,401       2,015,291  
Zimmer Biomet Holdings, Inc.     4,574       393,776  
Total Health Care Equipment & Supplies             15,879,729  
Health Care Providers & Services — 2.0%                
Cardinal Health, Inc.     4,602       1,093,251  
Cencora, Inc.     4,423       1,251,620  
Cigna Group     14,970       4,126,930  
CVS Health Corp.     60,082       6,215,483  
HCA Healthcare, Inc.     6,836       2,665,288  
Labcorp Holdings, Inc.     1,815       508,200  
McKesson Corp.     2,779       2,099,812  
Quest Diagnostics, Inc.     2,185       463,111  
Tenet Healthcare Corp.*     2,145       401,287  
UnitedHealth Group, Inc.     30,602       12,719,109  
Universal Health Services, Inc., Class B     957       142,296  
Total Health Care Providers & Services             31,686,387  
Health Care REITs — 0.1%                
Ventas, Inc.     3,120       277,056  
Welltower, Inc.     5,344       1,212,928  
Total Health Care REITs             1,489,984  
Health Care Technology — 0.0%                
Veeva Systems, Inc., Class A*     2,352       417,409  
Hotels, Restaurants & Leisure — 1.2%                
Airbnb, Inc., Class A*     9,907       1,417,692  
Booking Holdings, Inc.     17,328       3,088,543  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
Carnival Corp. Ltd.     46,823     $ 1,337,733  
Chipotle Mexican Grill, Inc.*     15,586       529,924  
Darden Restaurants, Inc.     2,210       455,282  
Domino's Pizza, Inc.     705       208,708  
DoorDash, Inc., Class A*     3,370       621,866  
Expedia Group, Inc.     3,234       827,516  
Flutter Entertainment PLC*     736       75,197  
Hilton Worldwide Holdings, Inc.     3,177       1,049,871  
Las Vegas Sands Corp.     11,897       549,522  
Marriott International, Inc., Class A     4,227       1,566,484  
McDonald's Corp.     14,435       3,901,925  
Royal Caribbean Cruises Ltd.     7,239       2,298,600  
Wynn Resorts Ltd.     2,395       232,531  
Yum! Brands, Inc.     4,205       672,211  
Total Hotels, Restaurants & Leisure             18,833,605  
Household Durables — 0.3%                
DR Horton, Inc.     9,044       1,473,086  
Garmin Ltd.     3,119       740,887  
NVR, Inc.*     75       511,005  
PulteGroup, Inc.     10,237       1,404,619  
Somnigroup International, Inc.     3,505       274,792  
Toll Brothers, Inc.     1,797       296,056  
TopBuild Corp.*     262       92,887  
Total Household Durables             4,793,332  
Household Products — 0.7%                
Church & Dwight Co., Inc.     2,280       220,887  
Clorox Co.     987       94,199  
Colgate-Palmolive Co.     18,712       1,715,516  
Procter & Gamble Co.     60,138       8,818,636  
Total Household Products             10,849,238  
Independent Power & Renewable Electricity Producers — 0.0%                
Talen Energy Corp.*     341       131,033  
Vistra Corp.     2,970       471,131  
Total Independent Power & Renewable Electricity Producers             602,164  
Industrial Conglomerates — 0.3%                
3M Co.     12,394       2,006,712  
Honeywell International, Inc.     8,500       1,903,150  
Total Industrial Conglomerates             3,909,862  
Industrial REITs — 0.1%                
Prologis, Inc.     12,213       1,654,495  
Insurance — 2.6%                
Aflac, Inc.     18,146       2,127,618  
Allstate Corp.     18,824       4,478,983  
American International Group, Inc.     24,036       1,791,403  
Aon PLC, Class A     4,428       1,468,723  
Arch Capital Group Ltd.*     16,955       1,645,652  
Chubb Ltd.     16,887       5,754,076  
Cincinnati Financial Corp.     2,548       471,737  
Erie Indemnity Co., Class A     1,028       246,463  
F&G Annuities & Life, Inc.(a)     450       11,966  
Fidelity National Financial, Inc.     7,547       355,917  
Hartford Insurance Group, Inc.     12,670       1,679,028  
Loews Corp.     8,418       953,002  
Markel Group, Inc.*     268       523,407  
Marsh & McLennan Cos., Inc.     10,325       1,720,868  
MetLife, Inc.     39,284       3,323,819  
Principal Financial Group, Inc.     9,078       978,427  
Progressive Corp.     22,978       5,019,544  
Prudential Financial, Inc.     23,181       2,501,925  
Travelers Cos., Inc.     10,575       3,491,019  
Unum Group     7,018       627,409  
Willis Towers Watson PLC     2,133       557,502  
WR Berkley Corp.     10,000       705,300  
Total Insurance             40,433,788  
Interactive Media & Services — 9.1%                
Alphabet, Inc., Class A     274,899       98,240,656  
Meta Platforms, Inc., Class A     80,786       45,505,946  
Pinterest, Inc., Class A*     6,647       139,786  
Reddit, Inc., Class A*     908       157,611  
Total Interactive Media & Services             144,043,999  
IT Services — 1.1%                
Akamai Technologies, Inc.*     10,610       1,254,208  
Cloudflare, Inc., Class A*     4,759       1,167,288  
Cognizant Technology Solutions Corp., Class A     23,990       929,133  
Gartner, Inc.*     4,731       613,232  
GoDaddy, Inc., Class A*     7,220       612,834  
International Business Machines Corp.     21,762       6,119,692  
MongoDB, Inc.*     2,310       775,929  
Okta, Inc.*     11,190       1,526,875  
Snowflake, Inc.*     4,047       1,029,962  
Twilio, Inc., Class A*     8,889       1,834,067  
VeriSign, Inc.     4,683       1,178,055  
Total IT Services             17,041,275  
Life Sciences Tools & Services — 0.6%                
Agilent Technologies, Inc.     3,168       420,806  
Danaher Corp.     12,825       2,442,906  
Illumina, Inc.*     1,368       240,535  
IQVIA Holdings, Inc.*     3,345       646,321  
Medpace Holdings, Inc.*     234       123,924  
Mettler-Toledo International, Inc.*     222       283,607  
Tempus AI, Inc., Class A*(a)     1,569       90,892  
Thermo Fisher Scientific, Inc.     7,390       3,705,050  
Waters Corp.*     1,993       747,455  
West Pharmaceutical Services, Inc.     498       178,782  
Total Life Sciences Tools & Services             8,880,278  
Machinery — 1.2%                
Caterpillar, Inc.     8,027       8,547,952  
Cummins, Inc.     3,179       2,267,295  
Dover Corp.     2,501       560,924  
Fortive Corp.     4,302       262,809  
Graco, Inc.     1,848       139,727  
Illinois Tool Works, Inc.     5,093       1,377,504  
ITT, Inc.     412       81,477  
Lincoln Electric Holdings, Inc.     325       86,291  
Nordson Corp.     439       132,442  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
Otis Worldwide Corp.     7,822     $ 560,055  
PACCAR, Inc.     12,987       1,559,999  
Parker-Hannifin Corp.     2,158       2,110,783  
Pentair PLC     8       613  
RBC Bearings, Inc.*     155       99,829  
Snap-on, Inc.     1,069       430,166  
Westinghouse Air Brake Technologies Corp.     2,812       758,115  
Xylem, Inc.     2,734       323,186  
Total Machinery             19,299,167  
Media — 0.1%                
Fox Corp., Class A(a)     12,848       670,152  
Omnicom Group, Inc.     8,539       621,895  
Paramount Skydance Corp., Class B     2,017       19,888  
Trade Desk, Inc., Class A*     9,567       172,971  
Versant Media Group, Inc.     7,941       285,955  
Total Media             1,770,861  
Metals & Mining — 0.4%                
Freeport-McMoRan, Inc.     22,753       1,430,936  
Newmont Corp.     36,408       3,400,507  
Nucor Corp.     3,340       743,985  
Reliance, Inc.     916       342,218  
Royal Gold, Inc.     685       136,733  
Steel Dynamics, Inc.     2,702       620,001  
Total Metals & Mining             6,674,380  
Multi-Utilities — 0.5%                
Ameren Corp.     4,996       564,748  
CenterPoint Energy, Inc.     11,533       507,913  
CMS Energy Corp.     4,684       358,326  
Consolidated Edison, Inc.     8,583       949,537  
Dominion Energy, Inc.     20,227       1,381,302  
DTE Energy Co.     4,322       658,543  
NiSource, Inc.     7,278       346,069  
Public Service Enterprise Group, Inc.     9,801       795,449  
Sempra     16,341       1,514,974  
WEC Energy Group, Inc.     6,253       730,163  
Total Multi-Utilities             7,807,024  
Oil, Gas & Consumable Fuels — 3.3%                
Cheniere Energy, Inc.     8,867       2,119,302  
Chevron Corp.     50,733       8,409,502  
ConocoPhillips     49,906       5,188,228  
Devon Energy Corp.     49,473       2,044,224  
Diamondback Energy, Inc.     12,875       2,263,168  
EOG Resources, Inc.     26,865       3,485,196  
EQT Corp.     11,023       586,093  
Expand Energy Corp.     1,628       148,457  
Exxon Mobil Corp.     139,930       19,131,230  
Kinder Morgan, Inc.     45,185       1,444,564  
Marathon Petroleum Corp.     5,761       1,472,915  
Occidental Petroleum Corp.     28,107       1,365,157  
Phillips 66     4,997       844,743  
Targa Resources Corp.     3,403       912,480  
Texas Pacific Land Corp.     473       207,004  
Valero Energy Corp.     6,254       1,628,792  
Williams Cos., Inc.     19,539       1,452,529  
Total Oil, Gas & Consumable Fuels             52,703,584  
Passenger Airlines — 0.3%                
Delta Air Lines, Inc.     28,989       2,715,110  
Southwest Airlines Co.     3,920       201,566  
United Airlines Holdings, Inc.*     15,748       2,141,571  
Total Passenger Airlines             5,058,247  
Personal Care Products — 0.0%                
Estee Lauder Cos., Inc., Class A     2,943       232,350  
Pharmaceuticals — 4.4%                
Bristol-Myers Squibb Co.     139,820       8,056,428  
Eli Lilly & Co.     13,425       16,102,348  
Johnson & Johnson     77,445       19,668,706  
Merck & Co., Inc.     116,126       14,922,191  
Pfizer, Inc.     387,446       9,329,700  
Zoetis, Inc.     11,252       808,569  
Total Pharmaceuticals             68,887,942  
Professional Services — 0.2%                
Automatic Data Processing, Inc.     7,053       1,579,519  
Broadridge Financial Solutions, Inc.     1,079       147,769  
CACI International, Inc., Class A*     216       100,064  
Equifax, Inc.     2,305       365,850  
Jacobs Solutions, Inc.     1,574       198,324  
Leidos Holdings, Inc.     3,168       326,209  
SS&C Technologies Holdings, Inc.     8,970       556,588  
TransUnion     506       36,503  
Verisk Analytics, Inc.     1,324       237,698  
Total Professional Services             3,548,524  
Real Estate Management & Development — 0.1%                
CBRE Group, Inc., Class A*     4,616       621,729  
Jones Lang LaSalle, Inc.*     228       70,669  
Zillow Group, Inc., Class C*     4,229       133,298  
Total Real Estate Management & Development             825,696  
Residential REITs — 0.1%                
AvalonBay Communities, Inc.     2,556       482,291  
Equity Residential     6,900       468,717  
Essex Property Trust, Inc.     951       277,302  
Sun Communities, Inc.     1,569       188,139  
Total Residential REITs             1,416,449  
Retail REITs — 0.1%                
Kimco Realty Corp.     9,413       238,620  
Realty Income Corp.     6,171       382,355  
Regency Centers Corp.     2,521       201,025  
Simon Property Group, Inc.     5,853       1,309,023  
Total Retail REITs             2,131,023  
Semiconductors & Semiconductor Equipment — 16.0%                
Advanced Micro Devices, Inc.*     19,050       11,066,336  
Analog Devices, Inc.     10,380       4,122,625  
Applied Materials, Inc.     18,402       13,304,646  
Astera Labs, Inc.*     5,866       2,833,395  
Broadcom, Inc.     64,592       24,399,628  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
Credo Technology Group Holding Ltd.*     4,476     $ 1,217,248  
First Solar, Inc.*     5,931       1,399,479  
Intel Corp.*     39,095       5,458,835  
KLA Corp.     27,088       8,172,720  
Lam Research Corp.     24,584       10,652,985  
MACOM Technology Solutions Holdings, Inc.*     4,463       1,697,591  
Marvell Technology, Inc.     18,553       5,526,753  
Micron Technology, Inc.     25,426       29,348,978  
Monolithic Power Systems, Inc.     1,231       1,701,685  
NVIDIA Corp.     559,746       111,999,577  
ON Semiconductor Corp.*     23,558       2,227,173  
Qualcomm, Inc.     46,770       8,642,628  
Teradyne, Inc.     5,187       2,509,678  
Texas Instruments, Inc.     19,353       5,768,549  
Total Semiconductors & Semiconductor Equipment             252,050,509  
Software — 6.5%                
Adobe, Inc.*     14,455       2,963,564  
AppLovin Corp., Class A*     3,491       1,798,668  
Atlassian Corp., Class A*     7,370       573,312  
Autodesk, Inc.*     6,974       1,355,885  
Cadence Design Systems, Inc.*     5,698       2,138,573  
Crowdstrike Holdings, Inc., Class A*     2,357       1,798,721  
Datadog, Inc., Class A*     7,276       1,894,379  
Docusign, Inc.*     9,424       418,614  
Dynatrace, Inc.*     19,482       855,455  
Fair Isaac Corp.*     728       869,800  
Fortinet, Inc.*     22,872       3,513,597  
Gen Digital, Inc.     43,314       1,078,086  
Guidewire Software, Inc.*(a)     4,451       547,696  
HubSpot, Inc.*     2,193       400,244  
Intuit, Inc.     6,506       1,698,066  
Microsoft Corp.     144,102       53,752,928  
Nutanix, Inc., Class A*     19,649       1,001,313  
Oracle Corp.     51,152       7,496,326  
Palantir Technologies, Inc., Class A*     17,954       2,094,693  
Palo Alto Networks, Inc.*     10,916       3,722,574  
PTC, Inc.*     8,526       968,639  
Salesforce, Inc.     25,944       4,064,387  
Samsara, Inc., Class A*     21,987       713,038  
ServiceNow, Inc.*     17,058       1,693,518  
Trimble, Inc.*     14,909       763,043  
Tyler Technologies, Inc.*     2,704       790,812  
Unity Software, Inc.*     20,816       594,921  
Workday, Inc., Class A*     5,031       615,895  
Zoom Communications, Inc., Class A*     19,638       1,694,956  
Zscaler, Inc.*     5,098       719,583  
Total Software             102,591,286  
Specialized REITs — 0.3%                
American Tower Corp.     8,356       1,366,791  
Digital Realty Trust, Inc.     3,112       558,853  
Equinix, Inc.     891       928,770  
Extra Space Storage, Inc.     1,221       177,411  
Iron Mountain, Inc.     2,506       316,533  
Public Storage     2,355       749,620  
SBA Communications Corp.     893       157,579  
VICI Properties, Inc.     42,635       1,131,959  
Total Specialized REITs             5,387,516  
Specialty Retail — 1.3%                
AutoZone, Inc.*     313       1,000,329  
Best Buy Co., Inc.     8,361       634,433  
Burlington Stores, Inc.*     674       213,523  
Carvana Co.*     6,501       427,896  
Dick's Sporting Goods, Inc.     1,383       313,678  
Home Depot, Inc.     23,043       8,126,805  
Lowe's Cos., Inc.     14,635       3,226,871  
O'Reilly Automotive, Inc.*     12,263       1,129,300  
Ross Stores, Inc.     4,996       1,063,399  
TJX Cos., Inc.     17,333       2,625,950  
Tractor Supply Co.     4,312       136,302  
Ulta Beauty, Inc.*     766       345,451  
Williams-Sonoma, Inc.     2,005       467,365  
Total Specialty Retail             19,711,302  
Technology Hardware, Storage & Peripherals — 7.9%                
Apple, Inc.     277,501       80,297,689  
Dell Technologies, Inc., Class C     24,680       10,648,433  
Everpure, Inc., Class A*     15,347       1,209,190  
Hewlett Packard Enterprise Co.     92,081       4,153,774  
NetApp, Inc.     13,352       2,066,356  
Sandisk Corp.*     4,849       11,025,317  
Seagate Technology Holdings PLC     7,185       6,933,525  
Western Digital Corp.     12,763       8,151,983  
Total Technology Hardware, Storage & Peripherals             124,486,267  
Textiles, Apparel & Luxury Goods — 0.1%                
Deckers Outdoor Corp.*     2,408       239,090  
Lululemon Athletica, Inc.*     1,841       210,206  
Ralph Lauren Corp.     296       118,817  
Tapestry, Inc.     3,779       553,170  
Total Textiles, Apparel & Luxury Goods             1,121,283  
Tobacco — 0.8%                
Altria Group, Inc.     82,460       5,932,997  
Philip Morris International, Inc.     40,279       7,286,874  
Total Tobacco             13,219,871  
Trading Companies & Distributors — 0.3%                
Fastenal Co.     11,384       546,773  
Ferguson Enterprises, Inc.     3,415       810,482  
United Rentals, Inc.     1,598       1,810,358  
WESCO International, Inc.     374       129,191  
WW Grainger, Inc.     764       1,039,346  
Total Trading Companies & Distributors             4,336,150  
Water Utilities — 0.0%                
American Water Works Co., Inc.     2,103       276,713  
Wireless Telecommunication Services — 0.3%                
T-Mobile U.S., Inc.     30,627       5,137,067  
Total United States             1,570,118,855  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

Investments   Shares     Value  
Brazil — 0.1%                
Broadline Retail — 0.1%                
MercadoLibre, Inc.*     496     $ 841,905  
Netherlands — 0.2%                
Semiconductors & Semiconductor Equipment — 0.2%                
NXP Semiconductors NV     10,590       2,976,108  
South Korea — 0.0%                
Broadline Retail — 0.0%                
Coupang, Inc.*     10,108       175,576  
Switzerland — 0.1%                
Electronic Equipment, Instruments & Components — 0.1%                
TE Connectivity PLC     9,879       1,991,705  
Thailand — 0.1%                
Electronic Equipment, Instruments & Components — 0.1%                
Fabrinet*     2,059       1,157,323  
United Kingdom — 0.0%                
Energy Equipment & Services — 0.0%                
TechnipFMC PLC     4,515       299,345  
TOTAL COMMON STOCKS
(COST: $1,086,094,496)
            1,577,560,817  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $1,222,413)     1,222,413       1,222,413  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.0%                
United States — 0.0%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $576,354)     576,354       576,354  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $1,087,893,263)
            1,579,359,584  
Other Assets less Liabilities — 0.0%             66,069  
NET ASSETS — 100.0%           $ 1,579,425,653  

 

* Non-income producing security.
(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $2,691,421 and the total market value of the collateral held by the Fund was $2,766,160. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,189,806.
(b) Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. LargeCap Fund (EPS)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities    
Common Stocks  $1,577,560,817   $   $   $1,577,560,817 
Mutual Fund       1,222,413        1,222,413 
Investment of Cash Collateral for Securities Loaned       576,354        576,354 
Total Investments in Securities  $1,577,560,817   $1,798,767   $   $1,579,359,584 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. MidCap Dividend Fund (DON)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.8%
United States — 99.4%
Aerospace & Defense — 1.9%                
BWX Technologies, Inc.     52,762     $ 10,270,123  
Carpenter Technology Corp.     28,473       17,563,285  
Hexcel Corp.     70,453       7,049,527  
Huntington Ingalls Industries, Inc.     46,834       13,108,368  
Leonardo DRS, Inc.     228,396       9,745,658  
Moog, Inc., Class A     21,381       9,062,123  
Textron, Inc.(a)     98,528       9,037,974  
Total Aerospace & Defense             75,837,058  
Automobile Components — 1.0%                
BorgWarner, Inc.     247,910       16,461,224  
Gentex Corp.     378,258       9,558,579  
Lear Corp.     103,562       13,883,522  
Total Automobile Components             39,903,325  
Automobiles — 0.2%                
Thor Industries, Inc.     81,699       6,140,497  
Banks — 8.8%                
Ameris Bancorp     56,905       5,136,245  
Atlantic Union Bankshares Corp.(a)     337,996       14,300,611  
Bank OZK     253,446       13,202,002  
BOK Financial Corp.     73,889       10,261,704  
Columbia Banking System, Inc.     914,334       29,304,405  
Commerce Bancshares, Inc.     168,198       9,713,435  
Cullen/Frost Bankers, Inc.     112,775       17,425,993  
East West Bancorp, Inc.     174,094       22,473,795  
First Horizon Corp.     796,462       20,421,286  
Flagstar Bank NA(a)     230,037       3,436,753  
FNB Corp.(a)     585,363       11,168,726  
Glacier Bancorp, Inc.     230,869       11,908,223  
Hancock Whitney Corp.     132,781       9,921,396  
Home BancShares, Inc.     348,576       9,951,845  
Old National Bancorp(a)     556,357       14,409,646  
Pinnacle Financial Partners, Inc.     168,623       17,010,688  
Prosperity Bancshares, Inc.     182,915       13,358,282  
Southstate Bank Corp.     149,226       14,907,677  
UMB Financial Corp.(a)     64,547       9,214,730  
United Bankshares, Inc.(a)     316,581       14,508,907  
Valley National Bancorp(a)     1,199,296       17,569,686  
Webster Financial Corp.     244,126       18,656,109  
Western Alliance Bancorp     132,178       10,865,032  
Wintrust Financial Corp.     54,186       8,708,774  
Zions Bancorp NA     274,094       18,964,564  
Total Banks             346,800,514  
Beverages — 0.9%                
Brown-Forman Corp., Class B     630,598       16,805,437  
Brown-Forman Corp., Class A     380,133       10,400,439  
Coca-Cola Consolidated, Inc.     43,254       8,258,053  
Total Beverages             35,463,929  
Broadline Retail — 0.9%                
Dillard's, Inc., Class A     39,563       20,905,881  
Macy's, Inc.     620,866       14,621,394  
Total Broadline Retail             35,527,275  
Building Products — 2.7%                
AAON, Inc.(a)     49,052       6,222,737  
Advanced Drainage Systems, Inc.     46,188       7,249,668  
AO Smith Corp.(a)     183,667       11,519,594  
Armstrong World Industries, Inc.     39,369       6,315,575  
Carlisle Cos., Inc.     40,697       14,762,837  
CSW Industrials, Inc.     6,707       1,866,558  
Fortune Brands Innovations, Inc.     135,700       7,449,930  
Lennox International, Inc.     26,706       15,301,203  
Masco Corp.     275,076       22,382,934  
Simpson Manufacturing Co., Inc.     30,752       6,437,931  
Zurn Elkay Water Solutions Corp.     180,705       9,131,024  
Total Building Products             108,639,991  
Capital Markets — 5.0%                
Affiliated Managers Group, Inc.     15,304       5,178,874  
Blue Owl Capital, Inc.     1,952,937       17,088,199  
Evercore, Inc., Class A     33,710       11,509,942  
FactSet Research Systems, Inc.     22,743       5,232,709  
Franklin Resources, Inc.     1,682,940       55,991,414  
Hamilton Lane, Inc., Class A     40,034       3,155,880  
Houlihan Lokey, Inc.     70,608       9,470,651  
Jefferies Financial Group, Inc.     335,855       16,786,033  
Lazard, Inc.     181,264       7,602,212  
MarketAxess Holdings, Inc.     28,960       3,286,670  
Moelis & Co., Class A     268,261       17,549,635  
Morningstar, Inc.     27,287       4,257,318  
Piper Sandler Cos.     102,602       7,422,229  
SEI Investments Co.     87,128       7,641,997  
StepStone Group, Inc., Class A     77,031       3,186,002  
Stifel Financial Corp.     178,810       12,475,574  
TPG, Inc.     231,950       9,405,572  
Total Capital Markets             197,240,911  
Chemicals — 4.8%                
Albemarle Corp.     104,495       14,109,960  
Balchem Corp.     24,775       4,185,736  
CF Industries Holdings, Inc.     264,206       28,602,941  
DuPont de Nemours, Inc.     182,251       24,720,526  
Eastman Chemical Co.     393,299       26,343,167  
Element Solutions, Inc.     255,393       12,195,016  
International Flavors & Fragrances, Inc.     392,518       31,095,276  
Mosaic Co.     758,321       16,068,822  
NewMarket Corp.(a)     15,935       12,608,409  
RPM International, Inc.     178,560       19,846,944  
Total Chemicals             189,776,797  
Commercial Services & Supplies — 0.4%                
Brink's Co.     49,524       4,679,522  
MSA Safety, Inc.     42,760       7,465,041  
Tetra Tech, Inc.     166,502       4,810,243  
Total Commercial Services & Supplies             16,954,806  
Construction & Engineering — 1.0%                
AECOM     115,148       8,037,330  
Arcosa, Inc.     28,610       4,156,747  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Dividend Fund (DON)
June 30, 2026

 

 

Investments   Shares     Value  
Argan, Inc.(a)     13,005     $ 10,385,143  
Granite Construction, Inc.     38,707       6,118,803  
Primoris Services Corp.     30,148       2,988,270  
Valmont Industries, Inc.     16,767       9,684,619  
Total Construction & Engineering             41,370,912  
Construction Materials — 0.1%                
Eagle Materials, Inc.     19,762       4,446,450  
Consumer Finance — 1.6%                
Ally Financial, Inc.     529,949       24,351,157  
FirstCash Holdings, Inc.(a)     37,836       8,184,684  
Nelnet, Inc., Class A     19,028       2,537,003  
OneMain Holdings, Inc.     406,005       24,754,125  
SLM Corp.     180,208       4,674,595  
Total Consumer Finance             64,501,564  
Consumer Staples Distribution & Retail — 0.4%                
Albertsons Cos., Inc., Class A     1,150,527       15,566,630  
Containers & Packaging — 1.5%                
AptarGroup, Inc.     71,829       8,992,991  
Avery Dennison Corp.     111,760       18,144,236  
Ball Corp.     305,207       19,044,917  
Crown Holdings, Inc.     127,668       14,275,835  
Total Containers & Packaging             60,457,979  
Distributors — 0.2%                
Pool Corp.(a)     44,426       9,547,147  
Diversified Consumer Services — 1.0%                
ADT, Inc.     1,512,748       9,832,862  
Graham Holdings Co., Class B     3,863       4,409,305  
H&R Block, Inc.     357,621       13,618,208  
Service Corp. International     173,111       13,149,512  
Total Diversified Consumer Services             41,009,887  
Diversified REITs — 0.9%                
Essential Properties Realty Trust, Inc.     110,952       3,311,917  
WP Carey, Inc.     466,661       33,366,262  
Total Diversified REITs             36,678,179  
Electric Utilities — 2.6%                
IDACORP, Inc.(a)     103,946       15,727,030  
OGE Energy Corp.     718,184       34,946,833  
Pinnacle West Capital Corp.(a)     315,258       33,732,606  
Portland General Electric Co.     393,187       20,378,882  
Total Electric Utilities             104,785,351  
Electrical Equipment — 0.7%                
Acuity, Inc.     15,620       5,883,429  
EnerSys     38,322       8,960,450  
Regal Rexnord Corp.     54,587       13,002,078  
Total Electrical Equipment             27,845,957  
Electronic Equipment, Instruments & Components — 1.5%                
Advanced Energy Industries, Inc.     21,066       7,854,879  
Badger Meter, Inc.(a)     30,456       4,519,061  
Cognex Corp.     144,249       10,446,513  
Littelfuse, Inc.     25,809       11,751,612  
Ralliant Corp.     72,552       5,342,004  
TD SYNNEX Corp.     68,288       18,256,114  
Vontier Corp.     91,416       2,651,064  
Total Electronic Equipment, Instruments & Components             60,821,247  
Energy Equipment & Services — 0.3%                
NOV, Inc.     526,328       9,763,384  
Entertainment — 0.6%                
TKO Group Holdings, Inc.(a)     85,319       17,175,568  
Warner Music Group Corp., Class A     293,397       7,942,257  
Total Entertainment             25,117,825  
Financial Services — 2.1%                
Enact Holdings, Inc.     177,183       8,099,035  
Equitable Holdings, Inc.     439,874       19,301,671  
Jack Henry & Associates, Inc.(a)     55,864       7,694,707  
Jackson Financial, Inc., Class A     124,466       12,744,074  
MGIC Investment Corp.     405,491       11,434,846  
PennyMac Financial Services, Inc.     27,993       2,438,190  
Radian Group, Inc.     216,750       8,164,973  
Voya Financial, Inc.     160,257       14,508,066  
Total Financial Services             84,385,562  
Food Products — 2.1%                
Campbell's Company/The     1,002,958       22,335,875  
Ingredion, Inc.     131,944       12,496,416  
J M Smucker Co.     293,875       33,060,937  
Lamb Weston Holdings, Inc.     233,471       10,081,278  
Marzetti Company/The     52,275       5,967,714  
Total Food Products             83,942,220  
Gas Utilities — 2.6%                
National Fuel Gas Co.     231,596       17,881,527  
New Jersey Resources Corp.     281,604       15,781,088  
ONE Gas, Inc.     143,959       11,094,920  
Southwest Gas Holdings, Inc.     221,344       19,628,786  
Spire, Inc.     160,512       12,534,382  
UGI Corp.     787,725       27,208,022  
Total Gas Utilities             104,128,725  
Ground Transportation — 1.6%                
JB Hunt Transport Services, Inc.     64,077       18,545,806  
Knight-Swift Transportation Holdings, Inc.     173,220       13,488,642  
Landstar System, Inc.     66,777       13,810,151  
Ryder System, Inc.     60,875       16,056,999  
Total Ground Transportation             61,901,598  
Health Care Providers & Services — 0.6%                
Chemed Corp.     10,663       4,966,185  
Encompass Health Corp.     78,161       7,900,514  
Ensign Group, Inc.     33,306       5,338,952  
Universal Health Services, Inc., Class B     33,342       4,957,622  
Total Health Care Providers & Services             23,163,273  
Health Care REITs — 0.9%                
American Healthcare REIT, Inc.     86,908       4,532,252  
CareTrust REIT, Inc.     310,700       12,536,745  
Healthcare Realty Trust, Inc.     296,724       5,984,923  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Dividend Fund (DON)
June 30, 2026

 

 

Investments   Shares     Value  
Sabra Health Care REIT, Inc.(a)     557,501     $ 10,876,845  
Total Health Care REITs             33,930,765  
Hotel & Resort REITs — 0.9%                
Host Hotels & Resorts, Inc.     1,221,391       28,959,181  
Ryman Hospitality Properties, Inc.     36,481       4,689,632  
Total Hotel & Resort REITs             33,648,813  
Hotels, Restaurants & Leisure — 2.3%                
Aramark     256,421       14,590,355  
Boyd Gaming Corp.(a)     87,166       7,699,373  
Churchill Downs, Inc.     33,300       2,985,012  
Domino's Pizza, Inc.     37,986       11,245,375  
Hyatt Hotels Corp., Class A(a)     24,620       4,772,341  
Texas Roadhouse, Inc.     75,653       14,618,429  
Vail Resorts, Inc.     111,490       15,179,364  
Wingstop, Inc.     15,971       2,769,531  
Wyndham Hotels & Resorts, Inc.     127,608       10,745,870  
Wynn Resorts Ltd.(a)     84,981       8,250,805  
Total Hotels, Restaurants & Leisure             92,856,455  
Household Durables — 0.7%                
Installed Building Products, Inc.     21,017       4,830,547  
Meritage Homes Corp.     134,921       11,313,126  
Toll Brothers, Inc.     61,548       10,140,033  
Total Household Durables             26,283,706  
Household Products — 1.2%                
Clorox Co.     356,965       34,068,740  
Reynolds Consumer Products, Inc.(a)     550,305       14,775,689  
Total Household Products             48,844,429  
Independent Power & Renewable Electricity Producers — 1.3%                
AES Corp.     2,287,754       33,538,474  
Clearway Energy, Inc., Class C     428,779       14,655,666  
Ormat Technologies, Inc.(a)     37,519       4,085,819  
Total Independent Power & Renewable Electricity Producers             52,279,959  
Industrial REITs — 0.9%                
EastGroup Properties, Inc.     80,610       16,325,943  
First Industrial Realty Trust, Inc.     75,419       4,623,939  
Rexford Industrial Realty, Inc.     173,485       5,811,748  
STAG Industrial, Inc.     104,786       3,988,155  
Terreno Realty Corp.(a)     69,579       4,506,632  
Total Industrial REITs             35,256,417  
Insurance — 5.4%                
American Financial Group, Inc.     273,918       38,332,085  
Assurant, Inc.     45,563       12,235,032  
Erie Indemnity Co., Class A     49,658       11,905,505  
Fidelity National Financial, Inc.     562,026       26,505,146  
First American Financial Corp.     192,079       13,174,699  
Globe Life, Inc.     45,862       8,194,622  
Hanover Insurance Group, Inc.     59,388       12,716,159  
Kinsale Capital Group, Inc.(a)     12,458       4,108,773  
Lincoln National Corp.     462,742       16,357,930  
Mercury General Corp.     60,351       6,434,624  
Old Republic International Corp.     378,041       15,469,438  
Primerica, Inc.     30,495       8,666,679  
RLI Corp.(a)     217,891       12,870,821  
Selective Insurance Group, Inc.     72,004       6,985,108  
Unum Group     240,821       21,529,397  
Total Insurance             215,486,018  
Interactive Media & Services — 0.4%                
Match Group, Inc.     379,633       14,445,036  
Leisure Products — 1.2%                
Acushnet Holdings Corp.(a)     84,935       10,067,346  
Hasbro, Inc.     443,268       36,609,504  
Total Leisure Products             46,676,850  
Life Sciences Tools & Services — 0.5%                
Bio-Techne Corp.     96,353       6,807,339  
Bruker Corp.(a)     57,400       3,454,332  
Revvity, Inc.     68,126       7,579,699  
Total Life Sciences Tools & Services             17,841,370  
Machinery — 7.2%                
AGCO Corp.(a)     69,890       8,365,833  
Allison Transmission Holdings, Inc.     81,733       9,214,578  
Crane Co.     36,824       8,214,330  
Donaldson Co., Inc.     164,520       14,768,960  
Enpro, Inc.     16,312       6,148,482  
Esab Corp.     31,315       3,088,599  
ESCO Technologies, Inc.     15,861       5,551,984  
Federal Signal Corp.(a)     45,433       5,837,686  
Flowserve Corp.     164,887       12,228,020  
Graco, Inc.     153,410       11,599,330  
ITT, Inc.     65,748       13,002,325  
JBT Marel Corp.(a)     28,843       4,182,235  
Lincoln Electric Holdings, Inc.     71,928       19,097,603  
Mueller Industries, Inc.     103,151       12,680,352  
Nordson Corp.     53,849       16,245,705  
Oshkosh Corp.(a)     105,493       16,191,066  
Snap-on, Inc.     92,326       37,151,982  
Stanley Black & Decker, Inc.     455,636       42,884,460  
Timken Co.     95,753       13,914,826  
Toro Co.     151,694       14,778,030  
Watts Water Technologies, Inc., Class A     26,328       10,306,096  
Total Machinery             285,452,482  
Media — 2.7%                
New York Times Co., Class A     191,756       13,419,085  
News Corp., Class B(a)     150,217       4,215,089  
News Corp., Class A     256,191       6,361,222  
Nexstar Media Group, Inc.     79,801       14,251,661  
Omnicom Group, Inc.     477,523       34,778,000  
Sirius XM Holdings, Inc.(a)     1,110,741       32,811,289  
Total Media             105,836,346  
Metals & Mining — 1.5%                
Alcoa Corp.     253,305       13,207,323  
Commercial Metals Co.     104,743       6,572,623  
Hecla Mining Co.     361,347       5,575,584  
Reliance, Inc.     58,708       21,933,309  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Dividend Fund (DON)
June 30, 2026

 

 

Investments   Shares     Value  
Royal Gold, Inc.     57,121     $ 11,401,923  
Total Metals & Mining             58,690,762  
Multi-Utilities — 0.4%                
Black Hills Corp.(a)     190,951       14,206,754  
Office REITs — 0.2%                
Kilroy Realty Corp.     165,797       6,212,414  
Vornado Realty Trust(a)     74,965       2,946,124  
Total Office REITs             9,158,538  
Oil, Gas & Consumable Fuels — 6.3%                
Antero Midstream Corp.     1,661,672       37,803,038  
APA Corp.     1,156,026       37,651,767  
Chord Energy Corp.     194,496       22,230,893  
DT Midstream, Inc.     181,438       26,624,212  
HF Sinclair Corp.     461,344       32,132,610  
Matador Resources Co.(a)     296,093       14,739,509  
Murphy Oil Corp.(a)     392,670       12,785,335  
Ovintiv, Inc.     473,757       24,943,306  
Permian Resources Corp., Class A     1,909,398       35,152,017  
Range Resources Corp.     180,026       6,695,167  
Total Oil, Gas & Consumable Fuels             250,757,854  
Paper & Forest Products — 0.2%                
Louisiana-Pacific Corp.     74,197       5,836,336  
Pharmaceuticals — 1.3%                
Viatris, Inc.     3,201,421       50,838,566  
Professional Services — 1.2%                
Booz Allen Hamilton Holding Corp.     215,403       13,068,500  
Jacobs Solutions, Inc.     79,768       10,050,768  
KBR, Inc.     176,256       6,086,120  
Maximus, Inc.     91,662       4,927,749  
Paycom Software, Inc.     34,728       4,364,615  
TransUnion     110,610       7,979,405  
Total Professional Services             46,477,157  
Residential REITs — 2.9%                
American Homes 4 Rent, Class A     397,818       13,334,859  
Camden Property Trust     119,900       13,727,351  
Equity LifeStyle Properties, Inc.     141,765       9,136,754  
Essex Property Trust, Inc.     97,481       28,424,485  
Sun Communities, Inc.     244,067       29,266,074  
UDR, Inc.     479,182       19,128,946  
Total Residential REITs             113,018,469  
Retail REITs — 2.3%                
Agree Realty Corp.     78,872       5,973,765  
Brixmor Property Group, Inc.     311,732       9,828,910  
Federal Realty Investment Trust     86,022       10,618,556  
Kimco Realty Corp.     1,304,546       33,070,241  
NNN REIT, Inc.     290,852       13,533,344  
Regency Centers Corp.     250,368       19,964,344  
Total Retail REITs             92,989,160  
Semiconductors & Semiconductor Equipment — 2.4%                
Amkor Technology, Inc.     159,247       13,731,869  
Entegris, Inc.     76,541       13,766,664  
MKS, Inc.     45,139       20,077,827  
Qnity Electronics, Inc.     117,633       19,210,645  
Skyworks Solutions, Inc.(a)     358,877       24,331,861  
Universal Display Corp.     66,256       5,737,107  
Total Semiconductors & Semiconductor Equipment             96,855,973  
Software — 1.0%                
Bentley Systems, Inc., Class B(a)     184,697       5,520,593  
Dolby Laboratories, Inc., Class A     118,832       6,248,187  
Gen Digital, Inc.     774,883       19,286,838  
InterDigital, Inc.     24,727       7,000,956  
Pegasystems, Inc.     101,387       3,038,568  
Total Software             41,095,142  
Specialized REITs — 1.2%                
CubeSmart     357,566       14,220,400  
Lamar Advertising Co., Class A     130,237       20,314,367  
Millrose Properties, Inc.     367,609       11,046,651  
Total Specialized REITs             45,581,418  
Specialty Retail — 2.5%                
Best Buy Co., Inc.     664,325       50,408,981  
Gap, Inc.     604,816       11,297,963  
Group 1 Automotive, Inc.(a)     7,221       2,102,539  
Lithia Motors, Inc.(a)     15,057       4,373,908  
Murphy USA, Inc.     12,851       6,925,018  
Penske Automotive Group, Inc.     130,972       23,437,439  
Total Specialty Retail             98,545,848  
Textiles, Apparel & Luxury Goods — 0.5%                
Levi Strauss & Co., Class A     348,345       8,649,406  
VF Corp.     591,500       9,866,220  
Total Textiles, Apparel & Luxury Goods             18,515,626  
Trading Companies & Distributors — 1.2%                
Applied Industrial Technologies, Inc.     32,104       10,855,968  
GATX Corp.(a)     43,360       7,682,958  
MSC Industrial Direct Co., Inc., Class A     162,638       19,345,790  
WESCO International, Inc.     27,836       9,615,390  
Total Trading Companies & Distributors             47,500,106  
Water Utilities — 0.6%                
Essential Utilities, Inc.     622,875       23,862,341  
Wireless Telecommunication Services — 0.1%                
Telephone & Data Systems, Inc.     93,760       3,470,058  
Total United States             3,937,957,747  
Puerto Rico — 0.4%                
Banks — 0.4%                
Popular, Inc.     100,151       16,442,791  
TOTAL COMMON STOCKS
(COST: $3,247,024,438)
            3,954,400,538  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.2%                
United States — 0.2%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)     4,057,282       4,057,282  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. MidCap Dividend Fund (DON)
June 30, 2026

 

 

Investments   Shares     Value  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     3,700,000     $ 3,700,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $7,757,282)
            7,757,282  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $3,254,781,720)
            3,962,157,820  
Other Assets less Liabilities — 0.0%             1,291,294  
NET ASSETS — 100.0%           $ 3,963,449,114  

 

(a) Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $334,682,899. The Fund also had securities on loan having a total market value of $1,147,993 that were sold and pending settlement. The total market value of the collateral held by the Fund was $344,996,912. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $337,239,630.
(b) Rate shown represents annualized 7-day yield as of June 30, 2026.
(c) Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Treasury Money
Market Digital Fund
  $22,800,000   $84,900,000   $104,000,000   $   $   $3,700,000   $   $126,657 
WisdomTree U.S. LargeCap
Dividend Fund
       13,199,874    13,336,752    136,878        ^    30,525     
Total  $22,800,000   $98,099,874   $117,336,752   $136,878   $   $3,700,000   $30,525   $126,657 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities    
Common Stocks  $3,954,400,538   $   $   $3,954,400,538 
Investment of Cash Collateral for Securities Loaned       7,757,282        7,757,282 
Total Investments in Securities  $3,954,400,538   $7,757,282   $   $3,962,157,820 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. MidCap Fund (EZM)

June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 100.1%
United States — 98.5%
Aerospace & Defense — 0.9%                
Hexcel Corp.     8,847     $ 885,231  
Huntington Ingalls Industries, Inc.     7,434       2,080,702  
Karman Holdings, Inc.*     10,864       542,331  
Leonardo DRS, Inc.     37,284       1,590,908  
Mercury Systems, Inc.*(a)     5,171       632,568  
Moog, Inc., Class A     5,066       2,147,174  
VSE Corp.     2,432       555,712  
Total Aerospace & Defense             8,434,626  
Air Freight & Logistics — 0.1%                
GXO Logistics, Inc.*     24,997       1,267,348  
Automobile Components — 1.3%                
BorgWarner, Inc.     91,849       6,098,774  
Dorman Products, Inc.*     8,872       1,210,584  
Gentex Corp.     69,574       1,758,135  
Lear Corp.     24,788       3,323,079  
Patrick Industries, Inc.     6,011       539,668  
Total Automobile Components             12,930,240  
Automobiles — 0.1%                
Thor Industries, Inc.     11,040       829,766  
Banks — 6.6%                
Ameris Bancorp     14,740       1,330,432  
Associated Banc-Corp.     44,542       1,370,557  
Atlantic Union Bankshares Corp.     26,479       1,120,327  
Axos Financial, Inc.*     14,658       1,427,543  
BancFirst Corp.     4,500       500,085  
Bank OZK     48,629       2,533,085  
BOK Financial Corp.     13,351       1,854,187  
Columbia Banking System, Inc.     73,112       2,343,240  
Commerce Bancshares, Inc.     32,228       1,861,167  
Cullen/Frost Bankers, Inc.     15,349       2,371,728  
Eastern Bankshares, Inc.(a)     34,809       774,152  
First Financial Bankshares, Inc.     14,162       490,005  
First Horizon Corp.     140,034       3,590,472  
FNB Corp.     97,675       1,863,639  
Glacier Bancorp, Inc.     11,764       606,787  
Hancock Whitney Corp.     23,021       1,720,129  
Home BancShares, Inc.     43,347       1,237,557  
Independent Bank Corp.     5,517       461,883  
International Bancshares Corp.     16,972       1,289,023  
Old National Bancorp     105,399       2,729,834  
Pinnacle Financial Partners, Inc.     47,007       4,742,066  
Prosperity Bancshares, Inc.     22,820       1,666,545  
ServisFirst Bancshares, Inc.     7,528       653,054  
Southstate Bank Corp.     24,211       2,418,679  
Texas Capital Bancshares, Inc.     6,663       688,021  
UMB Financial Corp.     19,999       2,855,057  
United Bankshares, Inc.     31,199       1,429,850  
United Community Banks, Inc.     24,280       851,985  
Valley National Bancorp     111,764       1,637,343  
Webster Financial Corp.     54,158       4,138,754  
Western Alliance Bancorp     34,997       2,876,753  
Wintrust Financial Corp.     17,474       2,808,421  
Zions Bancorp NA     49,597       3,431,617  
Total Banks             61,673,977  
Beverages — 0.7%                
Brown-Forman Corp., Class B     112,126       2,988,158  
Celsius Holdings, Inc.*(a)     19,897       582,584  
Coca-Cola Consolidated, Inc.     16,768       3,201,347  
Total Beverages             6,772,089  
Biotechnology — 2.7%                
ACADIA Pharmaceuticals, Inc.*     43,786       1,107,786  
ADMA Biologics, Inc.*     29,961       250,774  
Alkermes PLC*     62,802       3,290,511  
Arrowhead Pharmaceuticals, Inc.*     9,430       768,639  
BioMarin Pharmaceutical, Inc.*     39,234       2,244,969  
Exelixis, Inc.*     68,576       3,731,220  
Halozyme Therapeutics, Inc.*     44,051       3,447,872  
Krystal Biotech, Inc.*(a)     4,088       1,519,387  
Mirum Pharmaceuticals, Inc.*     8,722       1,021,084  
Protagonist Therapeutics, Inc.*(a)     5,229       640,971  
PTC Therapeutics, Inc.*     40,144       3,274,546  
TG Therapeutics, Inc.*(a)     58,972       3,239,922  
Veracyte, Inc.*     10,568       620,659  
Total Biotechnology             25,158,340  
Broadline Retail — 0.7%                
Dillard's, Inc., Class A     3,283       1,734,803  
Etsy, Inc.*     15,182       1,143,660  
Macy's, Inc.     122,327       2,880,801  
Ollie's Bargain Outlet Holdings, Inc.*     8,099       622,651  
Total Broadline Retail             6,381,915  
Building Products — 1.8%                
AAON, Inc.     7,097       900,325  
Advanced Drainage Systems, Inc.     12,753       2,001,711  
AO Smith Corp.     33,100       2,076,032  
Armstrong World Industries, Inc.     7,221       1,158,393  
CSW Industrials, Inc.     2,383       663,189  
Fortune Brands Innovations, Inc.     36,505       2,004,125  
Hayward Holdings, Inc.*     46,882       811,527  
Modine Manufacturing Co.*     6,126       1,635,764  
Resideo Technologies, Inc.*     50,107       1,558,328  
Simpson Manufacturing Co., Inc.     8,481       1,775,497  
Trex Co., Inc.*     26,084       1,305,243  
Zurn Elkay Water Solutions Corp.     22,545       1,139,199  
Total Building Products             17,029,333  
Capital Markets — 3.9%                
Affiliated Managers Group, Inc.     9,233       3,124,447  
Blue Owl Capital, Inc.     153,977       1,347,299  
Evercore, Inc., Class A     4,945       1,688,421  
FactSet Research Systems, Inc.     7,294       1,678,204  
Federated Hermes, Inc.     18,501       1,021,625  
Franklin Resources, Inc.     173,612       5,776,071  
Galaxy Digital, Inc., Class A*(a)     16,097       440,092  
Hamilton Lane, Inc., Class A     4,825       380,355  
Houlihan Lokey, Inc.     9,157       1,228,228  
Invesco Ltd.     120,021       3,167,354  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

Investments   Shares     Value  
Janus Henderson Group PLC     40,438     $ 2,100,754  
Jefferies Financial Group, Inc.     34,276       1,713,114  
Lazard, Inc.     9,840       412,690  
MarketAxess Holdings, Inc.     3,937       446,810  
Moelis & Co., Class A(a)     7,100       464,482  
Morningstar, Inc.     4,897       764,030  
Piper Sandler Cos.     8,031       580,963  
PJT Partners, Inc., Class A     2,991       451,462  
SEI Investments Co.     24,694       2,165,911  
StepStone Group, Inc., Class A     5,917       244,727  
Stifel Financial Corp.     33,557       2,341,272  
StoneX Group, Inc.*(a)     10,722       1,270,557  
TPG, Inc.     48,515       1,967,283  
Victory Capital Holdings, Inc., Class A     17,106       1,437,930  
Total Capital Markets             36,214,081  
Chemicals — 2.5%                
Axalta Coating Systems Ltd.*     73,064       2,500,250  
Balchem Corp.     4,409       744,900  
CF Industries Holdings, Inc.     70,810       7,665,891  
Eastman Chemical Co.     49,632       3,324,351  
Element Solutions, Inc.     57,536       2,747,344  
Mosaic Co.     131,461       2,785,659  
NewMarket Corp.(a)     2,416       1,911,636  
Perimeter Solutions, Inc.*     32,638       1,163,545  
Sensient Technologies Corp.     7,343       905,318  
Total Chemicals             23,748,894  
Commercial Services & Supplies — 0.7%                
Brady Corp., Class A     12,341       1,130,065  
Brink's Co.     11,761       1,111,297  
Clean Harbors, Inc.*     6,829       2,040,164  
MSA Safety, Inc.     7,891       1,377,611  
Tetra Tech, Inc.     50,179       1,449,671  
Total Commercial Services & Supplies             7,108,808  
Communications Equipment — 0.3%                
Calix, Inc.*     7,127       265,980  
Viavi Solutions, Inc.*     34,098       1,628,179  
Vistance Networks, Inc.*     74,182       948,046  
Total Communications Equipment             2,842,205  
Construction & Engineering — 2.4%                
Arcosa, Inc.     7,802       1,133,553  
Argan, Inc.(a)     1,632       1,303,234  
Construction Partners, Inc., Class A*     5,481       650,978  
Dycom Industries, Inc.*     3,585       1,812,540  
Everus Construction Group, Inc.*     8,578       1,423,519  
Fluor Corp.*     36,931       1,934,815  
Granite Construction, Inc.     7,778       1,229,546  
IES Holdings, Inc.*     3,020       2,218,673  
Primoris Services Corp.     10,489       1,039,670  
Sterling Infrastructure, Inc.*     8,060       6,765,242  
Valmont Industries, Inc.     3,649       2,107,662  
WillScot Holdings Corp.     49,444       1,426,954  
Total Construction & Engineering             23,046,386  
Construction Materials — 0.3%                
Eagle Materials, Inc.     8,418       1,894,050  
Knife River Corp.*(a)     8,838       739,299  
Total Construction Materials             2,633,349  
Consumer Finance — 0.8%                
Credit Acceptance Corp.*(a)     2,757       1,755,492  
FirstCash Holdings, Inc.     5,982       1,294,026  
OneMain Holdings, Inc.     36,835       2,245,830  
SLM Corp.     61,535       1,596,218  
Upstart Holdings, Inc.*(a)     7,244       256,655  
Total Consumer Finance             7,148,221  
Consumer Staples Distribution & Retail — 1.2%                
Albertsons Cos., Inc., Class A     276,876       3,746,132  
BJ's Wholesale Club Holdings, Inc.*     25,684       2,240,159  
Maplebear, Inc.*     49,563       2,346,808  
PriceSmart, Inc.     5,218       1,019,284  
Sprouts Farmers Market, Inc.*(a)     24,812       2,098,599  
Total Consumer Staples Distribution & Retail             11,450,982  
Containers & Packaging — 1.2%                
AptarGroup, Inc.     13,720       1,717,744  
Crown Holdings, Inc.     36,043       4,030,328  
Silgan Holdings, Inc.     46,130       2,139,971  
Sonoco Products Co.     55,532       3,129,228  
Total Containers & Packaging             11,017,271  
Distributors — 0.2%                
Pool Corp.     6,830       1,467,767  
Diversified Consumer Services — 1.7%                
ADT, Inc.     393,074       2,554,981  
Bright Horizons Family Solutions, Inc.*     10,420       738,570  
Duolingo, Inc.*     8,663       996,418  
Frontdoor, Inc.*     24,628       1,910,886  
Graham Holdings Co., Class B     2,387       2,724,569  
Grand Canyon Education, Inc.*     7,014       1,003,774  
H&R Block, Inc.     61,034       2,324,175  
Laureate Education, Inc.*     30,315       1,101,041  
Service Corp. International     29,832       2,266,039  
Total Diversified Consumer Services             15,620,453  
Diversified REITs — 0.1%                
Essential Properties Realty Trust, Inc.     33,163       989,916  
Electric Utilities — 0.9%                
IDACORP, Inc.     10,323       1,561,870  
OGE Energy Corp.     46,504       2,262,885  
Pinnacle West Capital Corp.     27,477       2,940,039  
Portland General Electric Co.     27,312       1,415,581  
Total Electric Utilities             8,180,375  
Electrical Equipment — 1.9%                
Acuity, Inc.     6,296       2,371,452  
EnerSys     11,976       2,800,228  
Generac Holdings, Inc.*     11,542       3,379,613  
Powell Industries, Inc.(a)     7,428       2,127,082  
Regal Rexnord Corp.     18,565       4,421,997  
Sensata Technologies Holding PLC     62,950       3,005,233  
Total Electrical Equipment             18,105,605  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

Investments   Shares     Value  
Electronic Equipment, Instruments & Components — 3.5%                
Advanced Energy Industries, Inc.     4,519     $ 1,685,000  
Avnet, Inc.     24,925       2,213,838  
Badger Meter, Inc.(a)     3,609       535,503  
Belden, Inc.     10,669       1,279,320  
Cognex Corp.     18,538       1,342,522  
Ingram Micro Holding Corp.     124,144       3,405,270  
Itron, Inc.*(a)     12,008       1,039,052  
Littelfuse, Inc.     4,237       1,929,233  
Mirion Technologies, Inc.*     23,159       415,241  
Novanta, Inc.*     4,779       775,345  
OSI Systems, Inc.*(a)     2,770       605,799  
Plexus Corp.*     6,067       1,824,165  
Ralliant Corp.     20,802       1,531,651  
Sanmina Corp.*     8,839       2,236,974  
TD SYNNEX Corp.     26,856       7,179,683  
TTM Technologies, Inc.*     15,939       2,980,912  
Vontier Corp.     53,602       1,554,458  
Total Electronic Equipment, Instruments & Components             32,533,966  
Energy Equipment & Services — 0.9%                
Archrock, Inc.     45,933       1,869,932  
Noble Corp. PLC     24,092       898,632  
NOV, Inc.     106,918       1,983,329  
Valaris Ltd.*     27,438       1,991,999  
Weatherford International PLC     21,483       1,750,864  
Total Energy Equipment & Services             8,494,756  
Entertainment — 0.2%                
Warner Music Group Corp., Class A     83,446       2,258,883  
Financial Services — 2.4%                
Enact Holdings, Inc.     56,716       2,592,488  
Essent Group Ltd.     36,296       2,333,107  
HA Sustainable Infrastructure Capital, Inc.     28,448       1,110,894  
Jackson Financial, Inc., Class A     47,162       4,828,917  
MGIC Investment Corp.     88,174       2,486,507  
PennyMac Financial Services, Inc.     10,916       950,784  
Radian Group, Inc.     53,366       2,010,297  
Shift4 Payments, Inc., Class A*(a)     18,637       906,504  
TFS Financial Corp.     21,483       380,679  
Voya Financial, Inc.     38,023       3,442,222  
WEX, Inc.*     11,653       1,644,122  
Total Financial Services             22,686,521  
Food Products — 2.8%                
Cal-Maine Foods, Inc.(a)     34,830       2,805,905  
Campbell's Company/The     120,011       2,672,645  
Darling Ingredients, Inc.*     15,087       824,052  
Ingredion, Inc.     27,514       2,605,851  
J M Smucker Co.     37,953       4,269,712  
Lamb Weston Holdings, Inc.     32,012       1,382,278  
Marzetti Company/The     4,993       570,001  
Pilgrim's Pride Corp.     142,597       4,008,402  
Post Holdings, Inc.*(a)     18,941       1,671,732  
Seaboard Corp.     399       1,781,268  
Smithfield Foods, Inc.     160,911       3,903,701  
Total Food Products             26,495,547  
Gas Utilities — 1.3%                
MDU Resources Group, Inc.     40,965       868,867  
National Fuel Gas Co.     31,252       2,412,967  
New Jersey Resources Corp.     30,105       1,687,084  
ONE Gas, Inc.     13,696       1,055,551  
Southwest Gas Holdings, Inc.     24,004       2,128,675  
Spire, Inc.     13,197       1,030,554  
UGI Corp.     77,968       2,693,015  
Total Gas Utilities             11,876,713  
Ground Transportation — 0.9%                
Knight-Swift Transportation Holdings, Inc.     18,292       1,424,398  
Landstar System, Inc.     5,282       1,092,370  
Lyft, Inc., Class A*(a)     75,116       1,097,445  
Ryder System, Inc.     12,461       3,286,838  
Saia, Inc.*     3,545       1,493,012  
Total Ground Transportation             8,394,063  
Health Care Equipment & Supplies — 1.3%                
Align Technology, Inc.*     18,498       3,119,873  
Globus Medical, Inc., Class A*     23,052       1,821,339  
Haemonetics Corp.*     12,322       924,150  
ICU Medical, Inc.*     6,142       900,417  
Inspire Medical Systems, Inc.*     2,762       123,213  
Lantheus Holdings, Inc.*(a)     28,979       3,214,930  
Merit Medical Systems, Inc.*     11,633       806,632  
Penumbra, Inc.*(a)     3,218       1,016,083  
TransMedics Group, Inc.*(a)     3,560       236,455  
Total Health Care Equipment & Supplies             12,163,092  
Health Care Providers & Services — 2.2%                
BrightSpring Health Services, Inc.*(a)     25,151       1,754,031  
Chemed Corp.     3,165       1,474,067  
CorVel Corp.*     7,217       451,207  
DaVita, Inc.*     25,964       5,776,471  
Encompass Health Corp.     19,266       1,947,407  
Ensign Group, Inc.     8,936       1,432,441  
GeneDx Holdings Corp.*(a)     2,531       173,753  
HealthEquity, Inc.*     13,175       1,189,966  
Henry Schein, Inc.*     33,306       2,781,717  
Hims & Hers Health, Inc.*(a)     19,136       663,445  
Option Care Health, Inc.*(a)     39,728       833,096  
PACS Group, Inc.*(a)     37,887       1,615,502  
RadNet, Inc.*     6,281       387,349  
Total Health Care Providers & Services             20,480,452  
Health Care REITs — 0.4%                
American Healthcare REIT, Inc.     14,038       732,082  
CareTrust REIT, Inc.     29,915       1,207,070  
National Health Investors, Inc.     8,565       653,167  
Sabra Health Care REIT, Inc.(a)     41,061       801,100  
Total Health Care REITs             3,393,419  
Health Care Technology — 0.1%                
Doximity, Inc., Class A*     27,071       561,453  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

Investments   Shares     Value  
Waystar Holding Corp.*     30,199     $ 619,985  
Total Health Care Technology             1,181,438  
Hotel & Resort REITs — 0.6%                
Host Hotels & Resorts, Inc.     168,575       3,996,913  
Ryman Hospitality Properties, Inc.     11,384       1,463,413  
Total Hotel & Resort REITs             5,460,326  
Hotels, Restaurants & Leisure — 3.5%                
Aramark     53,252       3,030,039  
Boyd Gaming Corp.(a)     29,816       2,633,647  
Brinker International, Inc.*(a)     13,220       2,220,960  
Cava Group, Inc.*     8,871       696,196  
Choice Hotels International, Inc.     14,733       1,624,608  
Churchill Downs, Inc.     16,697       1,496,719  
Dutch Bros, Inc., Class A*(a)     9,770       701,584  
Global Business Travel Group I*     41,248       387,319  
Hilton Grand Vacations, Inc.*     17,396       911,029  
Hyatt Hotels Corp., Class A(a)     4,127       799,978  
Life Time Group Holdings, Inc.*     46,062       1,881,172  
MGM Resorts International*     70,836       3,386,669  
Norwegian Cruise Line Holdings Ltd.*     209,450       4,421,490  
Planet Fitness, Inc., Class A*     9,555       498,484  
Red Rock Resorts, Inc., Class A     14,476       941,809  
Shake Shack, Inc., Class A*     4,151       232,539  
Texas Roadhouse, Inc.     10,714       2,070,266  
Travel & Leisure Co.     25,401       1,941,398  
Vail Resorts, Inc.     8,450       1,150,467  
Wingstop, Inc.     2,328       403,698  
Wyndham Hotels & Resorts, Inc.     20,736       1,746,179  
Total Hotels, Restaurants & Leisure             33,176,250  
Household Durables — 1.7%                
Cavco Industries, Inc.*     1,560       958,433  
Champion Homes, Inc.*     11,371       1,002,012  
Installed Building Products, Inc.     4,785       1,099,784  
KB Home     33,469       2,094,825  
M/I Homes, Inc.*     13,925       2,239,001  
Meritage Homes Corp.     30,139       2,527,155  
Mohawk Industries, Inc.*     19,832       2,406,217  
Taylor Morrison Home Corp.*     52,884       3,793,898  
Total Household Durables             16,121,325  
Household Products — 0.2%                
Reynolds Consumer Products, Inc.(a)     58,520       1,571,262  
Independent Power & Renewable Electricity Producers — 0.7%                
AES Corp.     428,715       6,284,962  
Ormat Technologies, Inc.(a)     5,646       614,849  
Total Independent Power & Renewable Electricity Producers             6,899,811  
Industrial REITs — 0.6%                
EastGroup Properties, Inc.     5,952       1,205,459  
First Industrial Realty Trust, Inc.     18,967       1,162,867  
Rexford Industrial Realty, Inc.     33,141       1,110,223  
STAG Industrial, Inc.     26,939       1,025,298  
Terreno Realty Corp.     21,356       1,383,228  
Total Industrial REITs             5,887,075  
Insurance — 4.1%                
American Financial Group, Inc.     20,390       2,853,377  
Assurant, Inc.     14,564       3,910,871  
Assured Guaranty Ltd.     11,749       941,800  
Axis Capital Holdings Ltd.     35,584       3,823,145  
CNO Financial Group, Inc.     30,216       1,540,412  
F&G Annuities & Life, Inc.     44,401       1,180,623  
First American Financial Corp.     21,532       1,476,880  
Globe Life, Inc.     31,795       5,681,131  
Hanover Insurance Group, Inc.     12,026       2,575,007  
Kinsale Capital Group, Inc.     3,148       1,038,242  
Lincoln National Corp.     122,979       4,347,308  
Mercury General Corp.     11,533       1,229,648  
Old Republic International Corp.     63,001       2,578,001  
Primerica, Inc.     8,982       2,552,684  
RLI Corp.(a)     11,007       650,183  
Selective Insurance Group, Inc.     13,448       1,304,590  
White Mountains Insurance Group Ltd.     211       437,485  
Total Insurance             38,121,387  
Interactive Media & Services — 0.3%                
Match Group, Inc.     69,298       2,636,789  
IT Services — 0.5%                
DigitalOcean Holdings, Inc.*     20,965       3,292,134  
EPAM Systems, Inc.*     12,819       1,017,188  
Kyndryl Holdings, Inc.*     71,205       805,328  
Total IT Services             5,114,650  
Leisure Products — 0.7%                
Acushnet Holdings Corp.     11,391       1,350,175  
Brunswick Corp.     12,270       1,033,625  
Hasbro, Inc.     30,786       2,542,616  
Mattel, Inc.*     87,483       1,214,264  
Polaris, Inc.     5,191       355,272  
Total Leisure Products             6,495,952  
Life Sciences Tools & Services — 1.4%                
Avantor, Inc.*     235,804       2,334,459  
Bio-Rad Laboratories, Inc., Class A*     3,716       1,091,055  
Bio-Techne Corp.(a)     20,092       1,419,500  
Bruker Corp.     26,873       1,617,217  
Charles River Laboratories International, Inc.*     11,763       2,667,731  
Repligen Corp.*(a)     4,582       625,168  
Revvity, Inc.     22,493       2,502,571  
Sotera Health Co.*     59,548       1,056,977  
Total Life Sciences Tools & Services             13,314,678  
Machinery — 4.7%                
AGCO Corp.     15,087       1,805,914  
Allison Transmission Holdings, Inc.     31,142       3,510,949  
Atmus Filtration Technologies, Inc.     18,238       929,956  
Crane Co.     7,757       1,730,354  
Donaldson Co., Inc.     20,703       1,858,508  
Enpro, Inc.     3,243       1,222,384  
Esab Corp.     11,706       1,154,563  
ESCO Technologies, Inc.     3,587       1,255,594  
Federal Signal Corp.     9,490       1,219,370  
Flowserve Corp.     24,575       1,822,482  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

Investments   Shares     Value  
Franklin Electric Co., Inc.     8,540     $ 915,403  
Gates Industrial Corp. PLC*     72,501       2,027,853  
JBT Marel Corp.     8,344       1,209,880  
Middleby Corp.*     17,604       3,028,064  
Mueller Industries, Inc.     26,225       3,223,839  
Mueller Water Products, Inc., Class A     37,215       961,263  
Oshkosh Corp.     22,608       3,469,876  
SPX Technologies, Inc.*     6,198       1,519,564  
Stanley Black & Decker, Inc.     41,324       3,889,415  
Symbotic, Inc.*     10,641       478,313  
Timken Co.     19,273       2,800,752  
Toro Co.     25,014       2,436,864  
Watts Water Technologies, Inc., Class A     5,141       2,012,444  
Total Machinery             44,483,604  
Marine Transportation — 0.2%                
Kirby Corp.*     12,470       1,695,546  
Media — 1.2%                
New York Times Co., Class A     25,526       1,786,309  
News Corp., Class A     83,011       2,061,163  
Nexstar Media Group, Inc.     10,817       1,931,808  
Sirius XM Holdings, Inc.     189,505       5,597,978  
Total Media             11,377,258  
Metals & Mining — 1.1%                
Alcoa Corp.     83,918       4,375,484  
Coeur Mining, Inc.     98,193       1,602,510  
Commercial Metals Co.     22,996       1,442,999  
Hecla Mining Co.     177,806       2,743,547  
Warrior Met Coal, Inc.     4,177       339,005  
Total Metals & Mining             10,503,545  
Multi-Utilities — 0.2%                
Black Hills Corp.     17,661       1,313,978  
Northwestern Energy Group, Inc.     14,238       1,019,726  
Total Multi-Utilities             2,333,704  
Office REITs — 0.6%                
Cousins Properties, Inc.     14,660       439,507  
Kilroy Realty Corp.     32,903       1,232,875  
Vornado Realty Trust     94,132       3,699,388  
Total Office REITs             5,371,770  
Oil, Gas & Consumable Fuels — 4.7%                
Antero Midstream Corp.     106,080       2,413,320  
Antero Resources Corp.*     65,445       2,299,737  
APA Corp.     195,501       6,367,468  
California Resources Corp.     35,139       1,857,799  
Centrus Energy Corp., Class A*(a)     2,011       337,587  
Chord Energy Corp.     29,158       3,332,759  
CNX Resources Corp.*     39,037       1,324,525  
Comstock Resources, Inc.*(a)     27,501       410,315  
DT Midstream, Inc.     13,899       2,039,539  
Gulfport Energy Corp.*     6,948       1,179,076  
HF Sinclair Corp.     42,053       2,928,992  
Magnolia Oil & Gas Corp., Class A     61,649       1,576,981  
Matador Resources Co.     76,118       3,789,154  
Murphy Oil Corp.(a)     30,281       985,949  
Ovintiv, Inc.     117,585       6,190,850  
Permian Resources Corp., Class A     226,705       4,173,639  
Range Resources Corp.     72,255       2,687,164  
Total Oil, Gas & Consumable Fuels             43,894,854  
Paper & Forest Products — 0.1%                
Louisiana-Pacific Corp.     13,144       1,033,907  
Passenger Airlines — 0.8%                
Alaska Air Group, Inc.*     34,043       1,777,045  
American Airlines Group, Inc.*     207,249       3,744,989  
SkyWest, Inc.*     17,407       1,729,037  
Total Passenger Airlines             7,251,071  
Personal Care Products — 0.1%                
BellRing Brands, Inc.*     40,581       525,118  
Pharmaceuticals — 2.4%                
Amneal Pharmaceuticals, Inc.*     85,097       1,473,029  
Corcept Therapeutics, Inc.*(a)     8,318       723,250  
Elanco Animal Health, Inc.*(a)     88,673       2,182,243  
Indivior Pharmaceuticals, Inc.*     30,872       1,266,678  
Jazz Pharmaceuticals PLC*     12,385       2,984,413  
Ligand Pharmaceuticals, Inc.*(a)     3,552       1,122,752  
Viatris, Inc.     807,277       12,819,559  
Total Pharmaceuticals             22,571,924  
Professional Services — 2.0%                
Amentum Holdings, Inc.*(a)     77,605       1,604,095  
Booz Allen Hamilton Holding Corp.     37,593       2,280,767  
ExlService Holdings, Inc.*     32,988       853,070  
Exponent, Inc.     6,623       389,167  
FTI Consulting, Inc.*     7,462       1,111,913  
Genpact Ltd.     56,501       1,553,778  
KBR, Inc.     47,066       1,625,189  
Maximus, Inc.     20,396       1,096,489  
Parsons Corp.*     17,666       925,522  
Paycom Software, Inc.     13,402       1,684,363  
Paylocity Holding Corp.*     12,484       1,304,953  
Science Applications International Corp.     23,974       2,646,969  
UL Solutions, Inc., Class A     20,598       2,098,112  
Total Professional Services             19,174,387  
Real Estate Management & Development — 0.3%                
Cushman & Wakefield Ltd.*     68,885       922,370  
Howard Hughes Holdings, Inc.*     13,644       975,410  
St. Joe Co.     8,341       522,397  
Total Real Estate Management & Development             2,420,177  
Residential REITs — 0.7%                
American Homes 4 Rent, Class A     57,534       1,928,540  
Camden Property Trust     10,860       1,243,361  
Equity LifeStyle Properties, Inc.     26,512       1,708,698  
Independence Realty Trust, Inc.     18,001       300,437  
UDR, Inc.     29,066       1,160,315  
Total Residential REITs             6,341,351  
Retail REITs — 0.8%                
Agree Realty Corp.     11,270       853,590  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

Investments   Shares     Value  
Brixmor Property Group, Inc.     55,732     $ 1,757,230  
Federal Realty Investment Trust     14,543       1,795,188  
NNN REIT, Inc.     38,714       1,801,362  
Phillips Edison & Co., Inc.     14,272       594,001  
Tanger, Inc.     15,860       625,994  
Total Retail REITs             7,427,365  
Semiconductors & Semiconductor Equipment — 5.1%                
Amkor Technology, Inc.     29,637       2,555,598  
Cirrus Logic, Inc.*     15,440       2,293,303  
Enphase Energy, Inc.*     61,236       3,015,261  
Entegris, Inc.     36,456       6,556,976  
FormFactor, Inc.*     7,727       1,235,779  
Impinj, Inc.*(a)     2,671       382,567  
Lattice Semiconductor Corp.*     37,334       5,710,609  
MKS, Inc.     12,794       5,690,771  
Onto Innovation, Inc.*     6,909       2,614,711  
Qorvo, Inc.*     26,347       2,457,385  
Rambus, Inc.*     32,793       4,352,943  
Semtech Corp.*     9,573       1,549,390  
Silicon Laboratories, Inc.*     2,494       545,089  
SiTime Corp.*     6,855       5,110,814  
Skyworks Solutions, Inc.     53,078       3,598,688  
Universal Display Corp.     7,869       681,377  
Total Semiconductors & Semiconductor Equipment             48,351,261  
Software — 3.2%                
ACI Worldwide, Inc.*     23,672       1,190,465  
Agilysys, Inc.*     2,603       272,014  
Appfolio, Inc., Class A*(a)     3,293       528,033  
Bentley Systems, Inc., Class B(a)     37,095       1,108,770  
Bill Holdings, Inc.*     18,940       684,870  
Box, Inc., Class A*     31,251       829,402  
CCC Intelligent Solutions Holdings, Inc.*(a)     134,993       696,564  
CommVault Systems, Inc.*     6,332       897,434  
Core Scientific, Inc.*(a)     32,675       836,153  
Dolby Laboratories, Inc., Class A     25,968       1,365,397  
Dropbox, Inc., Class A*     110,544       3,036,644  
Elastic NV*     14,202       809,798  
Gitlab, Inc., Class A*     19,450       593,809  
Hut 8 Corp.*     22,937       2,647,962  
InterDigital, Inc.     6,008       1,701,045  
JFrog Ltd.*     9,351       849,819  
Klaviyo, Inc., Class A*     24,404       368,500  
Life360, Inc.*(a)     6,868       380,212  
Manhattan Associates, Inc.*     7,261       1,011,094  
MARA Holdings, Inc.*(a)     241,115       3,349,087  
Pegasystems, Inc.     31,214       935,484  
Procore Technologies, Inc.*     12,179       494,711  
Q2 Holdings, Inc.*     9,302       447,426  
Qualys, Inc.*     7,216       992,128  
Riot Platforms, Inc.*(a)     45,564       1,247,542  
UiPath, Inc., Class A*(a)     96,969       1,054,053  
Varonis Systems, Inc.*     10,321       433,069  
Workiva, Inc.*     4,826       234,109  
Zeta Global Holdings Corp., Class A*(a)     38,145       750,694  
Total Software             29,746,288  
Specialized REITs — 1.0%                
CubeSmart     40,434       1,608,060  
EPR Properties     15,278       886,277  
Gaming & Leisure Properties, Inc.     71,435       3,181,000  
Lamar Advertising Co., Class A     13,588       2,119,456  
Millrose Properties, Inc.     32,140       965,807  
Outfront Media, Inc.     23,243       761,441  
Total Specialized REITs             9,522,041  
Specialty Retail — 3.9%                
Abercrombie & Fitch Co., Class A*(a)     20,029       1,802,810  
Asbury Automotive Group, Inc.*     9,734       1,957,313  
AutoNation, Inc.*     15,162       2,816,948  
Bath & Body Works, Inc.     133,735       3,093,291  
Boot Barn Holdings, Inc.*     4,489       737,408  
CarMax, Inc.*     54,645       2,890,174  
Chewy, Inc., Class A*(a)     21,140       415,401  
Five Below, Inc.*     7,985       1,435,623  
GameStop Corp., Class A*(a)     68,962       1,522,681  
Gap, Inc.     127,368       2,379,234  
Group 1 Automotive, Inc.     5,382       1,567,077  
Lithia Motors, Inc.     11,248       3,267,432  
Murphy USA, Inc.     5,104       2,750,392  
Penske Automotive Group, Inc.     23,340       4,176,693  
Signet Jewelers Ltd.     19,549       1,685,124  
Urban Outfitters, Inc.*     24,099       1,707,655  
Valvoline, Inc.*(a)     29,243       1,156,268  
Wayfair, Inc., Class A*     10,209       943,516  
Total Specialty Retail             36,305,040  
Textiles, Apparel & Luxury Goods — 0.9%                
Crocs, Inc.*     31,804       3,836,835  
Kontoor Brands, Inc.     15,757       1,313,188  
PVH Corp.     27,229       2,022,026  
VF Corp.     68,284       1,138,977  
Total Textiles, Apparel & Luxury Goods             8,311,026  
Trading Companies & Distributors — 0.9%                
Applied Industrial Technologies, Inc.     6,418       2,170,247  
Core & Main, Inc., Class A*     38,910       1,877,407  
GATX Corp.     7,635       1,352,846  
MSC Industrial Direct Co., Inc., Class A     11,124       1,323,200  
QXO, Inc.*(a)     49,742       859,542  
SiteOne Landscape Supply, Inc.*     6,121       700,303  
Total Trading Companies & Distributors             8,283,545  
Water Utilities — 0.3%                
Essential Utilities, Inc.     69,631       2,667,564  
Total United States             924,402,648  
Bermuda — 0.7%                
Insurance — 0.7%                
RenaissanceRe Holdings Ltd.     22,102       7,004,124  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

Investments   Shares     Value  
Japan — 0.1%                
Semiconductors & Semiconductor Equipment — 0.1%                
Allegro MicroSystems, Inc.*     14,419     $ 1,003,850  
Kazakhstan — 0.1%                
Capital Markets — 0.1%                
Freedom Holding Corp.*(a)     4,792       625,212  
Puerto Rico — 0.4%                
Banks — 0.4%                
Popular, Inc.     21,433       3,518,870  
Sweden — 0.3%                
Automobile Components — 0.3%                
Autoliv, Inc.     25,417       2,952,693  
TOTAL COMMON STOCKS
(COST: $767,513,981)
            939,507,397  
EXCHANGE-TRADED FUND — 0.1%                
United States — 0.1%                
WisdomTree U.S. MidCap Dividend Fund(a)(b)                
                 
(Cost: $238,007)     4,323       244,336  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.5%                
United States — 0.5%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     2,606,109       2,606,109  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     2,400,000       2,400,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $5,006,109)
            5,006,109  
TOTAL INVESTMENTS IN SECURITIES — 100.7%
(Cost: $772,758,097)
            944,757,842  
Other Liabilities less Assets — (0.7)%             (6,174,871 )
NET ASSETS — 100.0%           $ 938,582,971  

 

*Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $53,085,572 and the total market value of the collateral held by the Fund was $54,131,011. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $49,124,902.
(b)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. MidCap Fund (EZM)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $32,400,000   $30,000,000   $   $   $2,400,000   $   $25,946 
WisdomTree U.S. MidCap Dividend Fund       845,564    619,600    12,043    6,329    244,336    3,455     
Total  $   $33,245,564   $30,619,600   $12,043   $6,329   $2,644,336   $3,455   $25,946 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $939,507,397   $   $   $939,507,397 
Exchange-Traded Fund   244,336            244,336 
Investment of Cash Collateral for Securities Loaned       5,006,109        5,006,109 
Total Investments in Securities  $939,751,733   $5,006,109   $   $944,757,842 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. MidCap Quality Growth Fund (QMID)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 98.2%
Beverages — 1.5%
Celsius Holdings, Inc.*(a)     506     $ 14,816  
Coca-Cola Consolidated, Inc.     98       18,710  
Total Beverages             33,526  
Biotechnology — 6.1%                
Alkermes PLC*(a)     272       14,252  
BioMarin Pharmaceutical, Inc.*     326       18,654  
Exelixis, Inc.*     458       24,920  
Halozyme Therapeutics, Inc.*     201       15,732  
Krystal Biotech, Inc.*(a)     52       19,327  
Neurocrine Biosciences, Inc.*     167       28,145  
Protagonist Therapeutics, Inc.*(a)     116       14,219  
Total Biotechnology             135,249  
Broadline Retail — 0.6%                
Etsy, Inc.*     174       13,107  
Building Products — 5.0%                
AAON, Inc.(a)     138       17,507  
Advanced Drainage Systems, Inc.     146       22,916  
Allegion PLC     151       21,214  
AO Smith Corp.(a)     212       13,297  
Armstrong World Industries, Inc.     80       12,833  
Modine Manufacturing Co.*     83       22,163  
Total Building Products             109,930  
Capital Markets — 6.2%                
Blue Owl Capital, Inc.     1,109       9,704  
Evercore, Inc., Class A     69       23,559  
FactSet Research Systems, Inc.     62       14,265  
Galaxy Digital, Inc., Class A*(a)     362       9,897  
Houlihan Lokey, Inc.     97       13,011  
Morningstar, Inc.     65       10,141  
SEI Investments Co.     223       19,559  
StoneX Group, Inc.*(a)     143       16,946  
Tradeweb Markets, Inc., Class A     201       20,032  
Total Capital Markets             137,114  
Commercial Services & Supplies — 1.2%                
MSA Safety, Inc.     73       12,744  
Tetra Tech, Inc.(a)     450       13,001  
Total Commercial Services & Supplies             25,745  
Construction & Engineering — 5.0%                
Argan, Inc.(a)     24       19,165  
Construction Partners, Inc., Class A*(a)     93       11,046  
Dycom Industries, Inc.*     58       29,324  
Fluor Corp.*     266       13,936  
Granite Construction, Inc.     76       12,014  
MYR Group, Inc.*     30       15,012  
Primoris Services Corp.     94       9,317  
Total Construction & Engineering             109,814  
Construction Materials — 0.5%                
Eagle Materials, Inc.(a)     54       12,150  
Consumer Finance — 1.3%                
Credit Acceptance Corp.*(a)     20       12,735  
FirstCash Holdings, Inc.(a)     77       16,656  
Total Consumer Finance             29,391  
Consumer Staples Distribution & Retail — 1.7%                
Maplebear, Inc.*     462       21,876  
Sprouts Farmers Market, Inc.*     190       16,070  
Total Consumer Staples Distribution & Retail             37,946  
Containers & Packaging — 0.7%                
AptarGroup, Inc.     120       15,024  
Electrical Equipment — 1.8%                
Powell Industries, Inc.(a)     62       17,754  
Vicor Corp.*     60       22,787  
Total Electrical Equipment             40,541  
Energy Equipment & Services — 1.0%                
Archrock, Inc.     314       12,783  
Valaris Ltd.*     123       8,930  
Total Energy Equipment & Services             21,713  
Entertainment — 1.3%                
TKO Group Holdings, Inc.(a)     141       28,385  
Financial Services — 2.0%                
Jack Henry & Associates, Inc.(a)     126       17,355  
Toast, Inc., Class A*     929       25,845  
Total Financial Services             43,200  
Food Products — 2.1%                
Lamb Weston Holdings, Inc.     235       10,147  
McCormick & Co., Inc., Non-Voting Shares     486       24,504  
Pilgrim's Pride Corp.     440       12,369  
Total Food Products             47,020  
Health Care Equipment & Supplies — 3.2%                
Globus Medical, Inc., Class A*(a)     209       16,513  
Insulet Corp.*     126       19,183  
Lantheus Holdings, Inc.*(a)     117       12,980  
Penumbra, Inc.*     69       21,787  
Total Health Care Equipment & Supplies             70,463  
Health Care Providers & Services — 6.0%                
Chemed Corp.     25       11,643  
DaVita, Inc.*     119       26,475  
Encompass Health Corp.     183       18,498  
Ensign Group, Inc.     103       16,511  
HealthEquity, Inc.*(a)     163       14,722  
Tenet Healthcare Corp.*     164       30,681  
Universal Health Services, Inc., Class B     94       13,977  
Total Health Care Providers & Services             132,507  
Hotels, Restaurants & Leisure — 7.8%                
Boyd Gaming Corp.(a)     132       11,660  
Brinker International, Inc.*     76       12,768  
Cava Group, Inc.*     226       17,736  
Domino's Pizza, Inc.     58       17,170  
DraftKings, Inc., Class A*     856       21,623  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. MidCap Quality Growth Fund (QMID)
June 30, 2026

 

 

Investments   Shares     Value  
Dutch Bros, Inc., Class A*(a)     226     $ 16,229  
Life Time Group Holdings, Inc.*     410       16,744  
Norwegian Cruise Line Holdings Ltd.*     798       16,846  
Texas Roadhouse, Inc.     128       24,733  
Wynn Resorts Ltd.(a)     174       16,894  
Total Hotels, Restaurants & Leisure             172,403  
Household Durables — 1.4%                
Somnigroup International, Inc.     394       30,890  
Insurance — 3.6%                
Erie Indemnity Co., Class A     88       21,098  
Everest Group Ltd.     77       27,507  
Kinsale Capital Group, Inc.     39       12,863  
Primerica, Inc.     62       17,620  
Total Insurance             79,088  
Interactive Media & Services — 1.8%                
Match Group, Inc.     450       17,123  
Pinterest, Inc., Class A*(a)     1,039       21,850  
Total Interactive Media & Services             38,973  
IT Services — 2.8%                
DigitalOcean Holdings, Inc.*     157       24,654  
Gartner, Inc.*     123       15,943  
GoDaddy, Inc., Class A*     249       21,135  
Total IT Services             61,732  
Life Sciences Tools & Services — 1.2%                
Medpace Holdings, Inc.*     50       26,479  
Machinery — 7.4%                
Allison Transmission Holdings, Inc.     140       15,784  
Crane Co.     98       21,861  
Donaldson Co., Inc.     197       17,685  
Federal Signal Corp.(a)     115       14,776  
Lincoln Electric Holdings, Inc.     96       25,489  
Mueller Industries, Inc.     189       23,234  
Oshkosh Corp.(a)     106       16,269  
Symbotic, Inc.*(a)     230       10,338  
Watts Water Technologies, Inc., Class A     47       18,398  
Total Machinery             163,834  
Media — 1.6%                
New York Times Co., Class A     282       19,734  
Trade Desk, Inc., Class A*     810       14,645  
Total Media             34,379  
Oil, Gas & Consumable Fuels — 2.0%                
Antero Midstream Corp.     829       18,860  
Permian Resources Corp., Class A     1,333       24,540  
Total Oil, Gas & Consumable Fuels             43,400  
Pharmaceuticals — 0.7%                
Corcept Therapeutics, Inc.*(a)     175       15,216  
Professional Services — 2.0%                
Booz Allen Hamilton Holding Corp.     217       13,165  
Parsons Corp.*(a)     182       9,535  
Paycom Software, Inc.     92       11,562  
Paylocity Holding Corp.*     86       8,990  
Total Professional Services             43,252  
Semiconductors & Semiconductor Equipment — 1.0%                
Rambus, Inc.*     164       21,769  
Software — 9.9%                
Atlassian Corp., Class A*     276       21,470  
Bentley Systems, Inc., Class B(a)     491       14,676  
Docusign, Inc.*     326       14,481  
Dynatrace, Inc.*     490       21,516  
Elastic NV*     164       9,351  
HubSpot, Inc.*     84       15,331  
Hut 8 Corp.*     180       20,780  
InterDigital, Inc.     43       12,175  
Manhattan Associates, Inc.*     99       13,786  
Nutanix, Inc., Class A*     438       22,321  
Procore Technologies, Inc.*     254       10,317  
Samsara, Inc., Class A*(a)     617       20,009  
Tyler Technologies, Inc.*     78       22,812  
Total Software             219,025  
Specialty Retail — 2.5%                
Dick's Sporting Goods, Inc.(a)     117       26,537  
Five Below, Inc.*     97       17,439  
Urban Outfitters, Inc.*(a)     164       11,621  
Total Specialty Retail             55,597  
Textiles, Apparel & Luxury Goods — 3.6%                
Deckers Outdoor Corp.*     267       26,510  
Lululemon Athletica, Inc.*     217       24,777  
Ralph Lauren Corp.     70       28,099  
Total Textiles, Apparel & Luxury Goods             79,386  
Trading Companies & Distributors — 1.7%                
Applied Industrial Technologies, Inc.     64       21,642  
Core & Main, Inc., Class A*     312       15,054  
Total Trading Companies & Distributors             36,696  
Total United States             2,164,944  
Bermuda — 1.1%                
Insurance — 1.1%                
RenaissanceRe Holdings Ltd.     77       24,401  
Switzerland — 0.6%                
Automobile Components — 0.6%                
Garrett Motion, Inc.     352       12,753  
TOTAL COMMON STOCKS
(COST: $2,121,169)
            2,202,098  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
                 
(Cost: $2,736)     2,736       2,736  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $2,123,905)
            2,204,834  
Other Liabilities less Assets — (0.0)%             (345 )
NET ASSETS — 100.0%           $ 2,204,489  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. MidCap Quality Growth Fund (QMID)
June 30, 2026

 

 

*Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $503,223 and the total market value of the collateral held by the Fund was $518,195, which was entirely composed of non-cash U.S. Government securities.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $2,202,098   $   $   $2,202,098 
Mutual Fund       2,736        2,736 
Total Investments in Securities  $2,202,098   $2,736   $   $2,204,834 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. Multifactor Fund (USMF)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 96.7%
Aerospace & Defense — 0.8%                
ATI, Inc.*     6,228     $ 1,227,539  
Carpenter Technology Corp.     2,029       1,251,568  
Total Aerospace & Defense             2,479,107  
Air Freight & Logistics — 0.4%                
FedEx Corp.     3,856       1,207,429  
Automobile Components — 0.9%                
BorgWarner, Inc.     39,730       2,638,072  
Automobiles — 1.0%                
General Motors Co.     39,392       3,036,335  
Banks — 3.5%                
Citigroup, Inc.     12,416       1,737,743  
Citizens Financial Group, Inc.     14,113       988,898  
Columbia Banking System, Inc.     38,583       1,236,585  
First Citizens BancShares, Inc., Class A     441       917,628  
KeyCorp     42,979       990,666  
M&T Bank Corp.     4,389       1,044,626  
Old National Bancorp(a)     35,673       923,931  
Southstate Bank Corp.     9,924       991,408  
Webster Financial Corp.     13,031       995,829  
Zions Bancorp NA     15,386       1,064,557  
Total Banks             10,891,871  
Beverages — 1.0%                
Coca-Cola Consolidated, Inc.     8,691       1,659,286  
Monster Beverage Corp.*     16,287       1,565,506  
Total Beverages             3,224,792  
Biotechnology — 3.7%                
Biogen, Inc.*     5,402       1,167,156  
Exelixis, Inc.*     24,799       1,349,314  
Gilead Sciences, Inc.     11,303       1,428,021  
Halozyme Therapeutics, Inc.*     16,522       1,293,177  
Incyte Corp.*     11,148       1,263,737  
Krystal Biotech, Inc.*(a)     3,791       1,409,001  
Neurocrine Biosciences, Inc.*     6,487       1,093,287  
Regeneron Pharmaceuticals, Inc.     1,791       1,116,760  
United Therapeutics Corp.*     2,594       1,405,507  
Total Biotechnology             11,525,960  
Broadline Retail — 1.0%                
eBay, Inc.     28,162       3,147,104  
Capital Markets — 3.4%                
Affiliated Managers Group, Inc.     3,725       1,260,540  
Evercore, Inc., Class A     2,711       925,644  
Goldman Sachs Group, Inc.     1,655       1,673,817  
Interactive Brokers Group, Inc., Class A     11,748       1,022,546  
Invesco Ltd.     35,274       930,881  
Morgan Stanley     7,844       1,639,710  
Northern Trust Corp.     5,805       1,009,141  
StoneX Group, Inc.*     9,050       1,072,425  
T Rowe Price Group, Inc.     8,469       962,841  
Total Capital Markets             10,497,545  
Chemicals — 0.4%                
CF Industries Holdings, Inc.     11,403       1,234,489  
Communications Equipment — 3.1%                
Arista Networks, Inc.*     9,418       1,599,930  
Ciena Corp.*     1,859       911,951  
Cisco Systems, Inc.     18,491       2,171,953  
F5, Inc.*     3,215       1,337,311  
Motorola Solutions, Inc.     2,606       1,082,246  
Ubiquiti, Inc.     1,896       1,012,521  
Viasat, Inc.*     14,945       1,342,210  
Total Communications Equipment             9,458,122  
Construction & Engineering — 1.8%                
Argan, Inc.     1,345       1,074,050  
Comfort Systems USA, Inc.     656       1,300,159  
EMCOR Group, Inc.     1,289       1,069,715  
IES Holdings, Inc.*     1,379       1,013,096  
Valmont Industries, Inc.     1,919       1,108,415  
Total Construction & Engineering             5,565,435  
Consumer Finance — 0.6%                
FirstCash Holdings, Inc.     4,668       1,009,782  
Synchrony Financial     11,772       895,260  
Total Consumer Finance             1,905,042  
Consumer Staples Distribution & Retail — 0.9%                
Casey's General Stores, Inc.     1,702       1,352,732  
Target Corp.     11,029       1,440,498  
Total Consumer Staples Distribution & Retail             2,793,230  
Diversified Telecommunication Services — 1.5%                
Comcast Corp., Class A     58,962       1,447,517  
Globalstar, Inc.*     18,377       1,493,866  
Verizon Communications, Inc.     40,837       1,729,039  
Total Diversified Telecommunication Services             4,670,422  
Electric Utilities — 2.1%                
American Electric Power Co., Inc.     8,365       1,144,416  
Duke Energy Corp.     8,907       1,127,448  
Edison International     16,957       1,262,449  
Eversource Energy     14,071       1,016,911  
FirstEnergy Corp.     20,608       979,704  
Pinnacle West Capital Corp.     8,957       958,399  
Total Electric Utilities             6,489,327  
Electrical Equipment — 0.3%                
EnerSys     4,538       1,061,075  
Electronic Equipment, Instruments & Components — 4.9%                
Advanced Energy Industries, Inc.     3,262       1,216,302  
Amphenol Corp., Class A     10,605       1,869,874  
Arrow Electronics, Inc.*     4,828       1,030,343  
Cognex Corp.     16,476       1,193,192  
Coherent Corp.*     2,446       964,874  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Multifactor Fund (USMF)
June 30, 2026

 

 

Investments   Shares     Value  
Corning, Inc.     7,078     $ 1,807,933  
Jabil, Inc.     3,575       1,378,091  
Keysight Technologies, Inc.*     3,720       1,302,260  
Littelfuse, Inc.     2,330       1,060,919  
Sanmina Corp.*     3,636       920,199  
TD SYNNEX Corp.     4,302       1,150,097  
Teledyne Technologies, Inc.*     1,732       1,155,071  
Total Electronic Equipment, Instruments & Components             15,049,155  
Energy Equipment & Services — 0.2%                
Halliburton Co.     22,795       773,890  
Entertainment — 2.1%                
Live Nation Entertainment, Inc.*(a)     8,928       1,634,806  
Roku, Inc.*     12,182       1,682,821  
TKO Group Holdings, Inc.     7,377       1,485,064  
Warner Bros Discovery, Inc.*     58,283       1,553,825  
Total Entertainment             6,356,516  
Financial Services — 0.3%                
Corpay, Inc.*     2,776       925,158  
Food Products — 1.9%                
Archer-Daniels-Midland Co.     16,902       1,291,313  
Bunge Global SA     10,464       1,116,823  
Darling Ingredients, Inc.*     20,635       1,127,084  
Smithfield Foods, Inc.     49,308       1,196,212  
Tyson Foods, Inc., Class A     21,305       1,219,711  
Total Food Products             5,951,143  
Ground Transportation — 0.7%                
JB Hunt Transport Services, Inc.     3,706       1,072,627  
Ryder System, Inc.     4,640       1,223,893  
Total Ground Transportation             2,296,520  
Health Care Providers & Services — 1.3%                
BrightSpring Health Services, Inc.*(a)     16,552       1,154,336  
CVS Health Corp.     13,887       1,436,610  
DaVita, Inc.*     6,137       1,365,360  
Total Health Care Providers & Services             3,956,306  
Hotel & Resort REITs — 0.4%                
Host Hotels & Resorts, Inc.     57,555       1,364,629  
Hotels, Restaurants & Leisure — 2.1%                
Expedia Group, Inc.     13,523       3,460,265  
MGM Resorts International*     63,566       3,039,091  
Total Hotels, Restaurants & Leisure             6,499,356  
Household Products — 0.5%                
Colgate-Palmolive Co.     16,232       1,488,150  
Insurance — 3.0%                
Allstate Corp.     4,437       1,055,740  
Arch Capital Group Ltd.*     10,357       1,005,250  
Everest Group Ltd.     3,103       1,108,485  
Globe Life, Inc.     5,520       986,314  
Hartford Insurance Group, Inc.     7,347       973,624  
MetLife, Inc.     12,833       1,085,800  
Principal Financial Group, Inc.     8,706       938,333  
Reinsurance Group of America, Inc.     4,074       866,336  
Travelers Cos., Inc.     3,687       1,217,152  
Total Insurance             9,237,034  
Interactive Media & Services — 4.5%                
Alphabet, Inc., Class A     34,085       12,180,956  
Match Group, Inc.     45,932       1,747,713  
Total Interactive Media & Services             13,928,669  
IT Services — 1.1%                
Akamai Technologies, Inc.*     6,267       740,822  
MongoDB, Inc.*     2,578       865,950  
Twilio, Inc., Class A*     4,506       929,723  
VeriSign, Inc.     3,311       832,915  
Total IT Services             3,369,410  
Life Sciences Tools & Services — 0.4%                
Illumina, Inc.*     7,122       1,252,261  
Machinery — 3.2%                
Allison Transmission Holdings, Inc.     8,965       1,010,714  
Caterpillar, Inc.     2,201       2,343,845  
Cummins, Inc.     1,802       1,285,204  
Flowserve Corp.     12,409       920,252  
Mueller Industries, Inc.     8,171       1,004,461  
Oshkosh Corp.     6,873       1,054,868  
Timken Co.     7,173       1,042,380  
Toro Co.     12,023       1,171,281  
Total Machinery             9,833,005  
Media — 1.8%                
EchoStar Corp., Class A*     12,420       1,260,630  
New York Times Co., Class A     19,906       1,393,022  
Omnicom Group, Inc.     19,132       1,393,383  
Sirius XM Holdings, Inc.(a)     53,009       1,565,886  
Total Media             5,612,921  
Metals & Mining — 1.3%                
Alcoa Corp.     12,636       658,841  
Commercial Metals Co.     13,777       864,507  
Newmont Corp.     15,211       1,420,707  
Steel Dynamics, Inc.     3,999       917,611  
Total Metals & Mining             3,861,666  
Oil, Gas & Consumable Fuels — 2.4%                
APA Corp.     25,697       836,951  
ConocoPhillips     9,741       1,012,675  
Devon Energy Corp.     25,472       1,052,503  
EOG Resources, Inc.     7,917       1,027,073  
HF Sinclair Corp.     12,442       866,585  
Marathon Petroleum Corp.     3,676       939,843  
Ovintiv, Inc.     17,205       905,843  
Permian Resources Corp., Class A     45,591       839,330  
Total Oil, Gas & Consumable Fuels             7,480,803  
Passenger Airlines — 1.3%                
Delta Air Lines, Inc.     15,004       1,405,275  
Southwest Airlines Co.     24,425       1,255,933  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Multifactor Fund (USMF)
June 30, 2026

 

 

Investments   Shares     Value  
United Airlines Holdings, Inc.*     9,432     $ 1,282,658  
Total Passenger Airlines             3,943,866  
Pharmaceuticals — 4.3%                
Bristol-Myers Squibb Co.     27,135       1,563,519  
Eli Lilly & Co.     3,425       4,108,048  
Jazz Pharmaceuticals PLC*     5,434       1,309,431  
Johnson & Johnson     10,623       2,697,923  
Merck & Co., Inc.     17,687       2,272,779  
Viatris, Inc.     76,654       1,217,266  
Total Pharmaceuticals             13,168,966  
Retail REITs — 1.2%                
Brixmor Property Group, Inc.     39,922       1,258,741  
Kimco Realty Corp.     47,103       1,194,061  
Simon Property Group, Inc.     6,148       1,375,000  
Total Retail REITs             3,827,802  
Semiconductors & Semiconductor Equipment — 16.6%                
Amkor Technology, Inc.     13,574       1,170,486  
Analog Devices, Inc.     4,032       1,601,389  
Applied Materials, Inc.     4,498       3,252,054  
Broadcom, Inc.     13,284       5,018,031  
Cirrus Logic, Inc.*     7,656       1,137,146  
Entegris, Inc.     8,306       1,493,917  
First Solar, Inc.*     3,875       914,345  
KLA Corp.     9,316       2,810,730  
Lam Research Corp.     6,850       2,968,311  
Lattice Semiconductor Corp.*     6,628       1,013,819  
MACOM Technology Solutions Holdings, Inc.*     3,045       1,158,227  
Microchip Technology, Inc.     12,280       1,119,936  
Micron Technology, Inc.     3,463       3,997,306  
MKS, Inc.     3,557       1,582,154  
Monolithic Power Systems, Inc.     792       1,094,829  
NVIDIA Corp.     56,960       11,397,126  
ON Semiconductor Corp.*     9,452       893,592  
Onto Innovation, Inc.*     3,860       1,460,817  
Qorvo, Inc.*     11,147       1,039,681  
Qualcomm, Inc.     6,421       1,186,537  
Rambus, Inc.*     5,987       794,714  
Skyworks Solutions, Inc.(a)     11,068       750,410  
Teradyne, Inc.     3,295       1,594,253  
Texas Instruments, Inc.     6,204       1,849,226  
Total Semiconductors & Semiconductor Equipment             51,299,036  
Software — 2.0%                
AppLovin Corp., Class A*     2,401       1,237,067  
Cadence Design Systems, Inc.*     2,954       1,108,695  
Crowdstrike Holdings, Inc., Class A*     1,731       1,320,996  
Fortinet, Inc.*     8,871       1,362,763  
Zoom Communications, Inc., Class A*     11,642       1,004,821  
Total Software             6,034,342  
Specialized REITs — 0.4%                
Gaming & Leisure Properties, Inc.     24,932       1,110,222  
Specialty Retail — 1.9%                
Burlington Stores, Inc.*     9,006       2,853,101  
Murphy USA, Inc.     5,638       3,038,149  
Total Specialty Retail             5,891,250  
Technology Hardware, Storage & Peripherals — 7.0%                
Apple, Inc.     39,490       11,426,826  
Dell Technologies, Inc., Class C     3,662       1,580,007  
Everpure, Inc., Class A*     11,746       925,467  
Hewlett Packard Enterprise Co.     21,999       992,375  
NetApp, Inc.     7,061       1,092,760  
Sandisk Corp.*     876       1,991,788  
Seagate Technology Holdings PLC     1,685       1,626,025  
Western Digital Corp.     2,933       1,873,366  
Total Technology Hardware, Storage & Peripherals             21,508,614  
Textiles, Apparel & Luxury Goods — 1.9%                
Deckers Outdoor Corp.*     28,280       2,807,921  
Tapestry, Inc.     21,565       3,156,685  
Total Textiles, Apparel & Luxury Goods             5,964,606  
Tobacco — 0.6%                
Altria Group, Inc.     24,621       1,771,481  
Trading Companies & Distributors — 1.0%                
Applied Industrial Technologies, Inc.     3,147       1,064,158  
United Rentals, Inc.     1,120       1,268,837  
WESCO International, Inc.     2,633       909,517  
Total Trading Companies & Distributors             3,242,512  
Total United States             298,824,646  
Bermuda — 0.4%                
Insurance — 0.4%                
RenaissanceRe Holdings Ltd.     4,257       1,349,043  
Japan — 0.5%                
Semiconductors & Semiconductor Equipment — 0.5%                
Allegro MicroSystems, Inc.*(a)     20,251       1,409,875  
Netherlands — 0.4%                
Semiconductors & Semiconductor Equipment — 0.4%                
NXP Semiconductors NV     4,432       1,245,525  
Puerto Rico — 0.4%                
Banks — 0.4%                
Popular, Inc.     7,127       1,170,111  
Sweden — 0.9%                
Automobile Components — 0.9%                
Autoliv, Inc.     23,022       2,674,466  
Switzerland — 0.4%                
Electronic Equipment, Instruments & Components — 0.4%                
TE Connectivity PLC     5,725       1,154,217  

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. Multifactor Fund (USMF)
June 30, 2026

 

 

Investments   Shares     Value  
Thailand — 0.2%                
Electronic Equipment, Instruments & Components — 0.2%                
Fabrinet*     1,401     $ 787,474  
TOTAL COMMON STOCKS
(COST: $277,392,532)
            308,615,357  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $294,094)     294,094       294,094  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.2%                
United States — 0.2%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $769,783)     769,783       769,783  
TOTAL INVESTMENTS IN SECURITIES — 100.2%
(Cost: $278,456,409)
            309,679,234  
Other Liabilities less Assets — (0.2)%             (679,026 )
NET ASSETS — 100.0%           $ 309,000,208  

 

*Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $6,740,337 and the total market value of the collateral held by the Fund was $6,843,935. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $6,074,152.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $308,615,357   $   $   $308,615,357 
Mutual Fund       294,094        294,094 
Investment of Cash Collateral for Securities Loaned       769,783        769,783 
Total Investments in Securities  $308,615,357   $1,063,877   $   $309,679,234 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. Quality Dividend Growth Fund (DGRW)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 100.0%
United States — 100.0%
Aerospace & Defense — 0.8%                
BWX Technologies, Inc.     13,743     $ 2,675,075  
General Electric Co.     281,060       105,040,554  
Howmet Aerospace, Inc.     62,964       16,928,501  
Leonardo DRS, Inc.     36,061       1,538,723  
Total Aerospace & Defense             126,182,853  
Air Freight & Logistics — 0.8%                
CH Robinson Worldwide, Inc.(a)     156,559       29,486,322  
FedEx Corp.     320,872       100,474,649  
Total Air Freight & Logistics             129,960,971  
Automobile Components — 0.1%                
Gentex Corp.     274,585       6,938,763  
Lear Corp.     72,673       9,742,542  
Total Automobile Components             16,681,305  
Automobiles — 0.4%                
Ford Motor Co.     5,239,680       72,831,552  
Banks — 2.0%                
Bank of America Corp.     2,889,765       164,658,810  
Fifth Third Bancorp     872,179       49,164,730  
First Citizens BancShares, Inc., Class A     15,212       31,652,978  
Huntington Bancshares, Inc.     2,515,319       44,596,606  
Old National Bancorp(a)     520,212       13,473,491  
Pinnacle Financial Partners, Inc.     99,889       10,076,802  
Southstate Bank Corp.     131,926       13,179,407  
Western Alliance Bancorp     139,917       11,501,177  
Total Banks             338,304,001  
Beverages — 2.9%                
Coca-Cola Co.     5,882,879       478,101,576  
Biotechnology — 3.9%                
AbbVie, Inc.     1,366,624       343,897,263  
Gilead Sciences, Inc.     1,649,495       208,397,198  
Regeneron Pharmaceuticals, Inc.     144,988       90,405,818  
Total Biotechnology             642,700,279  
Building Products — 0.2%                
AO Smith Corp.(a)     154,426       9,685,599  
Carlisle Cos., Inc.     56,963       20,663,328  
Lennox International, Inc.     16,750       9,596,912  
Total Building Products             39,945,839  
Capital Markets — 2.2%                
Charles Schwab Corp.     1,703,461       157,178,347  
Evercore, Inc., Class A     7,412       2,530,753  
FactSet Research Systems, Inc.     49,800       11,457,984  
Houlihan Lokey, Inc.     9,767       1,310,048  
KKR & Co., Inc.     199,874       18,344,436  
LPL Financial Holdings, Inc.     10,920       3,075,946  
Moody's Corp.     72,935       33,033,720  
Morningstar, Inc.     7,006       1,093,076  
MSCI, Inc.     12,419       6,955,137  
Piper Sandler Cos.     9,210       666,251  
Raymond James Financial, Inc.     258,355       39,277,711  
S&P Global, Inc.     149,193       60,760,341  
SEI Investments Co.     162,951       14,292,432  
Stifel Financial Corp.     218,272       15,228,837  
Total Capital Markets             365,205,019  
Chemicals — 1.1%                
CF Industries Holdings, Inc.     212,821       23,040,002  
Ecolab, Inc.     243,179       67,752,101  
NewMarket Corp.     8,726       6,904,360  
Sherwin-Williams Co.     262,077       90,238,353  
Total Chemicals             187,934,816  
Commercial Services & Supplies — 0.3%                
Cintas Corp.     185,719       31,587,088  
MSA Safety, Inc.     4,815       840,603  
Rollins, Inc.     61,942       2,585,459  
Veralto Corp.     93,746       8,313,395  
Total Commercial Services & Supplies             43,326,545  
Communications Equipment — 1.4%                
Cisco Systems, Inc.     2,033,809       238,891,205  
Construction & Engineering — 0.1%                
AECOM     172,794       12,061,021  
Comfort Systems USA, Inc.     5,368       10,639,108  
Total Construction & Engineering             22,700,129  
Construction Materials — 0.1%                
Martin Marietta Materials, Inc.     9,441       5,444,625  
Vulcan Materials Co.     20,667       6,096,971  
Total Construction Materials             11,541,596  
Consumer Finance — 1.0%                
American Express Co.     438,569       148,345,964  
FirstCash Holdings, Inc.     6,348       1,373,200  
OneMain Holdings, Inc.     156,628       9,549,609  
Total Consumer Finance             159,268,773  
Consumer Staples Distribution & Retail — 2.1%                
Casey's General Stores, Inc.     5,664       4,501,691  
Costco Wholesale Corp.     149,526       139,877,087  
Sysco Corp.     653,327       54,605,071  
Walmart, Inc.     1,369,847       155,148,871  
Total Consumer Staples Distribution & Retail             354,132,720  
Containers & Packaging — 0.2%                
Packaging Corp. of America     122,112       29,096,847  
Distributors — 0.1%                
Pool Corp.(a)     47,260       10,156,174  
Diversified Telecommunication Services — 1.9%                
AT&T, Inc.     6,368,467       131,827,267  
Verizon Communications, Inc.     4,487,674       190,008,117  
Total Diversified Telecommunication Services             321,835,384  
Electric Utilities — 0.2%                
Constellation Energy Corp.     53,898       13,386,646  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Quality Dividend Growth Fund (DGRW)
June 30, 2026

 

 

Investments   Shares     Value  
NRG Energy, Inc.     86,549     $ 12,641,347  
Total Electric Utilities             26,027,993  
Electrical Equipment — 0.2%                
Hubbell, Inc.     21,662       11,333,559  
Rockwell Automation, Inc.     16,754       8,294,570  
Vertiv Holdings Co., Class A     55,840       18,696,349  
Total Electrical Equipment             38,324,478  
Electronic Equipment, Instruments & Components — 1.4%                
Amphenol Corp., Class A     182,780       32,227,769  
Corning, Inc.     796,927       203,559,064  
Total Electronic Equipment, Instruments & Components             235,786,833  
Energy Equipment & Services — 0.8%                
Halliburton Co.     4,117,300       139,782,335  
Entertainment — 0.0%                
TKO Group Holdings, Inc.(a)     10,914       2,197,098  
Warner Music Group Corp., Class A     194,618       5,268,309  
Total Entertainment             7,465,407  
Financial Services — 2.6%                
Apollo Global Management, Inc.     341,827       40,441,552  
Jack Henry & Associates, Inc.(a)     83,231       11,464,238  
Mastercard, Inc., Class A     190,825       98,007,720  
PayPal Holdings, Inc.     1,293,770       55,864,989  
Visa, Inc., Class A     682,109       234,024,777  
Total Financial Services             439,803,276  
Food Products — 0.3%                
Hershey Co.     202,184       35,473,183  
Lamb Weston Holdings, Inc.     171,314       7,397,338  
Total Food Products             42,870,521  
Ground Transportation — 1.7%                
CSX Corp.     2,428,189       115,411,823  
JB Hunt Transport Services, Inc.     119,556       34,603,093  
Landstar System, Inc.     42,730       8,836,991  
Old Dominion Freight Line, Inc.     155,577       33,697,978  
Ryder System, Inc.     52,288       13,792,006  
Union Pacific Corp.     302,323       82,231,856  
Total Ground Transportation             288,573,747  
Health Care Equipment & Supplies — 0.4%                
ResMed, Inc.(a)     18,694       3,643,087  
Stryker Corp.     202,276       63,684,576  
Total Health Care Equipment & Supplies             67,327,663  
Health Care Providers & Services — 3.3%                
McKesson Corp.     79,448       60,030,909  
UnitedHealth Group, Inc.     1,167,468       485,234,725  
Total Health Care Providers & Services             545,265,634  
Hotels, Restaurants & Leisure — 2.6%                
Aramark     343,967       19,571,722  
Booking Holdings, Inc.     207,602       37,002,981  
Darden Restaurants, Inc.     156,331       32,205,749  
Domino's Pizza, Inc.     2,704       800,492  
Expedia Group, Inc.     18,034       4,614,540  
Hilton Worldwide Holdings, Inc.     37,264       12,314,262  
Las Vegas Sands Corp.     88,362       4,081,441  
Marriott International, Inc., Class A     138,532       51,338,574  
McDonald's Corp.     965,385       260,953,219  
Texas Roadhouse, Inc.     10,685       2,064,663  
Wyndham Hotels & Resorts, Inc.     34,648       2,917,708  
Yum! Brands, Inc.     43,262       6,915,863  
Total Hotels, Restaurants & Leisure             434,781,214  
Household Durables — 0.8%                
DR Horton, Inc.     381,340       62,112,659  
Meritage Homes Corp.     89,549       7,508,684  
PulteGroup, Inc.     257,338       35,309,347  
Toll Brothers, Inc.     127,173       20,951,752  
Total Household Durables             125,882,442  
Household Products — 1.4%                
Procter & Gamble Co.     1,589,319       233,057,738  
Independent Power & Renewable Electricity Producers — 0.1%                
Vistra Corp.     51,979       8,245,429  
Insurance — 0.7%                
Erie Indemnity Co., Class A     5,010       1,201,148  
Marsh & McLennan Cos., Inc.     652,845       108,809,676  
Total Insurance             110,010,824  
Interactive Media & Services — 7.6%                
Alphabet, Inc., Class A     1,073,090       383,490,173  
Alphabet, Inc., Class C     1,088,205       384,495,473  
Meta Platforms, Inc., Class A     875,421       493,115,895  
Total Interactive Media & Services             1,261,101,541  
IT Services — 1.6%                
International Business Machines Corp.     938,904       264,029,194  
Life Sciences Tools & Services — 0.0%                
Agilent Technologies, Inc.     44,507       5,911,865  
Machinery — 5.8%                
AGCO Corp.     100,560       12,037,032  
Allison Transmission Holdings, Inc.     107,345       12,102,075  
Caterpillar, Inc.     280,437       298,637,361  
Cummins, Inc.     180,715       128,887,745  
Deere & Co.     183,552       116,432,540  
Donaldson Co., Inc.     157,659       14,153,048  
Dover Corp.     178,716       40,082,425  
Flowserve Corp.     172,768       12,812,475  
Graco, Inc.     98,939       7,480,778  
Illinois Tool Works, Inc.     386,870       104,636,729  
ITT, Inc.(a)     13,225       2,615,376  
Lincoln Electric Holdings, Inc.     8,006       2,125,673  
Mueller Industries, Inc.     144,171       17,722,941  
Oshkosh Corp.     82,605       12,678,215  
PACCAR, Inc.     672,282       80,754,514  
Parker-Hannifin Corp.     90,000       88,030,800  
Toro Co.     129,126       12,579,455  
Xylem, Inc.     32,750       3,871,378  
Total Machinery             967,640,560  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Quality Dividend Growth Fund (DGRW)
June 30, 2026

 

 

Investments   Shares     Value  
Media — 0.1%                
New York Times Co., Class A     24,196     $ 1,693,236  
Nexstar Media Group, Inc.     41,816       7,467,920  
Total Media             9,161,156  
Metals & Mining — 1.6%                
Freeport-McMoRan, Inc.     1,188,594       74,750,677  
Newmont Corp.     1,258,955       117,586,397  
Reliance, Inc.     68,522       25,599,819  
Royal Gold, Inc.     12,503       2,495,724  
Steel Dynamics, Inc.     190,522       43,717,178  
Total Metals & Mining             264,149,795  
Oil, Gas & Consumable Fuels — 3.6%                
APA Corp.(a)     46,295       1,507,828  
Chevron Corp.     1,377,256       228,293,954  
ConocoPhillips     183,849       19,112,942  
Devon Energy Corp.     171,407       7,082,537  
Diamondback Energy, Inc.     42,086       7,397,877  
EOG Resources, Inc.     80,272       10,413,687  
EQT Corp.     84,921       4,515,250  
Expand Energy Corp.     37,062       3,379,684  
Exxon Mobil Corp.     1,936,712       264,787,265  
Marathon Petroleum Corp.     45,144       11,541,966  
Ovintiv, Inc.     36,029       1,896,927  
Permian Resources Corp., Class A     116,946       2,152,976  
Phillips 66     58,181       9,835,498  
Range Resources Corp.(a)     40,974       1,523,823  
Targa Resources Corp.     30,911       8,288,475  
Texas Pacific Land Corp.(a)     9,383       4,106,376  
Valero Energy Corp.     48,052       12,514,663  
Total Oil, Gas & Consumable Fuels             598,351,728  
Paper & Forest Products — 0.0%                
Louisiana-Pacific Corp.     90,976       7,156,172  
Passenger Airlines — 0.7%                
Delta Air Lines, Inc.     819,015       76,708,945  
Southwest Airlines Co.(a)     676,257       34,773,135  
Total Passenger Airlines             111,482,080  
Pharmaceuticals — 5.2%                
Eli Lilly & Co.     211,598       253,796,989  
Johnson & Johnson     1,531,100       388,853,467  
Merck & Co., Inc.     1,524,513       195,899,921  
Zoetis, Inc.     374,358       26,901,366  
Total Pharmaceuticals             865,451,743  
Professional Services — 0.8%                
Automatic Data Processing, Inc.     529,985       118,690,141  
Booz Allen Hamilton Holding Corp.     165,817       10,060,117  
Broadridge Financial Solutions, Inc.     16,205       2,219,275  
Equifax, Inc.     16,340       2,593,485  
Paycom Software, Inc.     9,058       1,138,409  
Verisk Analytics, Inc.     20,659       3,708,910  
Total Professional Services             138,410,337  
Semiconductors & Semiconductor Equipment — 16.1%                
Analog Devices, Inc.     411,881       163,586,777  
Applied Materials, Inc.     393,460       284,471,580  
Broadcom, Inc.     1,028,997       388,703,617  
KLA Corp.     217,049       65,485,854  
Lam Research Corp.     343,473       148,837,155  
Monolithic Power Systems, Inc.     7,102       9,817,521  
NVIDIA Corp.     6,592,417       1,319,076,717  
Qualcomm, Inc.     677,941       125,276,717  
Texas Instruments, Inc.     548,860       163,598,700  
Total Semiconductors & Semiconductor Equipment             2,668,854,638  
Software — 8.6%                
Intuit, Inc.     66,571       17,375,031  
Microsoft Corp.     2,557,665       954,060,198  
Oracle Corp.     2,647,937       388,055,167  
Salesforce, Inc.     412,374       64,602,511  
Total Software             1,424,092,907  
Specialty Retail — 3.9%                
Dick's Sporting Goods, Inc.     79,854       18,111,686  
Home Depot, Inc.     1,321,548       466,083,549  
Ross Stores, Inc.     47,044       10,013,315  
TJX Cos., Inc.     700,554       106,133,931  
Tractor Supply Co.     134,401       4,248,415  
Williams-Sonoma, Inc.     162,829       37,955,440  
Total Specialty Retail             642,546,336  
Technology Hardware, Storage & Peripherals — 3.9%                
Apple, Inc.     2,218,485       641,940,820  
Textiles, Apparel & Luxury Goods — 0.0%                
Ralph Lauren Corp.     7,393       2,967,624  
Tapestry, Inc.     29,753       4,355,244  
Total Textiles, Apparel & Luxury Goods             7,322,868  
Trading Companies & Distributors — 0.9%                
Fastenal Co.     303,136       14,559,622  
Ferguson Enterprises, Inc.     196,956       46,743,567  
United Rentals, Inc.     40,750       46,165,268  
WESCO International, Inc.     62,280       21,513,380  
WW Grainger, Inc.     13,090       17,807,636  
Total Trading Companies & Distributors             146,789,473  
Wireless Telecommunication Services — 1.5%                
T-Mobile U.S., Inc.     1,460,902       245,037,092  
TOTAL COMMON STOCKS
(COST: $13,427,259,646)
            16,601,433,423  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $7,503,289)     7,503,289       7,503,289  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $13,434,762,935)
            16,608,936,712  
Other Assets less Liabilities — 0.0%             5,203,852  
NET ASSETS — 100.0%           $ 16,614,140,564  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. Quality Dividend Growth Fund (DGRW)
June 30, 2026

 

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $44,828,834 and the total market value of the collateral held by the Fund was $45,738,442, which was entirely composed of non-cash U.S. Government securities.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $13,200,000   $13,200,000   $   $   $^   $5,750 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $16,601,433,423   $   $   $16,601,433,423 
Mutual Fund       7,503,289        7,503,289 
Total Investments in Securities  $16,601,433,423   $7,503,289   $   $16,608,936,712 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. Quality Growth Fund (QGRW)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 98.9%
Aerospace & Defense — 3.2%                
ATI, Inc.*     9,175     $ 1,808,393  
Axon Enterprise, Inc.*(a)     5,166       2,896,111  
Carpenter Technology Corp.     3,817       2,354,478  
FTAI Aviation Ltd.     7,823       2,116,356  
General Electric Co.     95,529       35,702,053  
HEICO Corp.     28,908       10,296,741  
Howmet Aerospace, Inc.     57,213       15,382,287  
TransDigm Group, Inc.     9,577       12,756,947  
Total Aerospace & Defense             83,313,366  
Beverages — 0.5%                
Monster Beverage Corp.*     144,590       13,897,991  
Biotechnology — 1.1%                
Alnylam Pharmaceuticals, Inc.*     32,387       9,749,459  
United Therapeutics Corp.*     3,138       1,700,263  
Vertex Pharmaceuticals, Inc.*     33,769       16,774,075  
Total Biotechnology             28,223,797  
Broadline Retail — 6.8%                
Amazon.com, Inc.*     759,261       180,962,267  
Building Products — 0.5%                
Trane Technologies PLC     29,023       14,254,937  
Capital Markets — 0.4%                
LPL Financial Holdings, Inc.     5,257       1,480,792  
MSCI, Inc.     16,127       9,031,765  
Total Capital Markets             10,512,557  
Commercial Services & Supplies — 0.4%                
Cintas Corp.     65,656       11,166,772  
Communications Equipment — 2.2%                
Arista Networks, Inc.*     115,183       19,567,288  
Cisco Systems, Inc.     310,545       36,476,615  
Ubiquiti, Inc.     4,492       2,398,863  
Total Communications Equipment             58,442,766  
Construction & Engineering — 1.2%                
Comfort Systems USA, Inc.     6,081       12,052,238  
EMCOR Group, Inc.     3,881       3,220,764  
Quanta Services, Inc.     19,838       14,284,154  
Sterling Infrastructure, Inc.*     1,911       1,604,017  
Total Construction & Engineering             31,161,173  
Electric Utilities — 0.5%                
Constellation Energy Corp.     52,599       13,064,014  
Electrical Equipment — 1.8%                
GE Vernova, Inc.     26,067       30,625,076  
Nextpower, Inc., Class A*(a)     14,322       1,706,323  
Vertiv Holdings Co., Class A     45,208       15,136,542  
Total Electrical Equipment             47,467,941  
Electronic Equipment, Instruments & Components — 0.6%                
Amphenol Corp., Class A     90,650       15,983,408  
Entertainment — 1.2%                
Live Nation Entertainment, Inc.*(a)     16,924       3,098,953  
Netflix, Inc.*     387,827       27,690,848  
Total Entertainment             30,789,801  
Financial Services — 3.8%                
Block, Inc.*     136,149       10,347,324  
Corpay, Inc.*     5,089       1,696,011  
Mastercard, Inc., Class A     77,555       39,832,248  
Visa, Inc., Class A     141,931       48,695,107  
Total Financial Services             100,570,690  
Ground Transportation — 1.0%                
Old Dominion Freight Line, Inc.     41,700       9,032,220  
Uber Technologies, Inc.*     237,390       17,130,062  
Total Ground Transportation             26,162,282  
Health Care Equipment & Supplies — 1.0%                
Dexcom, Inc.*     27,476       1,850,509  
IDEXX Laboratories, Inc.*     17,511       9,218,491  
Intuitive Surgical, Inc.*     41,739       16,598,765  
Total Health Care Equipment & Supplies             27,667,765  
Health Care Technology — 0.1%                
Veeva Systems, Inc., Class A*     10,910       1,936,198  
Hotels, Restaurants & Leisure — 4.0%                
Airbnb, Inc., Class A*     79,353       11,355,414  
Booking Holdings, Inc.     97,519       17,381,786  
Chipotle Mexican Grill, Inc.*     334,477       11,372,218  
DoorDash, Inc., Class A*     73,677       13,595,617  
Hilton Worldwide Holdings, Inc.     36,422       12,036,014  
Marriott International, Inc., Class A     36,860       13,659,947  
Starbucks Corp.     151,972       15,530,019  
Yum! Brands, Inc.     64,546       10,318,324  
Total Hotels, Restaurants & Leisure             105,249,339  
Independent Power & Renewable Electricity Producers — 0.4%                
Vistra Corp.     67,766       10,749,721  
Interactive Media & Services — 13.6%                
Alphabet, Inc., Class A     596,210       213,067,568  
Meta Platforms, Inc., Class A     261,566       147,337,512  
Total Interactive Media & Services             360,405,080  
IT Services — 1.0%                
Cloudflare, Inc., Class A*     44,022       10,797,716  
MongoDB, Inc.*     5,136       1,725,182  
Snowflake, Inc.*     51,027       12,986,372  
VeriSign, Inc.     6,521       1,640,423  
Total IT Services             27,149,693  
Machinery — 1.5%                
Caterpillar, Inc.     37,656       40,099,874  
Oil, Gas & Consumable Fuels — 0.5%                
Targa Resources Corp.     40,436       10,842,509  
Texas Pacific Land Corp.     4,860       2,126,930  
Total Oil, Gas & Consumable Fuels             12,969,439  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Quality Growth Fund (QGRW)
June 30, 2026

 

 

Investments   Shares     Value  
Pharmaceuticals — 3.3%                
Eli Lilly & Co.     74,068     $ 88,839,381  
Semiconductors & Semiconductor Equipment — 28.3%                
Advanced Micro Devices, Inc.*     118,706       68,957,502  
Applied Materials, Inc.     62,170       44,948,910  
Broadcom, Inc.     223,040       84,253,360  
Credo Technology Group Holding Ltd.*     14,724       4,004,192  
First Solar, Inc.*     8,534       2,013,683  
KLA Corp.     113,110       34,126,418  
Lam Research Corp.     98,540       42,700,338  
Marvell Technology, Inc.     179,280       53,405,719  
Micron Technology, Inc.     72,077       83,197,760  
Monolithic Power Systems, Inc.     7,264       10,041,463  
NVIDIA Corp.     1,506,218       301,379,160  
Qualcomm, Inc.     119,807       22,139,136  
Total Semiconductors & Semiconductor Equipment             751,167,641  
Software — 14.7%                
AppLovin Corp., Class A*     34,449       17,749,158  
Autodesk, Inc.*     44,450       8,641,969  
Cadence Design Systems, Inc.*     33,583       12,604,372  
Crowdstrike Holdings, Inc., Class A*     24,494       18,692,351  
Datadog, Inc., Class A*     47,120       12,268,163  
Fair Isaac Corp.*     1,847       2,206,759  
Fortinet, Inc.*     91,155       14,003,231  
Microsoft Corp.     514,894       192,065,760  
Oracle Corp.     202,730       29,710,081  
Palantir Technologies, Inc., Class A*     207,772       24,240,759  
Palo Alto Networks, Inc.*     74,638       25,453,051  
Salesforce, Inc.     94,225       14,761,289  
ServiceNow, Inc.*     133,876       13,291,209  
Workday, Inc., Class A*     13,983       1,711,799  
Zscaler, Inc.*     10,954       1,546,157  
Total Software             388,946,108  
Specialty Retail — 2.0%                
AutoZone, Inc.*     3,316       10,597,737  
Carvana Co.*     161,350       10,620,057  
O'Reilly Automotive, Inc.*     135,840       12,509,506  
TJX Cos., Inc.     116,686       17,677,929  
Ulta Beauty, Inc.*     3,541       1,596,920  
Total Specialty Retail             53,002,149  
Technology Hardware, Storage & Peripherals — 2.9%                
Apple, Inc.     259,059       74,961,312  
Everpure, Inc., Class A*     21,278       1,676,494  
Super Micro Computer, Inc.*(a)     41,904       1,229,044  
Total Technology Hardware, Storage & Peripherals             77,866,850  
Trading Companies & Distributors — 0.4%                
United Rentals, Inc.     10,656       12,072,076  
Total United States             2,624,095,076  
Brazil — 0.5%                
Broadline Retail — 0.5%                
MercadoLibre, Inc.*     7,857     13,336,393  
Netherlands — 0.4%                
Semiconductors & Semiconductor Equipment — 0.4%                
NXP Semiconductors NV     40,237       11,307,804  
South Korea — 0.1%                
Broadline Retail — 0.1%                
Coupang, Inc.*     116,115       2,016,918  
Thailand — 0.0%                
Electronic Equipment, Instruments & Components — 0.0%                
Fabrinet*     2,326       1,307,398  
TOTAL COMMON STOCKS
(COST: $2,257,714,734)
            2,652,063,589  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $2,359,927)     2,359,927       2,359,927  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.1%                
United States — 0.1%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $1,525,388)     1,525,388       1,525,388  
TOTAL INVESTMENTS IN SECURITIES — 100.1%
(Cost: $2,261,600,049)
            2,655,948,904  
Other Liabilities less Assets — (0.1)%             (1,973,037 )
NET ASSETS — 100.0%           $ 2,653,975,867  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $8,226,907 and the total market value of the collateral held by the Fund was $8,020,027. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $6,494,639.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. Quality Growth Fund (QGRW)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $2,652,063,589   $   $   $2,652,063,589 
Mutual Fund       2,359,927        2,359,927 
Investment of Cash Collateral for Securities Loaned       1,525,388        1,525,388 
Total Investments in Securities  $2,652,063,589   $3,885,315   $   $2,655,948,904 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.8%
United States — 98.4%
Aerospace & Defense — 0.6%                
Cadre Holdings, Inc.     62,618     $ 1,785,239  
National Presto Industries, Inc.     22,100       2,762,279  
Park Aerospace Corp.     102,182       3,899,265  
VSE Corp.     20,739       4,738,861  
Total Aerospace & Defense             13,185,644  
Air Freight & Logistics — 0.2%                
Hub Group, Inc., Class A     93,070       4,075,535  
Automobile Components — 1.7%                
Dana, Inc.     230,218       6,264,232  
LCI Industries     113,666       12,034,956  
Patrick Industries, Inc.(a)     54,711       4,911,954  
Phinia, Inc.     81,383       6,703,518  
Standard Motor Products, Inc.     93,264       3,634,498  
Visteon Corp.(a)     36,230       3,594,378  
Total Automobile Components             37,143,536  
Automobiles — 0.3%                
Harley-Davidson, Inc.(a)     308,959       7,557,137  
Banks — 17.6%                
1st Source Corp.     32,275       2,632,994  
ACNB Corp.(a)     10,135       601,816  
Amalgamated Financial Corp.     29,356       1,347,440  
Amerant Bancorp, Inc.     34,395       877,760  
Arrow Financial Corp.     17,630       722,654  
Associated Banc-Corp.     378,843       11,656,999  
Banc of California, Inc.     163,298       3,336,178  
BancFirst Corp.     34,478       3,831,540  
Bank First Corp.     8,716       1,293,019  
Bank of Hawaii Corp.(a)     99,011       8,068,406  
Bank of Marin Bancorp     18,075       500,677  
Bank7 Corp.     11,921       583,533  
BankUnited, Inc.     121,699       5,896,317  
Banner Corp.     58,312       3,874,249  
Bar Harbor Bankshares     16,390       618,886  
Burke & Herbert Financial Services Corp.     40,852       2,935,625  
Business First Bancshares, Inc.     25,660       788,532  
Byline Bancorp, Inc.     41,962       1,580,289  
Camden National Corp.     22,950       1,244,349  
Capital Bancorp, Inc.     13,559       476,192  
Capital City Bank Group, Inc.     22,906       1,132,015  
Capitol Federal Financial, Inc.     337,443       2,871,640  
Cathay General Bancorp     115,156       7,138,520  
Central Pacific Financial Corp.     40,765       1,557,223  
ChoiceOne Financial Services, Inc.     14,796       503,064  
Citizens & Northern Corp.     21,092       491,655  
City Holding Co.     23,497       3,116,642  
Civista Bancshares, Inc.     19,682       555,426  
CNB Financial Corp.     28,495       960,566  
Community Financial System, Inc.     106,193       7,127,674  
Community Trust Bancorp, Inc.     34,629       2,505,754  
Community West Bancshares(a)     23,764       638,301  
ConnectOne Bancorp, Inc.     61,603       2,060,004  
CVB Financial Corp.     410,323       9,252,784  
Dime Commercial Bancshares, Inc.     65,598       2,666,559  
Eastern Bankshares, Inc.(a)     400,147       8,899,269  
Enterprise Financial Services Corp.     38,774       2,554,431  
Equity Bancshares, Inc., Class A     17,740       869,083  
Esquire Financial Holdings, Inc.     6,977       831,030  
Farmers National Banc Corp.     78,610       1,147,706  
FB Financial Corp.     43,944       2,432,300  
Fidelity D&D Bancorp, Inc.     4,024       206,914  
Financial Institutions, Inc.     33,222       1,294,661  
First Bancorp, Inc.     8,292       288,727  
First Bancorp/Southern Pines NC     39,233       2,508,166  
First Bank     29,857       529,365  
First Busey Corp.     213,634       6,302,203  
First Business Financial Services, Inc.     8,237       520,331  
First Commonwealth Financial Corp.     176,656       3,591,416  
First Financial Bancorp     220,666       7,465,131  
First Financial Bankshares, Inc.     203,028       7,024,769  
First Financial Corp.     24,526       1,899,293  
First Hawaiian, Inc.     308,367       9,035,153  
First Interstate BancSystem, Inc., Class A     376,920       14,534,035  
First Merchants Corp.     128,808       5,627,622  
First Mid Bancshares, Inc.     29,425       1,415,048  
Five Star Bancorp(a)     25,019       1,218,175  
FS Bancorp, Inc.(a)     11,023       478,398  
Fulton Financial Corp.     417,359       10,095,914  
German American Bancorp, Inc.     50,461       2,394,879  
Great Southern Bancorp, Inc.     11,448       897,638  
Greene County Bancorp, Inc.     7,751       260,356  
Hanmi Financial Corp.     48,934       1,585,462  
HBT Financial, Inc.     50,324       1,609,865  
Heritage Financial Corp.     55,101       1,632,092  
Hilltop Holdings, Inc.     65,042       2,522,329  
Hingham Institution For Savings The(a)     1,808       555,327  
Home Bancorp, Inc.     7,365       504,650  
HomeTrust Bancshares, Inc.     16,876       841,944  
Horizon Bancorp, Inc.     82,834       1,655,023  
Independent Bank Corp.     116,856       8,680,564  
International Bancshares Corp.     78,010       5,924,859  
Investar Holding Corp.     8,065       241,627  
Kearny Financial Corp.     138,176       1,307,145  
Lakeland Financial Corp.     42,491       2,622,545  
Mechanics Bancorp, Class A(a)     787,235       12,517,037  
Mercantile Bank Corp.     21,885       1,256,637  
Metrocity Bankshares, Inc.(a)     36,522       1,310,775  
Metropolitan Bank Holding Corp.     8,456       835,115  
Mid Penn Bancorp, Inc.     21,907       763,240  
Midland States Bancorp, Inc.     53,327       1,660,603  
MVB Financial Corp.     9,702       281,455  
National Bank Holdings Corp., Class A     57,856       2,570,542  
NB Bancorp, Inc.     40,143       848,222  
NBT Bancorp, Inc.     101,576       5,014,807  
Nicolet Bankshares, Inc.(a)     20,741       3,430,354  
Northeast Bank     6,512       863,035  
Northeast Community Bancorp, Inc.     16,668       462,370  
Northfield Bancorp, Inc.     59,463       875,890  
Northpointe Bancshares, Inc.     27,915       535,410  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
Northrim BanCorp, Inc.     28,909     $ 801,936  
Northwest Bancshares, Inc.(a)     561,758       8,516,251  
Norwood Financial Corp.     7,117       228,812  
OceanFirst Financial Corp.     170,475       3,329,377  
Old Second Bancorp, Inc.     42,265       985,620  
OP Bancorp     14,373       215,451  
Orange County Bancorp, Inc.     12,365       454,785  
Origin Bancorp, Inc.     31,517       1,612,095  
Orrstown Financial Services, Inc.     31,268       1,276,672  
Park National Corp.(a)     22,998       4,208,404  
Pathward Financial, Inc.     19,968       1,738,414  
Peoples Bancorp, Inc.     102,244       3,927,192  
Peoples Financial Services Corp.(a)     13,322       884,181  
Plumas Bancorp     6,236       364,432  
Preferred Bank     30,736       3,266,007  
Primis Financial Corp.     55,639       910,810  
Princeton Bancorp, Inc.     7,108       269,749  
Provident Financial Services, Inc.     591,343       13,979,349  
QCR Holdings, Inc.     15,155       1,475,339  
RBB Bancorp     18,788       515,073  
Red River Bancshares, Inc.     5,749       524,769  
Renasant Corp.     136,798       5,819,387  
Republic Bancorp, Inc., Class A     20,395       1,844,320  
S&T Bancorp, Inc.     70,499       3,460,091  
Seacoast Banking Corp. of Florida(a)     111,016       3,691,282  
ServisFirst Bancshares, Inc.     56,336       4,887,148  
Shore Bancshares, Inc.     49,134       1,127,625  
Sierra Bancorp     24,367       993,199  
SmartFinancial, Inc.     18,885       886,084  
South Plains Financial, Inc.     14,151       609,696  
Southern Missouri Bancorp, Inc.     11,277       859,420  
Southside Bancshares, Inc.     69,317       2,439,265  
Stock Yards Bancorp, Inc.(a)     29,936       2,289,206  
Tompkins Financial Corp.(a)     21,781       2,058,740  
Towne Bank     142,979       5,181,559  
TriCo Bancshares     47,060       2,534,181  
TrustCo Bank Corp.     27,135       1,489,983  
Trustmark Corp.     123,528       5,683,523  
United Community Banks, Inc.     230,698       8,095,193  
Unity Bancorp, Inc.     9,140       536,427  
Univest Financial Corp.     33,921       1,484,044  
USCB Financial Holdings, Inc.     12,717       260,190  
WaFd, Inc.     151,580       5,816,125  
Washington Trust Bancorp, Inc.     68,579       2,501,762  
WesBanco, Inc.(a)     266,450       10,399,543  
West BanCorp, Inc.     28,113       745,838  
Westamerica BanCorp     47,341       2,777,496  
WSFS Financial Corp.     46,267       3,550,067  
Total Banks             384,182,331  
Broadline Retail — 0.3%                
Kohl's Corp.     320,714       5,683,052  
Building Products — 0.7%                
AZZ, Inc.     37,975       5,888,024  
Griffon Corp.     77,286       7,537,703  
Insteel Industries, Inc.     96,253       2,906,841  
Total Building Products             16,332,568  
Capital Markets — 2.5%                
Acadian Asset Management, Inc.     30,526       2,183,219  
BGC Group, Inc., Class A     302,165       3,230,144  
Cohen & Steers, Inc.     123,061       9,369,865  
DigitalBridge Group, Inc.     152,343       2,403,972  
Federated Hermes, Inc.     191,622       10,581,367  
GCM Grosvenor, Inc., Class A     80,533       990,556  
Oppenheimer Holdings, Inc., Class A     8,988       948,593  
Perella Weinberg Partners     54,358       867,554  
PJT Partners, Inc., Class A     20,016       3,021,215  
Victory Capital Holdings, Inc., Class A(a)     128,117       10,769,515  
Virtu Financial, Inc., Class A     130,670       7,784,012  
Virtus Investment Partners, Inc.(a)     21,700       3,113,950  
Total Capital Markets             55,263,962  
Chemicals — 3.9%                
Avient Corp.     275,231       10,172,538  
Cabot Corp.     126,299       11,470,475  
Chemours Co.     399,836       8,204,635  
Hawkins, Inc.     20,019       2,844,700  
HB Fuller Co.     86,332       5,032,292  
Koppers Holdings, Inc.     69,682       3,128,722  
Kronos Worldwide, Inc.     623,743       3,948,293  
Mativ Holdings, Inc.     292,498       2,214,210  
Minerals Technologies, Inc.     45,588       3,372,144  
Olin Corp.     365,253       7,239,315  
Quaker Chemical Corp.     30,032       4,771,184  
Scotts Miracle-Gro Co.(a)     212,485       14,472,353  
Sensient Technologies Corp.     69,124       8,522,298  
Valhi, Inc.     42,117       617,856  
Total Chemicals             86,011,015  
Commercial Services & Supplies — 1.9%                
ACCO Brands Corp.     466,000       1,938,560  
Brady Corp., Class A     58,356       5,343,659  
Deluxe Corp.     228,872       5,465,463  
Ennis, Inc.     143,682       3,053,242  
HNI Corp.     141,025       5,698,820  
Interface, Inc.     74,869       2,683,305  
Pitney Bowes, Inc.     587,834       10,298,852  
Quad/Graphics, Inc.     162,178       1,367,161  
UniFirst Corp.     17,352       4,588,910  
Virco Mfg. Corp.     54,734       336,067  
Total Commercial Services & Supplies             40,774,039  
Construction & Engineering — 0.5%                
Tutor Perini Corp.     45,587       3,782,354  
WillScot Holdings Corp.     243,119       7,016,414  
Total Construction & Engineering             10,798,768  
Construction Materials — 0.1%                
U.S. Lime & Minerals, Inc.(a)     25,023       2,619,157  
Consumer Finance — 0.3%                
Bread Financial Holdings, Inc.     48,165       5,218,678  
PROG Holdings, Inc.     32,178       1,499,816  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
Regional Management Corp.     13,763     $ 567,036  
Total Consumer Finance             7,285,530  
Consumer Staples Distribution & Retail — 1.1%                
Andersons, Inc.     65,508       4,480,747  
Ingles Markets, Inc., Class A     29,044       2,572,718  
Natural Grocers by Vitamin Cottage, Inc.     93,725       2,907,350  
PriceSmart, Inc.     33,869       6,615,970  
Village Super Market, Inc., Class A     54,058       2,280,166  
Weis Markets, Inc.(a)     57,654       4,514,885  
Total Consumer Staples Distribution & Retail             23,371,836  
Containers & Packaging — 2.1%                
Greif, Inc., Class A     85,728       6,385,879  
Myers Industries, Inc.     192,799       6,807,733  
Silgan Holdings, Inc.(a)     190,684       8,845,831  
Sonoco Products Co.(a)     384,244       21,652,149  
TriMas Corp.     67,409       3,035,427  
Total Containers & Packaging             46,727,019  
Distributors — 0.3%                
Gold.com, Inc.     93,877       3,906,222  
Weyco Group, Inc.     44,711       1,758,484  
Total Distributors             5,664,706  
Diversified Consumer Services — 0.8%                
Carriage Services, Inc.     53,837       2,064,110  
Matthews International Corp., Class A     150,213       4,043,734  
Perdoceo Education Corp.     151,453       4,846,496  
Strategic Education, Inc.     69,101       5,294,519  
Total Diversified Consumer Services             16,248,859  
Diversified REITs — 0.5%                
Alpine Income Property Trust, Inc.     16,224       336,810  
American Assets Trust, Inc.     58,439       1,442,859  
Broadstone Net Lease, Inc.     441,806       9,132,130  
CTO Realty Growth, Inc.     29,943       644,074  
Total Diversified REITs             11,555,873  
Diversified Telecommunication Services — 1.1%                
ATN International, Inc.     80,021       2,119,756  
IDT Corp., Class B     40,233       2,339,951  
Iridium Communications, Inc.     346,948       19,030,098  
Total Diversified Telecommunication Services             23,489,805  
Electric Utilities — 0.8%                
Genie Energy Ltd., Class B     126,717       1,831,061  
MGE Energy, Inc.     81,878       6,676,332  
Otter Tail Corp.(a)     91,106       8,197,718  
Total Electric Utilities             16,705,111  
Electrical Equipment — 1.1%                
Allient, Inc.     34,288       3,529,264  
Atkore, Inc.     69,662       5,297,098  
Espey Mfg. & Electronics Corp.(a)     14,824       998,396  
LSI Industries, Inc.     109,470       2,909,713  
Powell Industries, Inc.(a)     30,752       8,806,143  
Preformed Line Products Co.     8,752       3,593,221  
Total Electrical Equipment             25,133,835  
Electronic Equipment, Instruments & Components — 2.5%                
Avnet, Inc.     189,628       16,842,759  
Bel Fuse, Inc., Class B     11,445       3,811,643  
Belden, Inc.     31,192       3,740,233  
Benchmark Electronics, Inc.     70,748       6,980,705  
Climb Global Solutions, Inc.     68,368       1,586,821  
Crane NXT Co.(a)     74,022       3,786,966  
CTS Corp.     44,364       2,892,089  
ePlus, Inc.     39,699       3,304,148  
Methode Electronics, Inc.     161,402       3,061,796  
Napco Security Technologies, Inc.     90,655       3,443,077  
PC Connection, Inc.     44,817       3,271,193  
Richardson Electronics Ltd.(a)     66,651       1,267,035  
Total Electronic Equipment, Instruments & Components             53,988,465  
Energy Equipment & Services — 4.9%                
Archrock, Inc.     475,936       19,375,355  
Cactus, Inc., Class A     92,696       4,748,816  
Core Laboratories, Inc.     107,915       1,257,210  
Energy Services of America Corp.     87,682       1,695,770  
Flowco Holdings, Inc., Class A     117,657       2,510,800  
Helmerich & Payne, Inc.     277,535       9,086,496  
Kodiak Gas Services, Inc.     344,806       25,905,275  
Liberty Energy, Inc.     290,147       7,598,950  
Natural Gas Services Group, Inc.     63,642       2,745,516  
Patterson-UTI Energy, Inc.     1,602,251       14,708,664  
Ranger Energy Services, Inc., Class A     114,646       1,835,482  
RPC, Inc.(a)     701,696       4,090,888  
Select Water Solutions, Inc.     327,135       6,536,157  
Solaris Energy Infrastructure, Inc.     59,913       4,820,600  
Total Energy Equipment & Services             106,915,979  
Entertainment — 0.5%                
Cinemark Holdings, Inc.     195,621       6,207,054  
CuriosityStream, Inc.     301,963       803,222  
Marcus Corp.     130,423       3,059,724  
Total Entertainment             10,070,000  
Financial Services — 2.4%                
Alerus Financial Corp.     30,270       941,397  
Cass Information Systems, Inc.     15,536       797,307  
Federal Agricultural Mortgage Corp., Class C     16,769       3,341,559  
HA Sustainable Infrastructure Capital, Inc.     398,515       15,562,011  
Merchants Bancorp(a)     37,506       1,875,300  
NewtekOne, Inc.     39,624       586,831  
TFS Financial Corp.(a)     1,463,426       25,931,909  
UWM Holdings Corp.(a)     961,956       2,202,879  
Waterstone Financial, Inc.     14,586       302,368  
Total Financial Services             51,541,561  
Food Products — 1.4%                
Alico, Inc.     38,724       1,602,012  
Cal-Maine Foods, Inc.(a)     240,273       19,356,393  
John B Sanfilippo & Son, Inc.     34,885       2,999,761  
Seaboard Corp.     857       3,825,931  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
Tootsie Roll Industries, Inc.     73,024     $ 2,888,099  
Total Food Products             30,672,196  
Gas Utilities — 1.2%                
Chesapeake Utilities Corp.     45,768       5,605,664  
MDU Resources Group, Inc.     463,456       9,829,902  
Northwest Natural Holding Co.     209,867       10,296,075  
RGC Resources, Inc.(a)     47,040       1,124,256  
Total Gas Utilities             26,855,897  
Ground Transportation — 0.8%                
ArcBest Corp.     35,338       5,072,416  
Covenant Logistics Group, Inc.     90,294       3,989,189  
Schneider National, Inc., Class B     159,783       5,836,873  
Universal Logistics Holdings, Inc.(a)     126,405       1,870,794  
Total Ground Transportation             16,769,272  
Health Care Equipment & Supplies — 0.4%                
Acme United Corp.     19,587       934,692  
CONMED Corp.     76,735       2,511,537  
Embecta Corp.     259,196       844,979  
iRadimed Corp.     27,225       2,601,621  
LeMaitre Vascular, Inc.(a)     33,588       3,223,104  
Utah Medical Products, Inc.     6,183       426,503  
Total Health Care Equipment & Supplies             10,542,436  
Health Care Providers & Services — 0.9%                
Concentra Group Holdings Parent, Inc.     197,424       5,873,364  
National HealthCare Corp.     41,275       8,723,884  
NRC Health     128,096       2,763,031  
U.S. Physical Therapy, Inc.(a)     45,922       3,153,923  
Total Health Care Providers & Services             20,514,202  
Health Care REITs — 1.0%                
Diversified Healthcare Trust     210,186       1,954,730  
LTC Properties, Inc.     43,200       1,661,040  
Medical Properties Trust, Inc.     1,340,163       6,191,553  
National Health Investors, Inc.     136,640       10,420,166  
Sila Realty Trust, Inc.     47,446       1,440,461  
Universal Health Realty Income Trust     14,065       616,891  
Total Health Care REITs             22,284,841  
Health Care Technology — 0.1%                
HealthStream, Inc.     74,853       2,039,744  
Hotel & Resort REITs — 0.4%                
Chatham Lodging Trust     54,311       718,535  
DiamondRock Hospitality Co.     174,539       2,125,885  
Pebblebrook Hotel Trust     104,669       2,031,625  
Summit Hotel Properties, Inc.(a)     97,242       681,666  
Sunstone Hotel Investors, Inc.     170,637       1,953,794  
Xenia Hotels & Resorts, Inc.     83,419       1,698,411  
Total Hotel & Resort REITs             9,209,916  
Hotels, Restaurants & Leisure — 3.0%                
Cheesecake Factory, Inc.(a)     109,510       8,710,426  
Choice Hotels International, Inc.     56,680       6,250,104  
Dine Brands Global, Inc.     72,941       2,618,582  
Monarch Casino & Resort, Inc.     40,197       5,290,327  
Nathan's Famous, Inc.     20,250       2,057,400  
Papa John's International, Inc.(a)     133,312       4,901,882  
RCI Hospitality Holdings, Inc.     45,398       1,240,273  
Red Rock Resorts, Inc., Class A(a)     136,606       8,887,586  
Travel & Leisure Co.     240,109       18,351,531  
Wendy's Co.(a)     983,461       8,152,892  
Total Hotels, Restaurants & Leisure             66,461,003  
Household Durables — 1.2%                
Bassett Furniture Industries, Inc.     43,557       771,830  
Century Communities, Inc.     61,612       4,415,116  
Cricut, Inc., Class A     271,097       1,190,116  
Ethan Allen Interiors, Inc.     135,428       3,025,461  
Flexsteel Industries, Inc.     27,404       2,041,050  
Hamilton Beach Brands Holding Co., Class A     51,914       1,195,579  
Hooker Furnishings Corp.     30,678       546,989  
KB Home(a)     92,856       5,811,857  
La-Z-Boy, Inc.     110,440       4,430,853  
Leggett & Platt, Inc.     310,214       3,632,606  
Total Household Durables             27,061,457  
Household Products — 1.2%                
Energizer Holdings, Inc.(a)     352,833       7,564,739  
Oil-Dri Corp. of America     42,462       4,340,041  
Spectrum Brands Holdings, Inc.     81,656       7,002,002  
WD-40 Co.     25,634       6,245,468  
Total Household Products             25,152,250  
Industrial REITs — 1.2%                
Americold Realty Trust, Inc.     962,340       15,127,985  
Industrial Logistics Properties Trust     54,680       485,011  
LXP Industrial Trust     204,477       11,017,221  
One Liberty Properties, Inc.     30,594       747,105  
Total Industrial REITs             27,377,322  
Insurance — 1.4%                
CNO Financial Group, Inc.     93,570       4,770,199  
Crawford & Co., Class A     18,808       211,966  
Donegal Group, Inc., Class A     67,024       1,264,073  
F&G Annuities & Life, Inc.     245,741       6,534,253  
HCI Group, Inc.     10,677       1,871,144  
Horace Mann Educators Corp.     65,206       3,367,890  
Investors Title Co.     4,156       1,137,414  
James River Group Holdings, Inc.     29,659       130,500  
Kemper Corp.     115,335       3,109,432  
Safety Insurance Group, Inc.     38,009       2,845,354  
Stewart Information Services Corp.     40,568       2,678,299  
Tiptree, Inc.     32,795       587,686  
United Fire Group, Inc.     25,791       1,352,480  
Universal Insurance Holdings, Inc.     40,114       1,659,115  
Total Insurance             31,519,805  
Interactive Media & Services — 0.1%                
Shutterstock, Inc.     199,862       2,788,075  
IT Services — 0.1%                
CSP, Inc.     41,370       328,478  
Information Services Group, Inc.     251,806       1,034,922  
Total IT Services             1,363,400  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
Leisure Products — 1.5%                
Brunswick Corp.     132,293     $ 11,144,362  
Clarus Corp.     159,023       500,923  
Escalade, Inc.     62,190       1,167,928  
Johnson Outdoors, Inc., Class A     48,848       2,248,962  
Polaris, Inc.     178,002       12,182,457  
Smith & Wesson Brands, Inc.     229,052       3,444,942  
Sturm Ruger & Co., Inc.     72,045       2,726,903  
Total Leisure Products             33,416,477  
Life Sciences Tools & Services — 0.1%                
Mesa Laboratories, Inc.     24,683       2,457,193  
Machinery — 4.5%                
Astec Industries, Inc.     54,108       3,310,868  
Atmus Filtration Technologies, Inc.     68,926       3,514,537  
Columbus McKinnon Corp.     123,382       1,866,770  
Douglas Dynamics, Inc.     107,245       5,785,868  
Eastern Co.(a)     32,800       913,480  
Enerpac Tool Group Corp.     49,546       1,776,719  
Franklin Electric Co., Inc.     51,489       5,519,106  
Gorman-Rupp Co.     80,389       7,374,887  
Greenbrier Cos., Inc.(a)     94,269       4,620,124  
Helios Technologies, Inc.     44,907       4,007,950  
Hurco Cos., Inc.*     22,452       514,038  
Kadant, Inc.     9,595       3,015,037  
Kennametal, Inc.     205,962       7,218,968  
Lindsay Corp.     24,070       2,979,866  
Miller Industries, Inc.     56,322       2,880,870  
Mueller Water Products, Inc., Class A     188,322       4,864,357  
Omega Flex, Inc.     29,748       933,790  
Park-Ohio Holdings Corp.     74,298       2,856,758  
Standex International Corp.     11,352       4,060,270  
Tennant Co.     44,030       3,854,386  
Terex Corp.     94,130       6,814,071  
Trinity Industries, Inc.     302,953       10,476,115  
Twin Disc, Inc.     76,743       1,780,437  
Wabash National Corp.     203,526       2,747,601  
Worthington Enterprises, Inc.     76,758       4,126,510  
Total Machinery             97,813,383  
Marine Transportation — 0.4%                
Matson, Inc.     41,161       7,912,379  
Media — 1.2%                
Emerald Holding, Inc.(a)     246,397       1,241,841  
Entravision Communications Corp., Class A     427,185       5,570,492  
Gray Media, Inc.     483,976       1,921,385  
John Wiley & Sons, Inc., Class A     156,338       7,583,956  
National CineMedia, Inc.     504,777       1,918,153  
Scholastic Corp.(a)     100,433       4,619,918  
Sinclair, Inc.     256,784       3,659,172  
Total Media             26,514,917  
Metals & Mining — 1.6%                
Friedman Industries, Inc.     37,079       1,193,202  
Kaiser Aluminum Corp.     64,342       12,587,226  
Materion Corp.(a)     19,987       5,943,934  
Mesabi Trust(a)     71,068       1,798,020  
Ryerson Holding Corp.     226,810       5,581,794  
Warrior Met Coal, Inc.     42,106       3,417,323  
Worthington Steel, Inc.     106,182       3,565,592  
Total Metals & Mining             34,087,091  
Multi-Utilities — 1.5%                
Avista Corp.     314,658       12,872,659  
Northwestern Energy Group, Inc.     273,145       19,562,645  
Total Multi-Utilities             32,435,304  
Office REITs — 1.7%                
COPT Defense Properties     229,372       8,346,847  
Cousins Properties, Inc.     289,571       8,681,338  
Empire State Realty Trust, Inc., Class A     161,148       871,811  
Highwoods Properties, Inc.     276,851       8,349,826  
JBG SMITH Properties     56,300       825,921  
Postal Realty Trust, Inc., Class A     20,131       496,028  
SL Green Realty Corp.     173,158       8,964,390  
Total Office REITs             36,536,161  
Oil, Gas & Consumable Fuels — 4.8%                
California Resources Corp.     256,149       13,542,598  
Crescent Energy Co., Class A     1,023,340       10,049,199  
Delek US Holdings, Inc.     152,840       7,765,800  
Diversified Energy Co.     403,965       5,598,955  
Excelerate Energy, Inc., Class A(a)     81,608       3,100,288  
FutureFuel Corp.     196,877       889,884  
Granite Ridge Resources, Inc.     675,857       2,980,529  
Magnolia Oil & Gas Corp., Class A     390,969       10,000,987  
NACCO Industries, Inc., Class A     30,584       1,530,729  
Northern Oil & Gas, Inc.     482,929       8,765,161  
PBF Energy, Inc., Class A     304,239       13,848,959  
Peabody Energy Corp.(a)     137,955       3,189,520  
Riley Exploration Permian, Inc.     117,211       3,863,275  
SandRidge Energy, Inc.     187,487       2,568,572  
Sunococorp LLC     164,087       11,103,767  
VAALCO Energy, Inc.     552,302       2,805,694  
W&T Offshore, Inc.     778,857       2,453,400  
Total Oil, Gas & Consumable Fuels             104,057,317  
Paper & Forest Products — 0.2%                
Sylvamo Corp.     138,120       5,220,936  
Personal Care Products — 0.6%                
Inter Parfums, Inc.(a)     105,034       11,749,103  
Nu Skin Enterprises, Inc., Class A     256,667       1,355,202  
Total Personal Care Products             13,104,305  
Pharmaceuticals — 0.3%                
Organon & Co.     416,043       5,633,222  
Phibro Animal Health Corp., Class A     62,504       1,962,626  
Total Pharmaceuticals             7,595,848  
Professional Services — 2.0%                
Barrett Business Services, Inc.     61,340       2,178,797  
Concentrix Corp.(a)     209,591       4,695,886  
CRA International, Inc.     13,874       1,974,270  
Exponent, Inc.     78,113       4,589,920  
ICF International, Inc.     27,360       1,993,450  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
Kelly Services, Inc., Class A     171,465     $ 2,105,590  
Kforce, Inc.     94,830       4,449,424  
Korn Ferry     125,749       8,372,368  
Resources Connection, Inc.     162,176       689,248  
Science Applications International Corp.     71,324       7,874,883  
TriNet Group, Inc.     90,707       4,489,089  
Total Professional Services             43,412,925  
Real Estate Management & Development — 0.3%                
AGNT, Inc.     147,181       796,249  
Marcus & Millichap, Inc.     35,391       1,103,138  
Newmark Group, Inc., Class A     130,522       1,972,187  
St. Joe Co.     46,766       2,928,955  
Total Real Estate Management & Development             6,800,529  
Residential REITs — 0.3%                
BRT Apartments Corp.     25,359       389,768  
Centerspace     14,786       830,825  
Independence Realty Trust, Inc.     213,712       3,566,853  
UMH Properties, Inc.     79,878       1,209,353  
Total Residential REITs             5,996,799  
Retail REITs — 1.5%                
Acadia Realty Trust     116,957       2,445,571  
Alexander's, Inc.(a)     4,105       1,131,174  
CBL & Associates Properties, Inc.     27,613       1,465,974  
Curbline Properties Corp.(a)     85,768       2,607,347  
FrontView REIT, Inc.     20,347       411,620  
Getty Realty Corp.     55,434       1,849,278  
InvenTrust Properties Corp.     62,417       2,209,562  
Macerich Co.(a)     264,379       6,659,707  
NETSTREIT Corp.(a)     71,259       1,505,703  
Phillips Edison & Co., Inc.     109,561       4,559,929  
Saul Centers, Inc.     19,436       726,712  
Tanger, Inc.     102,059       4,028,269  
Urban Edge Properties     102,533       2,345,955  
Whitestone REIT     50,565       958,712  
Total Retail REITs             32,905,513  
Semiconductors & Semiconductor Equipment — 0.6%                
NVE Corp.(a)     24,725       2,584,999  
Power Integrations, Inc.     134,214       11,241,764  
Total Semiconductors & Semiconductor Equipment             13,826,763  
Software — 1.3%                
A10 Networks, Inc.(a)     156,653       5,852,556  
Adeia, Inc.(a)     246,303       8,110,758  
Clear Secure, Inc., Class A     194,581       10,843,999  
OneSpan, Inc.     203,569       2,921,215  
ReposiTrak, Inc.     82,976       746,784  
Total Software             28,475,312  
Specialized REITs — 2.8%                
EPR Properties     390,043       22,626,394  
Farmland Partners, Inc.     45,211       437,642  
Four Corners Property Trust, Inc.     135,851       3,335,142  
National Storage Affiliates Trust     158,057       7,028,795  
Outfront Media, Inc.     571,649       18,727,221  
Rayonier, Inc.     347,316       7,390,885  
Safehold, Inc.     66,526       1,044,458  
Smartstop Self Storage REIT, Inc.     23,547       765,278  
Total Specialized REITs             61,355,815  
Specialty Retail — 3.3%                
Academy Sports & Outdoors, Inc.     79,209       3,733,120  
Advance Auto Parts, Inc.     107,799       6,707,254  
American Eagle Outfitters, Inc.     312,843       5,380,900  
Arko Corp.     510,974       4,103,121  
Bath & Body Works, Inc.     679,412       15,714,800  
Buckle, Inc.     263,346       11,113,201  
Build-A-Bear Workshop, Inc.     44,131       1,350,850  
Designer Brands, Inc., Class A     209,046       1,218,738  
Haverty Furniture Cos., Inc.     81,676       2,085,188  
J Jill, Inc.(a)     50,883       807,513  
Monro, Inc.     153,668       2,629,260  
Sonic Automotive, Inc., Class A     60,587       5,137,172  
Upbound Group, Inc.     292,492       6,206,680  
Winmark Corp.(a)     11,487       4,859,920  
Total Specialty Retail             71,047,717  
Technology Hardware, Storage & Peripherals — 0.1%                
Immersion Corp.     189,942       1,285,907  
Textiles, Apparel & Luxury Goods — 1.9%                
Carter's, Inc.     127,350       5,241,726  
Columbia Sportswear Co.(a)     112,886       6,978,613  
Kontoor Brands, Inc.     123,733       10,311,908  
Lakeland Industries, Inc.(a)     50,948       544,634  
Movado Group, Inc.     83,915       3,298,699  
PVH Corp.     38,940       2,891,684  
Rocky Brands, Inc.     41,737       1,721,234  
Steven Madden Ltd.     129,929       5,470,011  
Superior Group of Cos., Inc.     64,282       843,380  
Wolverine World Wide, Inc.     218,612       3,613,656  
Total Textiles, Apparel & Luxury Goods             40,915,545  
Tobacco — 0.4%                
Turning Point Brands, Inc.(a)     20,664       1,752,514  
Universal Corp.     132,529       6,914,038  
Total Tobacco             8,666,552  
Trading Companies & Distributors — 1.3%                
Global Industrial Co.     151,615       5,073,038  
Karat Packaging, Inc.     106,462       3,562,219  
McGrath RentCorp     46,942       5,681,390  
Rush Enterprises, Inc., Class B(a)     42,163       3,225,470  
Rush Enterprises, Inc., Class A     93,702       6,838,840  
Willis Lease Finance Corp.(a)     18,758       4,291,830  
Total Trading Companies & Distributors             28,672,787  
Water Utilities — 1.0%                
American States Water Co.     92,672       7,657,487  
Artesian Resources Corp., Class A     47,847       1,626,319  
California Water Service Group(a)     146,898       7,146,588  
Middlesex Water Co.     66,376       3,727,676  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

Investments   Shares     Value  
York Water Co.     74,178     $ 2,273,556  
Total Water Utilities             22,431,626  
Wireless Telecommunication Services — 0.1%                
Spok Holdings, Inc.     116,279       1,190,697  
Total United States             2,151,072,937  
Puerto Rico — 0.8%                
Banks — 0.8%                
First BanCorp     534,586       13,936,657  
OFG Bancorp     73,315       3,597,567  
Total Banks             17,534,224  
Financial Services — 0.0%                
EVERTEC, Inc.     52,446       1,456,950  
Total Puerto Rico             18,991,174  
Singapore — 0.6%                
Semiconductors & Semiconductor Equipment — 0.6%                
Kulicke & Soffa Industries, Inc.     96,094       12,853,534  
TOTAL COMMON STOCKS
(COST: $1,713,054,905)
            2,182,917,645  
EXCHANGE-TRADED FUND — 0.0%                
United States — 0.0%                
WisdomTree U.S. MidCap Dividend Fund(a)(b)                
                 
(Cost: $58,258)     1,231       69,576  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $1,522,254)     1,522,254       1,522,254  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.9%                
United States — 1.9%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     21,034,727       21,034,727  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     19,600,000       19,600,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $40,634,727)
            40,634,727  
TOTAL INVESTMENTS IN SECURITIES — 101.8%
(Cost: $1,755,270,144)
            2,225,144,202  
Other Liabilities less Assets — (1.8)%             (39,417,252 )
NET ASSETS — 100.0%           $ 2,185,726,950  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $171,688,277 and the total market value of the collateral held by the Fund was $175,215,616. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $134,580,889.
(b)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. SmallCap Dividend Fund (DES)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $14,700,000   $61,200,000   $56,300,000   $   $   $19,600,000   $   $116,903 
WisdomTree U.S. MidCap Dividend Fund   498,132        448,107    28,583    (9,032)   69,576    419     
Total  $15,198,132   $61,200,000   $56,748,107   $28,583   $(9,032)  $19,669,576   $419   $116,903 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $2,182,917,645   $   $   $2,182,917,645 
Exchange-Traded Fund   69,576            69,576 
Mutual Fund       1,522,254        1,522,254 
Investment of Cash Collateral for Securities Loaned       40,634,727        40,634,727 
Total Investments in Securities  $2,182,987,221   $42,156,981   $   $2,225,144,202 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 97.0%
Aerospace & Defense — 0.8%                
AAR Corp.*     13,392     $ 1,914,119  
AerSale Corp.*     27,857       176,056  
Byrna Technologies, Inc.*(a)     10,654       71,488  
Cadre Holdings, Inc.     9,777       278,742  
Ducommun, Inc.*     5,041       933,644  
Innovative Solutions & Support, Inc.*     17,311       311,598  
National Presto Industries, Inc.     3,905       488,086  
Park Aerospace Corp.     8,185       312,340  
V2X, Inc.*     21,063       1,570,457  
Total Aerospace & Defense             6,056,530  
Air Freight & Logistics — 0.2%                
Hub Group, Inc., Class A     21,617       946,608  
Radiant Logistics, Inc.*     35,676       337,495  
Total Air Freight & Logistics             1,284,103  
Automobile Components — 1.4%                
Adient PLC*     65,059       1,195,784  
Dana, Inc.     32,853       893,930  
Dauch Corp.*     63,672       345,102  
Gentherm, Inc.*     13,957       476,073  
Holley, Inc.*     70,692       180,265  
LCI Industries     11,249       1,191,044  
Motorcar Parts of America, Inc.*     17,511       268,269  
Phinia, Inc.     24,621       2,028,032  
Standard Motor Products, Inc.     18,453       719,113  
Strattec Security Corp.*     3,571       290,858  
Visteon Corp.     22,670       2,249,091  
XPEL, Inc.*(a)     8,445       418,872  
Total Automobile Components             10,256,433  
Automobiles — 0.5%                
Harley-Davidson, Inc.     145,928       3,569,399  
Banks — 12.3%                
1st Source Corp.     13,529       1,103,696  
ACNB Corp.(a)     3,682       218,637  
Amalgamated Financial Corp.     19,488       894,499  
Amerant Bancorp, Inc.     16,013       408,652  
Arrow Financial Corp.     4,840       198,392  
Banc of California, Inc.     52,726       1,077,192  
Bancorp, Inc.*     20,960       1,312,934  
Bank First Corp.     2,755       408,704  
Bank of Hawaii Corp.     14,480       1,179,975  
Bank of Marin Bancorp     1,753       48,558  
Bank7 Corp.     3,732       182,681  
BankUnited, Inc.     37,024       1,793,813  
Bankwell Financial Group, Inc.     1,925       113,094  
Banner Corp.     17,449       1,159,312  
Bar Harbor Bankshares     6,906       260,771  
BayCom Corp.     4,037       132,817  
Blue Ridge Bankshares, Inc.     9,770       34,488  
Bridgewater Bancshares, Inc.*     8,806       185,278  
Burke & Herbert Financial Services Corp.     9,105       654,285  
Business First Bancshares, Inc.     14,106       433,477  
BV Financial, Inc.*     1,635       34,629  
Byline Bancorp, Inc.     25,537       961,723  
C&F Financial Corp.     439       35,120  
California BanCorp     13,947       290,656  
Camden National Corp.     7,067       383,173  
Capital Bancorp, Inc.     8,029       281,979  
Capital City Bank Group, Inc.     7,468       369,069  
Capitol Federal Financial, Inc.     46,300       394,013  
Carter Bankshares, Inc.     5,740       195,217  
Cathay General Bancorp     39,393       2,441,972  
Central Pacific Financial Corp.     11,581       442,394  
CF Bankshares, Inc.(a)     1,264       41,421  
Chemung Financial Corp.     1,475       110,006  
ChoiceOne Financial Services, Inc.     4,152       141,168  
Citizens & Northern Corp.     4,607       107,389  
Citizens Financial Services, Inc.     1,754       127,060  
City Holding Co.     6,020       798,493  
Civista Bancshares, Inc.     6,270       176,939  
CNB Financial Corp.     10,076       339,662  
Coastal Financial Corp.*     2,881       223,306  
Colony Bankcorp, Inc.(a)     5,761       115,739  
Columbia Financial, Inc.*(a)     16,137       342,427  
Community Financial System, Inc.     22,691       1,523,020  
Community Trust Bancorp, Inc.     9,301       673,020  
Community West Bancshares     3,951       106,124  
ConnectOne Bancorp, Inc.     10,925       365,332  
Customers Bancorp, Inc.*     13,885       1,098,304  
CVB Financial Corp.     70,812       1,596,811  
Dime Commercial Bancshares, Inc.     16,529       671,904  
Eagle Bancorp Montana, Inc.     1,751       41,901  
Eagle Financial Services, Inc.     789       32,712  
Enterprise Financial Services Corp.     20,871       1,374,982  
Equity Bancshares, Inc., Class A     3,774       184,888  
Esquire Financial Holdings, Inc.     2,061       245,486  
Farmers & Merchants Bancorp, Inc.     4,121       126,020  
Farmers National Banc Corp.     15,932       232,607  
FB Bancorp, Inc.*     2,333       35,135  
FB Financial Corp.     18,768       1,038,809  
Fidelity D&D Bancorp, Inc.     1,134       58,310  
Financial Institutions, Inc.     9,621       374,930  
First Bancorp, Inc.     1,153       40,147  
First Bancorp/Southern Pines NC     10,614       678,553  
First Bank     11,696       207,370  
First Busey Corp.     22,484       663,278  
First Business Financial Services, Inc.     3,905       246,679  
First Commonwealth Financial Corp.     50,285       1,022,294  
First Community Corp.     2,069       67,615  
First Financial Bancorp     62,039       2,098,779  
First Financial Corp.     6,371       493,370  
First Hawaiian, Inc.     70,678       2,070,865  
First Interstate BancSystem, Inc., Class A     46,659       1,799,171  
First Merchants Corp.     40,489       1,768,964  
First Mid Bancshares, Inc.     11,596       557,652  
First National Corp.     1,219       36,594  
First United Corp.     1,494       65,900  
First Western Financial, Inc.*     1,249       40,105  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Firstsun Capital Bancorp*     14,921     $ 578,636  
Five Star Bancorp(a)     7,735       376,617  
Franklin Financial Services Corp.     554       34,680  
FS Bancorp, Inc.(a)     3,437       149,166  
Fulton Financial Corp.     123,113       2,978,104  
GBank Financial Holdings, Inc.*     2,565       77,745  
German American Bancorp, Inc.     13,042       618,973  
Great Southern Bancorp, Inc.     5,404       423,728  
Hanmi Financial Corp.     12,301       398,552  
HBT Financial, Inc.     17,764       568,270  
Heritage Financial Corp.     9,300       275,466  
Hilltop Holdings, Inc.     26,350       1,021,853  
Hingham Institution For Savings The(a)     513       157,568  
Home Bancorp, Inc.     3,589       245,918  
HomeTrust Bancshares, Inc.     8,114       404,807  
Independent Bank Corp.     9,996       360,556  
Investar Holding Corp.     2,693       80,682  
John Marshall Bancorp, Inc.     1,504       32,787  
Kearny Financial Corp.     9,247       87,477  
Lakeland Financial Corp.     9,360       577,699  
MainStreet Bancshares, Inc.     1,501       37,060  
Mercantile Bank Corp.     10,010       574,774  
Meridian Corp.     1,822       36,495  
Metrocity Bankshares, Inc.(a)     11,950       428,886  
Metropolitan Bank Holding Corp.     3,935       388,621  
Mid Penn Bancorp, Inc.     8,106       282,413  
MVB Financial Corp.     3,505       101,680  
National Bank Holdings Corp., Class A     17,634       783,479  
NB Bancorp, Inc.     11,090       234,332  
NBT Bancorp, Inc.     24,986       1,233,559  
Nicolet Bankshares, Inc.(a)     8,383       1,386,464  
Northeast Bank     5,026       666,096  
Northeast Community Bancorp, Inc.     8,829       244,916  
Northfield Bancorp, Inc.     9,082       133,778  
Northpointe Bancshares, Inc.     15,254       292,572  
Northrim BanCorp, Inc.     8,308       230,464  
Northwest Bancshares, Inc.     70,025       1,061,579  
Norwood Financial Corp.     1,044       33,565  
OceanFirst Financial Corp.     25,714       502,194  
Old Second Bancorp, Inc.     18,369       428,365  
OP Bancorp     2,207       33,083  
Orange County Bancorp, Inc.     4,358       160,287  
Origin Bancorp, Inc.     7,187       367,615  
Orrstown Financial Services, Inc.     9,686       395,479  
Park National Corp.     6,648       1,216,518  
Parke Bancorp, Inc.     2,588       85,818  
Pathward Financial, Inc.     13,648       1,188,195  
PCB Bancorp     3,038       86,188  
Peoples Bancorp, Inc.     19,870       763,207  
Peoples Financial Services Corp.(a)     4,157       275,900  
Plumas Bancorp     690       40,324  
Ponce Financial Group, Inc.*     4,499       89,710  
Preferred Bank     8,349       887,165  
Princeton Bancorp, Inc.     891       33,813  
Provident Financial Services, Inc.     86,707       2,049,754  
QCR Holdings, Inc.     8,572       834,484  
RBB Bancorp     4,181       114,622  
Red River Bancshares, Inc.     2,112       192,783  
Renasant Corp.     23,378       994,500  
Republic Bancorp, Inc., Class A     10,190       921,482  
S&T Bancorp, Inc.     19,809       972,226  
SB Financial Group, Inc.     1,384       34,974  
Seacoast Banking Corp. of Florida(a)     30,002       997,567  
Shore Bancshares, Inc.     12,272       281,642  
Sierra Bancorp     5,376       219,126  
SmartFinancial, Inc.     5,525       259,233  
South Plains Financial, Inc.     7,668       330,376  
Southern First Bancshares, Inc.*     1,850       113,035  
Southern Missouri Bancorp, Inc.     4,593       350,033  
Southside Bancshares, Inc.     14,007       492,906  
SR Bancorp, Inc.     809       15,921  
Stock Yards Bancorp, Inc.     11,182       855,088  
Third Coast Bancshares, Inc.*     6,910       279,164  
Timberland Bancorp, Inc.     1,339       60,001  
Tompkins Financial Corp.     5,473       517,308  
Towne Bank     40,693       1,474,714  
TriCo Bancshares     13,195       710,551  
TrustCo Bank Corp.     6,195       340,167  
Trustmark Corp.     33,778       1,554,126  
Unity Bancorp, Inc.     3,675       215,686  
Univest Financial Corp.     14,407       630,306  
USCB Financial Holdings, Inc.     5,169       105,758  
WaFd, Inc.     39,944       1,532,651  
WesBanco, Inc.     51,290       2,001,849  
West BanCorp, Inc.     4,385       116,334  
Westamerica BanCorp     14,356       842,267  
Western New England Bancorp, Inc.     2,354       33,662  
WSFS Financial Corp.     31,574       2,422,673  
Total Banks             88,813,288  
Beverages — 0.4%                
Boston Beer Co., Inc., Class A*     4,456       788,846  
National Beverage Corp.*     41,110       1,282,632  
Vita Coco Co., Inc.*     10,444       690,766  
Total Beverages             2,762,244  
Biotechnology — 2.2%                
Abeona Therapeutics, Inc.*(a)     95,434       589,782  
Arcus Biosciences, Inc.*(a)     21,455       661,458  
Black Diamond Therapeutics, Inc.*     85,380       157,953  
CareDx, Inc.*     30,390       866,115  
Cartesian Therapeutics, Inc.*^     242,132       33,027  
Catalyst Pharmaceuticals, Inc.*     69,745       2,192,085  
CytomX Therapeutics, Inc.*     67,881       254,554  
Emergent BioSolutions, Inc.*     76,676       642,545  
Gyre Therapeutics, Inc.*(a)     19,718       129,941  
Ironwood Pharmaceuticals, Inc.*     82,379       346,816  
Keros Therapeutics, Inc.*     30,132       322,412  
Kiniksa Pharmaceuticals International PLC*     9,260       592,177  
MannKind Corp.*(a)     56,408       240,298  
MiMedx Group, Inc.*     51,407       197,917  
Monte Rosa Therapeutics, Inc.*(a)     13,672       330,862  
Myriad Genetics, Inc.*     19,876       113,492  
Novavax, Inc.*(a)     271,371       2,556,315  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Organogenesis Holdings, Inc.*     102,778     $ 249,751  
Protalix BioTherapeutics, Inc.*     78,247       182,315  
Puma Biotechnology, Inc.*     64,799       525,520  
Rigel Pharmaceuticals, Inc.*     18,413       720,317  
Sarepta Therapeutics, Inc.*     162,084       2,912,649  
Seres Therapeutics, Inc.*     7,058       55,688  
Stoke Therapeutics, Inc.*(a)     12,158       397,810  
Vericel Corp.*     9,455       420,653  
XOMA Royalty Corp.*     7,527       319,897  
Total Biotechnology             16,012,349  
Broadline Retail — 0.2%                
Kohl's Corp.     54,055       957,854  
Savers Value Village, Inc.*(a)     65,463       660,522  
Total Broadline Retail             1,618,376  
Building Products — 0.9%                
AZZ, Inc.     12,309       1,908,510  
Griffon Corp.     25,875       2,523,589  
Insteel Industries, Inc.     12,219       369,014  
Janus International Group, Inc.*     94,984       527,161  
Masterbrand, Inc.*(a)     94,571       973,136  
Total Building Products             6,301,410  
Capital Markets — 2.2%                
Acadian Asset Management, Inc.     17,161       1,227,355  
BGC Group, Inc., Class A     416,540       4,452,812  
Cohen & Steers, Inc.     14,867       1,131,973  
DigitalBridge Group, Inc.     31,579       498,317  
Donnelley Financial Solutions, Inc.*     12,721       533,646  
GCM Grosvenor, Inc., Class A     80,397       988,883  
Oppenheimer Holdings, Inc., Class A     6,116       645,483  
Perella Weinberg Partners     14,519       231,723  
Silvercrest Asset Management Group, Inc., Class A     2,906       29,380  
Virtu Financial, Inc., Class A     81,082       4,830,055  
Virtus Investment Partners, Inc.(a)     7,176       1,029,756  
Total Capital Markets             15,599,383  
Chemicals — 2.8%                
Avient Corp.     59,774       2,209,247  
Cabot Corp.     43,048       3,909,619  
Chemours Co.     89,956       1,845,897  
Core Molding Technologies, Inc.*     8,254       194,794  
Ecovyst, Inc.*     63,841       794,820  
Flotek Industries, Inc.*(a)     18,424       433,333  
Hawkins, Inc.     4,829       686,201  
HB Fuller Co.     27,465       1,600,935  
Ingevity Corp.*     25,586       1,910,507  
Intrepid Potash, Inc.*     6,281       205,891  
Koppers Holdings, Inc.     22,894       1,027,941  
Mativ Holdings, Inc.     27,003       204,413  
Minerals Technologies, Inc.     23,223       1,717,805  
Olin Corp.     28,787       570,558  
Quaker Chemical Corp.     6,633       1,053,785  
Scotts Miracle-Gro Co.     29,194       1,988,403  
Total Chemicals             20,354,149  
Commercial Services & Supplies — 2.3%                
ACCO Brands Corp.     137,263       571,014  
ACV Auctions, Inc., Class A*     37,723       271,228  
CoreCivic, Inc.*     46,730       1,419,657  
Deluxe Corp.     58,580       1,398,890  
Ennis, Inc.     21,190       450,287  
GEO Group, Inc.*     46,838       1,384,063  
Healthcare Services Group, Inc.*(a)     26,795       658,085  
HNI Corp.     29,672       1,199,046  
Interface, Inc.     29,025       1,040,256  
Liquidity Services, Inc.*     12,723       497,724  
OPENLANE, Inc.*     37,922       1,563,903  
Pitney Bowes, Inc.     163,150       2,858,388  
Quad/Graphics, Inc.     56,404       475,486  
UniFirst Corp.     6,436       1,702,065  
Vestis Corp.*     42,580       618,262  
Virco Mfg. Corp.     20,702       127,110  
Total Commercial Services & Supplies             16,235,464  
Communications Equipment — 1.0%                
ADTRAN Holdings, Inc.*(a)     17,281       240,206  
Aviat Networks, Inc.*     17,141       380,530  
BK Technologies Corp.*     3,009       258,714  
Digi International, Inc.*     14,831       1,111,584  
Extreme Networks, Inc.*     53,501       1,731,827  
Harmonic, Inc.*     71,740       1,171,514  
Lantronix, Inc.*     22,040       129,595  
NETGEAR, Inc.*     5,314       124,082  
NetScout Systems, Inc.*     47,509       2,069,017  
Ribbon Communications, Inc.*     121,443       284,177  
Total Communications Equipment             7,501,246  
Construction & Engineering — 0.7%                
Ameresco, Inc., Class A*     17,075       471,270  
Bowman Consulting Group Ltd.*     8,502       248,258  
Centuri Holdings, Inc.*     16,475       498,204  
Concrete Pumping Holdings, Inc.*     21,410       257,991  
Limbach Holdings, Inc.*     6,169       475,013  
MYR Group, Inc.*     3,533       1,767,913  
NWPX Infrastructure, Inc.*     5,833       874,600  
Orion Group Holdings, Inc.*     19,958       335,694  
Total Construction & Engineering             4,928,943  
Construction Materials — 0.1%                
Smith-Midland Corp.*     4,925       142,825  
U.S. Lime & Minerals, Inc.     8,278       866,458  
Total Construction Materials             1,009,283  
Consumer Finance — 2.7%                
Atlanticus Holdings Corp.*(a)     10,455       1,069,024  
Bread Financial Holdings, Inc.     46,608       5,049,977  
Dave, Inc.*(a)     4,180       1,557,426  
DeFi Development Corp.*(a)     5,469       16,079  
Enova International, Inc.*     15,727       3,785,961  
EZCORP, Inc., Class A*(a)     33,207       1,147,966  
Green Dot Corp., Class A*     43,701       590,400  
Happen, Inc.*     32,354       671,022  
LendingTree, Inc.*     2,332       103,284  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Nelnet, Inc., Class A     21,481     $ 2,864,062  
NerdWallet, Inc., Class A*     21,567       199,495  
Oportun Financial Corp.*     64,134       366,205  
OppFi, Inc.*     30,974       307,572  
PROG Holdings, Inc.     28,879       1,346,050  
Regional Management Corp.     4,032       166,118  
World Acceptance Corp.*     1,560       349,175  
Total Consumer Finance             19,589,816  
Consumer Staples Distribution & Retail — 0.7%                
Andersons, Inc.     11,407       780,239  
Chefs' Warehouse, Inc.*     11,434       1,098,807  
Ingles Markets, Inc., Class A     8,378       742,123  
Natural Grocers by Vitamin Cottage, Inc.     16,899       524,207  
United Natural Foods, Inc.*     12,652       577,817  
Village Super Market, Inc., Class A     12,849       541,971  
Weis Markets, Inc.     11,255       881,379  
Total Consumer Staples Distribution & Retail             5,146,543  
Containers & Packaging — 0.5%                
Greif, Inc., Class A     17,230       1,283,463  
Myers Industries, Inc.     18,546       654,859  
O-I Glass, Inc.*     109,817       1,057,538  
TriMas Corp.     21,343       961,075  
Total Containers & Packaging             3,956,935  
Distributors — 0.2%                
GigaCloud Technology, Inc., Class A*(a)     24,888       786,461  
Gold.com, Inc.     6,110       254,237  
Weyco Group, Inc.     7,968       313,381  
Total Distributors             1,354,079  
Diversified Consumer Services — 1.8%                
American Public Education, Inc.*     9,023       484,535  
Carriage Services, Inc.     10,624       407,324  
Chegg, Inc.*     189,025       190,915  
Coursera, Inc.*     163,592       922,659  
Covista, Inc.*     21,021       2,620,478  
Driven Brands Holdings, Inc.*(a)     100,604       1,402,420  
Lincoln Educational Services Corp.*     10,992       548,501  
Matthews International Corp., Class A     14,453       389,075  
Perdoceo Education Corp.     42,269       1,352,608  
Strategic Education, Inc.     12,829       982,958  
Stride, Inc.*(a)     37,614       3,243,832  
Universal Technical Institute, Inc.*(a)     20,896       893,722  
WW International, Inc.*(a)     16,588       265,076  
Total Diversified Consumer Services             13,704,103  
Diversified REITs — 0.2%                
American Assets Trust, Inc.     31,590       779,957  
Broadstone Net Lease, Inc.     42,223       872,750  
Gladstone Commercial Corp.(a)     17,250       212,175  
Total Diversified REITs             1,864,882  
Diversified Telecommunication Services — 1.8%                
Anterix, Inc.*(a)     30,645       3,154,596  
Bandwidth, Inc., Class A*     26,980       1,707,834  
IDT Corp., Class B     12,987       755,324  
Iridium Communications, Inc.     55,703       3,055,310  
Uniti Group, Inc.*     365,581       4,193,214  
Total Diversified Telecommunication Services             12,866,278  
Electric Utilities — 0.6%                
Hawaiian Electric Industries, Inc.*(a)     96,143       1,300,815  
MGE Energy, Inc.     12,671       1,033,193  
Otter Tail Corp.     24,109       2,169,328  
Total Electric Utilities             4,503,336  
Electrical Equipment — 1.2%                
Allient, Inc.     5,991       616,654  
American Superconductor Corp.*     9,726       403,726  
Array Technologies, Inc.*(a)     125,111       927,073  
Atkore, Inc.     23,197       1,763,900  
LSI Industries, Inc.     17,919       476,287  
Power Solutions International, Inc.*     16,086       625,585  
Preformed Line Products Co.     1,588       651,969  
Shoals Technologies Group, Inc., Class A*(a)     61,347       607,335  
Vicor Corp.*     7,213       2,739,353  
Total Electrical Equipment             8,811,882  
Electronic Equipment, Instruments & Components — 1.9%                
Arlo Technologies, Inc.*     35,938       484,444  
Bel Fuse, Inc., Class B     4,150       1,382,116  
Benchmark Electronics, Inc.     14,565       1,437,129  
Climb Global Solutions, Inc.     10,554       244,958  
Crane NXT Co.(a)     29,258       1,496,839  
CTS Corp.     11,884       774,718  
Daktronics, Inc.*     18,922       370,114  
ePlus, Inc.     11,854       986,609  
Frequency Electronics, Inc.*(a)     8,492       563,444  
IPG Photonics Corp.*     7,090       831,799  
Kimball Electronics, Inc.*     11,252       288,051  
Knowles Corp.*     30,990       1,285,465  
M-Tron Industries, Inc.*     2,669       264,632  
Napco Security Technologies, Inc.     9,690       368,026  
PC Connection, Inc.     11,461       836,539  
Richardson Electronics Ltd.(a)     7,205       136,967  
Rogers Corp.*     4,114       673,585  
ScanSource, Inc.*     16,530       861,048  
Vishay Precision Group, Inc.*(a)     3,974       595,742  
Total Electronic Equipment, Instruments & Components             13,882,225  
Energy Equipment & Services — 2.3%                
Bristow Group, Inc.     26,304       1,086,881  
Cactus, Inc., Class A     32,547       1,667,383  
Core Laboratories, Inc.     21,277       247,877  
DMC Global, Inc.*     19,155       111,291  
Energy Services of America Corp.     12,869       248,886  
Expro Group Holdings NV*     37,346       551,600  
Flowco Holdings, Inc., Class A     42,997       917,556  
Helix Energy Solutions Group, Inc.*     51,587       450,870  
Helmerich & Payne, Inc.     24,100       789,034  
Innovex International, Inc.*(a)     30,423       754,490  
Kodiak Gas Services, Inc.     16,744       1,257,977  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Liberty Energy, Inc.     29,624     $ 775,853  
Nabors Industries Ltd.*     21,652       1,818,985  
Natural Gas Services Group, Inc.     7,396       319,063  
Oceaneering International, Inc.*     53,528       2,168,955  
Oil States International, Inc.*     32,906       263,577  
Ranger Energy Services, Inc., Class A     15,848       253,727  
RPC, Inc.     88,616       516,631  
Select Water Solutions, Inc.     22,028       440,119  
Solaris Energy Infrastructure, Inc.     7,687       618,496  
TETRA Technologies, Inc.*     39,329       445,598  
Tidewater, Inc.*     18,988       1,265,170  
Total Energy Equipment & Services             16,970,019  
Entertainment — 0.5%                
Cinemark Holdings, Inc.     51,776       1,642,852  
IMAX Corp.*(a)     16,416       654,342  
Madison Square Garden Entertainment Corp.*     7,727       625,037  
Marcus Corp.     9,402       220,571  
Reservoir Media, Inc.*     20,977       207,463  
Total Entertainment             3,350,265  
Financial Services — 2.8%                
Acacia Research Corp.*     23,862       111,197  
Alerus Financial Corp.     11,293       351,212  
Cass Information Systems, Inc.     2,566       131,687  
Euronet Worldwide, Inc.*     37,243       2,725,815  
Federal Agricultural Mortgage Corp., Class C     6,322       1,259,785  
Finance Of America Cos., Inc., Class A*     6,736       185,375  
Merchants Bancorp     35,075       1,753,750  
NCR Atleos Corp.*     48,990       2,126,656  
NewtekOne, Inc.     20,033       296,689  
NMI Holdings, Inc.*     65,601       2,695,545  
Onity Group, Inc.*     2,117       84,151  
Paymentus Holdings, Inc., Class A*     11,412       275,714  
Payoneer Global, Inc.*     65,248       464,566  
Paysign, Inc.*     11,343       92,899  
Priority Technology Holdings, Inc.*(a)     29,520       196,898  
Remitly Global, Inc.*     79,313       1,777,404  
Sezzle, Inc.*(a)     9,563       1,641,298  
UWM Holdings Corp.     143,166       327,850  
Velocity Financial, Inc.*(a)     25,550       471,653  
Waterstone Financial, Inc.     4,744       98,343  
Western Union Co.(a)     420,696       3,239,359  
Total Financial Services             20,307,846  
Food Products — 0.9%                
B&G Foods, Inc.     86,771       345,348  
Del Monte Corp.     27,138       757,422  
Freshpet, Inc.*     16,164       955,616  
John B Sanfilippo & Son, Inc.     7,412       637,358  
Lifeway Foods, Inc.*(a)     7,272       216,996  
Mama's Creations, Inc.*(a)     11,127       198,617  
Mission Produce, Inc.*     50,749       598,331  
Seneca Foods Corp., Class A*     4,195       729,678  
Simply Good Foods Co.*     80,097       1,063,688  
Tootsie Roll Industries, Inc.     19,507       771,502  
Vital Farms, Inc.*(a)     14,224       165,425  
Total Food Products             6,439,981  
Gas Utilities — 0.3%                
Chesapeake Utilities Corp.     8,172       1,000,906  
Northwest Natural Holding Co.     18,649       914,920  
Total Gas Utilities             1,915,826  
Ground Transportation — 0.6%                
ArcBest Corp.     12,077       1,733,532  
Covenant Logistics Group, Inc.     18,855       833,014  
Proficient Auto Logistics, Inc.*     10,307       70,191  
RXO, Inc.*     26,025       718,030  
Schneider National, Inc., Class B     36,668       1,339,482  
Total Ground Transportation             4,694,249  
Health Care Equipment & Supplies — 2.0%                
Acme United Corp.     4,008       191,262  
Avanos Medical, Inc.*     38,522       958,427  
Axogen, Inc.*     8,535       394,232  
Bioventus, Inc., Class A*(a)     46,404       438,054  
CONMED Corp.     23,736       776,879  
Delcath Systems, Inc.*(a)     10,622       133,731  
Electromed, Inc.*     5,354       226,474  
Embecta Corp.     62,443       203,564  
Envista Holdings Corp.*     64,891       1,709,878  
Integer Holdings Corp.*     22,484       2,101,130  
Integra LifeSciences Holdings Corp.*     101,962       1,831,238  
iRadimed Corp.     3,127       298,816  
LeMaitre Vascular, Inc.     5,420       520,103  
LivaNova PLC*     24,914       2,048,678  
Omnicell, Inc.*     16,648       691,225  
QuidelOrtho Corp.*(a)     45,435       795,794  
Tactile Systems Technology, Inc.*     8,270       246,281  
UFP Technologies, Inc.*     2,734       724,866  
Utah Medical Products, Inc.     3,094       213,424  
Varex Imaging Corp.*     30,396       317,030  
Total Health Care Equipment & Supplies             14,821,086  
Health Care Providers & Services — 2.1%                
AdaptHealth Corp.*     101,083       1,053,285  
Addus HomeCare Corp.*     7,228       726,197  
Ardent Health, Inc.*(a)     170,484       1,677,563  
Aveanna Healthcare Holdings, Inc.*     88,567       759,019  
Community Health Systems, Inc.*     209,544       699,877  
Concentra Group Holdings Parent, Inc.     58,805       1,749,449  
Cross Country Healthcare, Inc.*     13,399       177,001  
Fulgent Genetics, Inc.*     7,129       146,287  
Guardian Pharmacy Services, Inc., Class A*     15,546       650,911  
InfuSystem Holdings, Inc.*     14,720       142,048  
National HealthCare Corp.     5,511       1,164,805  
NeoGenomics, Inc.*(a)     25,540       372,629  
NRC Health     12,739       274,780  
Nutex Health, Inc.*(a)     7,061       1,206,654  
Pediatrix Medical Group, Inc.*     56,019       1,418,961  
Pennant Group, Inc.*     12,107       447,354  
Privia Health Group, Inc.*     21,591       555,537  
Progyny, Inc.*     19,399       559,273  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Surgery Partners, Inc.*     45,548     $ 765,206  
Talkspace, Inc.*     43,156       224,411  
U.S. Physical Therapy, Inc.     4,593       315,447  
Total Health Care Providers & Services             15,086,694  
Health Care REITs — 0.2%                
LTC Properties, Inc.     10,110       388,730  
Sila Realty Trust, Inc.     15,230       462,383  
Universal Health Realty Income Trust     5,169       226,712  
Total Health Care REITs             1,077,825  
Health Care Technology — 0.3%                
Certara, Inc.*     67,638       443,029  
Definitive Healthcare Corp.*     74,220       61,669  
GoodRx Holdings, Inc., Class A*     169,509       488,186  
Health Catalyst, Inc.*     59,280       117,967  
HealthStream, Inc.     9,404       256,259  
OptimizeRx Corp.*     13,225       75,647  
Phreesia, Inc.*     28,939       297,782  
Simulations Plus, Inc.*     10,908       199,726  
TruBridge, Inc.*     12,014       314,887  
Total Health Care Technology             2,255,152  
Hotel & Resort REITs — 0.3%                
Chatham Lodging Trust     16,415       217,170  
DiamondRock Hospitality Co.     48,777       594,104  
Sunstone Hotel Investors, Inc.     35,153       402,502  
Xenia Hotels & Resorts, Inc.     34,788       708,284  
Total Hotel & Resort REITs             1,922,060  
Hotels, Restaurants & Leisure — 2.1%                
Accel Entertainment, Inc.*     67,491       851,061  
Biglari Holdings, Inc., Class A*     71       149,432  
BJ's Restaurants, Inc.*     10,766       653,873  
Cheesecake Factory, Inc.     29,320       2,332,113  
Dine Brands Global, Inc.     14,963       537,172  
El Pollo Loco Holdings, Inc.*     25,229       427,884  
First Watch Restaurant Group, Inc.*     11,341       146,185  
Inspired Entertainment, Inc.*     38,651       318,871  
Jack in the Box, Inc.*(a)     28,606       452,261  
Monarch Casino & Resort, Inc.     8,580       1,129,214  
Nathan's Famous, Inc.     2,512       255,219  
Papa John's International, Inc.(a)     12,359       454,440  
Pursuit Attractions and Hospitality, Inc.*     45,955       2,572,101  
RCI Hospitality Holdings, Inc.     8,283       226,292  
Rush Street Interactive, Inc.*(a)     32,905       978,595  
United Parks & Resorts, Inc.*(a)     36,901       1,761,654  
Wendy's Co.(a)     165,719       1,373,811  
Xponential Fitness, Inc., Class A*     21,119       146,143  
Total Hotels, Restaurants & Leisure             14,766,321  
Household Durables — 1.4%                
Bassett Furniture Industries, Inc.     9,420       166,922  
Century Communities, Inc.     25,412       1,821,024  
Cricut, Inc., Class A     73,590       323,060  
Ethan Allen Interiors, Inc.     17,600       393,184  
Flexsteel Industries, Inc.     6,603       491,792  
Green Brick Partners, Inc.*     36,825       2,947,473  
Hovnanian Enterprises, Inc., Class A*     8,408       1,197,383  
La-Z-Boy, Inc.     23,088       926,291  
Leggett & Platt, Inc.     94,453       1,106,045  
Lovesac Co.*     12,874       214,867  
Smith Douglas Homes Corp.*     7,560       117,482  
Sonos, Inc.*     30,172       408,227  
Total Household Durables             10,113,750  
Household Products — 1.0%                
Central Garden & Pet Co., Class A*     43,202       1,674,942  
Energizer Holdings, Inc.     99,328       2,129,592  
Oil-Dri Corp. of America     9,444       965,271  
Spectrum Brands Holdings, Inc.     17,723       1,519,747  
WD-40 Co.     3,274       797,678  
Total Household Products             7,087,230  
Independent Power & Renewable Electricity Producers — 0.3%                
Clearway Energy, Inc., Class C     57,535       1,966,546  
Industrial REITs — 0.4%                
Innovative Industrial Properties, Inc.     18,953       1,174,707  
LXP Industrial Trust     17,563       946,294  
One Liberty Properties, Inc.     15,007       366,471  
Total Industrial REITs             2,487,472  
Insurance — 2.4%                
Abacus Global Management, Inc.(a)     55,792       597,532  
American Coastal Insurance Corp.     33,961       376,967  
American Integrity Insurance Group, Inc.     19,513       367,430  
Bowhead Specialty Holdings, Inc.*     8,288       248,060  
Citizens, Inc.*     11,796       67,709  
Crawford & Co., Class A     17,490       197,112  
Donegal Group, Inc., Class A     21,824       411,601  
eHealth, Inc.*     7,331       10,923  
Genworth Financial, Inc.*     101,573       961,896  
Goosehead Insurance, Inc., Class A*     4,675       226,738  
Hagerty, Inc., Class A*(a)     33,732       402,086  
HCI Group, Inc.     6,861       1,202,390  
Heritage Insurance Holdings, Inc.*     30,552       796,796  
Hippo Holdings, Inc.*     16,032       453,064  
Horace Mann Educators Corp.     29,163       1,506,269  
Investors Title Co.     424       116,040  
Kemper Corp.     53,346       1,438,208  
Kingstone Cos., Inc.     3,698       70,373  
MBIA, Inc.*     8,257       53,836  
Palomar Holdings, Inc.*     10,607       1,340,619  
Root, Inc., Class A*     3,247       181,572  
Safety Insurance Group, Inc.     4,935       369,434  
SiriusPoint Ltd.*     80,583       1,933,992  
Skyward Specialty Insurance Group, Inc.*     19,455       1,135,199  
Stewart Information Services Corp.     9,002       594,312  
Tiptree, Inc.     8,079       144,776  
Trupanion, Inc.*     7,181       177,873  
TWFG, Inc.*     3,314       79,702  
United Fire Group, Inc.     17,090       896,200  
Universal Insurance Holdings, Inc.     21,397       884,980  
Total Insurance             17,243,689  
Interactive Media & Services — 1.4%                
Angi, Inc.*(a)     26,975       160,501  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Cargurus, Inc.*     46,471     $ 1,584,196  
Cars.com, Inc.*     70,310       769,191  
EverQuote, Inc., Class A*     19,161       455,840  
fuboTV, Inc., Class A*(a)     28,724       264,261  
QuinStreet, Inc.*     28,451       416,807  
Shutterstock, Inc.     25,021       349,043  
TripAdvisor, Inc.*     99,245       1,360,649  
Yelp, Inc.*     36,934       905,622  
Ziff Davis, Inc.*     58,858       3,082,394  
ZoomInfo Technologies, Inc.*     237,706       696,479  
Total Interactive Media & Services             10,044,983  
IT Services — 0.4%                
Commerce.com, Inc., Series 1*     54,705       161,927  
DXC Technology Co.*     271,764       2,405,111  
Grid Dynamics Holdings, Inc.*     34,811       197,727  
Information Services Group, Inc.     24,068       98,919  
TSS, Inc.*(a)     14,431       177,501  
Total IT Services             3,041,185  
Leisure Products — 0.4%                
Malibu Boats, Inc., Class A*     11,183       306,750  
MasterCraft Boat Holdings, Inc.*     11,425       294,994  
Smith & Wesson Brands, Inc.     20,006       300,890  
Sturm Ruger & Co., Inc.     9,044       342,315  
YETI Holdings, Inc.*     37,559       1,861,424  
Total Leisure Products             3,106,373  
Life Sciences Tools & Services — 0.3%                
Azenta, Inc.*(a)     8,130       207,478  
CryoPort, Inc.*     53,140       834,298  
Fortrea Holdings, Inc.*     27,215       473,541  
Mesa Laboratories, Inc.     5,979       595,209  
Total Life Sciences Tools & Services             2,110,526  
Machinery — 3.4%                
Astec Industries, Inc.     13,582       831,083  
Blue Bird Corp.*     21,040       1,661,318  
CECO Environmental Corp.*     19,490       1,768,523  
Columbus McKinnon Corp.     32,264       488,154  
Douglas Dynamics, Inc.     12,869       694,283  
Energy Recovery, Inc.*     14,851       133,956  
Enerpac Tool Group Corp.     20,042       718,706  
FreightCar America, Inc.*     25,612       249,461  
Gencor Industries, Inc.*     14,402       214,878  
Gorman-Rupp Co.     9,817       900,612  
Graham Corp.*     3,275       405,412  
Greenbrier Cos., Inc.(a)     33,416       1,637,718  
Helios Technologies, Inc.     10,475       934,894  
Hillman Solutions Corp.*     97,735       824,883  
Kadant, Inc.     2,843       893,356  
Kennametal, Inc.     30,195       1,058,335  
L B Foster Co., Class A*     5,419       244,776  
Lindsay Corp.     5,120       633,856  
Manitowoc Co., Inc.*     11,588       160,957  
Mayville Engineering Co., Inc.*     6,763       253,342  
Microvast Holdings, Inc.*(a)     116,172       135,921  
Miller Industries, Inc.     8,316       425,363  
Omega Flex, Inc.     8,353       262,201  
Park-Ohio Holdings Corp.     15,855       609,625  
Perma-Pipe International Holdings, Inc.*     5,637       153,495  
Proto Labs, Inc.*     7,167       584,182  
Standex International Corp.     3,142       1,123,799  
Tennant Co.     11,064       968,543  
Terex Corp.     44,600       3,228,594  
Titan International, Inc.*     17,239       132,913  
Trinity Industries, Inc.     29,743       1,028,513  
Twin Disc, Inc.     6,266       145,371  
Worthington Enterprises, Inc.     22,265       1,196,966  
Total Machinery             24,703,989  
Marine Transportation — 0.7%                
Matson, Inc.     26,929       5,176,562  
Media — 1.1%                
AMC Global Media, Inc., Class A*(a)     48,419       483,221  
DoubleVerify Holdings, Inc.*     35,565       385,525  
Gray Media, Inc.     76,678       304,412  
Ibotta, Inc., Class A*(a)     26,698       912,004  
John Wiley & Sons, Inc., Class A     38,564       1,870,740  
Magnite, Inc.*     68,485       1,299,845  
Scholastic Corp.(a)     5,445       250,470  
Stagwell, Inc.*(a)     210,068       1,560,805  
USA TODAY Co., Inc.*     90,869       776,930  
Total Media             7,843,952  
Metals & Mining — 1.2%                
Century Aluminum Co.*(a)     40,573       1,866,764  
Constellium SE*     41,216       1,313,554  
Friedman Industries, Inc.     8,064       259,500  
Idaho Strategic Resources, Inc.*     4,252       139,253  
Kaiser Aluminum Corp.     6,202       1,213,297  
Materion Corp.     6,960       2,069,834  
Mesabi Trust     20,514       519,004  
Metallus, Inc.*     13,023       243,400  
Tredegar Corp.*     29,064       231,349  
Worthington Steel, Inc.     24,944       837,620  
Total Metals & Mining             8,693,575  
Multi-Utilities — 0.2%                
Avista Corp.     37,023       1,514,611  
Office REITs — 0.6%                
COPT Defense Properties     37,412       1,361,423  
Easterly Government Properties, Inc.     9,935       247,679  
Empire State Realty Trust, Inc., Class A     69,466       375,811  
Highwoods Properties, Inc.     37,850       1,141,556  
Postal Realty Trust, Inc., Class A     10,867       267,763  
SL Green Realty Corp.     12,967       671,302  
Total Office REITs             4,065,534  
Oil, Gas & Consumable Fuels — 4.0%                
Clean Energy Fuels Corp.*     59,925       122,846  
Crescent Energy Co., Class A     405,579       3,982,786  
Delek US Holdings, Inc.     19,654       998,620  
Diversified Energy Co.     34,712       481,108  
Dorian LPG Ltd.     29,735       1,034,183  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Excelerate Energy, Inc., Class A     30,235     $ 1,148,628  
Granite Ridge Resources, Inc.     117,608       518,651  
HighPeak Energy, Inc.     113,782       795,336  
Infinity Natural Resources, Inc., Class A*(a)     9,168       116,433  
International Seaways, Inc.(a)     26,969       2,065,556  
NACCO Industries, Inc., Class A     6,078       304,204  
Northern Oil & Gas, Inc.     144,299       2,619,027  
Par Pacific Holdings, Inc.*(a)     46,532       2,609,514  
PrimeEnergy Resources Corp.*     1,412       235,649  
REX American Resources Corp.*     13,913       628,172  
Riley Exploration Permian, Inc.     27,929       920,540  
Ring Energy, Inc.*     322,086       347,853  
SandRidge Energy, Inc.     31,098       426,043  
VAALCO Energy, Inc.     42,883       217,846  
Venture Global, Inc., Class A     796,322       8,863,064  
Vitesse Energy, Inc.     16,055       253,187  
Total Oil, Gas & Consumable Fuels             28,689,246  
Paper & Forest Products — 0.1%                
Sylvamo Corp.     28,404       1,073,671  
Passenger Airlines — 0.2%                
Allegiant Travel Co.*     11,904       1,399,910  
Personal Care Products — 0.7%                
Herbalife Ltd.*(a)     123,702       1,626,681  
Honest Co., Inc.*     50,213       183,780  
Inter Parfums, Inc.     15,677       1,753,629  
Nature's Sunshine Products, Inc.*     10,477       228,399  
Niagen Bioscience, Inc.*     34,169       108,999  
Nu Skin Enterprises, Inc., Class A     52,487       277,131  
Olaplex Holdings, Inc.*     267,979       549,357  
USANA Health Sciences, Inc.*     13,211       282,055  
Total Personal Care Products             5,010,031  
Pharmaceuticals — 2.9%                
Amphastar Pharmaceuticals, Inc.*     45,688       921,984  
ANI Pharmaceuticals, Inc.*(a)     13,097       1,084,170  
Arvinas, Inc.*     72,224       600,181  
Collegium Pharmaceutical, Inc.*(a)     41,280       1,494,336  
CorMedix, Inc.*(a)     119,246       936,081  
Harmony Biosciences Holdings, Inc.*     37,398       1,361,661  
Innoviva, Inc.*     47,568       1,080,269  
Organon & Co.     443,950       6,011,083  
Pacira BioSciences, Inc.*(a)     43,746       1,109,836  
Perrigo Co. PLC     210,377       2,185,817  
Phibro Animal Health Corp., Class A     18,712       587,557  
Prestige Consumer Healthcare, Inc.*     28,672       1,355,325  
SIGA Technologies, Inc.     92,670       337,319  
Supernus Pharmaceuticals, Inc.*     29,399       1,367,348  
Zevra Therapeutics, Inc.*(a)     49,329       707,378  
Total Pharmaceuticals             21,140,345  
Professional Services — 2.0%                
Asure Software, Inc.*     24,583       195,189  
Barrett Business Services, Inc.     13,362       474,618  
Clarivate PLC*     935,245       2,020,129  
Concentrix Corp.     98,358       2,203,711  
CRA International, Inc.     2,526       359,450  
Forrester Research, Inc.*     25,294       212,723  
Franklin Covey Co.*     6,802       166,853  
Huron Consulting Group, Inc.*     6,256       564,041  
ICF International, Inc.     11,921       868,564  
Innodata, Inc.*     6,315       477,288  
Kelly Services, Inc., Class A     49,804       611,593  
Kforce, Inc.     12,413       582,418  
Korn Ferry     29,343       1,953,657  
Legalzoom.com, Inc.*     93,737       574,608  
Mistras Group, Inc.*     23,745       414,825  
RCM Technologies, Inc.*     9,656       272,589  
TriNet Group, Inc.     28,824       1,426,500  
TTEC Holdings, Inc.*(a)     73,044       141,705  
Upwork, Inc.*     70,091       585,961  
Verra Mobility Corp.*     56,474       240,014  
Willdan Group, Inc.*     5,035       398,268  
Total Professional Services             14,744,704  
Real Estate Management & Development — 0.6%                
Forestar Group, Inc.*     46,277       1,464,667  
FRP Holdings, Inc.*     4,025       100,585  
Newmark Group, Inc., Class A     146,949       2,220,399  
RE/MAX Holdings, Inc., Class A*     29,783       293,660  
RMR Group, Inc., Class A     14,197       291,465  
Tejon Ranch Co.*     6,640       124,168  
Total Real Estate Management & Development             4,494,944  
Residential REITs — 0.1%                
Centerspace     5,433       305,280  
UMH Properties, Inc.     16,637       251,884  
Total Residential REITs             557,164  
Retail REITs — 1.0%                
Acadia Realty Trust     23,985       501,526  
Alexander's, Inc.(a)     2,653       731,061  
CBL & Associates Properties, Inc.     26,856       1,425,785  
Curbline Properties Corp.(a)     18,342       557,597  
Getty Realty Corp.     20,554       685,681  
InvenTrust Properties Corp.     32,965       1,166,961  
NETSTREIT Corp.(a)     14,797       312,661  
Saul Centers, Inc.     9,878       369,338  
SITE Centers Corp.     31,782       126,174  
Urban Edge Properties     44,910       1,027,541  
Whitestone REIT     28,906       548,058  
Total Retail REITs             7,452,383  
Semiconductors & Semiconductor Equipment — 3.3%                
ACM Research, Inc., Class A*     29,121       3,695,164  
Aehr Test Systems*     5,548       532,941  
Alpha & Omega Semiconductor Ltd.*     6,191       293,020  
Ambarella, Inc.*     8,056       691,205  
Axcelis Technologies, Inc.*     13,674       2,590,539  
CEVA, Inc.*     6,752       318,425  
Diodes, Inc.*     8,903       974,344  
MaxLinear, Inc.*     13,407       1,716,498  
NVE Corp.     2,633       275,280  
PDF Solutions, Inc.*     11,533       816,421  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Penguin Solutions, Inc.*(a)     37,753     $ 2,869,606  
Photronics, Inc.*     39,157       1,273,777  
Power Integrations, Inc.     16,670       1,396,279  
SkyWater Technology, Inc.*     7,993       278,316  
Synaptics, Inc.*(a)     15,312       1,902,210  
Ultra Clean Holdings, Inc.*(a)     19,175       2,734,163  
Veeco Instruments, Inc.*(a)     22,527       1,707,547  
Total Semiconductors & Semiconductor Equipment             24,065,735  
Software — 5.3%                
8x8, Inc.*     202,938       347,024  
A10 Networks, Inc.     32,326       1,207,699  
Adeia, Inc.     85,904       2,828,819  
Airship AI Holdings, Inc.*(a)     30,304       72,427  
Alarm.com Holdings, Inc.*     20,920       977,382  
Alkami Technology, Inc.*(a)     18,076       327,537  
Amplitude, Inc., Class A*     17,995       137,662  
Appian Corp., Class A*     8,343       191,055  
Asana, Inc., Class A*(a)     23,422       163,954  
AudioEye, Inc.*     10,982       63,805  
AvePoint, Inc.*     37,284       417,954  
Bit Digital, Inc.*     427,428       769,370  
Blackbaud, Inc.*     25,153       745,032  
BlackLine, Inc.*(a)     16,837       472,615  
Braze, Inc., Class A*(a)     17,283       374,868  
BTCS, Inc.*     66,740       74,081  
Cerence, Inc.*     25,164       284,856  
Cleanspark, Inc.*     180,633       2,628,210  
Clear Secure, Inc., Class A     51,843       2,889,210  
Consensus Cloud Solutions, Inc.*     29,385       1,121,038  
Daily Journal Corp.*     704       423,238  
Digital Turbine, Inc.*     85,235       1,099,532  
Exodus Movement, Inc., Class A*     22,893       118,357  
Expensify, Inc., Class A*     106,347       190,361  
Five9, Inc.*     91,936       1,960,076  
Freshworks, Inc., Class A*     114,157       1,155,269  
I3 Verticals, Inc., Class A*(a)     12,388       264,608  
Intapp, Inc.*     14,624       368,671  
Kaltura, Inc.*     83,108       108,040  
LiveRamp Holdings, Inc.*     33,479       1,260,150  
Mitek Systems, Inc.*     46,263       931,274  
nCino, Inc.*     25,009       408,897  
NCR Voyix Corp.*(a)     85,803       701,011  
OneSpan, Inc.     37,666       540,507  
Ooma, Inc.*     21,841       419,784  
PagerDuty, Inc.*     71,616       691,094  
PAR Technology Corp.*     6,871       119,693  
Porch Group, Inc.*     41,381       622,370  
Rapid7, Inc.*     59,463       481,650  
Red Violet, Inc.*     3,384       215,628  
ReposiTrak, Inc.     11,421       102,789  
Rimini Street, Inc.*     67,769       288,696  
RingCentral, Inc., Class A     93,757       3,654,648  
Sprinklr, Inc., Class A*     117,125       604,365  
Sprout Social, Inc., Class A*     39,671       299,516  
SPS Commerce, Inc.*     14,007       800,780  
Tenable Holdings, Inc.*     52,560       1,938,413  
Teradata Corp.*     55,354       1,918,016  
Thryv Holdings, Inc.*     34,800       137,112  
Viant Technology, Inc., Class A*     12,269       155,326  
Weave Communications, Inc.*     22,614       135,458  
Xperi, Inc.*     70,650       581,449  
Yext, Inc.*     62,058       289,811  
Total Software             39,081,187  
Specialized REITs — 0.6%                
Farmland Partners, Inc.     56,299       544,974  
Four Corners Property Trust, Inc.     36,581       898,064  
National Storage Affiliates Trust     14,318       636,721  
Rayonier, Inc.     62,917       1,338,874  
Safehold, Inc.     64,134       1,006,904  
Total Specialized REITs             4,425,537  
Specialty Retail — 2.6%                
Academy Sports & Outdoors, Inc.     56,867       2,680,142  
Advance Auto Parts, Inc.     10,292       640,368  
American Eagle Outfitters, Inc.     68,087       1,171,096  
America's Car-Mart, Inc.*     7,532       21,014  
Arhaus, Inc.     56,140       472,699  
Arko Corp.     36,011       289,168  
Buckle, Inc.     26,138       1,103,024  
Build-A-Bear Workshop, Inc.     8,616       263,736  
Genesco, Inc.*     4,699       158,685  
Haverty Furniture Cos., Inc.     8,659       221,064  
J Jill, Inc.(a)     22,159       351,663  
Lands' End, Inc.*     10,385       108,835  
Monro, Inc.     9,421       161,193  
National Vision Holdings, Inc.*(a)     15,404       292,830  
OneWater Marine, Inc., Class A*     12,261       138,181  
Petco Health & Wellness Co., Inc.*     126,126       343,063  
RealReal, Inc.*(a)     41,171       485,406  
Revolve Group, Inc.*     17,048       390,229  
Sally Beauty Holdings, Inc.*     93,592       1,323,391  
Sonic Automotive, Inc., Class A     26,016       2,205,897  
Upbound Group, Inc.     91,971       1,951,625  
Victoria's Secret & Co.*     36,839       3,075,320  
Warby Parker, Inc., Class A*(a)     22,667       687,717  
Winmark Corp.     847       358,349  
Zumiez, Inc.*     3,933       70,007  
Total Specialty Retail             18,964,702  
Technology Hardware, Storage & Peripherals — 0.5%                
Corsair Gaming, Inc.*     59,676       577,067  
CPI Card Group, Inc.*     16,720       347,442  
Diebold Nixdorf, Inc.*     15,359       1,305,822  
Eastman Kodak Co.*     21,170       195,822  
GPGI, Inc., Class A     39,991       633,857  
Turtle Beach Corp.*(a)     15,670       195,092  
Total Technology Hardware, Storage & Peripherals             3,255,102  
Textiles, Apparel & Luxury Goods — 1.6%                
Carter's, Inc.     33,738       1,388,656  
Columbia Sportswear Co.     27,958       1,728,363  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
Figs, Inc., Class A*     24,446     $ 250,083  
G-III Apparel Group Ltd.     47,597       1,604,495  
Levi Strauss & Co., Class A     168,070       4,173,178  
Movado Group, Inc.     12,972       509,929  
Rocky Brands, Inc.     9,117       375,985  
Steven Madden Ltd.     21,836       919,296  
Superior Group of Cos., Inc.     12,497       163,961  
Wolverine World Wide, Inc.     46,766       773,042  
Total Textiles, Apparel & Luxury Goods             11,886,988  
Tobacco — 0.2%                
Turning Point Brands, Inc.     4,765       404,120  
Universal Corp.     17,790       928,104  
Total Tobacco             1,332,224  
Trading Companies & Distributors — 1.5%                
DNOW, Inc.*     57,415       744,673  
DXP Enterprises, Inc.*     7,105       1,198,898  
EVI Industries, Inc.     7,394       109,283  
Global Industrial Co.     19,100       639,086  
Hudson Technologies, Inc.*     32,787       188,197  
Karat Packaging, Inc.     13,655       456,896  
McGrath RentCorp     10,513       1,272,388  
Newpark Resources, Inc.*     24,603       391,434  
Rush Enterprises, Inc., Class A     37,483       2,735,697  
Willis Lease Finance Corp.     7,112       1,627,226  
Xometry, Inc., Class A*     9,147       882,868  
Total Trading Companies & Distributors             10,246,646  
Water Utilities — 0.5%                
American States Water Co.     14,005       1,157,233  
Artesian Resources Corp., Class A     7,747       263,321  
California Water Service Group     23,196       1,128,485  
Middlesex Water Co.     7,387       414,854  
Pure Cycle Corp.*     14,867       159,226  
York Water Co.     6,605       202,443  
Total Water Utilities             3,325,562  
Wireless Telecommunication Services — 0.1%                
Spok Holdings, Inc.     17,406       178,237  
U.S. Cellular Corp.     8,842       320,611  
Total Wireless Telecommunication Services             498,848  
Total United States             702,434,909  
Bahamas — 0.1%                
Diversified Consumer Services — 0.1%                
OneSpaWorld Holdings Ltd.     38,591       1,089,810  
Bermuda — 0.4%                
Insurance — 0.4%                
Hamilton Insurance Group Ltd., Class B     88,163       2,992,252  
Canada — 0.1%                
Biotechnology — 0.1%                
Aurinia Pharmaceuticals, Inc.*     42,087       714,216  
Food Products — 0.0%                
Village Farms International, Inc.*     33,419       66,838  
Total Canada             781,054  
Ireland — 0.1%                
Commercial Services & Supplies — 0.1%                
Cimpress PLC*     4,621     $ 469,956  
Israel — 0.3%                
Automobile Components — 0.3%                
Mobileye Global, Inc., Class A*(a)     213,650       2,068,132  
Interactive Media & Services — 0.0%                
Taboola.com Ltd.*     67,256       336,280  
Total Israel             2,404,412  
Norway — 0.0%                
Energy Equipment & Services — 0.0%                
Seadrill Ltd.*     10,420       394,084  
Philippines — 0.0%                
Professional Services — 0.0%                
TaskUS, Inc., Class A(a)     53,321       249,542  
Puerto Rico — 0.8%                
Banks — 0.6%                
First BanCorp     103,907       2,708,855  
OFG Bancorp     30,836       1,513,123  
Total Banks             4,221,978  
Financial Services — 0.2%                
EVERTEC, Inc.     49,455       1,373,860  
Total Puerto Rico             5,595,838  
Singapore — 0.2%                
Semiconductors & Semiconductor Equipment — 0.2%                
Kulicke & Soffa Industries, Inc.     9,275       1,240,624  
Switzerland — 0.8%                
Automobile Components — 0.8%                
Garrett Motion, Inc.     151,635       5,493,736  
Thailand — 0.1%                
Oil, Gas & Consumable Fuels — 0.1%                
BKV Corp.*     30,491       834,234  
TOTAL COMMON STOCKS
(COST: $582,731,660)
            723,980,451  
WARRANTS — 0.0%                
United States — 0.0%                
OmniAb, Inc., exercise price $12.50, expiring 11/1/27*^     2,562       0  
OmniAb, Inc., exercise price $15.00, expiring 11/1/27*^     2,562       0  
TOTAL WARRANTS
(COST: $0)
            0  
EXCHANGE-TRADED FUND — 0.0%                
United States — 0.0%                
WisdomTree U.S. MidCap Fund(a)(b)                
                 
(Cost: $61,212)     940       71,237  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

Investments   Shares     Value  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(c)                
                 
(Cost: $484,149)     484,149     $ 484,149  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.0%                
United States — 1.0%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(c)     3,643,299       3,643,299  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     3,300,000       3,300,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $6,943,298)
            6,943,299  
TOTAL INVESTMENTS IN SECURITIES — 101.0%
(Cost: $590,220,319)
            731,479,136  
Other Liabilities less Assets — (1.0)%             (7,155,050 )
NET ASSETS — 100.0%           $ 724,324,086  
         

 

* Non-income producing security.
^ This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $33,027, which represents 0.0% of net assets.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $68,313,796 and the total market value of the collateral held by the Fund was $68,830,215. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $61,886,916.
(b)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.
(c)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Dividend
Income
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $8,900,000   $26,300,000   $31,900,000   $   $   $3,300,000   $   $34,088 
WisdomTree U.S. MidCap Fund   2,182,163    909,379    3,034,059    46,180    (32,426)   71,237    3,124     
Total  $11,082,163   $27,209,379   $34,934,059   $46,180   $(32,426)  $3,371,237   $3,124   $34,088 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. SmallCap Fund (EES)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks                    
Biotechnology  $16,693,538   $   $33,027*   $16,726,565 
Other   707,253,886            707,253,886 
Warrants           0*    0 
Exchange-Traded Fund   71,237            71,237 
Mutual Fund       484,149        484,149 
Investment of Cash Collateral for Securities Loaned       6,943,299        6,943,299 
Total Investments in Securities  $724,018,661   $7,427,448   $33,027   $731,479,136 

 

* Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 99.7%
Aerospace & Defense — 0.6%                
Cadre Holdings, Inc.     19,493     $ 555,745  
VSE Corp.     9,467       2,163,210  
Total Aerospace & Defense             2,718,955  
Air Freight & Logistics — 0.4%                
Hub Group, Inc., Class A     37,822       1,656,225  
Automobile Components — 3.0%                
LCI Industries     45,381       4,804,940  
Patrick Industries, Inc.(a)     27,433       2,462,935  
Phinia, Inc.     37,368       3,078,002  
Visteon Corp.     14,644       1,452,831  
Total Automobile Components             11,798,708  
Banks — 18.7%                
Amalgamated Financial Corp.     17,753       814,863  
Bank First Corp.(a)     4,563       676,921  
Bank of Hawaii Corp.     73,427       5,983,566  
Camden National Corp.     25,175       1,364,988  
Cathay General Bancorp     81,736       5,066,815  
Central Pacific Financial Corp.     37,885       1,447,207  
CF Bankshares, Inc.(a)     2,513       82,351  
Chemung Financial Corp.     2,032       151,547  
Citizens & Northern Corp.     30,096       701,538  
Citizens Community Bancorp, Inc.     3,674       85,935  
CNB Financial Corp.     27,838       938,419  
Community Financial System, Inc.     73,443       4,929,494  
ConnectOne Bancorp, Inc.     54,321       1,816,494  
Equity Bancshares, Inc., Class A     7,873       385,698  
Esquire Financial Holdings, Inc.     3,249       386,988  
Farmers National Banc Corp.     67,758       989,267  
First Bancorp/Southern Pines NC     29,434       1,881,716  
First Busey Corp.     160,066       4,721,947  
First Commonwealth Financial Corp.     141,668       2,880,110  
First Financial Bancorp     161,700       5,470,311  
First Financial Bankshares, Inc.     149,375       5,168,375  
Five Star Bancorp(a)     15,870       772,710  
German American Bancorp, Inc.(a)     43,772       2,077,419  
Hanmi Financial Corp.     44,777       1,450,775  
Heritage Financial Corp.(a)     52,667       1,559,997  
Independent Bank Corp.     69,417       5,811,591  
Investar Holding Corp.     3,792       113,608  
Meridian Corp.     4,694       94,021  
Metropolitan Bank Holding Corp.     3,906       385,757  
Mid Penn Bancorp, Inc.     23,274       810,866  
MVB Financial Corp.     6,727       195,150  
Nicolet Bankshares, Inc.     5,485       907,164  
Northeast Bank     3,153       417,867  
Northrim BanCorp, Inc.     16,634       461,427  
OceanFirst Financial Corp.     96,334       1,881,403  
Old Second Bancorp, Inc.     23,549       549,163  
Orange County Bancorp, Inc.     8,125       298,837  
Origin Bancorp, Inc.     16,986       868,834  
Pathward Financial, Inc.     8,492       739,314  
Plumas Bancorp     3,672       214,592  
Princeton Bancorp, Inc.     6,178       234,455  
RBB Bancorp     13,585       372,433  
Renasant Corp.     104,659       4,452,194  
Riverview Bancorp, Inc.     9,072       49,261  
ServisFirst Bancshares, Inc.     43,402       3,765,123  
Unity Bancorp, Inc.     3,808       223,492  
USCB Financial Holdings, Inc.     8,838       180,825  
Total Banks             74,832,828  
Building Products — 1.4%                
AZZ, Inc.     11,779       1,826,334  
Griffon Corp.     26,683       2,602,393  
Insteel Industries, Inc.     35,503       1,072,191  
Total Building Products             5,500,918  
Capital Markets — 5.9%                
BGC Group, Inc., Class A     139,724       1,493,650  
Cohen & Steers, Inc.     88,675       6,751,715  
DigitalBridge Group, Inc.     68,978       1,088,473  
Federated Hermes, Inc.     90,479       4,996,250  
PJT Partners, Inc., Class A(a)     9,278       1,400,421  
Victory Capital Holdings, Inc., Class A     91,908       7,725,786  
Total Capital Markets             23,456,295  
Chemicals — 4.5%                
Cabot Corp.     69,442       6,306,723  
Hawkins, Inc.     7,612       1,081,665  
HB Fuller Co.     41,391       2,412,681  
Koppers Holdings, Inc.     14,241       639,421  
Minerals Technologies, Inc.     13,858       1,025,076  
Quaker Chemical Corp.     12,770       2,028,770  
Sensient Technologies Corp.     35,562       4,384,439  
Total Chemicals             17,878,775  
Commercial Services & Supplies — 2.1%                
Brady Corp., Class A     26,323       2,410,397  
Ennis, Inc.     59,898       1,272,833  
HNI Corp.     70,668       2,855,694  
Interface, Inc.     22,473       805,432  
Quad/Graphics, Inc.     85,598       721,591  
Virco Mfg. Corp.(a)     27,116       166,492  
Total Commercial Services & Supplies             8,232,439  
Construction & Engineering — 0.8%                
WillScot Holdings Corp.(a)     116,317       3,356,909  
Consumer Finance — 0.4%                
PROG Holdings, Inc.     23,761       1,107,500  
Regional Management Corp.     8,395       345,874  
Total Consumer Finance             1,453,374  
Consumer Staples Distribution & Retail — 1.4%                
Andersons, Inc.     25,456       1,741,190  
Natural Grocers by Vitamin Cottage, Inc.     27,699       859,223  
PriceSmart, Inc.     14,909       2,912,324  
Total Consumer Staples Distribution & Retail             5,512,737  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)
June 30, 2026

 

 

Investments   Shares     Value  
Containers & Packaging — 2.5%                
Greif, Inc., Class A     42,187     $ 3,142,510  
Myers Industries, Inc.     57,248       2,021,427  
Silgan Holdings, Inc.     102,375       4,749,176  
Total Containers & Packaging             9,913,113  
Diversified Consumer Services — 0.6%                
Carriage Services, Inc.     10,515       403,145  
Perdoceo Education Corp.     66,892       2,140,544  
Total Diversified Consumer Services             2,543,689  
Diversified Telecommunication Services — 0.1%                
IDT Corp., Class B     9,188       534,374  
Electrical Equipment — 1.9%                
Allient, Inc.     6,568       676,044  
Atkore, Inc.     32,391       2,463,012  
LSI Industries, Inc.     21,714       577,158  
Powell Industries, Inc.(a)     13,903       3,981,263  
Total Electrical Equipment             7,697,477  
Electronic Equipment, Instruments & Components — 4.6%                
Avnet, Inc.     107,574       9,554,723  
Bel Fuse, Inc., Class B     3,909       1,301,853  
Belden, Inc.     14,403       1,727,064  
Climb Global Solutions, Inc.     10,285       238,715  
Crane NXT Co.(a)     33,191       1,698,052  
CTS Corp.     10,606       691,405  
ePlus, Inc.     15,232       1,267,759  
Napco Security Technologies, Inc.     25,258       959,299  
PC Connection, Inc.     13,892       1,013,977  
Total Electronic Equipment, Instruments & Components             18,452,847  
Energy Equipment & Services — 4.5%                
Archrock, Inc.     278,498       11,337,654  
Cactus, Inc., Class A     40,819       2,091,157  
Core Laboratories, Inc.     16,807       195,802  
Energy Services of America Corp.     24,704       477,775  
Ranger Energy Services, Inc., Class A     25,971       415,796  
RPC, Inc.     301,544       1,758,001  
Solaris Energy Infrastructure, Inc.(a)     22,358       1,798,925  
Total Energy Equipment & Services             18,075,110  
Entertainment — 0.7%                
Cinemark Holdings, Inc.     87,806       2,786,084  
Financial Services — 0.4%                
Cass Information Systems, Inc.     12,560       644,579  
Merchants Bancorp     18,158       907,900  
Total Financial Services             1,552,479  
Food Products — 1.9%                
Cal-Maine Foods, Inc.(a)     84,516       6,808,609  
John B Sanfilippo & Son, Inc.     10,272       883,289  
Total Food Products             7,691,898  
Ground Transportation — 1.3%                
ArcBest Corp.     9,131       1,310,664  
Covenant Logistics Group, Inc.     17,874       789,673  
Schneider National, Inc., Class B     68,352       2,496,899  
Universal Logistics Holdings, Inc.(a)     38,673       572,360  
Total Ground Transportation             5,169,596  
Health Care Equipment & Supplies — 0.4%                
iRadimed Corp.     5,422       518,126  
LeMaitre Vascular, Inc.(a)     11,199       1,074,656  
Total Health Care Equipment & Supplies             1,592,782  
Health Care Providers & Services — 0.3%                
NRC Health     49,325       1,063,940  
Hotels, Restaurants & Leisure — 1.5%                
Cheesecake Factory, Inc.(a)     53,161       4,228,426  
Monarch Casino & Resort, Inc.     11,703       1,540,232  
RCI Hospitality Holdings, Inc.(a)     9,434       257,737  
Total Hotels, Restaurants & Leisure             6,026,395  
Household Durables — 1.5%                
Bassett Furniture Industries, Inc.     18,076       320,307  
Century Communities, Inc.     25,527       1,829,265  
Ethan Allen Interiors, Inc.     59,365       1,326,214  
Hamilton Beach Brands Holding Co., Class A     13,691       315,304  
La-Z-Boy, Inc.     48,647       1,951,717  
Total Household Durables             5,742,807  
Household Products — 2.4%                
Energizer Holdings, Inc.(a)     160,983       3,451,475  
Spectrum Brands Holdings, Inc.     37,509       3,216,397  
WD-40 Co.     12,523       3,051,104  
Total Household Products             9,718,976  
Insurance — 0.6%                
Crawford & Co., Class A     17,883       201,541  
Kingstone Cos., Inc.     5,624       107,025  
Stewart Information Services Corp.     32,152       2,122,675  
Total Insurance             2,431,241  
IT Services — 0.1%                
Information Services Group, Inc.     92,138       378,687  
Machinery — 6.9%                
Astec Industries, Inc.     14,259       872,508  
Atmus Filtration Technologies, Inc.     30,254       1,542,651  
Douglas Dynamics, Inc.     42,570       2,296,652  
Enerpac Tool Group Corp.     20,933       750,657  
Franklin Electric Co., Inc.     23,800       2,551,122  
Gorman-Rupp Co.     22,324       2,048,004  
Greenbrier Cos., Inc.(a)     41,827       2,049,941  
Kadant, Inc.     4,309       1,354,017  
Kennametal, Inc.     103,667       3,633,528  
Lindsay Corp.     7,248       897,302  
Miller Industries, Inc.     14,125       722,494  
Standex International Corp.     4,722       1,688,918  
Tennant Co.(a)     15,774       1,380,856  
Terex Corp.     43,381       3,140,351  
Wabash National Corp.     79,730       1,076,355  
Worthington Enterprises, Inc.     33,240       1,786,982  
Total Machinery             27,792,338  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)
June 30, 2026

 

 

Investments   Shares     Value  
Media — 1.2%                
Gray Media, Inc.     228,580     $ 907,462  
John Wiley & Sons, Inc., Class A     79,072       3,835,783  
Total Media             4,743,245  
Metals & Mining — 2.1%                
Kaiser Aluminum Corp.     22,835       4,467,211  
Materion Corp.     7,734       2,300,015  
Warrior Met Coal, Inc.     19,076       1,548,208  
Total Metals & Mining             8,315,434  
Oil, Gas & Consumable Fuels — 5.7%                
California Resources Corp.     131,799       6,968,213  
Excelerate Energy, Inc., Class A(a)     20,101       763,637  
Magnolia Oil & Gas Corp., Class A     220,629       5,643,690  
Northern Oil & Gas, Inc.     219,622       3,986,139  
Peabody Energy Corp.     60,670       1,402,690  
Riley Exploration Permian, Inc.     52,813       1,740,717  
SandRidge Energy, Inc.     61,425       841,523  
VAALCO Energy, Inc.     248,348       1,261,608  
Total Oil, Gas & Consumable Fuels             22,608,217  
Paper & Forest Products — 0.7%                
Sylvamo Corp.     71,207       2,691,625  
Personal Care Products — 1.7%                
Inter Parfums, Inc.     58,513       6,545,264  
Nu Skin Enterprises, Inc., Class A     66,530       351,279  
Total Personal Care Products             6,896,543  
Pharmaceuticals — 0.1%                
Phibro Animal Health Corp., Class A     13,703       430,274  
Professional Services — 4.7%                
Barrett Business Services, Inc.     14,226       505,307  
Concentrix Corp.     113,829       2,550,339  
CRA International, Inc.     4,362       620,713  
Exponent, Inc.     39,069       2,295,694  
Kforce, Inc.     43,624       2,046,838  
Korn Ferry     70,758       4,711,068  
Science Applications International Corp.     36,834       4,066,842  
TriNet Group, Inc.     44,088       2,181,915  
Total Professional Services             18,978,716  
Real Estate Management & Development — 0.5%                
St. Joe Co.     29,350       1,838,191  
Retail REITs — 1.0%                
CBL & Associates Properties, Inc.     72,162       3,831,081  
Software — 2.2%                
A10 Networks, Inc.(a)     51,752       1,933,455  
Adeia, Inc.     89,272       2,939,727  
Clear Secure, Inc., Class A     68,463       3,815,443  
ReposiTrak, Inc.     14,427       129,843  
Total Software             8,818,468  
Specialty Retail — 3.7%                
Academy Sports & Outdoors, Inc.     34,085       1,606,426  
American Eagle Outfitters, Inc.     165,914       2,853,721  
Buckle, Inc.     120,894       5,101,727  
Build-A-Bear Workshop, Inc.     11,312       346,260  
Sonic Automotive, Inc., Class A     25,799       2,187,497  
Upbound Group, Inc.     131,442       2,789,199  
Total Specialty Retail             14,884,830  
Textiles, Apparel & Luxury Goods — 2.2%                
Kontoor Brands, Inc.     70,088       5,841,134  
PVH Corp.     17,904       1,329,551  
Wolverine World Wide, Inc.     92,177       1,523,686  
Total Textiles, Apparel & Luxury Goods             8,694,371  
Tobacco — 0.1%                
Turning Point Brands, Inc.(a)     7,112       603,169  
Trading Companies & Distributors — 2.2%                
Global Industrial Co.     67,718       2,265,844  
McGrath RentCorp     22,006       2,663,386  
Rush Enterprises, Inc., Class B(a)     12,779       977,594  
Rush Enterprises, Inc., Class A     41,481       3,027,491  
Total Trading Companies & Distributors             8,934,315  
Water Utilities — 0.2%                
York Water Co.     22,504       689,748  
Total United States             398,520,223  
Puerto Rico — 0.2%                
Financial Services — 0.2%                
EVERTEC, Inc.     23,772       660,386  
TOTAL COMMON STOCKS
(COST: $342,170,554)
            399,180,609  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $249,678)     249,678       249,678  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.0%                
United States — 0.0%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $97,524)     97,524       97,524  
TOTAL INVESTMENTS IN SECURITIES — 100.0%
(Cost: $342,517,756)
            399,527,811  
Other Liabilities less Assets — (0.0)%             (19,283 )
NET ASSETS — 100.0%           $ 399,508,528  
         

 

(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $30,693,349 and the total market value of the collateral held by the Fund was $31,169,653. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $31,072,129.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $5,000,000   $5,000,000   $   $   $^   $395 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $399,180,609   $   $   $399,180,609 
Mutual Fund       249,678        249,678 
Investment of Cash Collateral for Securities Loaned       97,524        97,524 
Total Investments in Securities  $399,180,609   $347,202   $   $399,527,811 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. SmallCap Quality Growth Fund (QSML)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 98.4%
Aerospace & Defense — 1.3%                
AAR Corp.*     462     $ 66,034  
Byrna Technologies, Inc.*(a)     194       1,302  
Cadre Holdings, Inc.(a)     512       14,597  
Innovative Solutions & Support, Inc.*     208       3,744  
VSE Corp.     332       75,862  
Total Aerospace & Defense             161,539  
Automobile Components — 1.3%                
Dorman Products, Inc.*(a)     350       47,758  
Gentex Corp.     2,419       61,128  
Visteon Corp.(a)     304       30,160  
XPEL, Inc.*     329       16,318  
Total Automobile Components             155,364  
Beverages — 0.7%                
National Beverage Corp.*     1,112       34,694  
Vita Coco Co., Inc.*     671       44,380  
Total Beverages             79,074  
Biotechnology — 4.1%                
ACADIA Pharmaceuticals, Inc.*     1,958       49,537  
ADMA Biologics, Inc.*     2,793       23,377  
Arbutus Biopharma Corp.*     2,322       11,146  
Beam Therapeutics, Inc.*(a)     1,255       43,072  
Inhibrx Biosciences, Inc.*     182       17,244  
Kiniksa Pharmaceuticals International PLC*     549       35,109  
MannKind Corp.*(a)     3,812       16,239  
MiMedx Group, Inc.*     1,739       6,695  
Organogenesis Holdings, Inc.*     1,648       4,005  
PTC Therapeutics, Inc.*     951       77,573  
Rigel Pharmaceuticals, Inc.*(a)     176       6,885  
Sarepta Therapeutics, Inc.*(a)     1,282       23,038  
TG Therapeutics, Inc.*     1,639       90,047  
Veracyte, Inc.*     892       52,387  
Vericel Corp.*(a)     572       25,448  
Total Biotechnology             481,802  
Broadline Retail — 0.6%                
Ollie's Bargain Outlet Holdings, Inc.*(a)     728       55,969  
Savers Value Village, Inc.*     1,703       17,183  
Total Broadline Retail             73,152  
Building Products — 2.0%                
AZZ, Inc.     350       54,268  
CSW Industrials, Inc.     198       55,103  
Griffon Corp.     546       53,251  
Trex Co., Inc.*     1,286       64,352  
Total Building Products             226,974  
Capital Markets — 5.4%                
Acadian Asset Management, Inc.     410       29,323  
Artisan Partners Asset Management, Inc., Class A(a)     826       28,522  
BGC Group, Inc., Class A     4,301       45,978  
Cohen & Steers, Inc.(a)     577       43,933  
Federated Hermes, Inc.(a)     839       46,330  
GCM Grosvenor, Inc., Class A     783       9,631  
Hamilton Lane, Inc., Class A     538       42,411  
Lazard, Inc.(a)     1,094       45,882  
MarketAxess Holdings, Inc.     457       51,865  
Moelis & Co., Class A     844       55,214  
Perella Weinberg Partners(a)     888       14,172  
Piper Sandler Cos.     811       58,668  
PJT Partners, Inc., Class A(a)     280       42,263  
Victory Capital Holdings, Inc., Class A(a)     739       62,120  
Virtu Financial, Inc., Class A     934       55,638  
Total Capital Markets             631,950  
Chemicals — 0.9%                
Balchem Corp.     380       64,201  
Hawkins, Inc.(a)     248       35,241  
Total Chemicals             99,442  
Commercial Services & Supplies — 2.0%                
Brady Corp., Class A     489       44,778  
Brink's Co.     507       47,907  
GEO Group, Inc.*     1,535       45,359  
Healthcare Services Group, Inc.*     831       20,409  
Interface, Inc.     687       24,622  
Liquidity Services, Inc.*     356       13,927  
Onterris, Inc.*(a)     389       7,862  
Vestis Corp.*(a)     1,470       21,344  
Total Commercial Services & Supplies             226,208  
Communications Equipment — 0.3%                
BK Technologies Corp.*     43       3,697  
Digi International, Inc.*(a)     431       32,304  
Total Communications Equipment             36,001  
Construction & Engineering — 0.3%                
Bowman Consulting Group Ltd.*     203       5,928  
Limbach Holdings, Inc.*     132       10,164  
NWPX Infrastructure, Inc.*     110       16,493  
Total Construction & Engineering             32,585  
Construction Materials — 0.8%                
Knife River Corp.*     672       56,213  
U.S. Lime & Minerals, Inc.     342       35,797  
Total Construction Materials             92,010  
Consumer Finance — 2.5%                
Atlanticus Holdings Corp.*(a)     192       19,632  
Dave, Inc.*(a)     151       56,261  
Enova International, Inc.*     283       68,127  
EZCORP, Inc., Class A*(a)     677       23,404  
NerdWallet, Inc., Class A*     389       3,598  
OppFi, Inc.*     287       2,850  
SLM Corp.     2,315       60,051  
Upstart Holdings, Inc.*(a)     1,215       43,047  
World Acceptance Corp.*     55       12,311  
Total Consumer Finance             289,281  
Consumer Staples Distribution & Retail — 1.0%                
Chefs' Warehouse, Inc.*(a)     467       44,879  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Quality Growth Fund (QSML)
June 30, 2026

 

 

Investments   Shares     Value  
Natural Grocers by Vitamin Cottage, Inc.     280     $ 8,685  
PriceSmart, Inc.(a)     343       67,002  
Total Consumer Staples Distribution & Retail             120,566  
Distributors — 0.2%                
GigaCloud Technology, Inc., Class A*(a)     389       12,293  
Gold.com, Inc.     351       14,605  
Total Distributors             26,898  
Diversified Consumer Services — 4.9%                
Bright Horizons Family Solutions, Inc.*     672       47,631  
Coursera, Inc.*     3,244       18,296  
Covista, Inc.*     389       48,493  
Duolingo, Inc.*     464       53,369  
Frontdoor, Inc.*     827       64,167  
Graham Holdings Co., Class B     40       45,657  
Grand Canyon Education, Inc.*     322       46,082  
H&R Block, Inc.     1,467       55,863  
Laureate Education, Inc.*     1,637       59,456  
Lincoln Educational Services Corp.*     343       17,116  
Perdoceo Education Corp.     737       23,584  
Strategic Education, Inc.     270       20,687  
Stride, Inc.*(a)     460       39,670  
Universal Technical Institute, Inc.*(a)     571       24,422  
Total Diversified Consumer Services             564,493  
Diversified Telecommunication Services — 1.4%                
Anterix, Inc.*(a)     217       22,338  
Bandwidth, Inc., Class A*     322       20,383  
Cogent Communications Holdings, Inc.     659       9,147  
IDT Corp., Class B     270       15,703  
Iridium Communications, Inc.     1,258       69,001  
Uniti Group, Inc.*     2,789       31,990  
Total Diversified Telecommunication Services             168,562  
Electrical Equipment — 0.6%                
American Superconductor Corp.*     600       24,906  
Fluence Energy, Inc.*     1,290       25,645  
LSI Industries, Inc.     432       11,482  
Power Solutions International, Inc.*     257       9,995  
Total Electrical Equipment             72,028  
Electronic Equipment, Instruments & Components — 2.5%                
Badger Meter, Inc.(a)     312       46,295  
Bel Fuse, Inc., Class B     157       52,287  
Climb Global Solutions, Inc.     199       4,619  
ePlus, Inc.     331       27,549  
Itron, Inc.*(a)     535       46,293  
M-Tron Industries, Inc.*     46       4,561  
Napco Security Technologies, Inc.     402       15,268  
OSI Systems, Inc.*(a)     196       42,865  
Vontier Corp.     1,651       47,879  
Total Electronic Equipment, Instruments & Components             287,616  
Energy Equipment & Services — 2.5%                
Atlas Energy Solutions, Inc.(a)     1,328       22,058  
Bristow Group, Inc.     337       13,925  
Cactus, Inc., Class A     782       40,062  
Core Laboratories, Inc.(a)     560       6,524  
Energy Services of America Corp.     215       4,158  
Helmerich & Payne, Inc.     1,133       37,094  
Innovex International, Inc.*(a)     779       19,319  
Natural Gas Services Group, Inc.     146       6,298  
Oceaneering International, Inc.*(a)     1,153       46,720  
Solaris Energy Infrastructure, Inc.(a)     508       40,874  
TETRA Technologies, Inc.*(a)     1,638       18,558  
Tidewater, Inc.*(a)     574       38,246  
Total Energy Equipment & Services             293,836  
Entertainment — 1.1%                
Cinemark Holdings, Inc.     1,207       38,298  
Madison Square Garden Entertainment Corp.*     448       36,239  
Warner Music Group Corp., Class A     1,852       50,133  
Total Entertainment             124,670  
Financial Services — 4.7%                
Acacia Research Corp.*     1,130       5,266  
Essent Group Ltd.     1,146       73,665  
Euronet Worldwide, Inc.*     408       29,861  
Federal Agricultural Mortgage Corp., Class C     111       22,119  
Flywire Corp.*     1,497       26,302  
HA Sustainable Infrastructure Capital, Inc.     1,505       58,770  
Merchants Bancorp     547       27,350  
NCR Atleos Corp.*     870       37,767  
NewtekOne, Inc.     367       5,435  
NMI Holdings, Inc.*     896       36,817  
Paymentus Holdings, Inc., Class A*     705       17,033  
Payoneer Global, Inc.*     3,037       21,623  
Paysign, Inc.*     662       5,422  
PennyMac Financial Services, Inc.     640       55,744  
Sezzle, Inc.*(a)     411       70,540  
Shift4 Payments, Inc., Class A*(a)     848       41,247  
UWM Holdings Corp.     3,028       6,934  
Velocity Financial, Inc.*     461       8,510  
Total Financial Services             550,405  
Food Products — 1.8%                
Cal-Maine Foods, Inc.(a)     555       44,711  
Freshpet, Inc.*     595       35,176  
John B Sanfilippo & Son, Inc.     106       9,115  
Mama's Creations, Inc.*     404       7,211  
Marzetti Company/The     336       38,358  
Mission Produce, Inc.*     1,033       12,179  
Post Holdings, Inc.*(a)     583       51,456  
Vital Farms, Inc.*(a)     537       6,245  
Total Food Products             204,451  
Ground Transportation — 0.6%                
Lyft, Inc., Class A*     4,480       65,453  
Health Care Equipment & Supplies — 2.6%                
Artivion, Inc.*(a)     603       13,549  
AtriCure, Inc.*     612       17,124  
CONMED Corp.     385       12,601  
Embecta Corp.     695       2,266  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Quality Growth Fund (QSML)
June 30, 2026

 

 

Investments   Shares     Value  
Haemonetics Corp.*     542     $ 40,650  
Inspire Medical Systems, Inc.*(a)     350       15,613  
iRadimed Corp.     146       13,952  
IRhythm Holdings, Inc.*     409       48,651  
LeMaitre Vascular, Inc.(a)     268       25,717  
Merit Medical Systems, Inc.*     716       49,647  
Tactile Systems Technology, Inc.*     268       7,981  
TransMedics Group, Inc.*(a)     376       24,974  
UFP Technologies, Inc.*     92       24,392  
Total Health Care Equipment & Supplies             297,117  
Health Care Providers & Services — 2.6%                
Addus HomeCare Corp.*     221       22,204  
Astrana Health, Inc.*     573       26,593  
Aveanna Healthcare Holdings, Inc.*     2,589       22,188  
Castle Biosciences, Inc.*     363       8,657  
Hims & Hers Health, Inc.*(a)     2,319       80,400  
Nutex Health, Inc.*     80       13,671  
Option Care Health, Inc.*     1,913       40,116  
Pennant Group, Inc.*     446       16,480  
Privia Health Group, Inc.*     1,474       37,926  
Progyny, Inc.*(a)     1,015       29,262  
Total Health Care Providers & Services             297,497  
Health Care Technology — 0.3%                
Doximity, Inc., Class A*     1,541       31,961  
LifeMD, Inc.*(a)     601       2,482  
Phreesia, Inc.*     328       3,375  
Total Health Care Technology             37,818  
Hotels, Restaurants & Leisure — 4.2%                
Accel Entertainment, Inc.*     1,000       12,610  
BJ's Restaurants, Inc.*     256       15,548  
Cheesecake Factory, Inc.(a)     564       44,860  
Choice Hotels International, Inc.     560       61,751  
First Watch Restaurant Group, Inc.*(a)     783       10,093  
Hilton Grand Vacations, Inc.*     1,021       53,470  
Monarch Casino & Resort, Inc.     205       26,980  
Planet Fitness, Inc., Class A*     980       51,127  
Portillo's, Inc., Class A*(a)     904       4,285  
Rush Street Interactive, Inc.*     1,267       37,681  
Shake Shack, Inc., Class A*     517       28,962  
Six Flags Entertainment Corp.*(a)     1,165       24,814  
Vail Resorts, Inc.(a)     405       55,141  
Wingstop, Inc.     349       60,520  
Total Hotels, Restaurants & Leisure             487,842  
Household Durables — 2.4%                
Cavco Industries, Inc.*     89       54,680  
Champion Homes, Inc.*     639       56,309  
Cricut, Inc., Class A     440       1,932  
Dream Finders Homes, Inc., Class A*(a)     182       3,141  
Flexsteel Industries, Inc.     63       4,692  
Green Brick Partners, Inc.*     496       39,700  
Installed Building Products, Inc.(a)     321       73,779  
Lovesac Co.*     181       3,021  
M/I Homes, Inc.*(a)     293       47,111  
Total Household Durables             284,365  
Household Products — 0.9%                
Reynolds Consumer Products, Inc.(a)     2,471       66,346  
WD-40 Co.     157       38,252  
Total Household Products             104,598  
Insurance — 4.8%                
Assured Guaranty Ltd.     537       43,046  
Goosehead Insurance, Inc., Class A*(a)     296       14,356  
Hagerty, Inc., Class A*(a)     1,161       13,839  
HCI Group, Inc.     148       25,937  
Heritage Insurance Holdings, Inc.*     355       9,259  
Kingstone Cos., Inc.(a)     163       3,102  
Mercury General Corp.     632       67,384  
Palomar Holdings, Inc.*     329       41,582  
RLI Corp.(a)     1,042       61,551  
Ryan Specialty Holdings, Inc.(a)     1,533       57,886  
Safety Insurance Group, Inc.     177       13,250  
Selective Insurance Group, Inc.     702       68,101  
SiriusPoint Ltd.*     1,419       34,056  
Skyward Specialty Insurance Group, Inc.*     480       28,008  
Universal Insurance Holdings, Inc.     338       13,980  
White Mountains Insurance Group Ltd.     29       60,128  
Total Insurance             555,465  
Interactive Media & Services — 0.4%                
EverQuote, Inc., Class A*(a)     391       9,302  
fuboTV, Inc., Class A*(a)     364       3,349  
MediaAlpha, Inc., Class A*     703       8,837  
Nextdoor Holdings, Inc.*     2,999       6,808  
Yelp, Inc.*     751       18,414  
Total Interactive Media & Services             46,710  
IT Services — 0.5%                
EPAM Systems, Inc.*     661       52,450  
Grid Dynamics Holdings, Inc.*     1,028       5,839  
Total IT Services             58,289  
Leisure Products — 1.1%                
Acushnet Holdings Corp.     682       80,837  
YETI Holdings, Inc.*(a)     891       44,158  
Total Leisure Products             124,995  
Life Sciences Tools & Services — 0.5%                
Sotera Health Co.*(a)     3,357       59,587  
Machinery — 3.2%                
Atmus Filtration Technologies, Inc.     941       47,982  
Blue Bird Corp.*(a)     356       28,110  
CECO Environmental Corp.*     395       35,842  
Douglas Dynamics, Inc.     257       13,865  
Energy Recovery, Inc.*     659       5,944  
Enerpac Tool Group Corp.     568       20,368  
Esab Corp.     727       71,704  
Gorman-Rupp Co.     293       26,880  
Graham Corp.*     126       15,598  
Greenbrier Cos., Inc.(a)     363       17,791  
Kadant, Inc.     139       43,678  
Mueller Water Products, Inc., Class A     1,806       46,649  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Quality Growth Fund (QSML)
June 30, 2026

 

 

Investments   Shares     Value  
Taylor Devices, Inc.*(a)     36     $ 2,112  
Total Machinery             376,523  
Media — 0.1%                
DoubleVerify Holdings, Inc.*     1,370       14,851  
PubMatic, Inc., Class A*     443       5,812  
Total Media             20,663  
Metals & Mining — 0.1%                
Idaho Strategic Resources, Inc.*     187       6,124  
Oil, Gas & Consumable Fuels — 1.8%                
Core Natural Resources, Inc.     570       45,611  
Dorian LPG Ltd.     500       17,390  
Gulfport Energy Corp.*     225       38,183  
International Seaways, Inc.(a)     554       42,431  
Kinetik Holdings, Inc.     745       36,013  
REX American Resources Corp.*     392       17,699  
Riley Exploration Permian, Inc.     269       8,866  
Total Oil, Gas & Consumable Fuels             206,193  
Passenger Airlines — 0.4%                
SkyWest, Inc.*     487       48,374  
Personal Care Products — 0.9%                
BellRing Brands, Inc.*     657       8,501  
elf Beauty, Inc.*     748       55,352  
Inter Parfums, Inc.     402       44,968  
Niagen Bioscience, Inc.*     1,036       3,305  
Total Personal Care Products             112,126  
Pharmaceuticals — 2.8%                
Amphastar Pharmaceuticals, Inc.*(a)     564       11,382  
ANI Pharmaceuticals, Inc.*(a)     258       21,357  
Collegium Pharmaceutical, Inc.*(a)     391       14,154  
CorMedix, Inc.*     926       7,269  
Eton Pharmaceuticals, Inc.*     337       12,199  
Harmony Biosciences Holdings, Inc.*(a)     648       23,594  
Harrow, Inc.*(a)     451       19,154  
Indivior Pharmaceuticals, Inc.*     1,478       60,642  
Innoviva, Inc.*     867       19,690  
Ligand Pharmaceuticals, Inc.*(a)     225       71,120  
Phibro Animal Health Corp., Class A     237       7,442  
Supernus Pharmaceuticals, Inc.*     698       32,464  
Xeris Biopharma Holdings, Inc.*     2,042       16,173  
Zevra Therapeutics, Inc.*     669       9,593  
Total Pharmaceuticals             326,233  
Professional Services — 3.5%                
Barrett Business Services, Inc.     295       10,478  
CBIZ, Inc.*(a)     618       19,825  
CRA International, Inc.     80       11,384  
ExlService Holdings, Inc.*     1,788       46,238  
Exponent, Inc.     419       24,620  
FTI Consulting, Inc.*(a)     346       51,558  
Genpact Ltd.     1,964       54,010  
Huron Consulting Group, Inc.*     188       16,950  
Innodata, Inc.*(a)     345       26,075  
Insperity, Inc.     439       18,135  
Legalzoom.com, Inc.*     2,126       13,032  
Maximus, Inc.     656       35,267  
Science Applications International Corp.     480       52,997  
Upwork, Inc.*(a)     1,517       12,682  
Willdan Group, Inc.*     158       12,498  
Total Professional Services             405,749  
Semiconductors & Semiconductor Equipment — 2.2%                
ACM Research, Inc., Class A*     716       90,853  
Impinj, Inc.*(a)     395       56,576  
PDF Solutions, Inc.*     432       30,581  
Photronics, Inc.*     717       23,324  
Universal Display Corp.(a)     566       49,010  
Total Semiconductors & Semiconductor Equipment             250,344  
Software — 10.4%                
ACI Worldwide, Inc.*     1,210       60,851  
Agilysys, Inc.*     292       30,514  
Alarm.com Holdings, Inc.*     570       26,630  
Alkami Technology, Inc.*(a)     1,282       23,230  
Appfolio, Inc., Class A*(a)     268       42,974  
Appian Corp., Class A*     432       9,893  
Asana, Inc., Class A*(a)     1,481       10,367  
AvePoint, Inc.*     2,405       26,960  
Bill Holdings, Inc.*     1,107       40,029  
BlackLine, Inc.*     511       14,344  
Box, Inc., Class A*     1,514       40,182  
Braze, Inc., Class A*(a)     1,282       27,807  
CCC Intelligent Solutions Holdings, Inc.*(a)     6,506       33,571  
Clear Secure, Inc., Class A     1,129       62,919  
CommVault Systems, Inc.*(a)     462       65,479  
Consensus Cloud Solutions, Inc.*     208       7,935  
Dropbox, Inc., Class A*     1,904       52,303  
Five9, Inc.*     860       18,335  
Freshworks, Inc., Class A*(a)     2,262       22,891  
Gitlab, Inc., Class A*     1,552       47,383  
Intapp, Inc.*     701       17,672  
Klaviyo, Inc., Class A*     1,571       23,722  
nCino, Inc.*(a)     1,254       20,503  
Ooma, Inc.*     337       6,477  
Pagaya Technologies Ltd., Class A*(a)     796       14,527  
PagerDuty, Inc.*     1,135       10,953  
Pegasystems, Inc.     1,871       56,074  
Porch Group, Inc.*(a)     1,257       18,905  
Progress Software Corp.*(a)     382       12,828  
Q2 Holdings, Inc.*     714       34,343  
Qualys, Inc.*     357       49,084  
Red Violet, Inc.*     169       10,769  
RingCentral, Inc., Class A     858       33,445  
Sprinklr, Inc., Class A*     1,683       8,684  
Sprout Social, Inc., Class A*     498       3,760  
SPS Commerce, Inc.*(a)     420       24,011  
Tenable Holdings, Inc.*     1,115       41,121  
UiPath, Inc., Class A*(a)     5,243       56,991  
Vertex, Inc., Class A*     887       10,183  
Viant Technology, Inc., Class A*     199       2,519  
Weave Communications, Inc.*(a)     890       5,331  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. SmallCap Quality Growth Fund (QSML)
June 30, 2026

 

 

Investments   Shares     Value  
Workiva, Inc.*     564     $ 27,360  
Xperi, Inc.*     582       4,790  
Zeta Global Holdings Corp., Class A*(a)     2,506       49,318  
Total Software             1,207,967  
Specialty Retail — 5.0%                
Abercrombie & Fitch Co., Class A*(a)     566       50,946  
American Eagle Outfitters, Inc.     1,879       32,319  
Arhaus, Inc.     662       5,574  
Asbury Automotive Group, Inc.*(a)     233       46,852  
Bath & Body Works, Inc.     2,657       61,456  
Boot Barn Holdings, Inc.*     349       57,330  
Buckle, Inc.     669       28,232  
Build-A-Bear Workshop, Inc.(a)     162       4,959  
Chewy, Inc., Class A*     2,784       54,706  
Group 1 Automotive, Inc.(a)     145       42,220  
RealReal, Inc.*(a)     1,441       16,989  
Revolve Group, Inc.*     502       11,491  
Valvoline, Inc.*(a)     1,442       57,017  
Victoria's Secret & Co.*     694       57,935  
Warby Parker, Inc., Class A*(a)     1,287       39,047  
Winmark Corp.(a)     43       18,192  
Total Specialty Retail             585,265  
Technology Hardware, Storage & Peripherals — 0.3%                
Diebold Nixdorf, Inc.*(a)     398       33,838  
Immersion Corp.     399       2,701  
Total Technology Hardware, Storage & Peripherals             36,539  
Textiles, Apparel & Luxury Goods — 1.0%                
Figs, Inc., Class A*     1,834       18,762  
Kontoor Brands, Inc.(a)     690       57,505  
Steven Madden Ltd.     824       34,690  
Total Textiles, Apparel & Luxury Goods             110,957  
Tobacco — 0.2%                
Turning Point Brands, Inc.     223       18,913  
Trading Companies & Distributors — 2.7%                
DNOW, Inc.*     2,132       27,652  
DXP Enterprises, Inc.*(a)     174       29,361  
Herc Holdings, Inc.(a)     396       56,762  
Karat Packaging, Inc.     237       7,930  
McGrath RentCorp     293       35,462  
SiteOne Landscape Supply, Inc.*     553       63,269  
Transcat, Inc.*     90       8,349  
Willis Lease Finance Corp.(a)     83       18,990  
Xometry, Inc., Class A*(a)     661       63,800  
Total Trading Companies & Distributors             311,575  
Wireless Telecommunication Services — 0.0%                
Gogo, Inc.*     1,879       5,825  
Total United States             11,448,013  
Bahamas — 0.3%                
Diversified Consumer Services — 0.3%                
OneSpaWorld Holdings Ltd.(a)     1,196       33,775  
Canada — 0.3%                
Biotechnology — 0.2%                
Aurinia Pharmaceuticals, Inc.*     1,478     $ 25,081  
Metals & Mining — 0.1%                
McEwen, Inc.*     706       12,800  
Total Canada             37,881  
Ireland — 0.3%                
Commercial Services & Supplies — 0.3%                
Cimpress PLC*     289       29,391  
Israel — 0.1%                
Interactive Media & Services — 0.1%                
Taboola.com Ltd.*     3,244       16,220  
Philippines — 0.0%                
Professional Services — 0.0%                
TaskUS, Inc., Class A     480       2,246  
Puerto Rico — 0.2%                
Financial Services — 0.2%                
EVERTEC, Inc.     800       22,224  
Singapore — 0.3%                
Interactive Media & Services — 0.3%                
Grindr, Inc.*(a)     2,516       36,155  
TOTAL COMMON STOCKS
(COST: $10,128,644)
            11,625,905  
MUTUAL FUND — 0.1%                
United States — 0.1%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $11,373)     11,373       11,373  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.8%                
United States — 0.8%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $93,469)     93,469       93,469  
TOTAL INVESTMENTS IN SECURITIES — 100.8%
(Cost: $10,233,486)
            11,730,747  
Other Liabilities less Assets — (0.8)%             (95,078 )
NET ASSETS — 100.0%           $ 11,635,669  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $3,554,613 and the total market value of the collateral held by the Fund was $3,602,797. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $3,509,328.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. SmallCap Quality Growth Fund (QSML)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $11,625,905   $   $   $11,625,905 
Mutual Fund       11,373        11,373 
Investment of Cash Collateral for Securities Loaned       93,469        93,469 
Total Investments in Securities  $11,625,905   $104,842   $   $11,730,747 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.6%
United States — 99.5%
Aerospace & Defense — 2.4%                
BWX Technologies, Inc.     1,805     $ 351,343  
Cadre Holdings, Inc.(a)     1,761       50,206  
Carpenter Technology Corp.     615       379,357  
Curtiss-Wright Corp.     299       226,570  
General Dynamics Corp.     13,053       4,623,895  
General Electric Co.     14,651       5,475,518  
HEICO Corp., Class A     1,209       311,813  
HEICO Corp.     323       115,049  
Hexcel Corp.     2,661       266,260  
Honeywell Aerospace, Inc.*     7       1,548  
Howmet Aerospace, Inc.     4,516       1,214,172  
Huntington Ingalls Industries, Inc.     1,212       339,227  
L3Harris Technologies, Inc.     6,377       1,853,093  
Leonardo DRS, Inc.     6,123       261,269  
Lockheed Martin Corp.     13,426       6,840,010  
Moog, Inc., Class A     498       211,072  
Northrop Grumman Corp.     4,445       2,263,883  
RTX Corp.     41,159       7,809,097  
Textron, Inc.     2,351       215,657  
TransDigm Group, Inc.     4,897       6,523,000  
Woodward, Inc.     1,173       499,041  
Total Aerospace & Defense             39,831,080  
Air Freight & Logistics — 0.3%                
CH Robinson Worldwide, Inc.     5,176       974,848  
Expeditors International of Washington, Inc.     3,607       587,869  
FedEx Corp.     9,294       2,910,230  
Hub Group, Inc., Class A     3,017       132,114  
Total Air Freight & Logistics             4,605,061  
Automobile Components — 0.1%                
BorgWarner, Inc.     5,694       378,081  
Dana, Inc.     6,056       164,784  
Gentex Corp.     7,637       192,987  
LCI Industries     2,285       241,936  
Lear Corp.     2,567       344,132  
Patrick Industries, Inc.(a)     1,984       178,123  
Phinia, Inc.     2,938       242,003  
Standard Motor Products, Inc.     2,945       114,767  
Total Automobile Components             1,856,813  
Automobiles — 0.4%                
Ford Motor Co.     339,126       4,713,852  
General Motors Co.     15,182       1,170,229  
Harley-Davidson, Inc.(a)     3,305       80,840  
Thor Industries, Inc.     2,564       192,710  
Total Automobiles             6,157,631  
Banks — 8.7%                
1st Source Corp.(a)     2,762       225,324  
Ameris Bancorp     573       51,719  
Associated Banc-Corp.     13,766       423,580  
Atlantic Union Bankshares Corp.     11,975       506,662  
Banc of California, Inc.     10,761       219,847  
BancFirst Corp.     1,964       218,259  
Bank of America Corp.     289,222       16,479,870  
Bank of Hawaii Corp.(a)     2,030       165,425  
Bank OZK     8,636       449,849  
BankUnited, Inc.     4,923       238,519  
Banner Corp.     2,767       183,839  
BOK Financial Corp.     2,765       384,003  
Burke & Herbert Financial Services Corp.     1,099       78,974  
Byline Bancorp, Inc.     6,578       247,727  
Capitol Federal Financial, Inc.     20,625       175,519  
Cathay General Bancorp     5,154       319,496  
Citigroup, Inc.     78,784       11,026,609  
Citizens Financial Group, Inc.     25,595       1,793,442  
Columbia Banking System, Inc.     22,775       729,939  
Commerce Bancshares, Inc.     3,608       208,362  
Community Financial System, Inc.     3,811       255,794  
Cullen/Frost Bankers, Inc.     3,303       510,380  
CVB Financial Corp.     11,589       261,332  
Dime Commercial Bancshares, Inc.     720       29,268  
East West Bancorp, Inc.     6,966       899,241  
Eastern Bankshares, Inc.(a)     13,353       296,971  
Enterprise Financial Services Corp.     1,206       79,451  
Fifth Third Bancorp     56,346       3,176,224  
First Bancorp/Southern Pines NC     3,145       201,060  
First Busey Corp.     6,833       201,573  
First Citizens BancShares, Inc., Class A     176       366,219  
First Commonwealth Financial Corp.     9,635       195,880  
First Financial Bancorp     9,374       317,122  
First Financial Bankshares, Inc.     4,276       147,950  
First Hawaiian, Inc.     12,248       358,866  
First Horizon Corp.     26,990       692,024  
First Interstate BancSystem, Inc., Class A(a)     8,062       310,871  
First Merchants Corp.     4,924       215,130  
First Mid Bancshares, Inc.     1,542       74,155  
Flagstar Bank NA     6,377       95,272  
FNB Corp.     24,344       464,483  
Fulton Financial Corp.     13,837       334,717  
Glacier Bancorp, Inc.     7,307       376,895  
Hancock Whitney Corp.     4,646       347,149  
Hilltop Holdings, Inc.     5,025       194,869  
Home BancShares, Inc.     13,805       394,133  
Horizon Bancorp, Inc.     10,031       200,419  
Huntington Bancshares, Inc.     127,912       2,267,880  
Independent Bank Corp.     3,638       304,573  
International Bancshares Corp.     4,241       322,104  
JPMorgan Chase & Co.     131,364       42,999,378  
KeyCorp     87,460       2,015,953  
Lakeland Financial Corp.     2,319       143,129  
M&T Bank Corp.     8,357       1,989,050  
Mechanics Bancorp, Class A     17,747       282,177  
National Bank Holdings Corp., Class A     3,498       155,416  
NBT Bancorp, Inc.     3,701       182,718  
Northwest Bancshares, Inc.     5,886       89,232  
OceanFirst Financial Corp.     8,310       162,294  
Old National Bancorp(a)     14,400       372,960  
Park National Corp.(a)     1,019       186,467  
Peoples Bancorp, Inc.     5,194       199,502  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Pinnacle Financial Partners, Inc.     6,278     $ 633,325  
PNC Financial Services Group, Inc.     25,309       6,231,582  
Preferred Bank     1,549       164,597  
Prosperity Bancshares, Inc.     5,491       401,008  
Provident Financial Services, Inc.     15,142       357,957  
Regions Financial Corp.     68,510       2,069,002  
Renasant Corp.     6,876       292,505  
Republic Bancorp, Inc., Class A     1,141       103,181  
S&T Bancorp, Inc.(a)     4,184       205,351  
Seacoast Banking Corp. of Florida(a)     6,557       218,020  
ServisFirst Bancshares, Inc.     1,585       137,499  
Shore Bancshares, Inc.     8,011       183,852  
Southstate Bank Corp.     3,764       376,024  
Stellar Bancorp, Inc.     5,336       209,811  
Stock Yards Bancorp, Inc.(a)     2,346       179,399  
Tompkins Financial Corp.     1,915       181,006  
Towne Bank     2,612       94,659  
Truist Financial Corp.     102,104       5,086,821  
Trustmark Corp.     4,838       222,596  
U.S. Bancorp     116,207       7,018,903  
UMB Financial Corp.     2,994       427,423  
United Bankshares, Inc.     5,999       274,934  
United Community Banks, Inc.     5,899       206,996  
Valley National Bancorp     41,853       613,146  
WaFd, Inc.     3,564       136,751  
Washington Trust Bancorp, Inc.     4,456       162,555  
Webster Financial Corp.     9,747       744,866  
Wells Fargo & Co.     179,424       14,827,599  
WesBanco, Inc.     10,465       408,449  
Western Alliance Bancorp     3,991       328,060  
Wintrust Financial Corp.     1,522       244,616  
WSFS Financial Corp.     2,478       190,137  
Zions Bancorp NA     9,446       653,569  
Total Banks             140,383,444  
Beverages — 2.1%                
Brown-Forman Corp., Class A(a)     1,748       47,825  
Brown-Forman Corp., Class B(a)     24,413       650,606  
Coca-Cola Co.     232,407       18,887,717  
Coca-Cola Consolidated, Inc.     1,560       297,835  
Constellation Brands, Inc., Class A     10,097       1,404,392  
PepsiCo, Inc.     97,642       13,220,727  
Total Beverages             34,509,102  
Biotechnology — 3.2%                
AbbVie, Inc.     99,191       24,960,423  
Amgen, Inc.     41,677       15,092,075  
Gilead Sciences, Inc.     88,261       11,150,895  
Regeneron Pharmaceuticals, Inc.     1,117       696,494  
Total Biotechnology             51,899,887  
Broadline Retail — 0.2%                
Dillard's, Inc., Class A     1,071       565,938  
eBay, Inc.     17,853       1,995,073  
Kohl's Corp.     6,391       113,248  
Macy's, Inc.(a)     16,960       399,408  
Total Broadline Retail             3,073,667  
Building Products — 0.2%                
AAON, Inc.     953       120,898  
Advanced Drainage Systems, Inc.     1,146       179,876  
AO Smith Corp.     5,155       323,322  
Armstrong World Industries, Inc.     1,462       234,534  
Carlisle Cos., Inc.     1,171       424,780  
Fortune Brands Innovations, Inc.     5,554       304,915  
Griffon Corp.     1,504       146,685  
Lennox International, Inc.     819       469,246  
Masco Corp.     6,708       545,830  
Simpson Manufacturing Co., Inc.     903       189,043  
Zurn Elkay Water Solutions Corp.     4,252       214,853  
Total Building Products             3,153,982  
Capital Markets — 5.4%                
Ameriprise Financial, Inc.     2,528       1,159,745  
Ares Management Corp., Class A     11,024       1,227,081  
Bank of New York Mellon Corp.     37,047       5,357,367  
BGC Group, Inc., Class A     8,320       88,941  
Blackrock, Inc.     5,564       5,350,120  
Blackstone, Inc.     42,543       5,006,035  
Blue Owl Capital, Inc.     53,760       470,400  
Carlyle Group, Inc.     17,289       728,040  
Cboe Global Markets, Inc.     3,351       813,187  
Charles Schwab Corp.     39,192       3,616,246  
CME Group, Inc.     12,303       2,716,871  
Cohen & Steers, Inc.     4,910       373,847  
Evercore, Inc., Class A     1,425       486,552  
FactSet Research Systems, Inc.     1,235       284,149  
Federated Hermes, Inc.     6,359       351,144  
Franklin Resources, Inc.     42,734       1,421,760  
Goldman Sachs Group, Inc.     16,067       16,249,682  
Hamilton Lane, Inc., Class A     2,300       181,309  
Houlihan Lokey, Inc.     2,275       305,146  
Interactive Brokers Group, Inc., Class A     6,681       581,514  
Intercontinental Exchange, Inc.     13,558       1,669,125  
Jefferies Financial Group, Inc.     10,399       519,742  
KKR & Co., Inc.     10,274       942,948  
Lazard, Inc.     6,621       277,685  
LPL Financial Holdings, Inc.     810       228,161  
MarketAxess Holdings, Inc.     522       59,242  
Moelis & Co., Class A     5,266       344,502  
Moody's Corp.     3,844       1,741,024  
Morgan Stanley     102,284       21,381,447  
Morningstar, Inc.     906       141,354  
MSCI, Inc.     1,895       1,061,276  
Nasdaq, Inc.     12,275       967,516  
Northern Trust Corp.     9,123       1,585,942  
Perella Weinberg Partners     2,041       32,574  
Piper Sandler Cos.     2,949       213,331  
PJT Partners, Inc., Class A(a)     256       38,641  
Raymond James Financial, Inc.     4,671       710,132  
S&P Global, Inc.     4,379       1,783,392  
SEI Investments Co.     3,519       308,651  
State Street Corp.     15,655       2,655,088  
StepStone Group, Inc., Class A     3,375       139,590  
Stifel Financial Corp.     5,280       368,386  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
T Rowe Price Group, Inc.     18,114     $ 2,059,381  
TPG, Inc.     8,541       346,338  
Tradeweb Markets, Inc., Class A     1,736       173,010  
Victory Capital Holdings, Inc., Class A     5,907       496,542  
Virtu Financial, Inc., Class A     5,211       310,419  
Virtus Investment Partners, Inc.     811       116,378  
Total Capital Markets             87,440,953  
Chemicals — 0.8%                
Albemarle Corp.     2,798       377,814  
Avient Corp.     8,280       306,029  
Balchem Corp.     578       97,653  
Cabot Corp.(a)     3,764       341,846  
CF Industries Holdings, Inc.     7,268       786,834  
Chemours Co.     9,778       200,645  
Corteva, Inc.     14,384       1,218,181  
DuPont de Nemours, Inc.     4,662       632,354  
Eastman Chemical Co.     10,310       690,564  
Ecolab, Inc.     5,545       1,544,892  
Element Solutions, Inc.     10,486       500,706  
HB Fuller Co.     2,496       145,492  
International Flavors & Fragrances, Inc.     11,629       921,249  
Minerals Technologies, Inc.     1,584       117,168  
Mosaic Co.     21,688       459,569  
NewMarket Corp.     492       389,290  
Olin Corp.     9,117       180,699  
PPG Industries, Inc.     10,319       1,251,592  
Quaker Chemical Corp.     943       149,814  
RPM International, Inc.     3,710       412,366  
Scotts Miracle-Gro Co.(a)     4,237       288,582  
Sensient Technologies Corp.     2,486       306,499  
Sherwin-Williams Co.     4,183       1,440,291  
Total Chemicals             12,760,129  
Commercial Services & Supplies — 0.3%                
Brady Corp., Class A     2,580       236,251  
Brink's Co.     1,441       136,160  
Cintas Corp.     7,580       1,289,206  
Deluxe Corp.(a)     5,799       138,480  
HNI Corp.     3,449       139,374  
MSA Safety, Inc.     1,436       250,697  
Pitney Bowes, Inc.(a)     9,957       174,447  
Republic Services, Inc.     6,758       1,439,995  
Rollins, Inc.     17,705       739,007  
Tetra Tech, Inc.     3,396       98,110  
Veralto Corp.     2,468       218,862  
Total Commercial Services & Supplies             4,860,589  
Communications Equipment — 1.2%                
Cisco Systems, Inc.     156,233       18,351,128  
Ubiquiti, Inc.     1,035       552,721  
Total Communications Equipment             18,903,849  
Construction & Engineering — 0.2%                
AECOM     3,114       217,357  
Argan, Inc.     369       294,665  
Comfort Systems USA, Inc.     388       768,997  
EMCOR Group, Inc.     466       386,724  
Granite Construction, Inc.     586       92,635  
Quanta Services, Inc.     1,702       1,225,508  
Valmont Industries, Inc.     547       315,947  
WillScot Holdings Corp.(a)     4,078       117,691  
Total Construction & Engineering             3,419,524  
Construction Materials — 0.1%                
Eagle Materials, Inc.     585       131,625  
Martin Marietta Materials, Inc.     779       449,249  
Vulcan Materials Co.     2,494       735,755  
Total Construction Materials             1,316,629  
Consumer Finance — 0.8%                
Ally Financial, Inc.     15,680       720,496  
American Express Co.     17,048       5,766,486  
Bread Financial Holdings, Inc.     2,383       258,198  
Capital One Financial Corp.     17,104       3,431,405  
FirstCash Holdings, Inc.     1,674       362,120  
OneMain Holdings, Inc.     11,686       712,495  
SLM Corp.     10,600       274,964  
Synchrony Financial     13,904       1,057,399  
Total Consumer Finance             12,583,563  
Consumer Staples Distribution & Retail — 1.8%                
Albertsons Cos., Inc., Class A     28,612       387,120  
Andersons, Inc.     2,105       143,982  
Casey's General Stores, Inc.     627       498,333  
Costco Wholesale Corp.     4,825       4,513,643  
Dollar General Corp.     8,620       992,248  
Kroger Co.     26,063       1,447,279  
PriceSmart, Inc.     1,407       274,843  
Sysco Corp.     26,325       2,200,244  
Target Corp.     39,434       5,150,475  
Walmart, Inc.     123,449       13,981,834  
Weis Markets, Inc.(a)     1,791       140,253  
Total Consumer Staples Distribution & Retail             29,730,254  
Containers & Packaging — 0.2%                
AptarGroup, Inc.     2,560       320,512  
Avery Dennison Corp.     2,938       476,984  
Ball Corp.     7,148       446,035  
Crown Holdings, Inc.     3,340       373,479  
Greif, Inc., Class A     3,379       251,702  
Packaging Corp. of America     4,393       1,046,764  
Silgan Holdings, Inc.     3,835       177,906  
Sonoco Products Co.(a)     6,931       390,562  
Total Containers & Packaging             3,483,944  
Distributors — 0.1%                
Genuine Parts Co.     8,125       958,588  
Pool Corp.     1,796       385,960  
Total Distributors             1,344,548  
Diversified Consumer Services — 0.1%                
ADT, Inc.     40,726       264,719  
H&R Block, Inc.     9,656       367,700  
Perdoceo Education Corp.     4,550       145,600  
Service Corp. International(a)     4,302       326,780  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Strategic Education, Inc.     1,866     $ 142,973  
Total Diversified Consumer Services             1,247,772  
Diversified REITs — 0.1%                
Broadstone Net Lease, Inc.     10,665       220,446  
Essential Properties Realty Trust, Inc.     10,179       303,843  
WP Carey, Inc.     17,391       1,243,456  
Total Diversified REITs             1,767,745  
Diversified Telecommunication Services — 2.2%                
AT&T, Inc.     586,383       12,138,128  
Comcast Corp., Class A     308,348       7,569,943  
Iridium Communications, Inc.     7,589       416,257  
Verizon Communications, Inc.     367,434       15,557,155  
Total Diversified Telecommunication Services             35,681,483  
Electric Utilities — 3.6%                
Alliant Energy Corp.(a)     19,343       1,475,677  
American Electric Power Co., Inc.     47,893       6,552,241  
Constellation Energy Corp.     3,745       930,146  
Duke Energy Corp.     69,167       8,755,159  
Edison International     33,064       2,461,615  
Entergy Corp.     24,181       2,777,430  
Evergy, Inc.     17,533       1,515,377  
Eversource Energy     29,743       2,149,527  
Exelon Corp.     88,641       4,132,443  
FirstEnergy Corp.     49,251       2,341,393  
IDACORP, Inc.(a)     2,987       451,933  
MGE Energy, Inc.     2,481       202,301  
NextEra Energy, Inc.     102,705       9,014,418  
NRG Energy, Inc.     5,688       830,789  
OGE Energy Corp.     20,503       997,676  
Otter Tail Corp.     2,840       255,543  
PG&E Corp.     28,269       475,485  
Pinnacle West Capital Corp.(a)     9,822       1,050,954  
Portland General Electric Co.     9,547       494,821  
PPL Corp.     39,358       1,430,663  
Southern Co.     68,854       6,590,016  
Xcel Energy, Inc.     32,351       2,597,785  
Total Electric Utilities             57,483,392  
Electrical Equipment — 0.7%                
Acuity, Inc.     362       136,351  
AMETEK, Inc.     2,904       702,594  
Atkore, Inc.     1,359       103,338  
Emerson Electric Co.     17,424       2,494,246  
EnerSys     1,182       276,375  
GE Vernova, Inc.     2,597       3,051,112  
Hubbell, Inc.     1,315       688,008  
Regal Rexnord Corp.     1,275       303,692  
Rockwell Automation, Inc.     4,288       2,122,903  
Vertiv Holdings Co., Class A     3,677       1,231,133  
Total Electrical Equipment             11,109,752  
Electronic Equipment, Instruments & Components — 0.9%                
Amphenol Corp., Class A     24,350       4,293,392  
Avnet, Inc.     5,431       482,382  
Badger Meter, Inc.(a)     473       70,184  
Cognex Corp.     3,529       255,570  
Corning, Inc.     33,854       8,647,327  
Crane NXT Co.(a)     1,977       101,143  
Jabil, Inc.     1,454       560,488  
Littelfuse, Inc.     745       339,221  
TD SYNNEX Corp.     2,115       565,424  
Total Electronic Equipment, Instruments & Components             15,315,131  
Energy Equipment & Services — 0.4%                
Archrock, Inc.     11,781       479,605  
Baker Hughes Co.     49,896       2,769,228  
Cactus, Inc., Class A     2,159       110,606  
Halliburton Co.     35,313       1,198,876  
Helmerich & Payne, Inc.     6,842       224,007  
Kodiak Gas Services, Inc.     8,085       607,426  
Liberty Energy, Inc.     7,699       201,637  
NOV, Inc.     15,331       284,390  
Patterson-UTI Energy, Inc.     44,873       411,934  
Total Energy Equipment & Services             6,287,709  
Entertainment — 0.2%                
Cinemark Holdings, Inc.     4,230       134,218  
CuriosityStream, Inc.     11,212       29,824  
TKO Group Holdings, Inc.     2,127       428,186  
Walt Disney Co.     31,863       3,066,814  
Warner Music Group Corp., Class A     5,660       153,216  
Total Entertainment             3,812,258  
Financial Services — 1.6%                
Apollo Global Management, Inc.(a)     16,378       1,937,681  
Enact Holdings, Inc.     8,815       402,934  
Equitable Holdings, Inc.     13,797       605,412  
Federal Agricultural Mortgage Corp., Class C     651       129,725  
Global Payments, Inc.     4,603       333,994  
HA Sustainable Infrastructure Capital, Inc.     11,904       464,851  
Jack Henry & Associates, Inc.     2,096       288,703  
Jackson Financial, Inc., Class A     4,750       486,352  
Mastercard, Inc., Class A     9,398       4,826,813  
MGIC Investment Corp.     17,399       490,652  
PayPal Holdings, Inc.     17,889       772,447  
PennyMac Financial Services, Inc.     1,498       130,476  
Radian Group, Inc.     9,452       356,057  
TFS Financial Corp.(a)     22,763       403,360  
UWM Holdings Corp.(a)     35,353       80,958  
Visa, Inc., Class A     38,543       13,223,718  
Voya Financial, Inc.     4,188       379,140  
Total Financial Services             25,313,273  
Food Products — 0.7%                
Archer-Daniels-Midland Co.     29,108       2,223,851  
Cal-Maine Foods, Inc.(a)     3,952       318,373  
Campbell's Company/The     5,281       117,608  
General Mills, Inc.     32,302       1,124,110  
Hershey Co.     8,462       1,484,658  
Ingredion, Inc.     4,340       411,041  
J M Smucker Co.     7,808       878,400  
Kraft Heinz Co.     104,054       2,457,755  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Lamb Weston Holdings, Inc.     6,376     $ 275,316  
Marzetti Company/The     1,637       186,880  
McCormick & Co., Inc., Non-Voting Shares     14,510       731,594  
Tyson Foods, Inc., Class A     18,219       1,043,038  
Total Food Products             11,252,624  
Gas Utilities — 0.3%                
Atmos Energy Corp.     10,195       1,756,293  
Chesapeake Utilities Corp.     1,280       156,774  
MDU Resources Group, Inc.     11,489       243,682  
National Fuel Gas Co.     7,212       556,838  
New Jersey Resources Corp.     7,024       393,625  
Northwest Natural Holding Co.     5,231       256,633  
ONE Gas, Inc.     4,516       348,048  
Southwest Gas Holdings, Inc.     6,376       565,424  
Spire, Inc.     5,633       439,881  
UGI Corp.     21,441       740,572  
Total Gas Utilities             5,457,770  
Ground Transportation — 0.8%                
ArcBest Corp.     1,937       278,037  
CSX Corp.     49,620       2,358,439  
JB Hunt Transport Services, Inc.     1,836       531,393  
Knight-Swift Transportation Holdings, Inc.     4,246       330,636  
Landstar System, Inc.     1,838       380,117  
Old Dominion Freight Line, Inc.     3,279       710,231  
Ryder System, Inc.     2,244       591,900  
Schneider National, Inc., Class B     4,634       169,280  
Union Pacific Corp.     25,799       7,017,328  
Total Ground Transportation             12,367,361  
Health Care Equipment & Supplies — 0.7%                
Abbott Laboratories     61,407       5,572,071  
Becton Dickinson & Co.     11,521       1,743,473  
CONMED Corp.     2,561       83,822  
Embecta Corp.     4,676       15,244  
GE HealthCare Technologies, Inc.     4,785       306,288  
ResMed, Inc.     3,815       743,467  
Stryker Corp.     6,874       2,164,210  
Zimmer Biomet Holdings, Inc.     3,454       297,355  
Total Health Care Equipment & Supplies             10,925,930  
Health Care Providers & Services — 2.3%                
Cardinal Health, Inc.     6,929       1,646,053  
Cencora, Inc.     3,015       853,185  
Chemed Corp.     131       61,012  
Cigna Group     11,276       3,108,568  
CVS Health Corp.     83,671       8,655,765  
Encompass Health Corp.     2,679       270,793  
Ensign Group, Inc.     509       81,593  
HCA Healthcare, Inc.     3,979       1,551,372  
Labcorp Holdings, Inc.     1,896       530,880  
McKesson Corp.     1,372       1,036,683  
Quest Diagnostics, Inc.     3,552       752,846  
UnitedHealth Group, Inc.     44,144       18,347,571  
Universal Health Services, Inc., Class B     991       147,352  
Total Health Care Providers & Services             37,043,673  
Health Care REITs — 0.7%                
American Healthcare REIT, Inc.     2,648       138,093  
CareTrust REIT, Inc.     15,639       631,034  
Healthcare Realty Trust, Inc.     23,791       479,865  
LTC Properties, Inc.     3,140       120,733  
Medical Properties Trust, Inc.(a)     42,829       197,870  
National Health Investors, Inc.     3,036       231,525  
Sabra Health Care REIT, Inc.(a)     20,791       405,632  
Ventas, Inc.     27,797       2,468,374  
Welltower, Inc.     26,531       6,021,741  
Total Health Care REITs             10,694,867  
Hotel & Resort REITs — 0.2%                
Chatham Lodging Trust     13,087       173,141  
DiamondRock Hospitality Co.     18,357       223,588  
Host Hotels & Resorts, Inc.     54,452       1,291,057  
Pebblebrook Hotel Trust     9,825       190,703  
Ryman Hospitality Properties, Inc.     4,347       558,807  
Total Hotel & Resort REITs             2,437,296  
Hotels, Restaurants & Leisure — 1.8%                
Aramark     5,742       326,720  
Booking Holdings, Inc.     11,935       2,127,294  
Boyd Gaming Corp.(a)     2,666       235,488  
Cheesecake Factory, Inc.(a)     4,631       368,350  
Choice Hotels International, Inc.     1,174       129,457  
Churchill Downs, Inc.     1,126       100,934  
Darden Restaurants, Inc.     7,531       1,551,461  
Domino's Pizza, Inc.     1,321       391,069  
Expedia Group, Inc.     1,835       469,540  
Hilton Worldwide Holdings, Inc.     2,843       939,498  
Hyatt Hotels Corp., Class A(a)     254       49,235  
Las Vegas Sands Corp.     28,518       1,317,246  
Marriott International, Inc., Class A     4,886       1,810,703  
McDonald's Corp.     31,900       8,622,889  
Papa John's International, Inc.(a)     3,327       122,334  
Red Rock Resorts, Inc., Class A(a)     2,938       191,146  
Starbucks Corp.     60,525       6,185,050  
Texas Roadhouse, Inc.     2,709       523,460  
Travel & Leisure Co.     6,566       501,839  
Vail Resorts, Inc.     1,925       262,089  
Wendy's Co.(a)     11,466       95,053  
Wingstop, Inc.     165       28,613  
Wyndham Hotels & Resorts, Inc.     3,580       301,472  
Wynn Resorts Ltd.     2,327       225,928  
Yum! Brands, Inc.     10,009       1,600,039  
Total Hotels, Restaurants & Leisure             28,476,907  
Household Durables — 0.2%                
Century Communities, Inc.(a)     3,911       280,262  
DR Horton, Inc.     5,532       901,052  
Ethan Allen Interiors, Inc.     4,581       102,340  
Installed Building Products, Inc.(a)     467       107,335  
KB Home(a)     2,761       172,811  
La-Z-Boy, Inc.     3,301       132,436  
Meritage Homes Corp.     4,379       367,179  
PulteGroup, Inc.     3,283       450,461  
Somnigroup International, Inc.     3,734       292,746  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Toll Brothers, Inc.     1,355     $ 223,236  
Total Household Durables             3,029,858  
Household Products — 1.7%                
Church & Dwight Co., Inc.     7,041       682,132  
Clorox Co.     11,795       1,125,715  
Colgate-Palmolive Co.     39,144       3,588,722  
Energizer Holdings, Inc.(a)     2,962       63,505  
Kimberly-Clark Corp.     28,630       3,142,715  
Procter & Gamble Co.     126,373       18,531,337  
Reynolds Consumer Products, Inc.(a)     12,381       332,430  
Spectrum Brands Holdings, Inc.     1,889       161,982  
WD-40 Co.     647       157,635  
Total Household Products             27,786,173  
Independent Power & Renewable Electricity Producers — 0.1%                
AES Corp.     61,012       894,436  
Clearway Energy, Inc., Class C     11,613       396,932  
Vistra Corp.     5,007       794,261  
Total Independent Power & Renewable Electricity Producers             2,085,629  
Industrial Conglomerates — 0.4%                
3M Co.     16,897       2,735,794  
Honeywell International, Inc.     14,558       3,259,536  
Total Industrial Conglomerates             5,995,330  
Industrial REITs — 0.7%                
Americold Realty Trust, Inc.     30,037       472,182  
EastGroup Properties, Inc.     4,073       824,905  
First Industrial Realty Trust, Inc.     5,087       311,884  
LXP Industrial Trust     5,157       277,859  
Prologis, Inc.     53,927       7,305,491  
Rexford Industrial Realty, Inc.     15,967       534,894  
STAG Industrial, Inc.     8,870       337,592  
Terreno Realty Corp.     7,222       467,769  
Total Industrial REITs             10,532,576  
Insurance — 2.1%                
Aflac, Inc.     20,985       2,460,491  
Allstate Corp.     14,176       3,373,038  
American Financial Group, Inc.     6,862       960,268  
American International Group, Inc.     23,203       1,729,320  
Assurant, Inc.     1,922       516,115  
Cincinnati Financial Corp.     6,494       1,202,299  
CNO Financial Group, Inc.     5,327       271,571  
Erie Indemnity Co., Class A     1,512       362,502  
F&G Annuities & Life, Inc.(a)     5,771       153,451  
Fidelity National Financial, Inc.     16,047       756,777  
First American Financial Corp.     6,563       450,156  
Globe Life, Inc.     1,288       230,140  
Hanover Insurance Group, Inc.     2,218       474,918  
Hartford Insurance Group, Inc.     14,612       1,936,382  
Horace Mann Educators Corp.     3,728       192,551  
Kemper Corp.     216       5,823  
Kinsale Capital Group, Inc.     258       85,091  
Lincoln National Corp.     16,136       570,408  
Loews Corp.     2,187       247,590  
Marsh & McLennan Cos., Inc.     17,190       2,865,057  
Mercury General Corp.     3,321       354,085  
MetLife, Inc.     34,852       2,948,828  
Old Republic International Corp.     15,398       630,086  
Primerica, Inc.     1,428       405,838  
Principal Financial Group, Inc.     14,523       1,565,289  
Progressive Corp.     5,847       1,277,277  
Prudential Financial, Inc.     28,725       3,100,289  
RLI Corp.(a)     6,049       357,314  
Safety Insurance Group, Inc.     737       55,172  
Selective Insurance Group, Inc.     1,634       158,514  
Stewart Information Services Corp.     2,485       164,060  
Travelers Cos., Inc.     10,093       3,331,901  
Unum Group     9,193       821,854  
WR Berkley Corp.     6,678       470,999  
Total Insurance             34,485,454  
Interactive Media & Services — 4.1%                
Alphabet, Inc., Class A     60,182       21,507,241  
Alphabet, Inc., Class C     56,292       19,889,652  
Match Group, Inc.     10,361       394,236  
Meta Platforms, Inc., Class A     41,885       23,593,402  
Total Interactive Media & Services             65,384,531  
IT Services — 1.0%                
Cognizant Technology Solutions Corp., Class A     13,484       522,235  
CSP, Inc.     3,837       30,466  
International Business Machines Corp.     49,890       14,029,567  
VeriSign, Inc.     3,145       791,156  
Total IT Services             15,373,424  
Leisure Products — 0.1%                
Acushnet Holdings Corp.     2,692       319,083  
Brunswick Corp.     3,223       271,505  
Clarus Corp.     14,930       47,029  
Hasbro, Inc.     10,832       894,615  
Polaris, Inc.     4,358       298,262  
Total Leisure Products             1,830,494  
Life Sciences Tools & Services — 0.3%                
Agilent Technologies, Inc.     4,215       559,879  
Bio-Techne Corp.     2,346       165,745  
Bruker Corp.     2,357       141,844  
Danaher Corp.     7,410       1,411,457  
Revvity, Inc.     1,797       199,934  
Thermo Fisher Scientific, Inc.     3,642       1,825,953  
West Pharmaceutical Services, Inc.     915       328,485  
Total Life Sciences Tools & Services             4,633,297  
Machinery — 2.6%                
AGCO Corp.     2,367       283,330  
Allison Transmission Holdings, Inc.     2,784       313,868  
Caterpillar, Inc.     9,177       9,772,587  
Crane Co.     508       113,320  
Cummins, Inc.     5,889       4,200,094  
Deere & Co.     6,713       4,258,257  
Donaldson Co., Inc.     5,051       453,428  
Dover Corp.     3,424       767,935  
Enerpac Tool Group Corp.     2,445       87,678  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Esab Corp.     315     $ 31,068  
Federal Signal Corp.     712       91,485  
Flowserve Corp.     5,293       392,529  
Fortive Corp.     4,071       248,697  
Franklin Electric Co., Inc.     1,496       160,356  
Graco, Inc.     3,734       282,328  
Greenbrier Cos., Inc.(a)     1,083       53,078  
Illinois Tool Works, Inc.     14,110       3,816,332  
ITT, Inc.     2,389       472,449  
JBT Marel Corp.(a)     710       102,950  
Kadant, Inc.     393       123,492  
Kennametal, Inc.     4,527       158,671  
Lincoln Electric Holdings, Inc.     1,859       493,583  
Mueller Industries, Inc.     2,998       368,544  
Mueller Water Products, Inc., Class A     7,907       204,238  
Nordson Corp.     1,261       380,431  
Oshkosh Corp.     2,287       351,009  
Otis Worldwide Corp.     13,701       980,992  
PACCAR, Inc.     38,193       4,587,743  
Parker-Hannifin Corp.     3,103       3,035,106  
Snap-on, Inc.     2,570       1,034,168  
Stanley Black & Decker, Inc.     12,333       1,160,782  
Tennant Co.(a)     1,186       103,822  
Terex Corp.     2,761       199,869  
Timken Co.     3,346       486,241  
Toro Co.     2,283       222,410  
Trinity Industries, Inc.     6,803       235,248  
Watts Water Technologies, Inc., Class A     605       236,827  
Westinghouse Air Brake Technologies Corp.     2,283       615,497  
Worthington Enterprises, Inc.     2,200       118,272  
Xylem, Inc.     4,830       570,954  
Total Machinery             41,569,668  
Marine Transportation — 0.0%                
Matson, Inc.     1,097       210,876  
Media — 0.2%                
Fox Corp., Class A     3,155       164,565  
Fox Corp., Class B     8,620       403,761  
Gray Media, Inc.     6,857       27,222  
John Wiley & Sons, Inc., Class A     1,639       79,508  
National CineMedia, Inc.     8,970       34,086  
New York Times Co., Class A     5,148       360,257  
News Corp., Class A     7,559       187,690  
News Corp., Class B(a)     1,307       36,674  
Nexstar Media Group, Inc.     2,559       457,012  
Omnicom Group, Inc.     14,126       1,028,797  
Paramount Skydance Corp., Class B     27,239       268,577  
Sinclair, Inc.     5,986       85,300  
Sirius XM Holdings, Inc.(a)     29,382       867,944  
Total Media             4,001,393  
Metals & Mining — 0.6%                
Alcoa Corp.     6,069       316,438  
Commercial Metals Co.     3,630       227,783  
Freeport-McMoRan, Inc.     36,636       2,304,038  
Hecla Mining Co.     10,391       160,333  
Kaiser Aluminum Corp.     201       39,322  
Newmont Corp.     33,558       3,134,317  
Nucor Corp.     5,376       1,197,504  
Reliance, Inc.     1,734       647,822  
Royal Gold, Inc.     2,250       449,122  
Steel Dynamics, Inc.     4,016       921,511  
Total Metals & Mining             9,398,190  
Multi-Utilities — 1.6%                
Ameren Corp.     19,711       2,228,131  
Avista Corp.     7,849       321,103  
Black Hills Corp.     6,717       499,745  
CenterPoint Energy, Inc.     28,872       1,271,523  
CMS Energy Corp.     16,636       1,272,654  
Consolidated Edison, Inc.     23,323       2,580,223  
Dominion Energy, Inc.     68,407       4,671,514  
DTE Energy Co.     12,620       1,922,909  
NiSource, Inc.     35,182       1,672,904  
Northwestern Energy Group, Inc.     7,165       513,157  
Public Service Enterprise Group, Inc.     30,960       2,512,714  
Sempra     34,339       3,183,569  
WEC Energy Group, Inc.     20,730       2,420,642  
Total Multi-Utilities             25,070,788  
Office REITs — 0.1%                
COPT Defense Properties     7,861       286,062  
Cousins Properties, Inc.     14,193       425,506  
Empire State Realty Trust, Inc., Class A     16,634       89,990  
Highwoods Properties, Inc.     10,813       326,120  
Kilroy Realty Corp.     10,685       400,367  
SL Green Realty Corp.     6,839       354,055  
Total Office REITs             1,882,100  
Oil, Gas & Consumable Fuels — 6.7%                
Antero Midstream Corp.     46,912       1,067,248  
APA Corp.     33,761       1,099,596  
California Resources Corp.     5,316       281,057  
Cheniere Energy, Inc.     3,965       947,675  
Chevron Corp.     134,212       22,246,981  
Chord Energy Corp.     3,629       414,795  
ConocoPhillips     85,192       8,856,560  
Crescent Energy Co., Class A     23,359       229,385  
Delek US Holdings, Inc.     2,702       137,289  
Devon Energy Corp.     62,073       2,564,856  
Diamondback Energy, Inc.     13,359       2,348,245  
DT Midstream, Inc.     6,373       935,174  
EOG Resources, Inc.     37,177       4,822,972  
EQT Corp.     11,720       623,153  
Expand Energy Corp.     8,480       773,291  
Exxon Mobil Corp.     201,863       27,598,709  
HF Sinclair Corp.     12,426       865,471  
Kinder Morgan, Inc.     179,055       5,724,388  
Magnolia Oil & Gas Corp., Class A     12,782       326,964  
Marathon Petroleum Corp.     12,308       3,146,786  
Matador Resources Co.     8,677       431,941  
Murphy Oil Corp.     11,838       385,445  
Northern Oil & Gas, Inc.(a)     8,082       146,688  
Occidental Petroleum Corp.     42,421       2,060,388  
Ovintiv, Inc.     14,828       780,694  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
PBF Energy, Inc., Class A     6,927     $ 315,317  
Permian Resources Corp., Class A     62,075       1,142,801  
Phillips 66     26,194       4,428,096  
Range Resources Corp.     6,223       231,433  
Riley Exploration Permian, Inc.     1,683       55,472  
Sunococorp LLC     3,733       252,612  
Targa Resources Corp.     8,906       2,388,055  
Texas Pacific Land Corp.     921       403,067  
Valero Energy Corp.     15,182       3,954,000  
Williams Cos., Inc.     73,783       5,485,028  
Total Oil, Gas & Consumable Fuels             107,471,632  
Paper & Forest Products — 0.0%                
Louisiana-Pacific Corp.     2,110       165,972  
Sylvamo Corp.     2,441       92,270  
Total Paper & Forest Products             258,242  
Passenger Airlines — 0.1%                
Delta Air Lines, Inc.     12,125       1,135,627  
Southwest Airlines Co.     19,745       1,015,288  
Total Passenger Airlines             2,150,915  
Personal Care Products — 0.0%                
Estee Lauder Cos., Inc., Class A     5,929       468,094  
Inter Parfums, Inc.(a)     2,836       317,235  
Nu Skin Enterprises, Inc., Class A     6,763       35,709  
Total Personal Care Products             821,038  
Pharmaceuticals — 5.6%                
Bristol-Myers Squibb Co.     168,936       9,734,092  
Eli Lilly & Co.     15,387       18,455,629  
Johnson & Johnson     114,441       29,064,581  
Merck & Co., Inc.     154,620       19,868,670  
Organon & Co.     5,022       67,998  
Pfizer, Inc.     493,413       11,881,385  
Viatris, Inc.     91,413       1,451,639  
Zoetis, Inc.     8,729       627,266  
Total Pharmaceuticals             91,151,260  
Professional Services — 0.5%                
Automatic Data Processing, Inc.     19,455       4,356,947  
Booz Allen Hamilton Holding Corp.     6,463       392,110  
Broadridge Financial Solutions, Inc.     3,810       521,779  
Concentrix Corp.(a)     5,471       122,578  
Equifax, Inc.     2,319       368,072  
Exponent, Inc.     776       45,598  
ICF International, Inc.     1,017       74,099  
Jacobs Solutions, Inc.     2,300       289,800  
KBR, Inc.     2,592       89,502  
Kforce, Inc.     157       7,366  
Korn Ferry     3,603       239,888  
Leidos Holdings, Inc.     3,171       326,518  
Maximus, Inc.     2,889       155,313  
Paycom Software, Inc.     1,150       144,532  
Science Applications International Corp.     1,665       183,833  
SS&C Technologies Holdings, Inc.     6,363       394,824  
TransUnion     1,871       134,974  
TriNet Group, Inc.     1,455       72,008  
Verisk Analytics, Inc.     2,220       398,556  
Total Professional Services             8,318,297  
Real Estate Management & Development — 0.0%                
AGNT, Inc.(a)     8,797       47,592  
Residential REITs — 0.6%                
American Homes 4 Rent, Class A     23,751       796,134  
AvalonBay Communities, Inc.     9,008       1,699,719  
Camden Property Trust     6,878       787,462  
Equity LifeStyle Properties, Inc.     9,816       632,641  
Equity Residential     29,463       2,001,422  
Essex Property Trust, Inc.     3,924       1,144,199  
Independence Realty Trust, Inc.     14,778       246,645  
Sun Communities, Inc.     9,729       1,166,604  
UDR, Inc.     26,921       1,074,686  
UMH Properties, Inc.     9,190       139,137  
Total Residential REITs             9,688,649  
Retail REITs — 1.1%                
Agree Realty Corp.     5,444       412,329  
Brixmor Property Group, Inc.     23,432       738,811  
Federal Realty Investment Trust     6,312       779,153  
InvenTrust Properties Corp.     5,338       188,965  
Kimco Realty Corp.     58,459       1,481,936  
Macerich Co.(a)     14,479       364,726  
NNN REIT, Inc.     16,252       756,206  
Phillips Edison & Co., Inc.     7,478       311,234  
Realty Income Corp.     76,197       4,721,166  
Regency Centers Corp.     12,055       961,266  
Simon Property Group, Inc.     28,795       6,440,002  
Urban Edge Properties     10,529       240,903  
Total Retail REITs             17,396,697  
Semiconductors & Semiconductor Equipment — 9.8%                
Amkor Technology, Inc.     5,369       462,969  
Analog Devices, Inc.     12,905       5,125,479  
Applied Materials, Inc.     10,277       7,430,271  
Broadcom, Inc.     82,033       30,987,966  
Entegris, Inc.     2,162       388,857  
KLA Corp.     23,890       7,207,852  
Lam Research Corp.     23,603       10,227,888  
Marvell Technology, Inc.     7,408       2,206,769  
Micron Technology, Inc.     10,735       12,391,303  
MKS, Inc.     1,636       727,693  
Monolithic Power Systems, Inc.     801       1,107,270  
NVIDIA Corp.     271,616       54,347,645  
Qnity Electronics, Inc.     2,474       404,029  
Qualcomm, Inc.     41,161       7,606,141  
Skyworks Solutions, Inc.(a)     9,676       656,033  
Teradyne, Inc.     1,537       743,662  
Texas Instruments, Inc.     52,803       15,738,990  
Universal Display Corp.     1,028       89,015  
Total Semiconductors & Semiconductor Equipment             157,849,832  
Software — 3.8%                
Bentley Systems, Inc., Class B(a)     3,800       113,582  
Clear Secure, Inc., Class A(a)     3,856       214,895  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Dolby Laboratories, Inc., Class A(a)     3,690     $ 194,020  
Gen Digital, Inc.     18,981       472,437  
InterDigital, Inc.     846       239,528  
Intuit, Inc.     3,035       792,135  
Microsoft Corp.     132,816       49,543,024  
Oracle Corp.     51,376       7,529,153  
Pegasystems, Inc.     2,335       69,980  
ReposiTrak, Inc.     3,619       32,571  
Salesforce, Inc.     12,842       2,011,828  
Total Software             61,213,153  
Specialized REITs — 1.7%                
American Tower Corp.     33,044       5,405,007  
CubeSmart     20,271       806,178  
Digital Realty Trust, Inc.     18,807       3,377,361  
EPR Properties     7,359       426,895  
Equinix, Inc.     4,559       4,752,256  
Extra Space Storage, Inc.     18,298       2,658,699  
Four Corners Property Trust, Inc.     6,403       157,194  
Iron Mountain, Inc.     21,364       2,698,487  
Lamar Advertising Co., Class A     6,265       977,215  
Millrose Properties, Inc.     12,630       379,531  
National Storage Affiliates Trust     8,346       371,147  
Outfront Media, Inc.     12,752       417,755  
Public Storage     13,402       4,265,991  
Rayonier, Inc.     11,491       244,528  
Safehold, Inc.     7,001       109,916  
SBA Communications Corp.     4,145       731,427  
Total Specialized REITs             27,779,587  
Specialty Retail — 2.1%                
Academy Sports & Outdoors, Inc.(a)     1,072       50,523  
Advance Auto Parts, Inc.     2,343       145,781  
American Eagle Outfitters, Inc.     7,419       127,607  
Bath & Body Works, Inc.     5,044       116,668  
Best Buy Co., Inc.     18,398       1,396,040  
Buckle, Inc.     4,798       202,476  
Build-A-Bear Workshop, Inc.     966       29,569  
Dick's Sporting Goods, Inc.     2,135       484,239  
Gap, Inc.     17,462       326,190  
Home Depot, Inc.     48,161       16,985,422  
Lithia Motors, Inc.     418       121,425  
Lowe's Cos., Inc.     20,198       4,453,457  
Monro, Inc.     2,169       37,112  
Murphy USA, Inc.     223       120,168  
Penske Automotive Group, Inc.(a)     3,558       636,704  
Ross Stores, Inc.     5,867       1,248,791  
Sonic Automotive, Inc., Class A     1,899       161,016  
TJX Cos., Inc.     35,585       5,391,128  
Tractor Supply Co.     20,315       642,157  
Upbound Group, Inc.     1,841       39,066  
Williams-Sonoma, Inc.     3,191       743,822  
Winmark Corp.(a)     284       120,155  
Total Specialty Retail             33,579,516  
Technology Hardware, Storage & Peripherals — 2.7%                
Apple, Inc.     116,797       33,796,380  
Dell Technologies, Inc., Class C     10,000       4,314,600  
Hewlett Packard Enterprise Co.     57,264       2,583,179  
NetApp, Inc.     6,859       1,061,499  
Western Digital Corp.     3,896       2,488,453  
Total Technology Hardware, Storage & Peripherals             44,244,111  
Textiles, Apparel & Luxury Goods — 0.3%                
Kontoor Brands, Inc.     3,800       316,692  
Lakeland Industries, Inc.(a)     4,586       49,024  
Levi Strauss & Co., Class A     7,331       182,029  
NIKE, Inc., Class B     37,247       1,528,989  
PVH Corp.     1,472       109,311  
Ralph Lauren Corp.     1,393       559,164  
Steven Madden Ltd.     3,116       131,184  
Tapestry, Inc.     8,962       1,311,857  
VF Corp.     13,329       222,328  
Wolverine World Wide, Inc.     2,192       36,234  
Total Textiles, Apparel & Luxury Goods             4,446,812  
Tobacco — 1.9%                
Altria Group, Inc.     146,901       10,569,527  
Philip Morris International, Inc.     113,355       20,507,053  
Universal Corp.     3,037       158,440  
Total Tobacco             31,235,020  
Trading Companies & Distributors — 0.5%                
Applied Industrial Technologies, Inc.     863       291,823  
Fastenal Co.     42,862       2,058,662  
Ferguson Enterprises, Inc.     7,163       1,699,995  
GATX Corp.     1,258       222,905  
Global Industrial Co.     2,997       100,280  
McGrath RentCorp     969       117,278  
MSC Industrial Direct Co., Inc., Class A     5,135       610,808  
Rush Enterprises, Inc., Class A     2,660       194,140  
United Rentals, Inc.     965       1,093,239  
WESCO International, Inc.     790       272,890  
WW Grainger, Inc.     921       1,252,928  
Total Trading Companies & Distributors             7,914,948  
Water Utilities — 0.1%                
American States Water Co.     3,499       289,122  
American Water Works Co., Inc.     8,564       1,126,851  
Essential Utilities, Inc.     17,308       663,070  
Total Water Utilities             2,079,043  
Wireless Telecommunication Services — 0.4%                
T-Mobile U.S., Inc.     40,946       6,867,873  
Total United States             1,605,773,590  
Puerto Rico — 0.1%                
Banks — 0.1%                
First BanCorp     17,608       459,040  
OFG Bancorp     4,698       230,531  
Popular, Inc.     4,354       714,840  
Total Banks             1,404,411  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

Investments   Shares     Value  
Financial Services — 0.0%                
EVERTEC, Inc.     1,409     $ 39,142  
Total Puerto Rico             1,443,553  
TOTAL COMMON STOCKS
(COST: $1,081,585,561)
            1,607,217,143  
MUTUAL FUND — 0.3%                
United States — 0.3%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $4,506,223)     4,506,223       4,506,223  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 0.2%                
United States — 0.2%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)                
                 
(Cost: $2,937,308)     2,937,308       2,937,308  
TOTAL INVESTMENTS IN SECURITIES — 100.1%
(Cost: $1,089,029,092)
            1,614,660,674  
Other Liabilities less Assets — (0.1)%             (1,599,771 )
NET ASSETS — 100.0%           $ 1,613,060,903  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $16,103,921 and the total market value of the collateral held by the Fund was $16,438,987. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $13,501,679.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $   $6,400,000   $6,400,000   $   $   $^   $514 

 

^ As of June 30, 2026, the Fund did not hold a position in this affiliate.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. Total Dividend Fund (DTD)
June 30, 2026

 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $1,607,217,143   $   $   $1,607,217,143 
Mutual Fund       4,506,223        4,506,223 
Investment of Cash Collateral for Securities Loaned       2,937,308        2,937,308 
Total Investments in Securities  $1,607,217,143   $7,443,531   $   $1,614,660,674 

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited)
WisdomTree U.S. Value Fund (WTV)
June 30, 2026

 

 

Investments   Shares     Value  
COMMON STOCKS — 99.9%
United States — 98.7%
Aerospace & Defense — 0.0%                
Honeywell Aerospace, Inc.*     35     $ 7,738  
Automobiles — 0.3%                
Ford Motor Co.     693,429       9,638,663  
Banks — 4.2%                
Bank of America Corp.     325,465       18,544,996  
Citigroup, Inc.     385,789       53,995,028  
Regions Financial Corp.     1,059,872       32,008,134  
Wells Fargo & Co.     227,026       18,761,429  
Total Banks             123,309,587  
Beverages — 2.2%                
Brown-Forman Corp., Class B     462,898       12,336,231  
Constellation Brands, Inc., Class A     150,931       20,992,993  
Molson Coors Beverage Co., Class B     801,952       31,244,050  
Total Beverages             64,573,274  
Biotechnology — 0.3%                
United Therapeutics Corp.*     14,957       8,104,151  
Building Products — 1.7%                
AO Smith Corp.     260,439       16,334,734  
Johnson Controls International PLC     92,635       13,534,900  
Masco Corp.     254,441       20,703,864  
Total Building Products             50,573,498  
Capital Markets — 9.8%                
Affiliated Managers Group, Inc.     81,092       27,441,533  
Ameriprise Financial, Inc.     38,354       17,595,281  
Bank of New York Mellon Corp.     162,912       23,558,704  
Blackstone, Inc.     131,291       15,449,012  
Blue Owl Capital, Inc.     1,852,383       16,208,351  
Carlyle Group, Inc.     330,041       13,898,026  
Charles Schwab Corp.     158,822       14,654,506  
FactSet Research Systems, Inc.     34,381       7,910,380  
Franklin Resources, Inc.     811,554       27,000,402  
Goldman Sachs Group, Inc.     19,349       19,568,998  
Morgan Stanley     189,571       39,627,922  
Morningstar, Inc.     77,590       12,105,592  
MSCI, Inc.     24,343       13,633,054  
Northern Trust Corp.     115,047       19,999,770  
Raymond James Financial, Inc.     77,255       11,745,078  
S&P Global, Inc.     20,191       8,222,987  
Total Capital Markets             288,619,596  
Chemicals — 1.0%                
DuPont de Nemours, Inc.     103,265       14,006,865  
PPG Industries, Inc.     116,163       14,089,410  
Total Chemicals             28,096,275  
Communications Equipment — 2.1%                
Cisco Systems, Inc.     514,885       60,478,392  
Consumer Finance — 0.7%                
Synchrony Financial     260,091       19,779,921  
Consumer Staples Distribution & Retail — 2.7%                
Kroger Co.     362,257       20,116,131  
Sysco Corp.     123,661       10,335,586  
Target Corp.     375,360       49,025,770  
Total Consumer Staples Distribution & Retail             79,477,487  
Containers & Packaging — 1.4%                
Ball Corp.     660,805       41,234,232  
Diversified REITs — 0.8%                
WP Carey, Inc.     345,630       24,712,545  
Diversified Telecommunication Services — 2.0%                
AT&T, Inc.     1,260,503       26,092,412  
Verizon Communications, Inc.     772,915       32,725,221  
Total Diversified Telecommunication Services             58,817,633  
Electric Utilities — 4.2%                
Duke Energy Corp.     159,102       20,139,131  
Edison International     481,670       35,860,331  
Evergy, Inc.     204,804       17,701,210  
Eversource Energy     269,660       19,488,328  
FirstEnergy Corp.     361,377       17,179,863  
Pinnacle West Capital Corp.(a)     126,019       13,484,033  
Total Electric Utilities             123,852,896  
Energy Equipment & Services — 1.4%                
Halliburton Co.     357,396       12,133,594  
SLB Ltd.     648,809       30,163,131  
Total Energy Equipment & Services             42,296,725  
Entertainment — 0.6%                
Walt Disney Co.     197,300       18,990,125  
Financial Services — 3.9%                
Apollo Global Management, Inc.     135,799       16,066,380  
Berkshire Hathaway, Inc., Class B*     155,597       77,859,183  
Global Payments, Inc.     302,272       21,932,856  
Total Financial Services             115,858,419  
Food Products — 1.8%                
General Mills, Inc.     573,867       19,970,572  
Kraft Heinz Co.     1,422,004       33,587,734  
Total Food Products             53,558,306  
Gas Utilities — 0.5%                
UGI Corp.     427,819       14,776,868  
Ground Transportation — 2.3%                
JB Hunt Transport Services, Inc.     80,285       23,236,888  
Ryder System, Inc.     136,953       36,124,093  
Uber Technologies, Inc.*     100,559       7,256,337  
Total Ground Transportation             66,617,318  
Health Care Providers & Services — 4.2%                
Cigna Group     87,208       24,041,502  
DaVita, Inc.*     216,697       48,210,749  
HCA Healthcare, Inc.     49,671       19,366,226  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Value Fund (WTV)
June 30, 2026

 

 

Investments   Shares     Value  
UnitedHealth Group, Inc.     78,518     $ 32,634,436  
Total Health Care Providers & Services             124,252,913  
Health Care REITs — 1.3%                
Healthpeak Properties, Inc.     1,745,731       37,358,643  
Hotels, Restaurants & Leisure — 1.8%                
Darden Restaurants, Inc.     103,662       21,355,409  
Las Vegas Sands Corp.     226,060       10,441,711  
MGM Resorts International*     458,147       21,904,008  
Total Hotels, Restaurants & Leisure             53,701,128  
Household Durables — 0.4%                
DR Horton, Inc.     72,836       11,863,528  
Household Products — 1.4%                
Kimberly-Clark Corp.     208,292       22,864,213  
Procter & Gamble Co.     133,255       19,540,513  
Total Household Products             42,404,726  
Industrial Conglomerates — 1.1%                
3M Co.     112,934       18,285,144  
Honeywell International, Inc.     60,984       13,654,318  
Total Industrial Conglomerates             31,939,462  
Industrial REITs — 0.9%                
Lineage, Inc.     576,573       24,936,782  
Insurance — 3.8%                
Axis Capital Holdings Ltd.     198,543       21,331,460  
Fidelity National Financial, Inc.     311,917       14,710,006  
Hartford Insurance Group, Inc.     111,348       14,755,837  
Old Republic International Corp.     317,187       12,979,292  
Primerica, Inc.     49,399       14,039,196  
Progressive Corp.     104,730       22,878,268  
Willis Towers Watson PLC     42,038       10,987,472  
Total Insurance             111,681,531  
Interactive Media & Services — 2.9%                
Match Group, Inc.     722,226       27,480,700  
Meta Platforms, Inc., Class A     63,125       35,557,681  
Pinterest, Inc., Class A*(a)     568,299       11,951,328  
Snap, Inc., Class A*     2,397,514       10,644,962  
Total Interactive Media & Services             85,634,671  
IT Services — 0.3%                
International Business Machines Corp.     35,468       9,973,956  
Leisure Products — 0.7%                
Brunswick Corp.     234,196       19,728,671  
Life Sciences Tools & Services — 1.2%                
Thermo Fisher Scientific, Inc.     68,185       34,185,232  
Machinery — 2.7%                
Fortive Corp.     343,608       20,991,013  
Illinois Tool Works, Inc.     69,953       18,920,188  
Middleby Corp.*     128,368       22,080,579  
Snap-on, Inc.     40,060       16,120,144  
Total Machinery             78,111,924  
Media — 0.4%                
Sirius XM Holdings, Inc.(a)     377,638     11,155,426  
Oil, Gas & Consumable Fuels — 4.5%                
Chevron Corp.     143,164       23,730,865  
Exxon Mobil Corp.     174,341       23,835,901  
HF Sinclair Corp.     404,572       28,178,440  
Marathon Petroleum Corp.     96,490       24,669,598  
Phillips 66     93,981       15,887,488  
Valero Energy Corp.     66,495       17,317,958  
Total Oil, Gas & Consumable Fuels             133,620,250  
Passenger Airlines — 1.9%                
Southwest Airlines Co.     1,105,974       56,869,183  
Pharmaceuticals — 3.4%                
Merck & Co., Inc.     319,371       41,039,174  
Pfizer, Inc.     776,454       18,697,012  
Viatris, Inc.     2,603,182       41,338,530  
Total Pharmaceuticals             101,074,716  
Semiconductors & Semiconductor Equipment — 6.3%                
Micron Technology, Inc.     19,459       22,461,329  
NVIDIA Corp.     485,053       97,054,255  
Qualcomm, Inc.     176,912       32,691,569  
Skyworks Solutions, Inc.(a)     477,984       32,407,315  
Total Semiconductors & Semiconductor Equipment             184,614,468  
Software — 5.1%                
Adobe, Inc.*     160,211       32,846,459  
Gen Digital, Inc.     310,739       7,734,294  
Salesforce, Inc.     301,582       47,245,836  
Workday, Inc., Class A*     84,935       10,397,743  
Zoom Communications, Inc., Class A*     603,485       52,086,790  
Total Software             150,311,122  
Specialized REITs — 2.3%                
Crown Castle, Inc.     237,262       17,967,851  
Gaming & Leisure Properties, Inc.     594,969       26,493,970  
VICI Properties, Inc.     824,019       21,877,704  
Total Specialized REITs             66,339,525  
Specialty Retail — 2.4%                
Best Buy Co., Inc.     351,849       26,698,302  
Gap, Inc.     638,829       11,933,326  
Lithia Motors, Inc.     55,475       16,114,933  
Penske Automotive Group, Inc.(a)     96,738       17,311,265  
Total Specialty Retail             72,057,826  
Technology Hardware, Storage & Peripherals — 3.0%                
Dell Technologies, Inc., Class C     207,407       89,487,824  
Textiles, Apparel & Luxury Goods — 0.7%                
NIKE, Inc., Class B     473,591       19,440,911  
Tobacco — 1.3%                
Altria Group, Inc.     548,219       39,444,357  
         

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (continued)
WisdomTree U.S. Value Fund (WTV)
June 30, 2026

 

 

Investments   Shares     Value  
Wireless Telecommunication Services — 0.8%                
T-Mobile U.S., Inc.     142,290     $ 23,866,302  
Total United States             2,907,428,726  
Bermuda — 0.6%                
Insurance — 0.6%                
RenaissanceRe Holdings Ltd.     58,530       18,548,157  
Sweden — 0.6%                
Automobile Components — 0.6%                
Autoliv, Inc.(a)     137,676       15,993,821  
TOTAL COMMON STOCKS
(COST: $2,694,658,675)
            2,941,970,704  
MUTUAL FUND — 0.0%                
United States — 0.0%                
BNY Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.52%(b)                
                 
(Cost: $592,435)     592,435       592,435  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED — 1.0%                
United States — 1.0%                
BNY Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%(b)     15,741,253       15,741,253  
WisdomTree Treasury Money Market Digital Fund, 3.45%(b)(c)     14,600,000       14,600,000  
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
(COST: $30,341,253)
            30,341,253  
TOTAL INVESTMENTS IN SECURITIES — 100.9%
(Cost: $2,725,592,363)
            2,972,904,392  
Other Liabilities less Assets — (0.9)%             (25,972,993 )
NET ASSETS — 100.0%           $ 2,946,931,399  
         

 

* Non-income producing security.
(a)Security, or portion thereof, was on loan at June 30, 2026. At June 30, 2026, the total market value of the Fund’s securities on loan identified in the Schedule of Investments was $54,293,276 and the total market value of the collateral held by the Fund was $55,514,285. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $25,173,032.
(b)Rate shown represents annualized 7-day yield as of June 30, 2026.
(c)Affiliated holding. See “Investment in Affiliates” supplementary table included in this Schedule of Investments for additional information.

 

See Notes to Schedule of Investments.

 

   
 

 

Schedule of Investments (unaudited) (concluded)
WisdomTree U.S. Value Fund (WTV)
June 30, 2026

 

 

INVESTMENT IN AFFILIATES
Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the three-month fiscal period ended June 30, 2026 were as follows:

 

Affiliate  Value at
3/31/2026
   Purchases/
Additions
   Sales/
Reductions
   Realized
Gain/(Loss)
   Change in
Unrealized
Appreciation/
Depreciation
   Value at
6/30/2026
   Securities
Lending
Income
 
WisdomTree Treasury Money Market Digital Fund  $11,800,000   $51,800,000   $49,000,000   $   $   $14,600,000   $34,909 

 

FAIR VALUATION SUMMARY
The following is a summary of the fair valuations according to the inputs used in valuing the Fund’s investments:

 

   Quoted
Prices in
Active
Markets
(Level 1)
   Other
Significant
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
Assets:    
Investments in Securities                    
Common Stocks  $2,941,970,704   $   $   $2,941,970,704 
Mutual Fund       592,435        592,435 
Investment of Cash Collateral for Securities Loaned       30,341,253        30,341,253 
Total Investments in Securities  $2,941,970,704   $30,933,688   $   $2,972,904,392 

 

See Notes to Schedule of Investments.

 

   
 

 

Notes to Schedule of Investments (unaudited)

 

 

Investment Valuation — The net asset value (“NAV”) of each Fund’s shares is calculated each day a Fund is open for business as of the regularly scheduled close of regular trading on the New York Stock Exchange, normally 4:00 p.m. Eastern time (the “NAV Calculation Time”). NAV per share is calculated by dividing a Fund’s net assets by the number of Fund shares outstanding. Each Fund issues and redeems shares at NAV only in large blocks of shares known as creation units, which only certain institutions (e.g., broker-dealers) may purchase or redeem. Shares of each Fund are listed on a national securities exchange and trade at market prices. Most investors will buy and sell shares in the secondary market through brokers. Because Fund shares trade at market prices rather than NAV, shares may trade at a price greater than NAV or less than NAV. In calculating each Fund’s NAV, investments are valued under policies approved by the Board of Trustees of the Trust (the “Board of Trustees”). Equity securities (including preferred stock) traded on any recognized U.S. or non-U.S. exchange are valued at the last sale price or official closing price on the exchange on which they are principally traded. Unlisted equity securities (including preferred stock) are valued at the last sale price or, if no sale price is available, at the mean between the highest bid and lowest ask price. Fixed income securities generally are valued at current market quotations or mean prices obtained from broker-dealers or independent pricing service providers. Broker-dealers or independent pricing service providers, in determining the value of securities, may consider such factors as recent transactions, indications from yields and quoted prices from broker-dealers on similar securities, and market sentiment for the type of security. U.S. fixed income securities may be valued as of the announced closing time for such securities on any day that the Securities Industry and Financial Markets Association announces an early closing time. Each Fund may invest in money market funds which are valued at their NAV per share and exchange-traded funds (“ETFs” or “ETF”) or exchange-traded notes (“ETNs” or “ETN”) which are valued at their last sale or official closing price on the exchange on which they are principally traded or at their NAV per share in instances where the ETF or ETN has not traded on its principal exchange. Foreign currency contracts that settle within two business days after the trade date (“Spot Contracts”) and foreign currency contracts having a settlement period greater than two business days after the trade date (“Forward Contracts”) are valued on the measurement date using an interpolated foreign exchange rate between the closest preceding and subsequent settlement period, using spot and forward rates provided by an independent pricing service provider. Futures contracts generally are valued at the settlement price, the price at which a futures contract settles once a given trading day has ended, on the primary exchange on which they trade.

 

Pursuant to Board-approved valuation procedures established by the Trust and WisdomTree Asset Management, Inc. (“WTAM”), the Board has appointed WTAM as the Funds’ valuation designee (the “Valuation Designee”) to perform all fair valuations of the Funds’ portfolio investments, subject to the Board’s oversight. As the Valuation Designee, WTAM has established procedures for its fair valuation of a Fund’s portfolio investments. These procedures address, among other things, determining when market quotations are not readily available or reliable and the methodologies to be used for determining the fair value of investments, as well as the use and oversight of third-party pricing services for fair valuation. The Valuation Designee is comprised of senior representatives of WTAM and reports to the Board of Trustees on a quarterly basis. In the event that a financial instrument cannot be valued based upon a price from the exchange or system on which it is principally traded, independent pricing service provider or broker-dealer quotation, or such prices are deemed to not reflect current market value, the Valuation Designee may value the financial instrument in good faith under the policies and procedures approved by the Board of Trustees based on current facts and circumstances. Securities that may be valued using “fair value” pricing may include, but are not limited to, securities for which there are no current market quotations, securities whose issuer is in default or bankruptcy, securities subject to corporate actions (such as mergers or reorganizations), securities subject to non-U.S. investment limits or currency controls, and securities affected by “significant events”. An example of a significant event is an event occurring after the close of the market in which a security trades but before a Fund’s next NAV Calculation Time that may materially affect the value of a Fund’s investment (e.g., government action, natural disaster, or significant market fluctuation). When fair value pricing is employed, the prices of securities used by a Fund to calculate its NAV may differ from quoted or published prices for the same securities.

 

   
 

 

Notes to Schedule of Investments (unaudited)

 

 

Fair Value Measurement — In accordance with Codification Topic 820 (“ASC 820”), Fair Value Measurement, fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The Valuation Designee will perform other procedures (consistent with GAAP) to value an investment when a market quote is not available. ASC 820 established a three-tier hierarchy of inputs to be used when determining fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk — for example, the risk inherent in a particular valuation technique used to measure fair value (such as a pricing model) and/or the risk inherent in the inputs to the valuation technique. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability. Observable inputs are based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability. Unobservable inputs are based on the best information available in the circumstances. The three-tier hierarchy of inputs is summarized in the three broad levels listed below:

 

Level 1 – quoted prices in active markets for identical securities

Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)

Level 3 – significant unobservable inputs (including each Fund’s assumptions in determining the fair value of investments)

 

The inputs or methodology used for valuation are not necessarily an indication of the risk associated with investing in those investments.

 

Investments that use Level 2 or Level 3 inputs may include, but are not limited to: (i) an unlisted security related to corporate actions; (ii) a restricted security (e.g., one that may not be publicly sold without registration under the Securities Act of 1933, as amended); (iii) a security whose trading has been suspended (either due to events affecting the issuer of the security specifically or events affecting the primary trading exchange more broadly) or which has been de-listed from its primary trading exchange; (iv) a security that is thinly traded; (v) a security in default or bankruptcy proceedings for which there is no current market quotation or market activity; (vi) a security affected by currency controls or restrictions; and (vii) a  security affected by a significant event (e.g., an event that occurs after the close of the markets in which the security is traded but before the time as of which a Fund’s NAV is computed and that may materially affect the value of the Fund's investments). 

 

The valuation techniques and significant inputs used in determining the fair market value measurements for Level 2 and Level 3 positions are as follows:

 

Financial instruments are generally valued by independent pricing service providers that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. Depending on the type of financial instrument, the independent pricing service providers’ internal pricing models may use inputs that are observable such as issuer details (e.g., credit rating, debt ranking, coupon rate, maturity date, etc.), interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar assets. Financial instruments that use similar valuation techniques and observable inputs as described above and have an appropriate level of market activity are categorized as Level 2 of the fair value hierarchy, otherwise a Level 3 fair value classification is appropriate.

 

Determination of a fair value by the Valuation Designee may include significant unobservable inputs and therefore such financial instruments would be reflected as a Level 3 of the fair value hierarchy. The Valuation Designee may employ a market-based valuation approach which may use, among other potential considerations, related or comparable securities, recent transactions, market multiples, and other relevant information to determine fair value. The Valuation Designee may also use an income-based valuation approach in which anticipated future cash flows of the financial instrument are discounted to calculate fair value.

 

   
 

 

Notes to Schedule of Investments (unaudited) (concluded)

 

 

The summary of fair valuations according to the inputs used in valuing each Fund’s assets as of the measurement date is included in a “Fair Valuation Summary” supplementary table in each applicable Fund’s Schedule of Investments.

 

During the fiscal period ended June 30, 2026, there were no significant transfers into or out of Level 3 of the fair value hierarchy.

 

Subsequent Event — Effective August 3, 2026, the ticker symbol for WisdomTree GeoAlpha Opportunities Fund was changed from GEOA to OPPG.